4.5.2016 | EN
| Official Journal of the European Union | L 119/1 |
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REGULATION (EU) 2016/679 OF THE
EUROPEAN PARLIAMENT AND OF THE COUNCIL |
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of 27 April
2016 |
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on the
protection of natural persons with regard to the processing of personal data
and on the free movement of such data, and repealing Directive 95/46/EC
(General Data Protection Regulation) |
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(Text with
EEA relevance) |
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THE EUROPEAN PARLIAMENT AND THE
COUNCIL OF THE EUROPEAN UNION, |
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Having regard
to the Treaty on the Functioning of the European Union, and in particular
Article 16 thereof, |
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Having regard
to the proposal from the European Commission, |
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After
transmission of the draft legislative act to the national parliaments, |
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Having regard
to the opinion of the European Economic and Social Committee (1), |
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Having regard
to the opinion of the Committee of the Regions (2), |
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Acting in
accordance with the ordinary legislative procedure (3), |
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Whereas: |
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(1) | The
protection of natural persons in relation to the processing of personal data
is a fundamental right. Article 8(1) of the Charter of Fundamental
Rights of the European Union (the ‘Charter’) and Article 16(1) of the Treaty
on the Functioning of the European Union (TFEU) provide that everyone has the
right to the protection of personal data concerning him or her. |
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(2) | The
principles of, and rules on the protection of natural persons with regard to
the processing of their personal data should, whatever their nationality or
residence, respect their fundamental rights and freedoms, in particular their
right to the protection of personal data. This Regulation is intended to
contribute to the accomplishment of an area of freedom, security and justice
and of an economic union, to economic and social progress, to the
strengthening and the convergence of the economies within the internal market,
and to the well-being of natural persons. |
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(3) |
Directive 95/46/EC of the European Parliament and of the Council (4) seeks
to harmonise the protection of fundamental rights
and freedoms of natural persons in respect of processing activities and to
ensure the free flow of personal data between Member States. |
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(4) | The
processing of personal data should be designed to serve mankind. The right to
the protection of personal data is not an absolute right; it must be
considered in relation to its function in society and be balanced against
other fundamental rights, in accordance with the principle of
proportionality. This Regulation respects all fundamental rights and observes
the freedoms and principles recognised in the
Charter as enshrined in the Treaties, in particular the respect for private
and family life, home and communications, the protection of personal data,
freedom of thought, conscience and religion, freedom of expression and
information, freedom to conduct a business, the right to an effective remedy
and to a fair trial, and cultural, religious and linguistic diversity. |
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(5) | The
economic and social integration resulting from the functioning of the
internal market has led to a substantial increase in cross-border flows of
personal data. The exchange of personal data between public and private
actors, including natural persons, associations and undertakings across the
Union has increased. National authorities in the Member States are being
called upon by Union law to cooperate and exchange personal data so as to be
able to perform their duties or carry out tasks on behalf of an authority in
another Member State. |
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(6) | Rapid
technological developments and globalisation have
brought new challenges for the protection of personal data. The scale of the
collection and sharing of personal data has increased significantly.
Technology allows both private companies and public authorities to make use
of personal data on an unprecedented scale in order to pursue their
activities. Natural persons increasingly make personal information available
publicly and globally. Technology has transformed both the economy and social
life, and should further facilitate the free flow of personal data within the
Union and the transfer to third countries and international organisations, while ensuring a high level of the
protection of personal data. |
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(7) | Those
developments require a strong and more coherent data protection framework in
the Union, backed by strong enforcement, given the importance of creating the
trust that will allow the digital economy to develop across the internal
market. Natural persons should have control of their own personal data. Legal
and practical certainty for natural persons, economic operators and public
authorities should be enhanced. |
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(8) | Where
this Regulation provides for specifications or restrictions of its rules by
Member State law, Member States may, as far as necessary for
coherence and for making the national provisions comprehensible to the
persons to whom they apply, incorporate elements of this Regulation into
their national law. |
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(9) | The
objectives and principles of Directive 95/46/EC remain sound, but it has not
prevented fragmentation in the implementation of data protection across the
Union, legal uncertainty or a widespread public perception that there are
significant risks to the protection of natural persons, in particular with
regard to online activity. Differences in the level of protection of the
rights and freedoms of natural persons, in particular the right to the
protection of personal data, with regard to the processing of personal data
in the Member States may prevent the free flow of personal data
throughout the Union. Those differences may therefore constitute an obstacle
to the pursuit of economic activities at the level of the Union, distort
competition and impede authorities in the discharge of their responsibilities
under Union law. Such a difference in levels of protection is due to the
existence of differences in the implementation and application of Directive
95/46/EC. |
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(10) | In
order to ensure a consistent and high level of protection of natural persons
and to remove the obstacles to flows of personal data within the Union, the
level of protection of the rights and freedoms of natural persons with regard
to the processing of such data should be equivalent in all
Member States. Consistent and homogenous application of the rules for
the protection of the fundamental rights and freedoms of natural persons with
regard to the processing of personal data should be ensured throughout the
Union. Regarding the processing of personal data for compliance with a legal
obligation, for the performance of a task carried out in the public interest
or in the exercise of official authority vested in the controller,
Member States should be allowed to maintain or introduce national
provisions to further specify the application of the rules of this
Regulation. In conjunction with the general and horizontal law on data
protection implementing Directive 95/46/EC, Member States have several
sector-specific laws in areas that need more specific provisions. This
Regulation also provides a margin of manoeuvre for
Member States to specify its rules, including for the processing of
special categories of personal data (‘sensitive data’). To that extent, this
Regulation does not exclude Member State law that sets out the circumstances
for specific processing situations, including determining more precisely the
conditions under which the processing of personal data is lawful. |
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(11) |
Effective protection of personal data throughout the Union requires the
strengthening and setting out in detail of the rights of data subjects and
the obligations of those who process and determine the processing of personal
data, as well as equivalent powers for monitoring and ensuring compliance
with the rules for the protection of personal data and equivalent sanctions
for infringements in the Member States. |
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(12) |
Article 16(2) TFEU mandates the European Parliament and the Council to lay
down the rules relating to the protection of natural persons with regard to
the processing of personal data and the rules relating to the free movement
of personal data. |
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(13) | In
order to ensure a consistent level of protection for natural persons
throughout the Union and to prevent divergences hampering the free movement
of personal data within the internal market, a Regulation is necessary to
provide legal certainty and transparency for economic operators, including
micro, small and medium-sized enterprises, and to provide natural persons in
all Member States with the same level of legally enforceable rights and
obligations and responsibilities for controllers and processors, to ensure consistent
monitoring of the processing of personal data, and equivalent sanctions in
all Member States as well as effective cooperation between the
supervisory authorities of different Member States. The proper
functioning of the internal market requires that the free movement of
personal data within the Union is not restricted or prohibited for reasons
connected with the protection of natural persons with regard to the
processing of personal data. To take account of the specific situation of
micro, small and medium-sized enterprises, this Regulation includes a
derogation for organisations with fewer than 250
employees with regard to record-keeping. In addition, the Union institutions
and bodies, and Member States and their supervisory authorities, are
encouraged to take account of the specific needs of micro, small and
medium-sized enterprises in the application of this Regulation. The notion of
micro, small and medium-sized enterprises should draw from Article 2 of
the Annex to Commission Recommendation 2003/361/EC (5). |
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(14) | The
protection afforded by this Regulation should apply to natural persons,
whatever their nationality or place of residence, in relation to the
processing of their personal data. This Regulation does not cover the
processing of personal data which concerns legal persons and in particular
undertakings established as legal persons, including the name and the form of
the legal person and the contact details of the legal person. |
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(15) | In
order to prevent creating a serious risk of circumvention, the protection of
natural persons should be technologically neutral and should not depend on
the techniques used. The protection of natural persons should apply to the
processing of personal data by automated means, as well as to manual
processing, if the personal data are contained or are intended to be
contained in a filing system. Files or sets of files, as well as their cover
pages, which are not structured according to specific criteria should not
fall within the scope of this Regulation. |
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(16) | This
Regulation does not apply to issues of protection of fundamental rights and
freedoms or the free flow of personal data related to activities which fall
outside the scope of Union law, such as activities concerning national
security. This Regulation does not apply to the processing of personal data
by the Member States when carrying out activities in relation to the
common foreign and security policy of the Union. |
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(17) | Regulation
(EC) No 45/2001 of the European Parliament and of the Council (6)
applies to the processing of personal data by the Union institutions, bodies,
offices and agencies. Regulation (EC) No 45/2001 and other Union legal acts
applicable to such processing of personal data should be adapted to the
principles and rules established in this Regulation and applied in the light
of this Regulation. In order to provide a strong and coherent data protection
framework in the Union, the necessary adaptations of Regulation (EC)
No 45/2001 should follow after the adoption of this Regulation, in order
to allow application at the same time as this Regulation. |
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(18) | This
Regulation does not apply to the processing of personal data by a natural
person in the course of a purely personal or household activity and thus with
no connection to a professional or commercial activity. Personal or household
activities could include correspondence and the holding of addresses, or
social networking and online activity undertaken within the context of such
activities. However, this Regulation applies to controllers or processors
which provide the means for processing personal data for such personal or
household activities. |
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(19) | The
protection of natural persons with regard to the processing of personal data
by competent authorities for the purposes of the prevention, investigation,
detection or prosecution of criminal offences or the execution of criminal
penalties, including the safeguarding against and the prevention of threats
to public security and the free movement of such data, is the subject of a
specific Union legal act. This Regulation should not, therefore, apply to
processing activities for those purposes. However, personal data processed by
public authorities under this Regulation should, when used for those
purposes, be governed by a more specific Union legal act, namely Directive
(EU) 2016/680 of the European Parliament and of the Council (7).
Member States may entrust competent authorities within the meaning of
Directive (EU) 2016/680 with tasks which are not necessarily carried out for
the purposes of the prevention, investigation, detection or prosecution of
criminal offences or the execution of criminal penalties, including the
safeguarding against and prevention of threats to public security, so that
the processing of personal data for those other purposes, in so far as it is
within the scope of Union law, falls within the scope of this Regulation. |
With regard to the processing of personal data by those competent authorities
for purposes falling within scope of this Regulation, Member States
should be able to maintain or introduce more specific provisions to adapt the
application of the rules of this Regulation. Such provisions may determine
more precisely specific requirements for the processing of personal data by
those competent authorities for those other purposes, taking into account the
constitutional, organisational and administrative
structure of the respective Member State. When the processing of personal
data by private bodies falls within the scope of this Regulation, this
Regulation should provide for the possibility for Member States under
specific conditions to restrict by law certain obligations and rights when
such a restriction constitutes a necessary and proportionate measure in a
democratic society to safeguard specific important interests including public
security and the prevention, investigation, detection or prosecution of
criminal offences or the execution of criminal penalties, including the
safeguarding against and the prevention of threats to public security. This
is relevant for instance in the framework of anti-money laundering or the
activities of forensic laboratories. |
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(20) | While
this Regulation applies, inter alia, to the activities of courts and other
judicial authorities, Union or Member State law could specify the processing
operations and processing procedures in relation to the processing of
personal data by courts and other judicial authorities. The competence of the
supervisory authorities should not cover the processing of personal data when
courts are acting in their judicial capacity, in order to safeguard the
independence of the judiciary in the performance of its judicial tasks,
including decision-making. It should be possible to entrust supervision of
such data processing operations to specific bodies within the judicial system
of the Member State, which should, in particular ensure compliance with the
rules of this Regulation, enhance awareness among members of the judiciary of
their obligations under this Regulation and handle complaints in relation to
such data processing operations. |
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(21) | This
Regulation is without prejudice to the application of Directive 2000/31/EC of
the European Parliament and of the Council (8), in particular of the
liability rules of intermediary service providers in Articles 12 to 15 of
that Directive. That Directive seeks to contribute to the proper functioning
of the internal market by ensuring the free movement of information society
services between Member States. |
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(22) | Any
processing of personal data in the context of the activities of an
establishment of a controller or a processor in the Union should be carried
out in accordance with this Regulation, regardless of whether the processing
itself takes place within the Union. Establishment implies the effective and
real exercise of activity through stable arrangements. The legal form of such
arrangements, whether through a branch or a subsidiary with a legal
personality, is not the determining factor in that respect. |
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(23) | In
order to ensure that natural persons are not deprived of the protection to
which they are entitled under this Regulation, the processing of personal
data of data subjects who are in the Union by a controller or a processor not
established in the Union should be subject to this Regulation where the
processing activities are related to offering goods or services to such data
subjects irrespective of whether connected to a payment. In order to
determine whether such a controller or processor is offering goods or
services to data subjects who are in the Union, it should be ascertained
whether it is apparent that the controller or processor envisages offering
services to data subjects in one or more Member States in the Union.
Whereas the mere accessibility of the controller's, processor's or an
intermediary's website in the Union, of an email address or of other contact
details, or the use of a language generally used in the third country where
the controller is established, is insufficient to ascertain such intention,
factors such as the use of a language or a currency generally used in one or
more Member States with the possibility of ordering goods and services
in that other language, or the mentioning of customers or users who are in
the Union, may make it apparent that the controller envisages offering goods
or services to data subjects in the Union. |
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(24) | The
processing of personal data of data subjects who are in the Union by a
controller or processor not established in the Union should also be subject
to this Regulation when it is related to the monitoring of the behaviour of such data subjects in so far as their behaviour takes place within the Union. In order to
determine whether a processing activity can be considered to monitor the behaviour of data subjects, it should be ascertained
whether natural persons are tracked on the internet including potential
subsequent use of personal data processing techniques which consist of
profiling a natural person, particularly in order to take decisions
concerning her or him or for analysing or
predicting her or his personal preferences, behaviours
and attitudes. |
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(25) | Where
Member State law applies by virtue of public international law, this
Regulation should also apply to a controller not established in the Union,
such as in a Member State's diplomatic mission or consular post. |
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(26) | The
principles of data protection should apply to any information concerning an
identified or identifiable natural person. Personal data which have undergone
pseudonymisation, which could be attributed to a
natural person by the use of additional information should be considered to
be information on an identifiable natural person. To determine whether a
natural person is identifiable, account should be taken of all the means
reasonably likely to be used, such as singling out, either by the controller
or by another person to identify the natural person directly or indirectly.
To ascertain whether means are reasonably likely to be used to identify the
natural person, account should be taken of all objective factors, such as the
costs of and the amount of time required for identification, taking into
consideration the available technology at the time of the processing and
technological developments. The principles of data protection should
therefore not apply to anonymous information, namely information which does
not relate to an identified or identifiable natural person or to personal
data rendered anonymous in such a manner that the data subject is not or no
longer identifiable. This Regulation does not therefore concern the
processing of such anonymous information, including for statistical or
research purposes. |
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(27) | This
Regulation does not apply to the personal data of deceased persons.
Member States may provide for rules regarding the processing of personal
data of deceased persons. |
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(28) | The
application of pseudonymisation to personal data
can reduce the risks to the data subjects concerned and help controllers and
processors to meet their data-protection obligations. The explicit
introduction of ‘pseudonymisation’ in this
Regulation is not intended to preclude any other measures of data protection. |
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(29) | In
order to create incentives to apply pseudonymisation
when processing personal data, measures of pseudonymisation
should, whilst allowing general analysis, be possible within the same
controller when that controller has taken technical and organisational
measures necessary to ensure, for the processing concerned, that this
Regulation is implemented, and that additional information for attributing
the personal data to a specific data subject is kept separately. The
controller processing the personal data should indicate the authorised persons within the same controller. |
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(30) |
Natural persons may be associated with online identifiers provided by their
devices, applications, tools and protocols, such as internet protocol
addresses, cookie identifiers or other identifiers such as radio frequency
identification tags. This may leave traces which, in particular when combined
with unique identifiers and other information received by the servers, may be
used to create profiles of the natural persons and identify them. |
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(31) | Public
authorities to which personal data are disclosed in accordance with a legal
obligation for the exercise of their official mission, such as tax and
customs authorities, financial investigation units, independent
administrative authorities, or financial market authorities responsible for
the regulation and supervision of securities markets should not be regarded
as recipients if they receive personal data which are necessary to carry out
a particular inquiry in the general interest, in accordance with Union or
Member State law. The requests for disclosure sent by the public
authorities should always be in writing, reasoned and occasional and should
not concern the entirety of a filing system or lead to the interconnection of
filing systems. The processing of personal data by those public authorities
should comply with the applicable data-protection rules according to the
purposes of the processing. |
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(32) | Consent
should be given by a clear affirmative act establishing a freely given,
specific, informed and unambiguous indication of the data subject's agreement
to the processing of personal data relating to him or her, such as by a
written statement, including by electronic means, or an oral statement. This
could include ticking a box when visiting an internet website, choosing
technical settings for information society services or another statement or
conduct which clearly indicates in this context the data subject's acceptance
of the proposed processing of his or her personal data. Silence, pre-ticked
boxes or inactivity should not therefore constitute consent. Consent should
cover all processing activities carried out for the same purpose or purposes.
When the processing has multiple purposes, consent should be given for all of
them. If the data subject's consent is to be given following a request by
electronic means, the request must be clear, concise and not unnecessarily
disruptive to the use of the service for which it is provided. |
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(33) | It is
often not possible to fully identify the purpose of personal data processing
for scientific research purposes at the time of data collection. Therefore,
data subjects should be allowed to give their consent to certain areas of
scientific research when in keeping with recognised
ethical standards for scientific research. Data subjects should have the
opportunity to give their consent only to certain areas of research or parts
of research projects to the extent allowed by the intended purpose. |
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(34) |
Genetic data should be defined as personal data relating to the inherited or
acquired genetic characteristics of a natural person which result from the
analysis of a biological sample from the natural person in question, in
particular chromosomal, deoxyribonucleic acid (DNA) or ribonucleic acid (RNA)
analysis, or from the analysis of another element enabling equivalent
information to be obtained. |
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(35) |
Personal data concerning health should include all data pertaining to the
health status of a data subject which reveal information relating to the
past, current or future physical or mental health status of the data subject.
This includes information about the natural person collected in the course of
the registration for, or the provision of, health care services as referred
to in Directive 2011/24/EU of the European Parliament and of the
Council (9) to that natural person; a number, symbol or particular
assigned to a natural person to uniquely identify the natural person for
health purposes; information derived from the testing or examination of a
body part or bodily substance, including from genetic data and biological
samples; and any information on, for example, a disease, disability, disease
risk, medical history, clinical treatment or the physiological or biomedical
state of the data subject independent of its source, for example from a
physician or other health professional, a hospital, a medical device or an in
vitro diagnostic test. |
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(36) | The
main establishment of a controller in the Union should be the place of its
central administration in the Union, unless the decisions on the purposes and
means of the processing of personal data are taken in another establishment
of the controller in the Union, in which case that other establishment should
be considered to be the main establishment. The main establishment of a
controller in the Union should be determined according to objective criteria
and should imply the effective and real exercise of management activities
determining the main decisions as to the purposes and means of processing
through stable arrangements. That criterion should not depend on whether the
processing of personal data is carried out at that location. The presence and
use of technical means and technologies for processing personal data or
processing activities do not, in themselves, constitute a main establishment
and are therefore not determining criteria for a main establishment. The main
establishment of the processor should be the place of its central
administration in the Union or, if it has no central administration in the
Union, the place where the main processing activities take place in the
Union. In cases involving both the controller and the processor, the competent
lead supervisory authority should remain the supervisory authority of the
Member State where the controller has its main establishment, but the
supervisory authority of the processor should be considered to be a
supervisory authority concerned and that supervisory authority should
participate in the cooperation procedure provided for by this Regulation. In
any case, the supervisory authorities of the Member State or
Member States where the processor has one or more establishments should
not be considered to be supervisory authorities concerned where the draft
decision concerns only the controller. Where the processing is carried out by
a group of undertakings, the main establishment of the controlling
undertaking should be considered to be the main establishment of the group of
undertakings, except where the purposes and means of processing are
determined by another undertaking. |
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(37) | A
group of undertakings should cover a controlling undertaking and its
controlled undertakings, whereby the controlling undertaking should be the
undertaking which can exert a dominant influence over the other undertakings
by virtue, for example, of ownership, financial participation or the rules
which govern it or the power to have personal data protection rules
implemented. An undertaking which controls the processing of personal data in
undertakings affiliated to it should be regarded, together with those
undertakings, as a group of undertakings. |
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(38) |
Children merit specific protection with regard to their personal data, as
they may be less aware of the risks, consequences and safeguards concerned
and their rights in relation to the processing of personal data. Such
specific protection should, in particular, apply to the use of personal data
of children for the purposes of marketing or creating personality or user
profiles and the collection of personal data with regard to children when
using services offered directly to a child. The consent of the holder of
parental responsibility should not be necessary in the context of preventive
or counselling services offered directly to a
child. |
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(39) | Any
processing of personal data should be lawful and fair. It should be
transparent to natural persons that personal data concerning them are
collected, used, consulted or otherwise processed and to what extent the
personal data are or will be processed. The principle of transparency
requires that any information and communication relating to the processing of
those personal data be easily accessible and easy to understand, and that
clear and plain language be used. That principle concerns, in particular,
information to the data subjects on the identity of the controller and the
purposes of the processing and further information to ensure fair and
transparent processing in respect of the natural persons concerned and their
right to obtain confirmation and communication of personal data concerning
them which are being processed. Natural persons should be made aware of
risks, rules, safeguards and rights in relation to the processing of personal
data and how to exercise their rights in relation to such processing. In
particular, the specific purposes for which personal data are processed should
be explicit and legitimate and determined at the time of the collection of
the personal data. The personal data should be adequate, relevant and limited
to what is necessary for the purposes for which they are processed. This
requires, in particular, ensuring that the period for which the personal data
are stored is limited to a strict minimum. Personal data should be processed
only if the purpose of the processing could not reasonably be fulfilled by
other means. In order to ensure that the personal data are not kept longer
than necessary, time limits should be established by the controller for
erasure or for a periodic review. Every reasonable step should be taken to
ensure that personal data which are inaccurate are rectified or deleted.
Personal data should be processed in a manner that ensures appropriate
security and confidentiality of the personal data, including for preventing unauthorised access to or use of personal data and the
equipment used for the processing. |
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(40) | In
order for processing to be lawful, personal data should be processed on the
basis of the consent of the data subject concerned or some other legitimate
basis, laid down by law, either in this Regulation or in other Union or
Member State law as referred to in this Regulation, including the necessity
for compliance with the legal obligation to which the controller is subject
or the necessity for the performance of a contract to which the data subject
is party or in order to take steps at the request of the data subject prior
to entering into a contract. |
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(41) | Where
this Regulation refers to a legal basis or a legislative measure, this does
not necessarily require a legislative act adopted by a parliament, without
prejudice to requirements pursuant to the constitutional order of the
Member State concerned. However, such a legal basis or legislative measure
should be clear and precise and its application should be foreseeable to
persons subject to it, in accordance with the case-law of the Court of
Justice of the European Union (the ‘Court of Justice’) and the European Court
of Human Rights. |
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(42) | Where
processing is based on the data subject's consent, the controller should be
able to demonstrate that the data subject has given consent to the processing
operation. In particular in the context of a written declaration on another
matter, safeguards should ensure that the data subject is aware of the fact
that and the extent to which consent is given. In accordance with Council Directive 93/13/EEC (10)
a declaration of consent pre-formulated by the controller should be provided
in an intelligible and easily accessible form, using clear and plain language
and it should not contain unfair terms. For consent to be informed, the data
subject should be aware at least of the identity of the controller and the
purposes of the processing for which the personal data are intended. Consent
should not be regarded as freely given if the data subject has no genuine or
free choice or is unable to refuse or withdraw consent without detriment. |
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(43) | In
order to ensure that consent is freely given, consent should not provide a
valid legal ground for the processing of personal data in a specific case
where there is a clear imbalance between the data subject and the controller,
in particular where the controller is a public authority and it is therefore
unlikely that consent was freely given in all the circumstances of that
specific situation. Consent is presumed not to be freely given if it does not
allow separate consent to be given to different personal data processing
operations despite it being appropriate in the individual case, or if the
performance of a contract, including the provision of a service, is dependent
on the consent despite such consent not being necessary for such performance. |
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(44) |
Processing should be lawful where it is necessary in the context of a
contract or the intention to enter into a contract. |
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(45) | Where
processing is carried out in accordance with a legal obligation to which the
controller is subject or where processing is necessary for the performance of
a task carried out in the public interest or in the exercise of official
authority, the processing should have a basis in Union or Member State law.
This Regulation does not require a specific law for each individual
processing. A law as a basis for several processing operations based on a
legal obligation to which the controller is subject or where processing is
necessary for the performance of a task carried out in the public interest or
in the exercise of an official authority may be sufficient. It should also be
for Union or Member State law to determine the purpose of processing.
Furthermore, that law could specify the general conditions of this Regulation
governing the lawfulness of personal data processing, establish specifications
for determining the controller, the type of personal data which are subject
to the processing, the data subjects concerned, the entities to which the
personal data may be disclosed, the purpose limitations, the storage period
and other measures to ensure lawful and fair processing. It should also be
for Union or Member State law to determine whether the controller performing
a task carried out in the public interest or in the exercise of official
authority should be a public authority or another natural or legal person
governed by public law, or, where it is in the public interest to do so,
including for health purposes such as public health and social protection and
the management of health care services, by private law, such as a
professional association. |
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(46) | The
processing of personal data should also be regarded to be lawful where it is
necessary to protect an interest which is essential for the life of the data
subject or that of another natural person. Processing of personal data based
on the vital interest of another natural person should in principle take
place only where the processing cannot be manifestly based on another legal
basis. Some types of processing may serve both important grounds of public
interest and the vital interests of the data subject as for instance when
processing is necessary for humanitarian purposes, including for monitoring
epidemics and their spread or in situations of humanitarian emergencies, in
particular in situations of natural and man-made disasters. |
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(47) | The
legitimate interests of a controller, including those of a controller to
which the personal data may be disclosed, or of a third party, may provide a
legal basis for processing, provided that the interests or the fundamental
rights and freedoms of the data subject are not overriding, taking into
consideration the reasonable expectations of data subjects based on their
relationship with the controller. Such legitimate interest could exist for
example where there is a relevant and appropriate relationship between the
data subject and the controller in situations such as where the data subject
is a client or in the service of the controller. At any rate the existence of
a legitimate interest would need careful assessment including whether a data
subject can reasonably expect at the time and in the context of the
collection of the personal data that processing for that purpose may take
place. The interests and fundamental rights of the data subject could in
particular override the interest of the data controller where personal data
are processed in circumstances where data subjects do not reasonably expect
further processing. Given that it is for the legislator to provide by law for
the legal basis for public authorities to process personal data, that legal basis
should not apply to the processing by public authorities in the performance
of their tasks. The processing of personal data strictly necessary for the
purposes of preventing fraud also constitutes a legitimate interest of the
data controller concerned. The processing of personal data for direct
marketing purposes may be regarded as carried out for a legitimate interest. |
|
(48) |
Controllers that are part of a group of undertakings or institutions
affiliated to a central body may have a legitimate interest in transmitting
personal data within the group of undertakings for internal administrative
purposes, including the processing of clients' or employees' personal data.
The general principles for the transfer of personal data, within a group of
undertakings, to an undertaking located in a third country remain unaffected. |
|
(49) | The
processing of personal data to the extent strictly necessary and
proportionate for the purposes of ensuring network and information security,
i.e. the ability of a network or an information system to resist, at a given
level of confidence, accidental events or unlawful or malicious actions that
compromise the availability, authenticity, integrity and confidentiality of
stored or transmitted personal data, and the security of the related services
offered by, or accessible via, those networks and systems, by public
authorities, by computer emergency response teams (CERTs), computer security
incident response teams (CSIRTs), by providers of electronic communications
networks and services and by providers of security technologies and services,
constitutes a legitimate interest of the data controller concerned. This
could, for example, include preventing unauthorised
access to electronic communications networks and malicious code distribution
and stopping ‘denial of service’ attacks and damage to computer and
electronic communication systems. |
|
(50) | The
processing of personal data for purposes other than those for which the
personal data were initially collected should be allowed only where the
processing is compatible with the purposes for which the personal data were
initially collected. In such a case, no legal basis separate from that which
allowed the collection of the personal data is required. If the processing is
necessary for the performance of a task carried out in the public interest or
in the exercise of official authority vested in the controller, Union or
Member State law may determine and specify the tasks and purposes for which
the further processing should be regarded as compatible and lawful. Further
processing for archiving purposes in the public interest, scientific or
historical research purposes or statistical purposes should be considered to
be compatible lawful processing operations. The legal basis provided by Union
or Member State law for the processing of personal data may also provide a
legal basis for further processing. In order to ascertain whether a purpose
of further processing is compatible with the purpose for which the personal
data are initially collected, the controller, after having met all the
requirements for the lawfulness of the original processing, should take into
account, inter alia: any link between those purposes and the purposes of the
intended further processing; the context in which the personal data have been
collected, in particular the reasonable expectations of data subjects based
on their relationship with the controller as to their further use; the nature
of the personal data; the consequences of the intended further processing for
data subjects; and the existence of appropriate safeguards in both the
original and intended further processing operations. | Where the data subject
has given consent or the processing is based on Union or Member State law
which constitutes a necessary and proportionate measure in a democratic
society to safeguard, in particular, important objectives of general public
interest, the controller should be allowed to further process the personal
data irrespective of the compatibility of the purposes. In any case, the
application of the principles set out in this Regulation and in particular
the information of the data subject on those other purposes and on his or her
rights including the right to object, should be ensured. Indicating possible
criminal acts or threats to public security by the controller and
transmitting the relevant personal data in individual cases or in several
cases relating to the same criminal act or threats to public security to a
competent authority should be regarded as being in the legitimate interest
pursued by the controller. However, such transmission in the legitimate
interest of the controller or further processing of personal data should be
prohibited if the processing is not compatible with a legal, professional or
other binding obligation of secrecy. |
|
(51) |
Personal data which are, by their nature, particularly sensitive in relation
to fundamental rights and freedoms merit specific protection as the context
of their processing could create significant risks to the fundamental rights
and freedoms. Those personal data should include personal data revealing
racial or ethnic origin, whereby the use of the term ‘racial origin’ in this
Regulation does not imply an acceptance by the Union of theories which
attempt to determine the existence of separate human races. The processing of
photographs should not systematically be considered to be processing of
special categories of personal data as they are covered by the definition of
biometric data only when processed through a specific technical means
allowing the unique identification or authentication of a natural person.
Such personal data should not be processed, unless processing is allowed in
specific cases set out in this Regulation, taking into account that Member
States law may lay down specific provisions on data protection in order to
adapt the application of the rules of this Regulation for compliance with a
legal obligation or for the performance of a task carried out in the public
interest or in the exercise of official authority vested in the controller.
In addition to the specific requirements for such processing, the general
principles and other rules of this Regulation should apply, in particular as
regards the conditions for lawful processing. Derogations from the general
prohibition for processing such special categories of personal data should be
explicitly provided, inter alia, where the data subject gives his or her
explicit consent or in respect of specific needs in particular where the
processing is carried out in the course of legitimate activities by certain
associations or foundations the purpose of which is to permit the exercise of
fundamental freedoms. |
|
(52) |
Derogating from the prohibition on processing special categories of personal
data should also be allowed when provided for in Union or Member State law
and subject to suitable safeguards, so as to protect personal data and other
fundamental rights, where it is in the public interest to do so, in
particular processing personal data in the field of employment law, social
protection law including pensions and for health security, monitoring and
alert purposes, the prevention or control of communicable diseases and other
serious threats to health. Such a derogation may be made for health purposes,
including public health and the management of health-care services,
especially in order to ensure the quality and cost-effectiveness of the
procedures used for settling claims for benefits and services in the health
insurance system, or for archiving purposes in the public interest,
scientific or historical research purposes or statistical purposes. A
derogation should also allow the processing of such personal data where
necessary for the establishment, exercise or defence
of legal claims, whether in court proceedings or in an administrative or
out-of-court procedure. |
|
(53) |
Special categories of personal data which merit higher protection should be
processed for health-related purposes only where necessary to achieve those
purposes for the benefit of natural persons and society as a whole, in
particular in the context of the management of health or social care services
and systems, including processing by the management and central national
health authorities of such data for the purpose of quality control,
management information and the general national and local supervision of the
health or social care system, and ensuring continuity of health or social
care and cross-border healthcare or health security, monitoring and alert
purposes, or for archiving purposes in the public interest, scientific or
historical research purposes or statistical purposes, based on Union or
Member State law which has to meet an objective of public interest, as well
as for studies conducted in the public interest in the area of public health.
Therefore, this Regulation should provide for harmonised
conditions for the processing of special categories of personal data
concerning health, in respect of specific needs, in particular where the
processing of such data is carried out for certain health-related purposes by
persons subject to a legal obligation of professional secrecy. Union or
Member State law should provide for specific and suitable measures so as to
protect the fundamental rights and the personal data of natural persons.
Member States should be allowed to maintain or introduce further conditions,
including limitations, with regard to the processing of genetic data,
biometric data or data concerning health. However, this should not hamper the
free flow of personal data within the Union when those conditions apply to
cross-border processing of such data. |
|
(54) | The
processing of special categories of personal data may be necessary for
reasons of public interest in the areas of public health without consent of
the data subject. Such processing should be subject to suitable and specific
measures so as to protect the rights and freedoms of natural persons. In that
context, ‘public health’ should be interpreted as defined in Regulation (EC)
No 1338/2008 of the European Parliament and of the Council (11), namely
all elements related to health, namely health status, including morbidity and
disability, the determinants having an effect on that health status, health
care needs, resources allocated to health care, the provision of, and
universal access to, health care as well as health care expenditure and
financing, and the causes of mortality. Such processing of data concerning
health for reasons of public interest should not result in personal data
being processed for other purposes by third parties such as employers or
insurance and banking companies. |
|
(55) |
Moreover, the processing of personal data by official authorities for the
purpose of achieving the aims, laid down by constitutional law or by
international public law, of officially recognised
religious associations, is carried out on grounds of public interest. |
|
(56) | Where
in the course of electoral activities, the operation of the democratic system
in a Member State requires that political parties compile personal data
on people's political opinions, the processing of such data may be permitted
for reasons of public interest, provided that appropriate safeguards are
established. |
|
(57) | If the
personal data processed by a controller do not permit the controller to
identify a natural person, the data controller should not be obliged to
acquire additional information in order to identify the data subject for the
sole purpose of complying with any provision of this Regulation. However, the
controller should not refuse to take additional information provided by the
data subject in order to support the exercise of his or her rights.
Identification should include the digital identification of a data subject,
for example through authentication mechanism such as the same credentials,
used by the data subject to log-in to the on-line service offered by the data
controller. |
|
(58) | The
principle of transparency requires that any information addressed to the
public or to the data subject be concise, easily accessible and easy to
understand, and that clear and plain language and, additionally, where
appropriate, visualisation be used. Such
information could be provided in electronic form, for example, when addressed
to the public, through a website. This is of particular relevance in
situations where the proliferation of actors and the technological complexity
of practice make it difficult for the data subject to know and understand
whether, by whom and for what purpose personal data relating to him or her
are being collected, such as in the case of online advertising. Given that
children merit specific protection, any information and communication, where
processing is addressed to a child, should be in such a clear and plain
language that the child can easily understand. |
|
(59) |
Modalities should be provided for facilitating the exercise of the data
subject's rights under this Regulation, including mechanisms to request and,
if applicable, obtain, free of charge, in particular, access to and
rectification or erasure of personal data and the exercise of the right to
object. The controller should also provide means for requests to be made
electronically, especially where personal data are processed by electronic
means. The controller should be obliged to respond to requests from the data
subject without undue delay and at the latest within one month and to give
reasons where the controller does not intend to comply with any such
requests. |
|
(60) | The
principles of fair and transparent processing require that the data subject
be informed of the existence of the processing operation and its purposes.
The controller should provide the data subject with any further information
necessary to ensure fair and transparent processing taking into account the
specific circumstances and context in which the personal data are processed.
Furthermore, the data subject should be informed of the existence of
profiling and the consequences of such profiling. Where the personal data are
collected from the data subject, the data subject should also be informed
whether he or she is obliged to provide the personal data and of the
consequences, where he or she does not provide such data. That information
may be provided in combination with standardised
icons in order to give in an easily visible, intelligible and clearly legible
manner, a meaningful overview of the intended processing. Where the icons are
presented electronically, they should be machine-readable. |
|
(61) | The
information in relation to the processing of personal data relating to the
data subject should be given to him or her at the time of collection from the
data subject, or, where the personal data are obtained from another source,
within a reasonable period, depending on the circumstances of the case. Where
personal data can be legitimately disclosed to another recipient, the data
subject should be informed when the personal data are first disclosed to the
recipient. Where the controller intends to process the personal data for a
purpose other than that for which they were collected, the controller should
provide the data subject prior to that further processing with information on
that other purpose and other necessary information. Where the origin of the
personal data cannot be provided to the data subject because various sources
have been used, general information should be provided. |
|
(62) |
However, it is not necessary to impose the obligation to provide information
where the data subject already possesses the information, where the recording
or disclosure of the personal data is expressly laid down by law or where the
provision of information to the data subject proves to be impossible or would
involve a disproportionate effort. The latter could in particular be the case
where processing is carried out for archiving purposes in the public
interest, scientific or historical research purposes or statistical purposes.
In that regard, the number of data subjects, the age of the data and any
appropriate safeguards adopted should be taken into consideration. |
|
(63) | A data
subject should have the right of access to personal data which have been
collected concerning him or her, and to exercise that right easily and at
reasonable intervals, in order to be aware of, and verify, the lawfulness of
the processing. This includes the right for data subjects to have access to
data concerning their health, for example the data in their medical records
containing information such as diagnoses, examination results, assessments by
treating physicians and any treatment or interventions provided. Every data
subject should therefore have the right to know and obtain communication in
particular with regard to the purposes for which the personal data are
processed, where possible the period for which the personal data are
processed, the recipients of the personal data, the logic involved in any
automatic personal data processing and, at least when based on profiling, the
consequences of such processing. Where possible, the controller should be
able to provide remote access to a secure system which would provide the data
subject with direct access to his or her personal data. That right should not
adversely affect the rights or freedoms of others, including trade secrets or
intellectual property and in particular the copyright protecting the
software. However, the result of those considerations should not be a refusal
to provide all information to the data subject. Where the controller
processes a large quantity of information concerning the data subject, the
controller should be able to request that, before the information is
delivered, the data subject specify the information or processing activities
to which the request relates. |
|
(64) | The
controller should use all reasonable measures to verify the identity of a
data subject who requests access, in particular in the context of online
services and online identifiers. A controller should not retain personal data
for the sole purpose of being able to react to potential requests. |
|
(65) | A data
subject should have the right to have personal data concerning him or her
rectified and a ‘right to be forgotten’ where the retention of such data
infringes this Regulation or Union or Member State law to which the
controller is subject. In particular, a data subject should have the right to
have his or her personal data erased and no longer processed where the
personal data are no longer necessary in relation to the purposes for which
they are collected or otherwise processed, where a data subject has withdrawn
his or her consent or objects to the processing of personal data concerning
him or her, or where the processing of his or her personal data does not
otherwise comply with this Regulation. That right is relevant in particular
where the data subject has given his or her consent as a child and is not
fully aware of the risks involved by the processing, and later wants to
remove such personal data, especially on the internet. The data subject
should be able to exercise that right notwithstanding the fact that he or she
is no longer a child. However, the further retention of the personal data
should be lawful where it is necessary, for exercising the right of freedom
of expression and information, for compliance with a legal obligation, for
the performance of a task carried out in the public interest or in the
exercise of official authority vested in the controller, on the grounds of
public interest in the area of public health, for archiving purposes in the
public interest, scientific or historical research purposes or statistical
purposes, or for the establishment, exercise or defence
of legal claims. |
|
(66) | To
strengthen the right to be forgotten in the online environment, the right to
erasure should also be extended in such a way that a controller who has made
the personal data public should be obliged to inform the controllers which
are processing such personal data to erase any links to, or copies or
replications of those personal data. In doing so, that controller should take
reasonable steps, taking into account available technology and the means
available to the controller, including technical measures, to inform the
controllers which are processing the personal data of the data subject's
request. |
|
(67) |
Methods by which to restrict the processing of personal data could include,
inter alia, temporarily moving the selected data to another processing
system, making the selected personal data unavailable to users, or
temporarily removing published data from a website. In automated filing
systems, the restriction of processing should in principle be ensured by
technical means in such a manner that the personal data are not subject to
further processing operations and cannot be changed. The fact that the
processing of personal data is restricted should be clearly indicated in the
system. |
|
(68) | To
further strengthen the control over his or her own data, where the processing
of personal data is carried out by automated means, the data subject should
also be allowed to receive personal data concerning him or her which he or
she has provided to a controller in a structured, commonly used,
machine-readable and interoperable format, and to transmit it to another
controller. Data controllers should be encouraged to develop interoperable
formats that enable data portability. That right should apply where the data
subject provided the personal data on the basis of his or her consent or the
processing is necessary for the performance of a contract. It should not
apply where processing is based on a legal ground other than consent or
contract. By its very nature, that right should not be exercised against
controllers processing personal data in the exercise of their public duties.
It should therefore not apply where the processing of the personal data is
necessary for compliance with a legal obligation to which the controller is
subject or for the performance of a task carried out in the public interest
or in the exercise of an official authority vested in the controller. The
data subject's right to transmit or receive personal data concerning him or
her should not create an obligation for the controllers to adopt or maintain
processing systems which are technically compatible. Where, in a certain set
of personal data, more than one data subject is concerned, the right to
receive the personal data should be without prejudice to the rights and
freedoms of other data subjects in accordance with this Regulation.
Furthermore, that right should not prejudice the right of the data subject to
obtain the erasure of personal data and the limitations of that right as set
out in this Regulation and should, in particular, not imply the erasure of
personal data concerning the data subject which have been provided by him or
her for the performance of a contract to the extent that and for as long as
the personal data are necessary for the performance of that contract. Where
technically feasible, the data subject should have the right to have the
personal data transmitted directly from one controller to another. |
|
(69) | Where
personal data might lawfully be processed because processing is necessary for
the performance of a task carried out in the public interest or in the
exercise of official authority vested in the controller, or on grounds of the
legitimate interests of a controller or a third party, a data subject should,
nevertheless, be entitled to object to the processing of any personal data
relating to his or her particular situation. It should be for the controller
to demonstrate that its compelling legitimate interest overrides the
interests or the fundamental rights and freedoms of the data subject. |
|
(70) | Where
personal data are processed for the purposes of direct marketing, the data
subject should have the right to object to such processing, including
profiling to the extent that it is related to such direct marketing, whether
with regard to initial or further processing, at any time and free of charge.
That right should be explicitly brought to the attention of the data subject
and presented clearly and separately from any other information. |
|
(71) | The
data subject should have the right not to be subject to a decision, which may
include a measure, evaluating personal aspects relating to him or her which
is based solely on automated processing and which produces legal effects
concerning him or her or similarly significantly affects him or her, such as
automatic refusal of an online credit application or e-recruiting practices
without any human intervention. Such processing includes ‘profiling’ that
consists of any form of automated processing of personal data evaluating the
personal aspects relating to a natural person, in particular to analyse or predict aspects concerning the data subject's
performance at work, economic situation, health, personal preferences or
interests, reliability or behaviour, location or
movements, where it produces legal effects concerning him or her or similarly
significantly affects him or her. However, decision-making based on such
processing, including profiling, should be allowed where expressly authorised by Union or Member State law to which the
controller is subject, including for fraud and tax-evasion monitoring and
prevention purposes conducted in accordance with the regulations, standards
and recommendations of Union institutions or national oversight bodies and to
ensure the security and reliability of a service provided by the controller,
or necessary for the entering or performance of a contract between the data
subject and a controller, or when the data subject has given his or her
explicit consent. In any case, such processing should be subject to suitable
safeguards, which should include specific information to the data subject and
the right to obtain human intervention, to express his or her point of view,
to obtain an explanation of the decision reached after such assessment and to
challenge the decision. Such measure should not concern a child. | In order
to ensure fair and transparent processing in respect of the data subject,
taking into account the specific circumstances and context in which the
personal data are processed, the controller should use appropriate
mathematical or statistical procedures for the profiling, implement technical
and organisational measures appropriate to ensure,
in particular, that factors which result in inaccuracies in personal data are
corrected and the risk of errors is minimised,
secure personal data in a manner that takes account of the potential risks
involved for the interests and rights of the data subject and that prevents,
inter alia, discriminatory effects on natural persons on the basis of racial
or ethnic origin, political opinion, religion or beliefs, trade union
membership, genetic or health status or sexual orientation, or that result in
measures having such an effect. Automated decision-making and profiling based
on special categories of personal data should be allowed only under specific
conditions. |
|
(72) |
Profiling is subject to the rules of this Regulation governing the processing
of personal data, such as the legal grounds for processing or data protection
principles. The European Data Protection Board established by this Regulation
(the ‘Board’) should be able to issue guidance in that context. |
|
(73) |
Restrictions concerning specific principles and the rights of information,
access to and rectification or erasure of personal data, the right to data
portability, the right to object, decisions based on profiling, as well as
the communication of a personal data breach to a data subject and certain
related obligations of the controllers may be imposed by Union or Member
State law, as far as necessary and proportionate in a democratic society to
safeguard public security, including the protection of human life especially
in response to natural or manmade disasters, the prevention, investigation
and prosecution of criminal offences or the execution of criminal penalties,
including the safeguarding against and the prevention of threats to public
security, or of breaches of ethics for regulated professions, other important
objectives of general public interest of the Union or of a Member State, in
particular an important economic or financial interest of the Union or of a
Member State, the keeping of public registers kept for reasons of general
public interest, further processing of archived personal data to provide
specific information related to the political behaviour
under former totalitarian state regimes or the protection of the data subject
or the rights and freedoms of others, including social protection, public
health and humanitarian purposes. Those restrictions should be in accordance
with the requirements set out in the Charter and in the European Convention
for the Protection of Human Rights and Fundamental Freedoms. |
|
(74) | The
responsibility and liability of the controller for any processing of personal
data carried out by the controller or on the controller's behalf should be
established. In particular, the controller should be obliged to implement
appropriate and effective measures and be able to demonstrate the compliance
of processing activities with this Regulation, including the effectiveness of
the measures. Those measures should take into account the nature, scope,
context and purposes of the processing and the risk to the rights and
freedoms of natural persons. |
|
(75) | The
risk to the rights and freedoms of natural persons, of varying likelihood and
severity, may result from personal data processing which could lead to
physical, material or non-material damage, in particular: where the processing
may give rise to discrimination, identity theft or fraud, financial loss,
damage to the reputation, loss of confidentiality of personal data protected
by professional secrecy, unauthorised reversal of pseudonymisation, or any other significant economic or
social disadvantage; where data subjects might be deprived of their rights
and freedoms or prevented from exercising control over their personal data;
where personal data are processed which reveal racial or ethnic origin,
political opinions, religion or philosophical beliefs, trade union
membership, and the processing of genetic data, data concerning health or
data concerning sex life or criminal convictions and offences or related
security measures; where personal aspects are evaluated, in particular analysing or predicting aspects concerning performance at
work, economic situation, health, personal preferences or interests,
reliability or behaviour, location or movements, in
order to create or use personal profiles; where personal data of vulnerable
natural persons, in particular of children, are processed; or where
processing involves a large amount of personal data and affects a large
number of data subjects. |
|
(76) | The
likelihood and severity of the risk to the rights and freedoms of the data
subject should be determined by reference to the nature, scope, context and
purposes of the processing. Risk should be evaluated on the basis of an
objective assessment, by which it is established whether data processing
operations involve a risk or a high risk. |
|
(77) |
Guidance on the implementation of appropriate measures and on the
demonstration of compliance by the controller or the processor, especially as
regards the identification of the risk related to the processing, their
assessment in terms of origin, nature, likelihood and severity, and the identification
of best practices to mitigate the risk, could be provided in particular by
means of approved codes of conduct, approved certifications, guidelines
provided by the Board or indications provided by a data protection officer.
The Board may also issue guidelines on processing operations that are
considered to be unlikely to result in a high risk to the rights and freedoms
of natural persons and indicate what measures may be sufficient in such cases
to address such risk. |
|
(78) | The
protection of the rights and freedoms of natural persons with regard to the
processing of personal data require that appropriate technical and organisational measures be taken to ensure that the
requirements of this Regulation are met. In order to be able to demonstrate
compliance with this Regulation, the controller should adopt internal
policies and implement measures which meet in particular the principles of
data protection by design and data protection by default. Such measures could
consist, inter alia, of minimising the processing
of personal data, pseudonymising personal data as
soon as possible, transparency with regard to the functions and processing of
personal data, enabling the data subject to monitor the data processing,
enabling the controller to create and improve security features. When
developing, designing, selecting and using applications, services and
products that are based on the processing of personal data or process
personal data to fulfil their task, producers of
the products, services and applications should be encouraged to take into
account the right to data protection when developing and designing such
products, services and applications and, with due regard to the state of the
art, to make sure that controllers and processors are able to fulfil their data protection obligations. The principles
of data protection by design and by default should also be taken into
consideration in the context of public tenders. |
|
(79) | The
protection of the rights and freedoms of data subjects as well as the
responsibility and liability of controllers and processors, also in relation
to the monitoring by and measures of supervisory authorities, requires a
clear allocation of the responsibilities under this Regulation, including
where a controller determines the purposes and means of the processing
jointly with other controllers or where a processing operation is carried out
on behalf of a controller. |
|
(80) | Where
a controller or a processor not established in the Union is processing
personal data of data subjects who are in the Union whose processing
activities are related to the offering of goods or services, irrespective of
whether a payment of the data subject is required, to such data subjects in
the Union, or to the monitoring of their behaviour
as far as their behaviour takes place within the
Union, the controller or the processor should designate a representative,
unless the processing is occasional, does not include processing, on a large
scale, of special categories of personal data or the processing of personal
data relating to criminal convictions and offences, and is unlikely to result
in a risk to the rights and freedoms of natural persons, taking into account
the nature, context, scope and purposes of the processing or if the controller
is a public authority or body. The representative should act on behalf of the
controller or the processor and may be addressed by any supervisory
authority. The representative should be explicitly designated by a written
mandate of the controller or of the processor to act on its behalf with
regard to its obligations under this Regulation. The designation of such a
representative does not affect the responsibility or liability of the
controller or of the processor under this Regulation. Such a representative
should perform its tasks according to the mandate received from the
controller or processor, including cooperating with the competent supervisory
authorities with regard to any action taken to ensure compliance with this
Regulation. The designated representative should be subject to enforcement
proceedings in the event of non-compliance by the controller or processor. |
|
(81) | To
ensure compliance with the requirements of this Regulation in respect of the
processing to be carried out by the processor on behalf of the controller,
when entrusting a processor with processing activities, the controller should
use only processors providing sufficient guarantees, in particular in terms
of expert knowledge, reliability and resources, to implement technical and organisational measures which will meet the requirements
of this Regulation, including for the security of processing. The adherence
of the processor to an approved code of conduct or an approved certification
mechanism may be used as an element to demonstrate compliance with the
obligations of the controller. The carrying-out of processing by a processor should
be governed by a contract or other legal act under Union or Member State law,
binding the processor to the controller, setting out the subject-matter and
duration of the processing, the nature and purposes of the processing, the
type of personal data and categories of data subjects, taking into account
the specific tasks and responsibilities of the processor in the context of
the processing to be carried out and the risk to the rights and freedoms of
the data subject. The controller and processor may choose to use an
individual contract or standard contractual clauses which are adopted either
directly by the Commission or by a supervisory authority in accordance with
the consistency mechanism and then adopted by the Commission. After the
completion of the processing on behalf of the controller, the processor
should, at the choice of the controller, return or delete the personal data,
unless there is a requirement to store the personal data under Union or
Member State law to which the processor is subject. |
|
(82) | In
order to demonstrate compliance with this Regulation, the controller or
processor should maintain records of processing activities under its
responsibility. Each controller and processor should be obliged to cooperate
with the supervisory authority and make those records, on request, available
to it, so that it might serve for monitoring those processing operations. |
|
(83) | In
order to maintain security and to prevent processing in infringement of this
Regulation, the controller or processor should evaluate the risks inherent in
the processing and implement measures to mitigate those risks, such as
encryption. Those measures should ensure an appropriate level of security,
including confidentiality, taking into account the state of the art and the
costs of implementation in relation to the risks and the nature of the
personal data to be protected. In assessing data security risk, consideration
should be given to the risks that are presented by personal data processing,
such as accidental or unlawful destruction, loss, alteration, unauthorised disclosure of, or access to, personal data
transmitted, stored or otherwise processed which may in particular lead to
physical, material or non-material damage. |
|
(84) | In
order to enhance compliance with this Regulation where processing operations
are likely to result in a high risk to the rights and freedoms of natural
persons, the controller should be responsible for the carrying-out of a data
protection impact assessment to evaluate, in particular, the origin, nature,
particularity and severity of that risk. The outcome of the assessment should
be taken into account when determining the appropriate measures to be taken
in order to demonstrate that the processing of personal data complies with
this Regulation. Where a data-protection impact assessment indicates that
processing operations involve a high risk which the controller cannot
mitigate by appropriate measures in terms of available technology and costs
of implementation, a consultation of the supervisory authority should take
place prior to the processing. |
|
(85) | A
personal data breach may, if not addressed in an appropriate and timely
manner, result in physical, material or non-material damage to natural
persons such as loss of control over their personal data or limitation of
their rights, discrimination, identity theft or fraud, financial loss, unauthorised reversal of pseudonymisation,
damage to reputation, loss of confidentiality of personal data protected by
professional secrecy or any other significant economic or social disadvantage
to the natural person concerned. Therefore, as soon as the controller becomes
aware that a personal data breach has occurred, the controller should notify
the personal data breach to the supervisory authority without undue delay
and, where feasible, not later than 72 hours after having become aware of it,
unless the controller is able to demonstrate, in accordance with the
accountability principle, that the personal data breach is unlikely to result
in a risk to the rights and freedoms of natural persons. Where such
notification cannot be achieved within 72 hours, the reasons for the delay
should accompany the notification and information may be provided in phases
without undue further delay. |
|
(86) | The
controller should communicate to the data subject a personal data breach,
without undue delay, where that personal data breach is likely to result in a
high risk to the rights and freedoms of the natural person in order to allow
him or her to take the necessary precautions. The communication should
describe the nature of the personal data breach as well as recommendations
for the natural person concerned to mitigate potential adverse effects. Such
communications to data subjects should be made as soon as reasonably feasible
and in close cooperation with the supervisory authority, respecting guidance
provided by it or by other relevant authorities such as law-enforcement
authorities. For example, the need to mitigate an immediate risk of damage
would call for prompt communication with data subjects whereas the need to
implement appropriate measures against continuing or similar personal data
breaches may justify more time for communication. |
|
(87) | It
should be ascertained whether all appropriate technological protection and organisational measures have been implemented to
establish immediately whether a personal data breach has taken place and to
inform promptly the supervisory authority and the data subject. The fact that
the notification was made without undue delay should be established taking
into account in particular the nature and gravity of the personal data breach
and its consequences and adverse effects for the data subject. Such
notification may result in an intervention of the supervisory authority in
accordance with its tasks and powers laid down in this Regulation. |
|
(88) | In
setting detailed rules concerning the format and procedures applicable to the
notification of personal data breaches, due consideration should be given to
the circumstances of that breach, including whether or not personal data had
been protected by appropriate technical protection measures, effectively
limiting the likelihood of identity fraud or other forms of misuse. Moreover,
such rules and procedures should take into account the legitimate interests
of law-enforcement authorities where early disclosure could unnecessarily
hamper the investigation of the circumstances of a personal data breach. |
|
(89) |
Directive 95/46/EC provided for a general obligation to notify the processing
of personal data to the supervisory authorities. While that obligation
produces administrative and financial burdens, it did not in all cases
contribute to improving the protection of personal data. Such indiscriminate
general notification obligations should therefore be abolished, and replaced
by effective procedures and mechanisms which focus instead on those types of
processing operations which are likely to result in a high risk to the rights
and freedoms of natural persons by virtue of their nature, scope, context and
purposes. Such types of processing operations may be those which in,
particular, involve using new technologies, or are of a new kind and where no
data protection impact assessment has been carried out before by the
controller, or where they become necessary in the light of the time that has
elapsed since the initial processing. |
|
(90) | In
such cases, a data protection impact assessment should be carried out by the
controller prior to the processing in order to assess the particular
likelihood and severity of the high risk, taking into account the nature,
scope, context and purposes of the processing and the sources of the risk.
That impact assessment should include, in particular, the measures,
safeguards and mechanisms envisaged for mitigating that risk, ensuring the
protection of personal data and demonstrating compliance with this Regulation. |
|
(91) | This
should in particular apply to large-scale processing operations which aim to
process a considerable amount of personal data at regional, national or
supranational level and which could affect a large number of data subjects
and which are likely to result in a high risk, for example, on account of
their sensitivity, where in accordance with the achieved state of
technological knowledge a new technology is used on a large scale as well as
to other processing operations which result in a high risk to the rights and
freedoms of data subjects, in particular where those operations render it
more difficult for data subjects to exercise their rights. A data protection
impact assessment should also be made where personal data are processed for
taking decisions regarding specific natural persons following any systematic
and extensive evaluation of personal aspects relating to natural persons
based on profiling those data or following the processing of special
categories of personal data, biometric data, or data on criminal convictions
and offences or related security measures. A data protection impact
assessment is equally required for monitoring publicly accessible areas on a
large scale, especially when using optic-electronic devices or for any other
operations where the competent supervisory authority considers that the
processing is likely to result in a high risk to the rights and freedoms of
data subjects, in particular because they prevent data subjects from
exercising a right or using a service or a contract, or because they are
carried out systematically on a large scale. The processing of personal data
should not be considered to be on a large scale if the processing concerns
personal data from patients or clients by an individual physician, other
health care professional or lawyer. In such cases, a data protection impact
assessment should not be mandatory. |
|
(92) | There
are circumstances under which it may be reasonable and economical for the
subject of a data protection impact assessment to be broader than a single
project, for example where public authorities or bodies intend to establish a
common application or processing platform or where several controllers plan
to introduce a common application or processing environment across an
industry sector or segment or for a widely used horizontal activity. |
|
(93) | In the
context of the adoption of the Member State law on which the performance of
the tasks of the public authority or public body is based and which regulates
the specific processing operation or set of operations in question, Member
States may deem it necessary to carry out such assessment prior to the
processing activities. |
|
(94) | Where
a data protection impact assessment indicates that the processing would, in
the absence of safeguards, security measures and mechanisms to mitigate the
risk, result in a high risk to the rights and freedoms of natural persons and
the controller is of the opinion that the risk cannot be mitigated by
reasonable means in terms of available technologies and costs of
implementation, the supervisory authority should be consulted prior to the
start of processing activities. Such high risk is likely to result from
certain types of processing and the extent and frequency of processing, which
may result also in a realisation of damage or
interference with the rights and freedoms of the natural person. The
supervisory authority should respond to the request for consultation within a
specified period. However, the absence of a reaction of the supervisory
authority within that period should be without prejudice to any intervention
of the supervisory authority in accordance with its tasks and powers laid
down in this Regulation, including the power to prohibit processing
operations. As part of that consultation process, the outcome of a data
protection impact assessment carried out with regard to the processing at
issue may be submitted to the supervisory authority, in particular the
measures envisaged to mitigate the risk to the rights and freedoms of natural
persons. |
|
(95) | The
processor should assist the controller, where necessary and upon request, in
ensuring compliance with the obligations deriving from the carrying out of
data protection impact assessments and from prior consultation of the
supervisory authority. |
|
(96) | A
consultation of the supervisory authority should also take place in the
course of the preparation of a legislative or regulatory measure which
provides for the processing of personal data, in order to ensure compliance
of the intended processing with this Regulation and in particular to mitigate
the risk involved for the data subject. |
|
(97) | Where
the processing is carried out by a public authority, except for courts or
independent judicial authorities when acting in their judicial capacity,
where, in the private sector, processing is carried out by a controller whose
core activities consist of processing operations that require regular and
systematic monitoring of the data subjects on a large scale, or where the
core activities of the controller or the processor consist of processing on a
large scale of special categories of personal data and data relating to
criminal convictions and offences, a person with expert knowledge of data
protection law and practices should assist the controller or processor to
monitor internal compliance with this Regulation. In the private sector, the
core activities of a controller relate to its primary activities and do not
relate to the processing of personal data as ancillary activities. The
necessary level of expert knowledge should be determined in particular according
to the data processing operations carried out and the protection required for
the personal data processed by the controller or the processor. Such data
protection officers, whether or not they are an employee of the controller,
should be in a position to perform their duties and tasks in an independent
manner. |
|
(98) |
Associations or other bodies representing categories of controllers or
processors should be encouraged to draw up codes of conduct, within the
limits of this Regulation, so as to facilitate the effective application of
this Regulation, taking account of the specific characteristics of the
processing carried out in certain sectors and the specific needs of micro,
small and medium enterprises. In particular, such codes of conduct could
calibrate the obligations of controllers and processors, taking into account
the risk likely to result from the processing for the rights and freedoms of
natural persons. |
|
(99) | When
drawing up a code of conduct, or when amending or extending such a code,
associations and other bodies representing categories of controllers or
processors should consult relevant stakeholders, including data subjects
where feasible, and have regard to submissions received and views expressed
in response to such consultations. |
|
(100) | In
order to enhance transparency and compliance with this Regulation, the
establishment of certification mechanisms and data protection seals and marks
should be encouraged, allowing data subjects to quickly assess the level of
data protection of relevant products and services. |
|
(101) | Flows
of personal data to and from countries outside the Union and international organisations are necessary for the expansion of
international trade and international cooperation. The increase in such flows
has raised new challenges and concerns with regard to the protection of
personal data. However, when personal data are transferred from the Union to
controllers, processors or other recipients in third countries or to
international organisations, the level of
protection of natural persons ensured in the Union by this Regulation should
not be undermined, including in cases of onward transfers of personal data
from the third country or international organisation
to controllers, processors in the same or another third country or
international organisation. In any event, transfers
to third countries and international organisations
may only be carried out in full compliance with this Regulation. A transfer
could take place only if, subject to the other provisions of this Regulation,
the conditions laid down in the provisions of this Regulation relating to the
transfer of personal data to third countries or international organisations are complied with by the controller or
processor. |
|
(102) | This
Regulation is without prejudice to international agreements concluded between
the Union and third countries regulating the transfer of personal data
including appropriate safeguards for the data subjects. Member States may
conclude international agreements which involve the transfer of personal data
to third countries or international organisations,
as far as such agreements do not affect this Regulation or any other
provisions of Union law and include an appropriate level of protection for
the fundamental rights of the data subjects. |
|
(103) | The
Commission may decide with effect for the entire Union that a third country,
a territory or specified sector within a third country, or an international organisation, offers an adequate level of data
protection, thus providing legal certainty and uniformity throughout the
Union as regards the third country or international organisation
which is considered to provide such level of protection. In such cases,
transfers of personal data to that third country or international organisation may take place without the need to obtain
any further authorisation. The Commission may also
decide, having given notice and a full statement setting out the reasons to
the third country or international organisation, to
revoke such a decision. |
|
(104) | In
line with the fundamental values on which the Union is founded, in particular
the protection of human rights, the Commission should, in its assessment of
the third country, or of a territory or specified sector within a third
country, take into account how a particular third country respects the rule
of law, access to justice as well as international human rights norms and
standards and its general and sectoral law,
including legislation concerning public security, defence
and national security as well as public order and criminal law. The adoption
of an adequacy decision with regard to a territory or a specified sector in a
third country should take into account clear and objective criteria, such as
specific processing activities and the scope of applicable legal standards
and legislation in force in the third country. The third country should offer
guarantees ensuring an adequate level of protection essentially equivalent to
that ensured within the Union, in particular where personal data are
processed in one or several specific sectors. In particular, the third
country should ensure effective independent data protection supervision and
should provide for cooperation mechanisms with the Member States' data
protection authorities, and the data subjects should be provided with
effective and enforceable rights and effective administrative and judicial
redress. |
|
(105) | Apart
from the international commitments the third country or international organisation has entered into, the Commission should take
account of obligations arising from the third country's or international organisation's participation in multilateral or regional
systems in particular in relation to the protection of personal data, as well
as the implementation of such obligations. In particular, the third country's
accession to the Council of Europe Convention of 28 January 1981
for the Protection of Individuals with regard to the Automatic Processing of
Personal Data and its Additional Protocol should be taken into account. The
Commission should consult the Board when assessing the level of protection in
third countries or international organisations. |
|
(106) | The
Commission should monitor the functioning of decisions on the level of
protection in a third country, a territory or specified sector within a third
country, or an international organisation, and
monitor the functioning of decisions adopted on the basis of
Article 25(6) or Article 26(4) of Directive 95/46/EC. In its
adequacy decisions, the Commission should provide for a periodic review
mechanism of their functioning. That periodic review should be conducted in
consultation with the third country or international organisation
in question and take into account all relevant developments in the third country
or international organisation. For the purposes of
monitoring and of carrying out the periodic reviews, the Commission should
take into consideration the views and findings of the European Parliament and
of the Council as well as of other relevant bodies and sources. The
Commission should evaluate, within a reasonable time, the functioning of the
latter decisions and report any relevant findings to the Committee within the
meaning of Regulation (EU) No 182/2011 of the European Parliament and of
the Council (12) as established under this Regulation, to the European
Parliament and to the Council. |
|
(107) | The
Commission may recognise that a third country, a
territory or a specified sector within a third country, or an international organisation no longer ensures an adequate level of data
protection. Consequently the transfer of personal data to that third country
or international organisation should be prohibited,
unless the requirements in this Regulation relating to transfers subject to
appropriate safeguards, including binding corporate rules, and derogations
for specific situations are fulfilled. In that case, provision should be made
for consultations between the Commission and such third countries or
international organisations. The Commission should,
in a timely manner, inform the third country or international organisation of the reasons and enter into consultations
with it in order to remedy the situation. |
|
(108) | In
the absence of an adequacy decision, the controller or processor should take
measures to compensate for the lack of data protection in a third country by
way of appropriate safeguards for the data subject. Such appropriate
safeguards may consist of making use of binding corporate rules, standard data
protection clauses adopted by the Commission, standard data protection
clauses adopted by a supervisory authority or contractual clauses authorised by a supervisory authority. Those safeguards
should ensure compliance with data protection requirements and the rights of
the data subjects appropriate to processing within the Union, including the
availability of enforceable data subject rights and of effective legal
remedies, including to obtain effective administrative or judicial redress
and to claim compensation, in the Union or in a third country. They should
relate in particular to compliance with the general principles relating to
personal data processing, the principles of data protection by design and by
default. Transfers may also be carried out by public authorities or bodies
with public authorities or bodies in third countries or with international organisations with corresponding duties or functions,
including on the basis of provisions to be inserted into administrative
arrangements, such as a memorandum of understanding, providing for
enforceable and effective rights for data subjects. Authorisation
by the competent supervisory authority should be obtained when the safeguards
are provided for in administrative arrangements that are not legally binding. |
|
(109) | The
possibility for the controller or processor to use standard data-protection
clauses adopted by the Commission or by a supervisory authority should
prevent controllers or processors neither from including the standard
data-protection clauses in a wider contract, such as a contract between the
processor and another processor, nor from adding other clauses or additional
safeguards provided that they do not contradict, directly or indirectly, the
standard contractual clauses adopted by the Commission or by a supervisory
authority or prejudice the fundamental rights or freedoms of the data
subjects. Controllers and processors should be encouraged to provide
additional safeguards via contractual commitments that supplement standard
protection clauses. |
|
(110) | A
group of undertakings, or a group of enterprises engaged in a joint economic
activity, should be able to make use of approved binding corporate rules for
its international transfers from the Union to organisations
within the same group of undertakings, or group of enterprises engaged in a
joint economic activity, provided that such corporate rules include all
essential principles and enforceable rights to ensure appropriate safeguards
for transfers or categories of transfers of personal data. |
|
(111) |
Provisions should be made for the possibility for transfers in certain
circumstances where the data subject has given his or her explicit consent,
where the transfer is occasional and necessary in relation to a contract or a
legal claim, regardless of whether in a judicial procedure or whether in an
administrative or any out-of-court procedure, including procedures before
regulatory bodies. Provision should also be made for the possibility for
transfers where important grounds of public interest laid down by Union or
Member State law so require or where the transfer is made from a
register established by law and intended for consultation by the public or
persons having a legitimate interest. In the latter case, such a transfer
should not involve the entirety of the personal data or entire categories of
the data contained in the register and, when the register is intended for
consultation by persons having a legitimate interest, the transfer should be
made only at the request of those persons or, if they are to be the
recipients, taking into full account the interests and fundamental rights of
the data subject. |
|
(112) | Those
derogations should in particular apply to data transfers required and
necessary for important reasons of public interest, for example in cases of
international data exchange between competition authorities, tax or customs
administrations, between financial supervisory authorities, between services
competent for social security matters, or for public health, for example in
the case of contact tracing for contagious diseases or in order to reduce
and/or eliminate doping in sport. A transfer of personal data should also be
regarded as lawful where it is necessary to protect an interest which is essential
for the data subject's or another person's vital interests, including
physical integrity or life, if the data subject is incapable of giving
consent. In the absence of an adequacy decision, Union or Member State
law may, for important reasons of public interest, expressly set limits to
the transfer of specific categories of data to a third country or an
international organisation. Member States
should notify such provisions to the Commission. Any transfer to an
international humanitarian organisation of personal
data of a data subject who is physically or legally incapable of giving
consent, with a view to accomplishing a task incumbent under the Geneva
Conventions or to complying with international humanitarian law applicable in
armed conflicts, could be considered to be necessary for an important reason
of public interest or because it is in the vital interest of the data
subject. |
|
(113) |
Transfers which can be qualified as not repetitive and that only concern a
limited number of data subjects, could also be possible for the purposes of
the compelling legitimate interests pursued by the controller, when those
interests are not overridden by the interests or rights and freedoms of the
data subject and when the controller has assessed all the circumstances
surrounding the data transfer. The controller should give particular
consideration to the nature of the personal data, the purpose and duration of
the proposed processing operation or operations, as well as the situation in
the country of origin, the third country and the country of final
destination, and should provide suitable safeguards to protect fundamental
rights and freedoms of natural persons with regard to the processing of their
personal data. Such transfers should be possible only in residual cases where
none of the other grounds for transfer are applicable. For scientific or
historical research purposes or statistical purposes, the legitimate
expectations of society for an increase of knowledge should be taken into
consideration. The controller should inform the supervisory authority and the
data subject about the transfer. |
|
(114) | In
any case, where the Commission has taken no decision on the adequate level of
data protection in a third country, the controller or processor should make
use of solutions that provide data subjects with enforceable and effective
rights as regards the processing of their data in the Union once those data
have been transferred so that that they will continue to benefit from
fundamental rights and safeguards. |
|
(115) | Some
third countries adopt laws, regulations and other legal acts which purport to
directly regulate the processing activities of natural and legal persons
under the jurisdiction of the Member States. This may include judgments
of courts or tribunals or decisions of administrative authorities in third
countries requiring a controller or processor to transfer or disclose
personal data, and which are not based on an international agreement, such as
a mutual legal assistance treaty, in force between the requesting third
country and the Union or a Member State. The extraterritorial application of
those laws, regulations and other legal acts may be in breach of
international law and may impede the attainment of the protection of natural
persons ensured in the Union by this Regulation. Transfers should only be
allowed where the conditions of this Regulation for a transfer to third
countries are met. This may be the case, inter alia, where disclosure is
necessary for an important ground of public interest recognised
in Union or Member State law to which the controller is subject. |
|
(116) | When
personal data moves across borders outside the Union it may put at increased
risk the ability of natural persons to exercise data protection rights in
particular to protect themselves from the unlawful use or disclosure of that
information. At the same time, supervisory authorities may find that they are
unable to pursue complaints or conduct investigations relating to the
activities outside their borders. Their efforts to work together in the
cross-border context may also be hampered by insufficient preventative or
remedial powers, inconsistent legal regimes, and practical obstacles like
resource constraints. Therefore, there is a need to promote closer
cooperation among data protection supervisory authorities to help them
exchange information and carry out investigations with their international
counterparts. For the purposes of developing international cooperation
mechanisms to facilitate and provide international mutual assistance for the
enforcement of legislation for the protection of personal data, the
Commission and the supervisory authorities should exchange information and
cooperate in activities related to the exercise of their powers with
competent authorities in third countries, based on reciprocity and in
accordance with this Regulation. |
|
(117) | The
establishment of supervisory authorities in Member States, empowered to
perform their tasks and exercise their powers with complete independence, is
an essential component of the protection of natural persons with regard to
the processing of their personal data. Member States should be able to
establish more than one supervisory authority, to reflect their
constitutional, organisational and administrative
structure. |
|
(118) | The
independence of supervisory authorities should not mean that the supervisory
authorities cannot be subject to control or monitoring mechanisms regarding
their financial expenditure or to judicial review. |
|
(119) | Where
a Member State establishes several supervisory authorities, it should
establish by law mechanisms for ensuring the effective participation of those
supervisory authorities in the consistency mechanism. That Member State
should in particular designate the supervisory authority which functions as a
single contact point for the effective participation of those authorities in
the mechanism, to ensure swift and smooth cooperation with other supervisory
authorities, the Board and the Commission. |
|
(120) | Each
supervisory authority should be provided with the financial and human resources,
premises and infrastructure necessary for the effective performance of their
tasks, including those related to mutual assistance and cooperation with
other supervisory authorities throughout the Union. Each supervisory
authority should have a separate, public annual budget, which may be part of
the overall state or national budget. |
|
(121) | The
general conditions for the member or members of the supervisory authority
should be laid down by law in each Member State and should in particular
provide that those members are to be appointed, by means of a transparent
procedure, either by the parliament, government or the head of State of the
Member State on the basis of a proposal from the government, a member of the
government, the parliament or a chamber of the parliament, or by an
independent body entrusted under Member State law. In order to ensure
the independence of the supervisory authority, the member or members should
act with integrity, refrain from any action that is incompatible with their
duties and should not, during their term of office, engage in any
incompatible occupation, whether gainful or not. The supervisory authority
should have its own staff, chosen by the supervisory authority or an
independent body established by Member State law, which should be
subject to the exclusive direction of the member or members of the
supervisory authority. |
|
(122) | Each
supervisory authority should be competent on the territory of its own
Member State to exercise the powers and to perform the tasks conferred
on it in accordance with this Regulation. This should cover in particular the
processing in the context of the activities of an establishment of the
controller or processor on the territory of its own Member State, the
processing of personal data carried out by public authorities or private
bodies acting in the public interest, processing affecting data subjects on
its territory or processing carried out by a controller or processor not
established in the Union when targeting data subjects residing on its
territory. This should include handling complaints lodged by a data subject,
conducting investigations on the application of this Regulation and promoting
public awareness of the risks, rules, safeguards and rights in relation to
the processing of personal data. |
|
(123) | The
supervisory authorities should monitor the application of the provisions
pursuant to this Regulation and contribute to its consistent application
throughout the Union, in order to protect natural persons in relation to the
processing of their personal data and to facilitate the free flow of personal
data within the internal market. For that purpose, the supervisory
authorities should cooperate with each other and with the Commission, without
the need for any agreement between Member States on the provision of
mutual assistance or on such cooperation. |
|
(124) | Where
the processing of personal data takes place in the context of the activities
of an establishment of a controller or a processor in the Union and the
controller or processor is established in more than one Member State, or
where processing taking place in the context of the activities of a single
establishment of a controller or processor in the Union substantially affects
or is likely to substantially affect data subjects in more than one Member
State, the supervisory authority for the main establishment of the controller
or processor or for the single establishment of the controller or processor
should act as lead authority. It should cooperate with the other authorities
concerned, because the controller or processor has an establishment on the
territory of their Member State, because data subjects residing on their territory
are substantially affected, or because a complaint has been lodged with them.
Also where a data subject not residing in that Member State has lodged a
complaint, the supervisory authority with which such complaint has been
lodged should also be a supervisory authority concerned. Within its tasks to
issue guidelines on any question covering the application of this Regulation,
the Board should be able to issue guidelines in particular on the criteria to
be taken into account in order to ascertain whether the processing in
question substantially affects data subjects in more than one
Member State and on what constitutes a relevant and reasoned objection. |
|
(125) | The
lead authority should be competent to adopt binding decisions regarding
measures applying the powers conferred on it in accordance with this
Regulation. In its capacity as lead authority, the supervisory authority
should closely involve and coordinate the supervisory authorities concerned
in the decision-making process. Where the decision is to reject the complaint
by the data subject in whole or in part, that decision should be adopted by
the supervisory authority with which the complaint has been lodged. |
|
(126) | The
decision should be agreed jointly by the lead supervisory authority and the
supervisory authorities concerned and should be directed towards the main or
single establishment of the controller or processor and be binding on the
controller and processor. The controller or processor should take the
necessary measures to ensure compliance with this Regulation and the
implementation of the decision notified by the lead supervisory authority to
the main establishment of the controller or processor as regards the
processing activities in the Union. |
|
(127) | Each
supervisory authority not acting as the lead supervisory authority should be
competent to handle local cases where the controller or processor is
established in more than one Member State, but the subject matter of the
specific processing concerns only processing carried out in a single
Member State and involves only data subjects in that single Member
State, for example, where the subject matter concerns the processing of
employees' personal data in the specific employment context of a Member
State. In such cases, the supervisory authority should inform the lead
supervisory authority without delay about the matter. After being informed,
the lead supervisory authority should decide, whether it will handle the case
pursuant to the provision on cooperation between the lead supervisory
authority and other supervisory authorities concerned (‘one-stop-shop
mechanism’), or whether the supervisory authority which informed it should
handle the case at local level. When deciding whether it will handle the
case, the lead supervisory authority should take into account whether there
is an establishment of the controller or processor in the Member State of the
supervisory authority which informed it in order to ensure effective
enforcement of a decision vis-à-vis the controller or processor. Where the
lead supervisory authority decides to handle the case, the supervisory
authority which informed it should have the possibility to submit a draft for
a decision, of which the lead supervisory authority should take utmost
account when preparing its draft decision in that one-stop-shop mechanism. |
|
(128) | The
rules on the lead supervisory authority and the one-stop-shop mechanism
should not apply where the processing is carried out by public authorities or
private bodies in the public interest. In such cases the only supervisory
authority competent to exercise the powers conferred to it in accordance with
this Regulation should be the supervisory authority of the Member State
where the public authority or private body is established. |
|
(129) | In
order to ensure consistent monitoring and enforcement of this Regulation
throughout the Union, the supervisory authorities should have in each Member
State the same tasks and effective powers, including powers of investigation,
corrective powers and sanctions, and authorisation
and advisory powers, in particular in cases of complaints from natural persons,
and without prejudice to the powers of prosecutorial authorities under
Member State law, to bring infringements of this Regulation to the
attention of the judicial authorities and engage in legal proceedings. Such
powers should also include the power to impose a temporary or definitive
limitation, including a ban, on processing. Member States may specify
other tasks related to the protection of personal data under this Regulation.
The powers of supervisory authorities should be exercised in accordance with
appropriate procedural safeguards set out in Union and Member State law,
impartially, fairly and within a reasonable time. In particular each measure
should be appropriate, necessary and proportionate in view of ensuring
compliance with this Regulation, taking into account the circumstances of
each individual case, respect the right of every person to be heard before
any individual measure which would affect him or her adversely is taken and
avoid superfluous costs and excessive inconveniences for the persons
concerned. Investigatory powers as regards access to premises should be
exercised in accordance with specific requirements in Member State procedural
law, such as the requirement to obtain a prior judicial authorisation.
Each legally binding measure of the supervisory authority should be in
writing, be clear and unambiguous, indicate the supervisory authority which
has issued the measure, the date of issue of the measure, bear the signature
of the head, or a member of the supervisory authority authorised
by him or her, give the reasons for the measure, and refer to the right of an
effective remedy. This should not preclude additional requirements pursuant
to Member State procedural law. The adoption of a legally binding decision
implies that it may give rise to judicial review in the Member State of
the supervisory authority that adopted the decision. |
|
(130) | Where
the supervisory authority with which the complaint has been lodged is not the
lead supervisory authority, the lead supervisory authority should closely
cooperate with the supervisory authority with which the complaint has been
lodged in accordance with the provisions on cooperation and consistency laid
down in this Regulation. In such cases, the lead supervisory authority
should, when taking measures intended to produce legal effects, including the
imposition of administrative fines, take utmost account of the view of the
supervisory authority with which the complaint has been lodged and which
should remain competent to carry out any investigation on the territory of
its own Member State in liaison with the competent supervisory
authority. |
|
(131) | Where
another supervisory authority should act as a lead supervisory authority for
the processing activities of the controller or processor but the concrete
subject matter of a complaint or the possible infringement concerns only
processing activities of the controller or processor in the Member State
where the complaint has been lodged or the possible infringement detected and
the matter does not substantially affect or is not likely to substantially
affect data subjects in other Member States, the supervisory authority
receiving a complaint or detecting or being informed otherwise of situations
that entail possible infringements of this Regulation should seek an amicable
settlement with the controller and, if this proves unsuccessful, exercise its
full range of powers. This should include: specific processing carried out in
the territory of the Member State of the supervisory authority or with
regard to data subjects on the territory of that Member State;
processing that is carried out in the context of an offer of goods or
services specifically aimed at data subjects in the territory of the Member
State of the supervisory authority; or processing that has to be assessed
taking into account relevant legal obligations under Member State law. |
|
(132) |
Awareness-raising activities by supervisory authorities addressed to the
public should include specific measures directed at controllers and
processors, including micro, small and medium-sized enterprises, as well as
natural persons in particular in the educational context. |
|
(133) | The
supervisory authorities should assist each other in performing their tasks
and provide mutual assistance, so as to ensure the consistent application and
enforcement of this Regulation in the internal market. A supervisory
authority requesting mutual assistance may adopt a provisional measure if it
receives no response to a request for mutual assistance within one month of
the receipt of that request by the other supervisory authority. |
|
(134) | Each
supervisory authority should, where appropriate, participate in joint
operations with other supervisory authorities. The requested supervisory
authority should be obliged to respond to the request within a specified time
period. |
|
(135) | In
order to ensure the consistent application of this Regulation throughout the
Union, a consistency mechanism for cooperation between the supervisory
authorities should be established. That mechanism should in particular apply
where a supervisory authority intends to adopt a measure intended to produce
legal effects as regards processing operations which substantially affect a
significant number of data subjects in several Member States. It should also
apply where any supervisory authority concerned or the Commission requests
that such matter should be handled in the consistency mechanism. That
mechanism should be without prejudice to any measures that the Commission may
take in the exercise of its powers under the Treaties. |
|
(136) | In
applying the consistency mechanism, the Board should, within a determined
period of time, issue an opinion, if a majority of its members so decides or
if so requested by any supervisory authority concerned or the Commission. The
Board should also be empowered to adopt legally binding decisions where there
are disputes between supervisory authorities. For that purpose, it should issue,
in principle by a two-thirds majority of its members, legally binding
decisions in clearly specified cases where there are conflicting views among
supervisory authorities, in particular in the cooperation mechanism between
the lead supervisory authority and supervisory authorities concerned on the
merits of the case, in particular whether there is an infringement of this
Regulation. |
|
(137) | There
may be an urgent need to act in order to protect the rights and freedoms of
data subjects, in particular when the danger exists that the enforcement of a
right of a data subject could be considerably impeded. A supervisory
authority should therefore be able to adopt duly justified provisional
measures on its territory with a specified period of validity which should
not exceed three months. |
|
(138) | The
application of such mechanism should be a condition for the lawfulness of a
measure intended to produce legal effects by a supervisory authority in those
cases where its application is mandatory. In other cases of cross-border
relevance, the cooperation mechanism between the lead supervisory authority
and supervisory authorities concerned should be applied and mutual assistance
and joint operations might be carried out between the supervisory authorities
concerned on a bilateral or multilateral basis without triggering the
consistency mechanism. |
|
(139) | In
order to promote the consistent application of this Regulation, the Board
should be set up as an independent body of the Union. To fulfil
its objectives, the Board should have legal personality. The Board should be
represented by its Chair. It should replace the Working Party on the
Protection of Individuals with Regard to the Processing of Personal Data
established by Directive 95/46/EC. It should consist of the head of a
supervisory authority of each Member State and the European Data Protection
Supervisor or their respective representatives. The Commission should
participate in the Board's activities without voting rights and the European
Data Protection Supervisor should have specific voting rights. The Board should
contribute to the consistent application of this Regulation throughout the
Union, including by advising the Commission, in particular on the level of
protection in third countries or international organisations,
and promoting cooperation of the supervisory authorities throughout the
Union. The Board should act independently when performing its tasks. |
|
(140) | The
Board should be assisted by a secretariat provided by the European Data
Protection Supervisor. The staff of the European Data Protection Supervisor
involved in carrying out the tasks conferred on the Board by this Regulation
should perform its tasks exclusively under the instructions of, and report
to, the Chair of the Board. |
|
(141) | Every
data subject should have the right to lodge a complaint with a single
supervisory authority, in particular in the Member State of his or her
habitual residence, and the right to an effective judicial remedy in
accordance with Article 47 of the Charter if the data subject considers
that his or her rights under this Regulation are infringed or where the
supervisory authority does not act on a complaint, partially or wholly
rejects or dismisses a complaint or does not act where such action is necessary
to protect the rights of the data subject. The investigation following a
complaint should be carried out, subject to judicial review, to the extent
that is appropriate in the specific case. The supervisory authority should
inform the data subject of the progress and the outcome of the complaint
within a reasonable period. If the case requires further investigation or
coordination with another supervisory authority, intermediate information
should be given to the data subject. In order to facilitate the submission of
complaints, each supervisory authority should take measures such as providing
a complaint submission form which can also be completed electronically,
without excluding other means of communication. |
|
(142) | Where
a data subject considers that his or her rights under this Regulation are
infringed, he or she should have the right to mandate a not-for-profit body, organisation or association which is constituted in
accordance with the law of a Member State, has statutory objectives
which are in the public interest and is active in the field of the protection
of personal data to lodge a complaint on his or her behalf with a supervisory
authority, exercise the right to a judicial remedy on behalf of data subjects
or, if provided for in Member State law, exercise the right to receive
compensation on behalf of data subjects. A Member State may provide for
such a body, organisation or association to have
the right to lodge a complaint in that Member State, independently of a data
subject's mandate, and the right to an effective judicial remedy where it has
reasons to consider that the rights of a data subject have been infringed as
a result of the processing of personal data which infringes this Regulation.
That body, organisation or association may not be
allowed to claim compensation on a data subject's behalf independently of the
data subject's mandate. |
|
(143) | Any
natural or legal person has the right to bring an action for annulment of
decisions of the Board before the Court of Justice under the conditions
provided for in Article 263 TFEU. As addressees of such decisions,
the supervisory authorities concerned which wish to challenge them have to
bring action within two months of being notified of them, in accordance with
Article 263 TFEU. Where decisions of the Board are of direct and
individual concern to a controller, processor or complainant, the latter may
bring an action for annulment against those decisions within two months of
their publication on the website of the Board, in accordance with
Article 263 TFEU. Without prejudice to this right under
Article 263 TFEU, each natural or legal person should have an
effective judicial remedy before the competent national court against a
decision of a supervisory authority which produces legal effects concerning
that person. Such a decision concerns in particular the exercise of
investigative, corrective and authorisation powers
by the supervisory authority or the dismissal or rejection of complaints.
However, the right to an effective judicial remedy does not encompass
measures taken by supervisory authorities which are not legally binding, such
as opinions issued by or advice provided by the supervisory authority.
Proceedings against a supervisory authority should be brought before the
courts of the Member State where the supervisory authority is established and
should be conducted in accordance with that Member State's procedural
law. Those courts should exercise full jurisdiction, which should include
jurisdiction to examine all questions of fact and law relevant to the dispute
before them. | Where a complaint has been rejected or dismissed by a
supervisory authority, the complainant may bring proceedings before the
courts in the same Member State. In the context of judicial remedies relating
to the application of this Regulation, national courts which consider a
decision on the question necessary to enable them to give judgment, may, or
in the case provided for in Article 267 TFEU, must, request the
Court of Justice to give a preliminary ruling on the interpretation of Union
law, including this Regulation. Furthermore, where a decision of a
supervisory authority implementing a decision of the Board is challenged
before a national court and the validity of the decision of the Board is at
issue, that national court does not have the power to declare the Board's
decision invalid but must refer the question of validity to the Court of
Justice in accordance with Article 267 TFEU as interpreted by the
Court of Justice, where it considers the decision invalid. However, a
national court may not refer a question on the validity of the decision of
the Board at the request of a natural or legal person which had the
opportunity to bring an action for annulment of that decision, in particular
if it was directly and individually concerned by that decision, but had not
done so within the period laid down in Article 263 TFEU. |
|
(144) | Where
a court seized of proceedings against a decision by a supervisory authority
has reason to believe that proceedings concerning the same processing, such
as the same subject matter as regards processing by the same controller or processor,
or the same cause of action, are brought before a competent court in another
Member State, it should contact that court in order to confirm the
existence of such related proceedings. If related proceedings are pending
before a court in another Member State, any court other than the court
first seized may stay its proceedings or may, on request of one of the
parties, decline jurisdiction in favour of the
court first seized if that court has jurisdiction over the proceedings in
question and its law permits the consolidation of such related proceedings.
Proceedings are deemed to be related where they are so closely connected that
it is expedient to hear and determine them together in order to avoid the
risk of irreconcilable judgments resulting from separate proceedings. |
|
(145) | For
proceedings against a controller or processor, the plaintiff should have the
choice to bring the action before the courts of the Member States where
the controller or processor has an establishment or where the data subject
resides, unless the controller is a public authority of a Member State
acting in the exercise of its public powers. |
|
(146) | The
controller or processor should compensate any damage which a person may
suffer as a result of processing that infringes this Regulation. The
controller or processor should be exempt from liability if it proves that it
is not in any way responsible for the damage. The concept of damage should be
broadly interpreted in the light of the case-law of the Court of Justice in a
manner which fully reflects the objectives of this Regulation. This is
without prejudice to any claims for damage deriving from the violation of
other rules in Union or Member State law. Processing that infringes this
Regulation also includes processing that infringes delegated and implementing
acts adopted in accordance with this Regulation and Member State law
specifying rules of this Regulation. Data subjects should receive full and
effective compensation for the damage they have suffered. Where controllers
or processors are involved in the same processing, each controller or
processor should be held liable for the entire damage. However, where they
are joined to the same judicial proceedings, in accordance with Member State
law, compensation may be apportioned according to the responsibility of each
controller or processor for the damage caused by the processing, provided
that full and effective compensation of the data subject who suffered the
damage is ensured. Any controller or processor which has paid full
compensation may subsequently institute recourse proceedings against other
controllers or processors involved in the same processing. |
|
(147) | Where
specific rules on jurisdiction are contained in this Regulation, in
particular as regards proceedings seeking a judicial remedy including
compensation, against a controller or processor, general jurisdiction rules
such as those of Regulation (EU) No 1215/2012 of the European Parliament
and of the Council (13) should not prejudice the application of such
specific rules. |
|
(148) | In
order to strengthen the enforcement of the rules of this Regulation,
penalties including administrative fines should be imposed for any
infringement of this Regulation, in addition to, or instead of appropriate
measures imposed by the supervisory authority pursuant to this Regulation. In
a case of a minor infringement or if the fine likely to be imposed would
constitute a disproportionate burden to a natural person, a reprimand may be
issued instead of a fine. Due regard should however be given to the nature,
gravity and duration of the infringement, the intentional character of the
infringement, actions taken to mitigate the damage suffered, degree of
responsibility or any relevant previous infringements, the manner in which
the infringement became known to the supervisory authority, compliance with
measures ordered against the controller or processor, adherence to a code of
conduct and any other aggravating or mitigating factor. The imposition of
penalties including administrative fines should be subject to appropriate
procedural safeguards in accordance with the general principles of Union law
and the Charter, including effective judicial protection and due process. |
|
(149) |
Member States should be able to lay down the rules on criminal penalties for
infringements of this Regulation, including for infringements of national
rules adopted pursuant to and within the limits of this Regulation. Those
criminal penalties may also allow for the deprivation of the profits obtained
through infringements of this Regulation. However, the imposition of criminal
penalties for infringements of such national rules and of administrative
penalties should not lead to a breach of the principle of ne bis in idem, as interpreted by the Court of Justice. |
|
(150) | In
order to strengthen and harmonise administrative
penalties for infringements of this Regulation, each supervisory authority
should have the power to impose administrative fines. This Regulation should
indicate infringements and the upper limit and criteria for setting the
related administrative fines, which should be determined by the competent
supervisory authority in each individual case, taking into account all
relevant circumstances of the specific situation, with due regard in
particular to the nature, gravity and duration of the infringement and of its
consequences and the measures taken to ensure compliance with the obligations
under this Regulation and to prevent or mitigate the consequences of the
infringement. Where administrative fines are imposed on an undertaking, an
undertaking should be understood to be an undertaking in accordance with
Articles 101 and 102 TFEU for those purposes. Where administrative fines
are imposed on persons that are not an undertaking, the supervisory authority
should take account of the general level of income in the Member State as
well as the economic situation of the person in considering the appropriate
amount of the fine. The consistency mechanism may also be used to promote a
consistent application of administrative fines. It should be for the Member
States to determine whether and to which extent public authorities should be
subject to administrative fines. Imposing an administrative fine or giving a
warning does not affect the application of other powers of the supervisory
authorities or of other penalties under this Regulation. |
|
(151) | The
legal systems of Denmark and Estonia do not allow for administrative fines as
set out in this Regulation. The rules on administrative fines may be applied
in such a manner that in Denmark the fine is imposed by competent national
courts as a criminal penalty and in Estonia the fine is imposed by the
supervisory authority in the framework of a misdemeanour
procedure, provided that such an application of the rules in those
Member States has an equivalent effect to administrative fines imposed
by supervisory authorities. Therefore the competent national courts should
take into account the recommendation by the supervisory authority initiating
the fine. In any event, the fines imposed should be effective, proportionate
and dissuasive. |
|
(152) | Where
this Regulation does not harmonise administrative
penalties or where necessary in other cases, for example in cases of serious
infringements of this Regulation, Member States should implement a
system which provides for effective, proportionate and dissuasive penalties.
The nature of such penalties, criminal or administrative, should be
determined by Member State law. |
|
(153) |
Member States law should reconcile the rules governing freedom of expression
and information, including journalistic, academic, artistic and or literary
expression with the right to the protection of personal data pursuant to this
Regulation. The processing of personal data solely for journalistic purposes,
or for the purposes of academic, artistic or literary expression should be
subject to derogations or exemptions from certain provisions of this
Regulation if necessary to reconcile the right to the protection of personal
data with the right to freedom of expression and information, as enshrined in
Article 11 of the Charter. This should apply in particular to the
processing of personal data in the audiovisual field and in news archives and
press libraries. Therefore, Member States should adopt legislative measures
which lay down the exemptions and derogations necessary for the purpose of
balancing those fundamental rights. Member States should adopt such
exemptions and derogations on general principles, the rights of the data
subject, the controller and the processor, the transfer of personal data to
third countries or international organisations, the
independent supervisory authorities, cooperation and consistency, and
specific data-processing situations. Where such exemptions or derogations
differ from one Member State to another, the law of the
Member State to which the controller is subject should apply. In order
to take account of the importance of the right to freedom of expression in
every democratic society, it is necessary to interpret notions relating to
that freedom, such as journalism, broadly. |
|
(154) | This
Regulation allows the principle of public access to official documents to be
taken into account when applying this Regulation. Public access to official
documents may be considered to be in the public interest. Personal data in
documents held by a public authority or a public body should be able to be
publicly disclosed by that authority or body if the disclosure is provided
for by Union or Member State law to which the public authority or public
body is subject. Such laws should reconcile public access to official
documents and the reuse of public sector information with the right to the protection
of personal data and may therefore provide for the necessary reconciliation
with the right to the protection of personal data pursuant to this
Regulation. The reference to public authorities and bodies should in that
context include all authorities or other bodies covered by Member State law
on public access to documents. Directive 2003/98/EC of the European
Parliament and of the Council (14) leaves intact and in no way affects
the level of protection of natural persons with regard to the processing of
personal data under the provisions of Union and Member State law, and in
particular does not alter the obligations and rights set out in this
Regulation. In particular, that Directive should not apply to documents to
which access is excluded or restricted by virtue of the access regimes on the
grounds of protection of personal data, and parts of documents accessible by
virtue of those regimes which contain personal data the re-use of which has
been provided for by law as being incompatible with the law concerning the
protection of natural persons with regard to the processing of personal data. |
|
(155) |
Member State law or collective agreements, including ‘works agreements’, may
provide for specific rules on the processing of employees' personal data in
the employment context, in particular for the conditions under which personal
data in the employment context may be processed on the basis of the consent
of the employee, the purposes of the recruitment, the performance of the
contract of employment, including discharge of obligations laid down by law
or by collective agreements, management, planning and organisation
of work, equality and diversity in the workplace, health and safety at work,
and for the purposes of the exercise and enjoyment, on an individual or
collective basis, of rights and benefits related to employment, and for the
purpose of the termination of the employment relationship. |
|
(156) | The
processing of personal data for archiving purposes in the public interest,
scientific or historical research purposes or statistical purposes should be
subject to appropriate safeguards for the rights and freedoms of the data
subject pursuant to this Regulation. Those safeguards should ensure that
technical and organisational measures are in place
in order to ensure, in particular, the principle of data minimisation.
The further processing of personal data for archiving purposes in the public
interest, scientific or historical research purposes or statistical purposes
is to be carried out when the controller has assessed the feasibility to fulfil those purposes by processing data which do not
permit or no longer permit the identification of data subjects, provided that
appropriate safeguards exist (such as, for instance, pseudonymisation
of the data). Member States should provide for appropriate safeguards
for the processing of personal data for archiving purposes in the public
interest, scientific or historical research purposes or statistical purposes.
Member States should be authorised to provide,
under specific conditions and subject to appropriate safeguards for data
subjects, specifications and derogations with regard to the information
requirements and rights to rectification, to erasure, to be forgotten, to
restriction of processing, to data portability, and to object when processing
personal data for archiving purposes in the public interest, scientific or
historical research purposes or statistical purposes. The conditions and
safeguards in question may entail specific procedures for data subjects to
exercise those rights if this is appropriate in the light of the purposes
sought by the specific processing along with technical and organisational measures aimed at minimising
the processing of personal data in pursuance of the proportionality and
necessity principles. The processing of personal data for scientific purposes
should also comply with other relevant legislation such as on clinical
trials. |
|
(157) | By
coupling information from registries, researchers can obtain new knowledge of
great value with regard to widespread medical conditions such as
cardiovascular disease, cancer and depression. On the basis of registries,
research results can be enhanced, as they draw on a larger population. Within
social science, research on the basis of registries enables researchers to
obtain essential knowledge about the long-term correlation of a number of
social conditions such as unemployment and education with other life
conditions. Research results obtained through registries provide solid,
high-quality knowledge which can provide the basis for the formulation and
implementation of knowledge-based policy, improve the quality of life for a
number of people and improve the efficiency of social services. In order to
facilitate scientific research, personal data can be processed for scientific
research purposes, subject to appropriate conditions and safeguards set out
in Union or Member State law. |
|
(158) | Where
personal data are processed for archiving purposes, this Regulation should
also apply to that processing, bearing in mind that this Regulation should
not apply to deceased persons. Public authorities or public or private bodies
that hold records of public interest should be services which, pursuant to
Union or Member State law, have a legal obligation to acquire, preserve,
appraise, arrange, describe, communicate, promote, disseminate and provide
access to records of enduring value for general public interest.
Member States should also be authorised to
provide for the further processing of personal data for archiving purposes,
for example with a view to providing specific information related to the political
behaviour under former totalitarian state regimes,
genocide, crimes against humanity, in particular the Holocaust, or war
crimes. |
|
(159) | Where
personal data are processed for scientific research purposes, this Regulation
should also apply to that processing. For the purposes of this Regulation,
the processing of personal data for scientific research purposes should be
interpreted in a broad manner including for example technological development
and demonstration, fundamental research, applied research and privately
funded research. In addition, it should take into account the Union's
objective under Article 179(1) TFEU of achieving a European Research
Area. Scientific research purposes should also include studies conducted in
the public interest in the area of public health. To meet the specificities
of processing personal data for scientific research purposes, specific
conditions should apply in particular as regards the publication or otherwise
disclosure of personal data in the context of scientific research purposes.
If the result of scientific research in particular in the health context
gives reason for further measures in the interest of the data subject, the
general rules of this Regulation should apply in view of those measures. |
|
(160) | Where
personal data are processed for historical research purposes, this Regulation
should also apply to that processing. This should also include historical
research and research for genealogical purposes, bearing in mind that this
Regulation should not apply to deceased persons. |
|
(161) | For
the purpose of consenting to the participation in scientific research
activities in clinical trials, the relevant provisions of Regulation (EU)
No 536/2014 of the European Parliament and of the Council (15)
should apply. |
|
(162) | Where
personal data are processed for statistical purposes, this Regulation should
apply to that processing. Union or Member State law should, within the limits
of this Regulation, determine statistical content, control of access,
specifications for the processing of personal data for statistical purposes
and appropriate measures to safeguard the rights and freedoms of the data
subject and for ensuring statistical confidentiality. Statistical purposes
mean any operation of collection and the processing of personal data
necessary for statistical surveys or for the production of statistical
results. Those statistical results may further be used for different
purposes, including a scientific research purpose. The statistical purpose
implies that the result of processing for statistical purposes is not
personal data, but aggregate data, and that this result or the personal data
are not used in support of measures or decisions regarding any particular
natural person. |
|
(163) | The
confidential information which the Union and national statistical authorities
collect for the production of official European and official national
statistics should be protected. European statistics should be developed,
produced and disseminated in accordance with the statistical principles as
set out in Article 338(2) TFEU, while national statistics should also
comply with Member State law. Regulation (EC) No 223/2009 of the
European Parliament and of the Council (16) provides further
specifications on statistical confidentiality for European statistics. |
|
(164) | As
regards the powers of the supervisory authorities to obtain from the
controller or processor access to personal data and access to their premises,
Member States may adopt by law, within the limits of this Regulation,
specific rules in order to safeguard the professional or other equivalent
secrecy obligations, in so far as necessary to reconcile the right to the
protection of personal data with an obligation of professional secrecy. This
is without prejudice to existing Member State obligations to adopt rules on
professional secrecy where required by Union law. |
|
(165) | This
Regulation respects and does not prejudice the status under existing
constitutional law of churches and religious associations or communities in
the Member States, as recognised in Article 17
TFEU. |
|
(166) | In
order to fulfil the objectives of this Regulation,
namely to protect the fundamental rights and freedoms of natural persons and
in particular their right to the protection of personal data and to ensure
the free movement of personal data within the Union, the power to adopt acts
in accordance with Article 290 TFEU should be delegated to the
Commission. In particular, delegated acts should be adopted in respect of
criteria and requirements for certification mechanisms, information to be presented
by standardised icons and procedures for providing
such icons. It is of particular importance that the Commission carry out
appropriate consultations during its preparatory work, including at expert
level. The Commission, when preparing and drawing-up delegated acts, should
ensure a simultaneous, timely and appropriate transmission of relevant
documents to the European Parliament and to the Council. |
|
(167) | In
order to ensure uniform conditions for the implementation of this Regulation,
implementing powers should be conferred on the Commission when provided for
by this Regulation. Those powers should be exercised in accordance with
Regulation (EU) No 182/2011. In that context, the Commission should consider
specific measures for micro, small and medium-sized enterprises. |
|
(168) | The
examination procedure should be used for the adoption of implementing acts on
standard contractual clauses between controllers and processors and between
processors; codes of conduct; technical standards and mechanisms for
certification; the adequate level of protection afforded by a third country,
a territory or a specified sector within that third country, or an
international organisation; standard protection
clauses; formats and procedures for the exchange of information by electronic
means between controllers, processors and supervisory authorities for binding
corporate rules; mutual assistance; and arrangements for the exchange of
information by electronic means between supervisory authorities, and between
supervisory authorities and the Board. |
|
(169) | The
Commission should adopt immediately applicable implementing acts where
available evidence reveals that a third country, a territory or a specified
sector within that third country, or an international organisation
does not ensure an adequate level of protection, and imperative grounds of
urgency so require. |
|
(170) | Since
the objective of this Regulation, namely to ensure an equivalent level of
protection of natural persons and the free flow of personal data throughout
the Union, cannot be sufficiently achieved by the Member States and can
rather, by reason of the scale or effects of the action, be better achieved
at Union level, the Union may adopt measures, in accordance with the
principle of subsidiarity as set out in
Article 5 of the Treaty on European Union (TEU). In accordance with the
principle of proportionality as set out in that Article, this Regulation does
not go beyond what is necessary in order to achieve that objective. |
|
(171) |
Directive 95/46/EC should be repealed by this Regulation. Processing already
under way on the date of application of this Regulation should be brought
into conformity with this Regulation within the period of two years after
which this Regulation enters into force. Where processing is based on consent
pursuant to Directive 95/46/EC, it is not necessary for the data subject to
give his or her consent again if the manner in which the consent has been
given is in line with the conditions of this Regulation, so as to allow the
controller to continue such processing after the date of application of this
Regulation. Commission decisions adopted and authorisations
by supervisory authorities based on Directive 95/46/EC remain in force
until amended, replaced or repealed. |
|
(172) | The
European Data Protection Supervisor was consulted in accordance with
Article 28(2) of Regulation (EC) No 45/2001 and delivered an opinion on
7 March 2012 (17). |
|
(173) | This
Regulation should apply to all matters concerning the protection of
fundamental rights and freedoms vis-à-vis the processing of personal data
which are not subject to specific obligations with the same objective set out
in Directive 2002/58/EC of the European Parliament and of the
Council (18), including the obligations on the controller and the rights
of natural persons. In order to clarify the relationship between this
Regulation and Directive 2002/58/EC, that Directive should be amended
accordingly. Once this Regulation is adopted, Directive 2002/58/EC should
be reviewed in particular in order to ensure consistency with this
Regulation, |
|
HAVE ADOPTED
THIS REGULATION: |
|
CHAPTER I |
|
General
provisions |
|
Article 1 |
|
Subject-matter
and objectives |
|
1. This
Regulation lays down rules relating to the protection of natural persons with
regard to the processing of personal data and rules relating to the free
movement of personal data. |
|
2. This
Regulation protects fundamental rights and freedoms of natural persons and in
particular their right to the protection of personal data. |
|
3. The
free movement of personal data within the Union shall be neither restricted
nor prohibited for reasons connected with the protection of natural persons
with regard to the processing of personal data. |
|
Article 2 |
|
Material
scope |
|
1. This
Regulation applies to the processing of personal data wholly or partly by
automated means and to the processing other than by automated means of
personal data which form part of a filing system or are intended to form part
of a filing system. |
|
2. This
Regulation does not apply to the processing of personal data: |
|
(a) | in the
course of an activity which falls outside the scope of Union law; |
|
(b) | by the
Member States when carrying out activities which fall within the scope of
Chapter 2 of Title V of the TEU; |
|
(c) | by a
natural person in the course of a purely personal or household activity; |
|
(d) | by
competent authorities for the purposes of the prevention, investigation,
detection or prosecution of criminal offences or the execution of criminal
penalties, including the safeguarding against and the prevention of threats
to public security. |
|
3. For
the processing of personal data by the Union institutions, bodies, offices
and agencies, Regulation (EC) No 45/2001 applies. Regulation (EC) No 45/2001
and other Union legal acts applicable to such processing of personal data
shall be adapted to the principles and rules of this Regulation in accordance
with Article 98. |
|
4. This
Regulation shall be without prejudice to the application of Directive
2000/31/EC, in particular of the liability rules of intermediary service
providers in Articles 12 to 15 of that Directive. |
|
Article 3 |
|
Territorial
scope |
|
1. This
Regulation applies to the processing of personal data in the context of the
activities of an establishment of a controller or a processor in the Union,
regardless of whether the processing takes place in the Union or not. |
|
2. This
Regulation applies to the processing of personal data of data subjects who
are in the Union by a controller or processor not established in the Union,
where the processing activities are related to: |
|
(a) | the
offering of goods or services, irrespective of whether a payment of the data
subject is required, to such data subjects in the Union; or |
|
(b) | the
monitoring of their behaviour as far as their behaviour takes place within the Union. |
|
3. This
Regulation applies to the processing of personal data by a controller not
established in the Union, but in a place where Member State law applies
by virtue of public international law. |
|
Article 4 |
|
Definitions |
|
For the
purposes of this Regulation: |
|
(1) |
‘personal data’ means any information relating to an identified or
identifiable natural person (‘data subject’); an identifiable natural person
is one who can be identified, directly or indirectly, in particular by
reference to an identifier such as a name, an identification number, location
data, an online identifier or to one or more factors specific to the
physical, physiological, genetic, mental, economic, cultural or social
identity of that natural person; |
|
(2) |
‘processing’ means any operation or set of operations which is performed on
personal data or on sets of personal data, whether or not by automated means,
such as collection, recording, organisation,
structuring, storage, adaptation or alteration, retrieval, consultation, use,
disclosure by transmission, dissemination or otherwise making available,
alignment or combination, restriction, erasure or destruction; |
|
(3) |
‘restriction of processing’ means the marking of stored personal data with
the aim of limiting their processing in the future; |
|
(4) |
‘profiling’ means any form of automated processing of personal data
consisting of the use of personal data to evaluate certain personal aspects
relating to a natural person, in particular to analyse
or predict aspects concerning that natural person's performance at work,
economic situation, health, personal preferences, interests, reliability, behaviour, location or movements; |
|
(5) | ‘pseudonymisation’ means the processing of personal data
in such a manner that the personal data can no longer be attributed to a
specific data subject without the use of additional information, provided
that such additional information is kept separately and is subject to
technical and organisational measures to ensure
that the personal data are not attributed to an identified or identifiable
natural person; |
|
(6) | ‘filing
system’ means any structured set of personal data which are accessible
according to specific criteria, whether centralised,
decentralised or dispersed on a functional or
geographical basis; |
|
(7) |
‘controller’ means the natural or legal person, public authority, agency or
other body which, alone or jointly with others, determines the purposes and
means of the processing of personal data; where the purposes and means of
such processing are determined by Union or Member State law, the controller
or the specific criteria for its nomination may be provided for by Union or
Member State law; |
|
(8) |
‘processor’ means a natural or legal person, public authority, agency or
other body which processes personal data on behalf of the controller; |
|
(9) |
‘recipient’ means a natural or legal person, public authority, agency or
another body, to which the personal data are disclosed, whether a third party
or not. However, public authorities which may receive personal data in the
framework of a particular inquiry in accordance with Union or Member State
law shall not be regarded as recipients; the processing of those data by
those public authorities shall be in compliance with the applicable data
protection rules according to the purposes of the processing; |
|
(10) | ‘third
party’ means a natural or legal person, public authority, agency or body
other than the data subject, controller, processor and persons who, under the
direct authority of the controller or processor, are authorised
to process personal data; |
|
(11) |
‘consent’ of the data subject means any freely given, specific, informed and
unambiguous indication of the data subject's wishes by which he or she, by a
statement or by a clear affirmative action, signifies agreement to the processing
of personal data relating to him or her; |
|
(12) |
‘personal data breach’ means a breach of security leading to the accidental
or unlawful destruction, loss, alteration, unauthorised
disclosure of, or access to, personal data transmitted, stored or otherwise
processed; |
|
(13) |
‘genetic data’ means personal data relating to the inherited or acquired
genetic characteristics of a natural person which give unique information
about the physiology or the health of that natural person and which result,
in particular, from an analysis of a biological sample from the natural
person in question; |
|
(14) |
‘biometric data’ means personal data resulting from specific technical
processing relating to the physical, physiological or behavioural
characteristics of a natural person, which allow or confirm the unique
identification of that natural person, such as facial images or dactyloscopic data; |
|
(15) | ‘data
concerning health’ means personal data related to the physical or mental
health of a natural person, including the provision of health care services,
which reveal information about his or her health status; |
|
(16) | ‘main
establishment’ means: | (a) | as regards a controller with establishments in
more than one Member State, the place of its central administration in the
Union, unless the decisions on the purposes and means of the processing of
personal data are taken in another establishment of the controller in the
Union and the latter establishment has the power to have such decisions
implemented, in which case the establishment having taken such decisions is
to be considered to be the main establishment; | (b) | as regards a processor
with establishments in more than one Member State, the place of its central
administration in the Union, or, if the processor has no central
administration in the Union, the establishment of the processor in the Union
where the main processing activities in the context of the activities of an
establishment of the processor take place to the extent that the processor is
subject to specific obligations under this Regulation; |
|
(17) |
‘representative’ means a natural or legal person established in the Union
who, designated by the controller or processor in writing pursuant to
Article 27, represents the controller or processor with regard to their
respective obligations under this Regulation; |
|
(18) |
‘enterprise’ means a natural or legal person engaged in an economic activity,
irrespective of its legal form, including partnerships or associations
regularly engaged in an economic activity; |
|
(19) | ‘group
of undertakings’ means a controlling undertaking and its controlled
undertakings; |
|
(20) |
‘binding corporate rules’ means personal data protection policies which are
adhered to by a controller or processor established on the territory of a
Member State for transfers or a set of transfers of personal data to a
controller or processor in one or more third countries within a group of
undertakings, or group of enterprises engaged in a joint economic activity; |
|
(21) |
‘supervisory authority’ means an independent public authority which is
established by a Member State pursuant to Article 51; |
|
(22) |
‘supervisory authority concerned’ means a supervisory authority which is
concerned by the processing of personal data because: | (a) | the controller
or processor is established on the territory of the Member State of that
supervisory authority; | (b) | data subjects residing in the
Member State of that supervisory authority are substantially affected or
likely to be substantially affected by the processing; or | (c) | a complaint
has been lodged with that supervisory authority; |
|
(23) |
‘cross-border processing’ means either: | (a) | processing of personal data
which takes place in the context of the activities of establishments in more
than one Member State of a controller or processor in the Union where
the controller or processor is established in more than one
Member State; or | (b) | processing of personal data which takes place
in the context of the activities of a single establishment of a controller or
processor in the Union but which substantially affects or is likely to
substantially affect data subjects in more than one Member State. |
|
(24) |
‘relevant and reasoned objection’ means an objection to a draft decision as
to whether there is an infringement of this Regulation, or whether envisaged
action in relation to the controller or processor complies with this
Regulation, which clearly demonstrates the significance of the risks posed by
the draft decision as regards the fundamental rights and freedoms of data subjects
and, where applicable, the free flow of personal data within the Union; |
|
(25) |
‘information society service’ means a service as defined in point (b) of
Article 1(1) of Directive (EU) 2015/1535 of the European Parliament and
of the Council (19); |
|
(26) |
‘international organisation’ means an organisation and its subordinate bodies governed by
public international law, or any other body which is set up by, or on the
basis of, an agreement between two or more countries. |
|
CHAPTER II |
|
Principles |
|
Article 5 |
|
Principles
relating to processing of personal data |
|
1. Personal
data shall be: |
|
(a) |
processed lawfully, fairly and in a transparent manner in relation to the
data subject (‘lawfulness, fairness and transparency’); |
|
(b) |
collected for specified, explicit and legitimate purposes and not further
processed in a manner that is incompatible with those purposes; further
processing for archiving purposes in the public interest, scientific or
historical research purposes or statistical purposes shall, in accordance
with Article 89(1), not be considered to be incompatible with the initial
purposes (‘purpose limitation’); |
|
(c) |
adequate, relevant and limited to what is necessary in relation to the
purposes for which they are processed (‘data minimisation’); |
|
(d) |
accurate and, where necessary, kept up to date; every reasonable step must be
taken to ensure that personal data that are inaccurate, having regard to the
purposes for which they are processed, are erased or rectified without delay
(‘accuracy’); |
|
(e) | kept in
a form which permits identification of data subjects for no longer than is
necessary for the purposes for which the personal data are processed;
personal data may be stored for longer periods insofar as the personal data
will be processed solely for archiving purposes in the public interest,
scientific or historical research purposes or statistical purposes in
accordance with Article 89(1) subject to implementation of the
appropriate technical and organisational measures
required by this Regulation in order to safeguard the rights and freedoms of
the data subject (‘storage limitation’); |
|
(f) |
processed in a manner that ensures appropriate security of the personal data,
including protection against unauthorised or
unlawful processing and against accidental loss, destruction or damage, using
appropriate technical or organisational measures
(‘integrity and confidentiality’). |
|
2. The
controller shall be responsible for, and be able to demonstrate compliance
with, paragraph 1 (‘accountability’). |
|
Article 6 |
|
Lawfulness of
processing |
|
1. Processing
shall be lawful only if and to the extent that at least one of the following
applies: |
|
(a) | the
data subject has given consent to the processing of his or her personal data
for one or more specific purposes; |
|
(b) |
processing is necessary for the performance of a contract to which the data
subject is party or in order to take steps at the request of the data subject
prior to entering into a contract; |
|
(c) |
processing is necessary for compliance with a legal obligation to which the
controller is subject; |
|
(d) |
processing is necessary in order to protect the vital interests of the data
subject or of another natural person; |
|
(e) |
processing is necessary for the performance of a task carried out in the
public interest or in the exercise of official authority vested in the
controller; |
|
(f) |
processing is necessary for the purposes of the legitimate interests pursued
by the controller or by a third party, except where such interests are
overridden by the interests or fundamental rights and freedoms of the data
subject which require protection of personal data, in particular where the
data subject is a child. |
|
Point (f) of
the first subparagraph shall not apply to processing carried out by public
authorities in the performance of their tasks. |
|
2. Member
States may maintain or introduce more specific provisions to adapt the
application of the rules of this Regulation with regard to processing for
compliance with points (c) and (e) of paragraph 1 by determining
more precisely specific requirements for the processing and other measures to
ensure lawful and fair processing including for other specific processing
situations as provided for in Chapter IX. |
|
3. The
basis for the processing referred to in point (c) and (e) of paragraph 1
shall be laid down by: |
|
(a) | Union
law; or |
|
(b) | Member
State law to which the controller is subject. |
|
The purpose
of the processing shall be determined in that legal basis or, as regards the
processing referred to in point (e) of paragraph 1, shall be necessary for
the performance of a task carried out in the public interest or in the
exercise of official authority vested in the controller. That legal basis may
contain specific provisions to adapt the application of rules of this
Regulation, inter alia: the general conditions governing the lawfulness of
processing by the controller; the types of data which are subject to the
processing; the data subjects concerned; the entities to, and the purposes
for which, the personal data may be disclosed; the purpose limitation;
storage periods; and processing operations and processing procedures,
including measures to ensure lawful and fair processing such as those for
other specific processing situations as provided for in Chapter IX. The Union
or the Member State law shall meet an objective of public interest and
be proportionate to the legitimate aim pursued. |
|
4. Where
the processing for a purpose other than that for which the personal data have
been collected is not based on the data subject's consent or on a Union or
Member State law which constitutes a necessary and proportionate measure
in a democratic society to safeguard the objectives referred to in Article
23(1), the controller shall, in order to ascertain whether processing for
another purpose is compatible with the purpose for which the personal data
are initially collected, take into account, inter alia: |
|
(a) | any
link between the purposes for which the personal data have been collected and
the purposes of the intended further processing; |
|
(b) | the
context in which the personal data have been collected, in particular
regarding the relationship between data subjects and the controller; |
|
(c) | the
nature of the personal data, in particular whether special categories of
personal data are processed, pursuant to Article 9, or whether personal data
related to criminal convictions and offences are processed, pursuant to
Article 10; |
|
(d) | the
possible consequences of the intended further processing for data subjects; |
|
(e) | the
existence of appropriate safeguards, which may include encryption or pseudonymisation. |
|
Article 7 |
|
Conditions
for consent |
|
1. Where
processing is based on consent, the controller shall be able to demonstrate
that the data subject has consented to processing of his or her personal
data. |
|
2. If
the data subject's consent is given in the context of a written declaration
which also concerns other matters, the request for consent shall be presented
in a manner which is clearly distinguishable from the other matters, in an
intelligible and easily accessible form, using clear and plain language. Any
part of such a declaration which constitutes an infringement of this
Regulation shall not be binding. |
|
3. The
data subject shall have the right to withdraw his or her consent at any time.
The withdrawal of consent shall not affect the lawfulness of processing based
on consent before its withdrawal. Prior to giving consent, the data subject
shall be informed thereof. It shall be as easy to withdraw as to give
consent. |
|
4. When
assessing whether consent is freely given, utmost account shall be taken of
whether, inter alia, the performance of a contract, including the provision
of a service, is conditional on consent to the processing of personal data
that is not necessary for the performance of that contract. |
|
Article 8 |
|
Conditions
applicable to child's consent in relation to information society services |
|
1. Where
point (a) of Article 6(1) applies, in relation to the offer of information
society services directly to a child, the processing of the personal data of
a child shall be lawful where the child is at least 16 years old. Where the
child is below the age of 16 years, such processing shall be lawful only if
and to the extent that consent is given or authorised
by the holder of parental responsibility over the child. |
|
Member States
may provide by law for a lower age for those purposes provided that such
lower age is not below 13 years. |
|
2. The
controller shall make reasonable efforts to verify in such cases that consent
is given or authorised by the holder of parental
responsibility over the child, taking into consideration available
technology. |
|
3. Paragraph
1 shall not affect the general contract law of Member States such as the
rules on the validity, formation or effect of a contract in relation to a
child. |
|
Article 9 |
|
Processing of
special categories of personal data |
|
1. Processing
of personal data revealing racial or ethnic origin, political opinions,
religious or philosophical beliefs, or trade union membership, and the processing
of genetic data, biometric data for the purpose of uniquely identifying a
natural person, data concerning health or data concerning a natural person's
sex life or sexual orientation shall be prohibited. |
|
2. Paragraph
1 shall not apply if one of the following applies: |
|
(a) | the
data subject has given explicit consent to the processing of those personal
data for one or more specified purposes, except where Union or
Member State law provide that the prohibition referred to in paragraph 1
may not be lifted by the data subject; |
|
(b) |
processing is necessary for the purposes of carrying out the obligations and
exercising specific rights of the controller or of the data subject in the
field of employment and social security and social protection law in so far
as it is authorised by Union or Member State law or
a collective agreement pursuant to Member State law providing for
appropriate safeguards for the fundamental rights and the interests of the
data subject; |
|
(c) |
processing is necessary to protect the vital interests of the data subject or
of another natural person where the data subject is physically or legally
incapable of giving consent; |
|
(d) |
processing is carried out in the course of its legitimate activities with
appropriate safeguards by a foundation, association or any other
not-for-profit body with a political, philosophical, religious or trade union
aim and on condition that the processing relates solely to the members or to
former members of the body or to persons who have regular contact with it in
connection with its purposes and that the personal data are not disclosed
outside that body without the consent of the data subjects; |
|
(e) |
processing relates to personal data which are manifestly made public by the
data subject; |
|
(f) |
processing is necessary for the establishment, exercise or defence of legal claims or whenever courts are acting in
their judicial capacity; |
|
(g) |
processing is necessary for reasons of substantial public interest, on the
basis of Union or Member State law which shall be proportionate to the aim
pursued, respect the essence of the right to data protection and provide for
suitable and specific measures to safeguard the fundamental rights and the
interests of the data subject; |
|
(h) |
processing is necessary for the purposes of preventive or occupational
medicine, for the assessment of the working capacity of the employee, medical
diagnosis, the provision of health or social care or treatment or the
management of health or social care systems and services on the basis of
Union or Member State law or pursuant to contract with a health
professional and subject to the conditions and safeguards referred to in
paragraph 3; |
|
(i) | processing is necessary for reasons of public
interest in the area of public health, such as protecting against serious
cross-border threats to health or ensuring high standards of quality and
safety of health care and of medicinal products or medical devices, on the
basis of Union or Member State law which provides for suitable and
specific measures to safeguard the rights and freedoms of the data subject,
in particular professional secrecy; |
|
(j) |
processing is necessary for archiving purposes in the public interest,
scientific or historical research purposes or statistical purposes in
accordance with Article 89(1) based on Union or Member State law which
shall be proportionate to the aim pursued, respect the essence of the right
to data protection and provide for suitable and specific measures to
safeguard the fundamental rights and the interests of the data subject. |
|
3. Personal
data referred to in paragraph 1 may be processed for the purposes
referred to in point (h) of paragraph 2 when those data are
processed by or under the responsibility of a professional subject to the
obligation of professional secrecy under Union or Member State law or rules
established by national competent bodies or by another person also subject to
an obligation of secrecy under Union or Member State law or rules
established by national competent bodies. |
|
4. Member
States may maintain or introduce further conditions, including limitations, with
regard to the processing of genetic data, biometric data or data concerning
health. |
|
Article 10 |
|
Processing of
personal data relating to criminal convictions and offences |
|
Processing of
personal data relating to criminal convictions and offences or related
security measures based on Article 6(1) shall be carried out only under
the control of official authority or when the processing is authorised by Union or Member State law providing
for appropriate safeguards for the rights and freedoms of data subjects. Any
comprehensive register of criminal convictions shall be kept only under the
control of official authority. |
|
Article 11 |
|
Processing
which does not require identification |
|
1. If
the purposes for which a controller processes personal data do not or do no
longer require the identification of a data subject by the controller, the
controller shall not be obliged to maintain, acquire or process additional
information in order to identify the data subject for the sole purpose of
complying with this Regulation. |
|
2. Where,
in cases referred to in paragraph 1 of this Article, the controller is able
to demonstrate that it is not in a position to identify the data subject, the
controller shall inform the data subject accordingly, if possible. In such
cases, Articles 15 to 20 shall not apply except where the data subject, for
the purpose of exercising his or her rights under those articles, provides
additional information enabling his or her identification. |
|
CHAPTER III |
|
Rights of the
data subject |
|
Section 1 |
|
Transparency
and modalities |
|
Article 12 |
|
Transparent
information, communication and modalities for the exercise of the rights of
the data subject |
|
1. The
controller shall take appropriate measures to provide any information
referred to in Articles 13 and 14 and any communication under Articles
15 to 22 and 34 relating to processing to the data subject in a concise,
transparent, intelligible and easily accessible form, using clear and plain
language, in particular for any information addressed specifically to a
child. The information shall be provided in writing, or by other means,
including, where appropriate, by electronic means. When requested by the data
subject, the information may be provided orally, provided that the identity
of the data subject is proven by other means. |
|
2. The
controller shall facilitate the exercise of data subject rights under Articles 15
to 22. In the cases referred to in Article 11(2), the controller shall not
refuse to act on the request of the data subject for exercising his or her
rights under Articles 15 to 22, unless the controller demonstrates that it is
not in a position to identify the data subject. |
|
3. The
controller shall provide information on action taken on a request under
Articles 15 to 22 to the data subject without undue delay and in
any event within one month of receipt of the request. That period may be
extended by two further months where necessary, taking into account the complexity
and number of the requests. The controller shall inform the data subject of
any such extension within one month of receipt of the request, together with
the reasons for the delay. Where the data subject makes the request by
electronic form means, the information shall be provided by electronic means
where possible, unless otherwise requested by the data subject. |
|
4. If
the controller does not take action on the request of the data subject, the
controller shall inform the data subject without delay and at the latest
within one month of receipt of the request of the reasons for not taking
action and on the possibility of lodging a complaint with a supervisory
authority and seeking a judicial remedy. |
|
5. Information
provided under Articles 13 and 14 and any communication and any actions taken
under Articles 15 to 22 and 34 shall be provided free of charge. Where
requests from a data subject are manifestly unfounded or excessive, in
particular because of their repetitive character, the controller may either: |
|
(a) | charge
a reasonable fee taking into account the administrative costs of providing
the information or communication or taking the action requested; or |
|
(b) | refuse
to act on the request. |
|
The
controller shall bear the burden of demonstrating the manifestly unfounded or
excessive character of the request. |
|
6. Without
prejudice to Article 11, where the controller has reasonable doubts
concerning the identity of the natural person making the request referred to
in Articles 15 to 21, the controller may request the provision of additional
information necessary to confirm the identity of the data subject. |
|
7. The
information to be provided to data subjects pursuant to Articles 13 and 14
may be provided in combination with standardised
icons in order to give in an easily visible, intelligible and clearly legible
manner a meaningful overview of the intended processing. Where the icons are
presented electronically they shall be machine-readable. |
|
8. The
Commission shall be empowered to adopt delegated acts in accordance with
Article 92 for the purpose of determining the information to be
presented by the icons and the procedures for providing standardised
icons. |
|
Section 2 |
|
Information
and access to personal data |
|
Article 13 |
|
Information
to be provided where personal data are collected from the data subject |
|
1. Where
personal data relating to a data subject are collected from the data subject,
the controller shall, at the time when personal data are obtained, provide the
data subject with all of the following information: |
|
(a) | the
identity and the contact details of the controller and, where applicable, of
the controller's representative; |
|
(b) | the
contact details of the data protection officer, where applicable; |
|
(c) | the
purposes of the processing for which the personal data are intended as well
as the legal basis for the processing; |
|
(d) | where
the processing is based on point (f) of Article 6(1), the legitimate
interests pursued by the controller or by a third party; |
|
(e) | the
recipients or categories of recipients of the personal data, if any; |
|
(f) | where
applicable, the fact that the controller intends to transfer personal data to
a third country or international organisation and
the existence or absence of an adequacy decision by the Commission, or in the
case of transfers referred to in Article 46 or 47, or the second
subparagraph of Article 49(1), reference to the appropriate or suitable
safeguards and the means by which to obtain a copy of them or where they have
been made available. |
|
2. In
addition to the information referred to in paragraph 1, the controller shall,
at the time when personal data are obtained, provide the data subject with
the following further information necessary to ensure fair and transparent
processing: |
|
(a) | the
period for which the personal data will be stored, or if that is not
possible, the criteria used to determine that period; |
|
(b) | the
existence of the right to request from the controller access to and
rectification or erasure of personal data or restriction of processing
concerning the data subject or to object to processing as well as the right
to data portability; |
|
(c) | where
the processing is based on point (a) of Article 6(1) or point (a) of
Article 9(2), the existence of the right to withdraw consent at any
time, without affecting the lawfulness of processing based on consent before
its withdrawal; |
|
(d) | the
right to lodge a complaint with a supervisory authority; |
|
(e) | whether
the provision of personal data is a statutory or contractual requirement, or
a requirement necessary to enter into a contract, as well as whether the data
subject is obliged to provide the personal data and of the possible
consequences of failure to provide such data; |
|
(f) | the
existence of automated decision-making, including profiling, referred to in
Article 22(1) and (4) and, at least in those cases, meaningful information
about the logic involved, as well as the significance and the envisaged
consequences of such processing for the data subject. |
|
3. Where
the controller intends to further process the personal data for a purpose
other than that for which the personal data were collected, the controller
shall provide the data subject prior to that further processing with
information on that other purpose and with any relevant further information
as referred to in paragraph 2. |
|
4. Paragraphs
1, 2 and 3 shall not apply where and insofar as the data subject already has
the information. |
|
Article 14 |
|
Information
to be provided where personal data have not been obtained from the data
subject |
|
1. Where
personal data have not been obtained from the data subject, the controller
shall provide the data subject with the following information: |
|
(a) | the
identity and the contact details of the controller and, where applicable, of
the controller's representative; |
|
(b) | the
contact details of the data protection officer, where applicable; |
|
(c) | the
purposes of the processing for which the personal data are intended as well
as the legal basis for the processing; |
|
(d) | the
categories of personal data concerned; |
|
(e) | the
recipients or categories of recipients of the personal data, if any; |
|
(f) | where
applicable, that the controller intends to transfer personal data to a
recipient in a third country or international organisation
and the existence or absence of an adequacy decision by the Commission, or in
the case of transfers referred to in Article 46 or 47, or the second
subparagraph of Article 49(1), reference to the appropriate or suitable
safeguards and the means to obtain a copy of them or where they have been
made available. |
|
2. In
addition to the information referred to in paragraph 1, the controller shall
provide the data subject with the following information necessary to ensure
fair and transparent processing in respect of the data subject: |
|
(a) | the
period for which the personal data will be stored, or if that is not
possible, the criteria used to determine that period; |
|
(b) | where
the processing is based on point (f) of Article 6(1), the legitimate
interests pursued by the controller or by a third party; |
|
(c) | the
existence of the right to request from the controller access to and
rectification or erasure of personal data or restriction of processing
concerning the data subject and to object to processing as well as the right
to data portability; |
|
(d) | where
processing is based on point (a) of Article 6(1) or point (a) of Article
9(2), the existence of the right to withdraw consent at any time, without
affecting the lawfulness of processing based on consent before its
withdrawal; |
|
(e) | the
right to lodge a complaint with a supervisory authority; |
|
(f) | from
which source the personal data originate, and if applicable, whether it came
from publicly accessible sources; |
|
(g) | the
existence of automated decision-making, including profiling, referred to in
Article 22(1) and (4) and, at least in those cases, meaningful
information about the logic involved, as well as the significance and the
envisaged consequences of such processing for the data subject. |
|
3. The
controller shall provide the information referred to in paragraphs 1 and 2: |
|
(a) | within
a reasonable period after obtaining the personal data, but at the latest
within one month, having regard to the specific circumstances in which the
personal data are processed; |
|
(b) | if the
personal data are to be used for communication with the data subject, at the
latest at the time of the first communication to that data subject; or |
|
(c) | if a
disclosure to another recipient is envisaged, at the latest when the personal
data are first disclosed. |
|
4. Where
the controller intends to further process the personal data for a purpose
other than that for which the personal data were obtained, the controller
shall provide the data subject prior to that further processing with
information on that other purpose and with any relevant further information
as referred to in paragraph 2. |
|
5. Paragraphs
1 to 4 shall not apply where and insofar as: |
|
(a) | the
data subject already has the information; |
|
(b) | the
provision of such information proves impossible or would involve a
disproportionate effort, in particular for processing for archiving purposes
in the public interest, scientific or historical research purposes or
statistical purposes, subject to the conditions and safeguards referred to in
Article 89(1) or in so far as the obligation referred to in paragraph 1
of this Article is likely to render impossible or seriously impair the
achievement of the objectives of that processing. In such cases the
controller shall take appropriate measures to protect the data subject's
rights and freedoms and legitimate interests, including making the
information publicly available; |
|
(c) |
obtaining or disclosure is expressly laid down by Union or Member State
law to which the controller is subject and which provides appropriate
measures to protect the data subject's legitimate interests; or |
|
(d) | where
the personal data must remain confidential subject to an obligation of
professional secrecy regulated by Union or Member State law, including a
statutory obligation of secrecy. |
|
Article 15 |
|
Right of
access by the data subject |
|
1. The
data subject shall have the right to obtain from the controller confirmation
as to whether or not personal data concerning him or her are being processed,
and, where that is the case, access to the personal data and the following
information: |
|
(a) | the
purposes of the processing; |
|
(b) | the
categories of personal data concerned; |
|
(c) | the
recipients or categories of recipient to whom the personal data have been or
will be disclosed, in particular recipients in third countries or
international organisations; |
|
(d) | where
possible, the envisaged period for which the personal data will be stored,
or, if not possible, the criteria used to determine that period; |
|
(e) | the
existence of the right to request from the controller rectification or
erasure of personal data or restriction of processing of personal data
concerning the data subject or to object to such processing; |
|
(f) | the
right to lodge a complaint with a supervisory authority; |
|
(g) | where
the personal data are not collected from the data subject, any available
information as to their source; |
|
(h) | the
existence of automated decision-making, including profiling, referred to in
Article 22(1) and (4) and, at least in those cases, meaningful
information about the logic involved, as well as the significance and the
envisaged consequences of such processing for the data subject. |
|
2. Where
personal data are transferred to a third country or to an international organisation, the data subject shall have the right to be
informed of the appropriate safeguards pursuant to Article 46 relating to the
transfer. |
|
3. The
controller shall provide a copy of the personal data undergoing processing.
For any further copies requested by the data subject, the controller may
charge a reasonable fee based on administrative costs. Where the data subject
makes the request by electronic means, and unless otherwise requested by the
data subject, the information shall be provided in a commonly used electronic
form. |
|
4. The
right to obtain a copy referred to in paragraph 3 shall not adversely affect
the rights and freedoms of others. |
|
Section 3 |
|
Rectification
and erasure |
|
Article 16 |
|
Right to
rectification |
|
The data
subject shall have the right to obtain from the controller without undue
delay the rectification of inaccurate personal data concerning him or her.
Taking into account the purposes of the processing, the data subject shall
have the right to have incomplete personal data completed, including by means
of providing a supplementary statement. |
|
Article 17 |
|
Right to
erasure (‘right to be forgotten’) |
|
1. The
data subject shall have the right to obtain from the controller the erasure
of personal data concerning him or her without undue delay and the controller
shall have the obligation to erase personal data without undue delay where
one of the following grounds applies: |
|
(a) | the
personal data are no longer necessary in relation to the purposes for which
they were collected or otherwise processed; |
|
(b) | the
data subject withdraws consent on which the processing is based according to
point (a) of Article 6(1), or point (a) of Article 9(2), and where
there is no other legal ground for the processing; |
|
(c) | the
data subject objects to the processing pursuant to Article 21(1) and there
are no overriding legitimate grounds for the processing, or the data subject
objects to the processing pursuant to Article 21(2); |
|
(d) | the
personal data have been unlawfully processed; |
|
(e) | the
personal data have to be erased for compliance with a legal obligation in
Union or Member State law to which the controller is subject; |
|
(f) | the
personal data have been collected in relation to the offer of information
society services referred to in Article 8(1). |
|
2. Where
the controller has made the personal data public and is obliged pursuant to
paragraph 1 to erase the personal data, the controller, taking account
of available technology and the cost of implementation, shall take reasonable
steps, including technical measures, to inform controllers which are
processing the personal data that the data subject has requested the erasure
by such controllers of any links to, or copy or replication of, those
personal data. |
|
3. Paragraphs
1 and 2 shall not apply to the extent that processing is necessary: |
|
(a) | for
exercising the right of freedom of expression and information; |
|
(b) | for
compliance with a legal obligation which requires processing by Union or
Member State law to which the controller is subject or for the
performance of a task carried out in the public interest or in the exercise
of official authority vested in the controller; |
|
(c) | for
reasons of public interest in the area of public health in accordance with
points (h) and (i) of Article 9(2) as well as
Article 9(3); |
|
(d) | for
archiving purposes in the public interest, scientific or historical research
purposes or statistical purposes in accordance with Article 89(1) in so far
as the right referred to in paragraph 1 is likely to render impossible
or seriously impair the achievement of the objectives of that processing; or |
|
(e) | for the
establishment, exercise or defence of legal claims. |
|
Article 18 |
|
Right to
restriction of processing |
|
1. The
data subject shall have the right to obtain from the controller restriction
of processing where one of the following applies: |
|
(a) | the
accuracy of the personal data is contested by the data subject, for a period
enabling the controller to verify the accuracy of the personal data; |
|
(b) | the
processing is unlawful and the data subject opposes the erasure of the
personal data and requests the restriction of their use instead; |
|
(c) | the
controller no longer needs the personal data for the purposes of the
processing, but they are required by the data subject for the establishment,
exercise or defence of legal claims; |
|
(d) | the
data subject has objected to processing pursuant to Article 21(1)
pending the verification whether the legitimate grounds of the controller
override those of the data subject. |
|
2. Where
processing has been restricted under paragraph 1, such personal data shall,
with the exception of storage, only be processed with the data subject's
consent or for the establishment, exercise or defence
of legal claims or for the protection of the rights of another natural or
legal person or for reasons of important public interest of the Union or of a
Member State. |
|
3. A
data subject who has obtained restriction of processing pursuant to
paragraph 1 shall be informed by the controller before the restriction
of processing is lifted. |
|
Article 19 |
|
Notification
obligation regarding rectification or erasure of personal data or restriction
of processing |
|
The
controller shall communicate any rectification or erasure of personal data or
restriction of processing carried out in accordance with Article 16,
Article 17(1) and Article 18 to each recipient to whom the personal data have
been disclosed, unless this proves impossible or involves disproportionate
effort. The controller shall inform the data subject about those recipients
if the data subject requests it. |
|
Article 20 |
|
Right to data
portability |
|
1. The
data subject shall have the right to receive the personal data concerning him
or her, which he or she has provided to a controller, in a structured,
commonly used and machine-readable format and have the right to transmit
those data to another controller without hindrance from the controller to
which the personal data have been provided, where: |
|
(a) | the
processing is based on consent pursuant to point (a) of Article 6(1) or
point (a) of Article 9(2) or on a contract pursuant to point (b) of
Article 6(1); and |
|
(b) | the
processing is carried out by automated means. |
|
2. In
exercising his or her right to data portability pursuant to paragraph 1, the
data subject shall have the right to have the personal data transmitted
directly from one controller to another, where technically feasible. |
|
3. The
exercise of the right referred to in paragraph 1 of this Article shall
be without prejudice to Article 17. That right shall not apply to processing
necessary for the performance of a task carried out in the public interest or
in the exercise of official authority vested in the controller. |
|
4. The
right referred to in paragraph 1 shall not adversely affect the rights
and freedoms of others. |
|
Section 4 |
|
Right to
object and automated individual decision-making |
|
Article 21 |
|
Right to
object |
|
1. The
data subject shall have the right to object, on grounds relating to his or
her particular situation, at any time to processing of personal data
concerning him or her which is based on point (e) or (f) of Article 6(1),
including profiling based on those provisions. The controller shall no longer
process the personal data unless the controller demonstrates compelling
legitimate grounds for the processing which override the interests, rights
and freedoms of the data subject or for the establishment, exercise or defence of legal claims. |
|
2. Where
personal data are processed for direct marketing purposes, the data subject
shall have the right to object at any time to processing of personal data
concerning him or her for such marketing, which includes profiling to the
extent that it is related to such direct marketing. |
|
3. Where
the data subject objects to processing for direct marketing purposes, the
personal data shall no longer be processed for such purposes. |
|
4. At
the latest at the time of the first communication with the data subject, the
right referred to in paragraphs 1 and 2 shall be explicitly brought to
the attention of the data subject and shall be presented clearly and
separately from any other information. |
|
5. In
the context of the use of information society services, and notwithstanding
Directive 2002/58/EC, the data subject may exercise his or her right to
object by automated means using technical specifications. |
|
6. Where
personal data are processed for scientific or historical research purposes or
statistical purposes pursuant to Article 89(1), the data subject, on
grounds relating to his or her particular situation, shall have the right to
object to processing of personal data concerning him or her, unless the
processing is necessary for the performance of a task carried out for reasons
of public interest. |
|
Article 22 |
|
Automated
individual decision-making, including profiling |
|
1. The
data subject shall have the right not to be subject to a decision based solely
on automated processing, including profiling, which produces legal effects
concerning him or her or similarly significantly affects him or her. |
|
2. Paragraph 1
shall not apply if the decision: |
|
(a) | is
necessary for entering into, or performance of, a contract between the data
subject and a data controller; |
|
(b) | is authorised by Union or Member State law to which the
controller is subject and which also lays down suitable measures to safeguard
the data subject's rights and freedoms and legitimate interests; or |
|
(c) | is
based on the data subject's explicit consent. |
|
3. In
the cases referred to in points (a) and (c) of paragraph 2, the data
controller shall implement suitable measures to safeguard the data subject's
rights and freedoms and legitimate interests, at least the right to obtain
human intervention on the part of the controller, to express his or her point
of view and to contest the decision. |
|
4. Decisions
referred to in paragraph 2 shall not be based on special categories of personal
data referred to in Article 9(1), unless point (a) or (g) of Article
9(2) applies and suitable measures to safeguard the data subject's rights and
freedoms and legitimate interests are in place. |
|
Section 5 |
|
Restrictions |
|
Article 23 |
|
Restrictions |
|
1. Union
or Member State law to which the data controller or processor is subject
may restrict by way of a legislative measure the scope of the obligations and
rights provided for in Articles 12 to 22 and Article 34, as well as
Article 5 in so far as its provisions correspond to the rights and
obligations provided for in Articles 12 to 22, when such a restriction
respects the essence of the fundamental rights and freedoms and is a
necessary and proportionate measure in a democratic society to safeguard: |
|
(a) |
national security; |
|
(b) | defence; |
|
(c) | public
security; |
|
(d) | the
prevention, investigation, detection or prosecution of criminal offences or
the execution of criminal penalties, including the safeguarding against and
the prevention of threats to public security; |
|
(e) | other
important objectives of general public interest of the Union or of a
Member State, in particular an important economic or financial interest
of the Union or of a Member State, including monetary, budgetary and
taxation a matters, public health and social security; |
|
(f) | the
protection of judicial independence and judicial proceedings; |
|
(g) | the
prevention, investigation, detection and prosecution of breaches of ethics
for regulated professions; |
|
(h) | a
monitoring, inspection or regulatory function connected, even occasionally,
to the exercise of official authority in the cases referred to in points (a)
to (e) and (g); |
|
(i) | the protection of the data subject or the rights and
freedoms of others; |
|
(j) | the
enforcement of civil law claims. |
|
2. In
particular, any legislative measure referred to in paragraph 1 shall contain
specific provisions at least, where relevant, as to: |
|
(a) | the
purposes of the processing or categories of processing; |
|
(b) | the
categories of personal data; |
|
(c) | the
scope of the restrictions introduced; |
|
(d) | the
safeguards to prevent abuse or unlawful access or transfer; |
|
(e) | the
specification of the controller or categories of controllers; |
|
(f) | the
storage periods and the applicable safeguards taking into account the nature,
scope and purposes of the processing or categories of processing; |
|
(g) | the
risks to the rights and freedoms of data subjects; and |
|
(h) | the
right of data subjects to be informed about the restriction, unless that may
be prejudicial to the purpose of the restriction. |
|
CHAPTER IV |
|
Controller
and processor |
|
Section 1 |
|
General
obligations |
|
Article 24 |
|
Responsibility
of the controller |
|
1. Taking
into account the nature, scope, context and purposes of processing as well as
the risks of varying likelihood and severity for the rights and freedoms of
natural persons, the controller shall implement appropriate technical and organisational measures to ensure and to be able to
demonstrate that processing is performed in accordance with this Regulation.
Those measures shall be reviewed and updated where necessary. |
|
2. Where
proportionate in relation to processing activities, the measures referred to
in paragraph 1 shall include the implementation of appropriate data
protection policies by the controller. |
|
3. Adherence
to approved codes of conduct as referred to in Article 40 or approved
certification mechanisms as referred to in Article 42 may be used as an
element by which to demonstrate compliance with the obligations of the
controller. |
|
Article 25 |
|
Data
protection by design and by default |
|
1. Taking
into account the state of the art, the cost of implementation and the nature,
scope, context and purposes of processing as well as the risks of varying
likelihood and severity for rights and freedoms of natural persons posed by
the processing, the controller shall, both at the time of the determination
of the means for processing and at the time of the processing itself,
implement appropriate technical and organisational
measures, such as pseudonymisation, which are
designed to implement data-protection principles, such as data minimisation, in an effective manner and to integrate the
necessary safeguards into the processing in order to meet the requirements of
this Regulation and protect the rights of data subjects. |
|
2. The
controller shall implement appropriate technical and organisational
measures for ensuring that, by default, only personal data which are
necessary for each specific purpose of the processing are processed. That
obligation applies to the amount of personal data collected, the extent of
their processing, the period of their storage and their accessibility. In
particular, such measures shall ensure that by default personal data are not
made accessible without the individual's intervention to an indefinite number
of natural persons. |
|
3. An
approved certification mechanism pursuant to Article 42 may be used as
an element to demonstrate compliance with the requirements set out in
paragraphs 1 and 2 of this Article. |
|
Article 26 |
|
Joint
controllers |
|
1. Where
two or more controllers jointly determine the purposes and means of
processing, they shall be joint controllers. They shall in a transparent
manner determine their respective responsibilities for compliance with the
obligations under this Regulation, in particular as regards the exercising of
the rights of the data subject and their respective duties to provide the
information referred to in Articles 13 and 14, by means of an
arrangement between them unless, and in so far as, the respective responsibilities
of the controllers are determined by Union or Member State law to which
the controllers are subject. The arrangement may designate a contact point
for data subjects. |
|
2. The
arrangement referred to in paragraph 1 shall duly reflect the respective
roles and relationships of the joint controllers vis-à-vis the data subjects.
The essence of the arrangement shall be made available to the data subject. |
|
3. Irrespective
of the terms of the arrangement referred to in paragraph 1, the data subject
may exercise his or her rights under this Regulation in respect of and
against each of the controllers. |
|
Article 27 |
|
Representatives
of controllers or processors not established in the Union |
|
1. Where
Article 3(2) applies, the controller or the processor shall designate in
writing a representative in the Union. |
|
2. The
obligation laid down in paragraph 1 of this Article shall not apply to: |
|
(a) |
processing which is occasional, does not include, on a large scale, processing
of special categories of data as referred to in Article 9(1) or processing of
personal data relating to criminal convictions and offences referred to in
Article 10, and is unlikely to result in a risk to the rights and freedoms of
natural persons, taking into account the nature, context, scope and purposes
of the processing; or |
|
(b) | a
public authority or body. |
|
3. The
representative shall be established in one of the Member States where the
data subjects, whose personal data are processed in relation to the offering
of goods or services to them, or whose behaviour is
monitored, are. |
|
4. The
representative shall be mandated by the controller or processor to be addressed
in addition to or instead of the controller or the processor by, in
particular, supervisory authorities and data subjects, on all issues related
to processing, for the purposes of ensuring compliance with this Regulation. |
|
5. The
designation of a representative by the controller or processor shall be
without prejudice to legal actions which could be initiated against the
controller or the processor themselves. |
|
Article 28 |
|
Processor |
|
1. Where
processing is to be carried out on behalf of a controller, the controller
shall use only processors providing sufficient guarantees to implement
appropriate technical and organisational measures
in such a manner that processing will meet the requirements of this
Regulation and ensure the protection of the rights of the data subject. |
|
2. The
processor shall not engage another processor without prior specific or
general written authorisation of the controller. In
the case of general written authorisation, the
processor shall inform the controller of any intended changes concerning the
addition or replacement of other processors, thereby giving the controller
the opportunity to object to such changes. |
|
3. Processing
by a processor shall be governed by a contract or other legal act under Union
or Member State law, that is binding on the processor with regard to the
controller and that sets out the subject-matter and duration of the
processing, the nature and purpose of the processing, the type of personal
data and categories of data subjects and the obligations and rights of the
controller. That contract or other legal act shall stipulate, in particular,
that the processor: |
|
(a) |
processes the personal data only on documented instructions from the controller,
including with regard to transfers of personal data to a third country or an
international organisation, unless required to do
so by Union or Member State law to which the processor is subject; in
such a case, the processor shall inform the controller of that legal
requirement before processing, unless that law prohibits such information on
important grounds of public interest; |
|
(b) | ensures
that persons authorised to process the personal
data have committed themselves to confidentiality or are under an appropriate
statutory obligation of confidentiality; |
|
(c) | takes
all measures required pursuant to Article 32; |
|
(d) |
respects the conditions referred to in paragraphs 2 and 4 for engaging
another processor; |
|
(e) | taking
into account the nature of the processing, assists the controller by
appropriate technical and organisational measures,
insofar as this is possible, for the fulfilment of
the controller's obligation to respond to requests for exercising the data subject's
rights laid down in Chapter III; |
|
(f) | assists
the controller in ensuring compliance with the obligations pursuant to
Articles 32 to 36 taking into account the nature of processing and the
information available to the processor; |
|
(g) | at the
choice of the controller, deletes or returns all the personal data to the
controller after the end of the provision of services relating to processing,
and deletes existing copies unless Union or Member State law requires storage
of the personal data; |
|
(h) | makes
available to the controller all information necessary to demonstrate
compliance with the obligations laid down in this Article and allow for and
contribute to audits, including inspections, conducted by the controller or
another auditor mandated by the controller. |
|
With regard
to point (h) of the first subparagraph, the processor shall immediately
inform the controller if, in its opinion, an instruction infringes this
Regulation or other Union or Member State data protection provisions. |
|
4. Where
a processor engages another processor for carrying out specific processing
activities on behalf of the controller, the same data protection obligations
as set out in the contract or other legal act between the controller and the
processor as referred to in paragraph 3 shall be imposed on that other
processor by way of a contract or other legal act under Union or Member State
law, in particular providing sufficient guarantees to implement appropriate
technical and organisational measures in such a
manner that the processing will meet the requirements of this Regulation.
Where that other processor fails to fulfil its data
protection obligations, the initial processor shall remain fully liable to
the controller for the performance of that other processor's obligations. |
|
5. Adherence
of a processor to an approved code of conduct as referred to in
Article 40 or an approved certification mechanism as referred to in
Article 42 may be used as an element by which to demonstrate sufficient
guarantees as referred to in paragraphs 1 and 4 of this Article. |
|
6. Without
prejudice to an individual contract between the controller and the processor,
the contract or the other legal act referred to in paragraphs 3 and 4 of this
Article may be based, in whole or in part, on standard contractual clauses
referred to in paragraphs 7 and 8 of this Article, including when
they are part of a certification granted to the controller or processor
pursuant to Articles 42 and 43. |
|
7. The
Commission may lay down standard contractual clauses for the matters referred
to in paragraph 3 and 4 of this Article and in accordance with the
examination procedure referred to in Article 93(2). |
|
8. A
supervisory authority may adopt standard contractual clauses for the matters
referred to in paragraph 3 and 4 of this Article and in accordance with the
consistency mechanism referred to in Article 63. |
|
9. The
contract or the other legal act referred to in paragraphs 3 and 4 shall be in
writing, including in electronic form. |
|
10. Without
prejudice to Articles 82, 83 and 84, if a processor infringes this Regulation
by determining the purposes and means of processing, the processor shall be
considered to be a controller in respect of that processing. |
|
Article 29 |
|
Processing
under the authority of the controller or processor |
|
The processor
and any person acting under the authority of the controller or of the
processor, who has access to personal data, shall not process those data
except on instructions from the controller, unless required to do so by Union
or Member State law. |
|
Article 30 |
|
Records of
processing activities |
|
1. Each
controller and, where applicable, the controller's representative, shall
maintain a record of processing activities under its responsibility. That
record shall contain all of the following information: |
|
(a) | the
name and contact details of the controller and, where applicable, the joint
controller, the controller's representative and the data protection officer; |
|
(b) | the
purposes of the processing; |
|
(c) | a
description of the categories of data subjects and of the categories of
personal data; |
|
(d) | the
categories of recipients to whom the personal data have been or will be
disclosed including recipients in third countries or international organisations; |
|
(e) | where
applicable, transfers of personal data to a third country or an international
organisation, including the identification of that
third country or international organisation and, in
the case of transfers referred to in the second subparagraph of
Article 49(1), the documentation of suitable safeguards; |
|
(f) | where
possible, the envisaged time limits for erasure of the different categories
of data; |
|
(g) | where
possible, a general description of the technical and organisational
security measures referred to in Article 32(1). |
|
2. Each
processor and, where applicable, the processor's representative shall
maintain a record of all categories of processing activities carried out on
behalf of a controller, containing: |
|
(a) | the
name and contact details of the processor or processors and of each
controller on behalf of which the processor is acting, and, where applicable,
of the controller's or the processor's representative, and the data
protection officer; |
|
(b) | the
categories of processing carried out on behalf of each controller; |
|
(c) | where
applicable, transfers of personal data to a third country or an international
organisation, including the identification of that
third country or international organisation and, in
the case of transfers referred to in the second subparagraph of
Article 49(1), the documentation of suitable safeguards; |
|
(d) | where
possible, a general description of the technical and organisational
security measures referred to in Article 32(1). |
|
3. The
records referred to in paragraphs 1 and 2 shall be in writing, including in
electronic form. |
|
4. The
controller or the processor and, where applicable, the controller's or the
processor's representative, shall make the record available to the
supervisory authority on request. |
|
5. The
obligations referred to in paragraphs 1 and 2 shall not apply to an
enterprise or an organisation employing fewer than
250 persons unless the processing it carries out is likely to result in a
risk to the rights and freedoms of data subjects, the processing is not
occasional, or the processing includes special categories of data as referred
to in Article 9(1) or personal data relating to criminal convictions and
offences referred to in Article 10. |
|
Article 31 |
|
Cooperation
with the supervisory authority |
|
The
controller and the processor and, where applicable, their representatives,
shall cooperate, on request, with the supervisory authority in the
performance of its tasks. |
|
Section 2 |
|
Security of
personal data |
|
Article 32 |
|
Security of
processing |
|
1. Taking
into account the state of the art, the costs of implementation and the
nature, scope, context and purposes of processing as well as the risk of
varying likelihood and severity for the rights and freedoms of natural
persons, the controller and the processor shall implement appropriate
technical and organisational measures to ensure a
level of security appropriate to the risk, including inter alia as
appropriate: |
|
(a) | the pseudonymisation and encryption of personal data; |
|
(b) | the
ability to ensure the ongoing confidentiality, integrity, availability and
resilience of processing systems and services; |
|
(c) | the
ability to restore the availability and access to personal data in a timely
manner in the event of a physical or technical incident; |
|
(d) | a
process for regularly testing, assessing and evaluating the effectiveness of
technical and organisational measures for ensuring
the security of the processing. |
|
2. In
assessing the appropriate level of security account shall be taken in
particular of the risks that are presented by processing, in particular from
accidental or unlawful destruction, loss, alteration, unauthorised
disclosure of, or access to personal data transmitted, stored or otherwise
processed. |
|
3. Adherence
to an approved code of conduct as referred to in Article 40 or an approved
certification mechanism as referred to in Article 42 may be used as an
element by which to demonstrate compliance with the requirements set out in
paragraph 1 of this Article. |
|
4. The
controller and processor shall take steps to ensure that any natural person
acting under the authority of the controller or the processor who has access
to personal data does not process them except on instructions from the
controller, unless he or she is required to do so by Union or Member State law. |
|
Article 33 |
|
Notification
of a personal data breach to the supervisory authority |
|
1. In
the case of a personal data breach, the controller shall without undue delay
and, where feasible, not later than 72 hours after having become aware of it,
notify the personal data breach to the supervisory authority competent in
accordance with Article 55, unless the personal data breach is unlikely
to result in a risk to the rights and freedoms of natural persons. Where the
notification to the supervisory authority is not made within 72 hours,
it shall be accompanied by reasons for the delay. |
|
2. The
processor shall notify the controller without undue delay after becoming
aware of a personal data breach. |
|
3. The
notification referred to in paragraph 1 shall at least: |
|
(a) |
describe the nature of the personal data breach including where possible, the
categories and approximate number of data subjects concerned and the
categories and approximate number of personal data records concerned; |
|
(b) |
communicate the name and contact details of the data protection officer or
other contact point where more information can be obtained; |
|
(c) |
describe the likely consequences of the personal data breach; |
|
(d) |
describe the measures taken or proposed to be taken by the controller to
address the personal data breach, including, where appropriate, measures to
mitigate its possible adverse effects. |
|
4. Where,
and in so far as, it is not possible to provide the information at the same
time, the information may be provided in phases without undue further delay. |
|
5. The
controller shall document any personal data breaches, comprising the facts
relating to the personal data breach, its effects and the remedial action
taken. That documentation shall enable the supervisory authority to verify
compliance with this Article. |
|
Article 34 |
|
Communication
of a personal data breach to the data subject |
|
1. When
the personal data breach is likely to result in a high risk to the rights and
freedoms of natural persons, the controller shall communicate the personal
data breach to the data subject without undue delay. |
|
2. The
communication to the data subject referred to in paragraph 1 of this Article
shall describe in clear and plain language the nature of the personal data
breach and contain at least the information and measures referred to in
points (b), (c) and (d) of Article 33(3). |
|
3. The
communication to the data subject referred to in paragraph 1 shall not
be required if any of the following conditions are met: |
|
(a) | the
controller has implemented appropriate technical and organisational
protection measures, and those measures were applied to the personal data
affected by the personal data breach, in particular those that render the
personal data unintelligible to any person who is not authorised
to access it, such as encryption; |
|
(b) | the
controller has taken subsequent measures which ensure that the high risk to
the rights and freedoms of data subjects referred to in paragraph 1 is
no longer likely to materialise; |
|
(c) | it
would involve disproportionate effort. In such a case, there shall instead be
a public communication or similar measure whereby the data subjects are
informed in an equally effective manner. |
|
4. If
the controller has not already communicated the personal data breach to the
data subject, the supervisory authority, having considered the likelihood of
the personal data breach resulting in a high risk, may require it to do so or
may decide that any of the conditions referred to in paragraph 3 are met. |
|
Section 3 |
|
Data
protection impact assessment and prior consultation |
|
Article 35 |
|
Data
protection impact assessment |
|
1. Where
a type of processing in particular using new technologies, and taking into
account the nature, scope, context and purposes of the processing, is likely
to result in a high risk to the rights and freedoms of natural persons, the
controller shall, prior to the processing, carry out an assessment of the
impact of the envisaged processing operations on the protection of personal
data. A single assessment may address a set of similar processing operations
that present similar high risks. |
|
2. The
controller shall seek the advice of the data protection officer, where
designated, when carrying out a data protection impact assessment. |
|
3. A
data protection impact assessment referred to in paragraph 1 shall in
particular be required in the case of: |
|
(a) | a
systematic and extensive evaluation of personal aspects relating to natural
persons which is based on automated processing, including profiling, and on
which decisions are based that produce legal effects concerning the natural
person or similarly significantly affect the natural person; |
|
(b) |
processing on a large scale of special categories of data referred to in
Article 9(1), or of personal data relating to criminal convictions and
offences referred to in Article 10; or |
|
(c) | a
systematic monitoring of a publicly accessible area on a large scale. |
|
4. The
supervisory authority shall establish and make public a list of the kind of
processing operations which are subject to the requirement for a data
protection impact assessment pursuant to paragraph 1. The supervisory
authority shall communicate those lists to the Board referred to in
Article 68. |
|
5. The
supervisory authority may also establish and make public a list of the kind
of processing operations for which no data protection impact assessment is
required. The supervisory authority shall communicate those lists to the
Board. |
|
6. Prior
to the adoption of the lists referred to in paragraphs 4 and 5, the competent
supervisory authority shall apply the consistency mechanism referred to in
Article 63 where such lists involve processing activities which are
related to the offering of goods or services to data subjects or to the
monitoring of their behaviour in several
Member States, or may substantially affect the free movement of personal
data within the Union. |
|
7. The
assessment shall contain at least: |
|
(a) | a
systematic description of the envisaged processing operations and the
purposes of the processing, including, where applicable, the legitimate
interest pursued by the controller; |
|
(b) | an
assessment of the necessity and proportionality of the processing operations
in relation to the purposes; |
|
(c) | an
assessment of the risks to the rights and freedoms of data subjects referred
to in paragraph 1; and |
|
(d) | the
measures envisaged to address the risks, including safeguards, security
measures and mechanisms to ensure the protection of personal data and to
demonstrate compliance with this Regulation taking into account the rights
and legitimate interests of data subjects and other persons concerned. |
|
8. Compliance
with approved codes of conduct referred to in Article 40 by the relevant
controllers or processors shall be taken into due account in assessing the
impact of the processing operations performed by such controllers or
processors, in particular for the purposes of a data protection impact
assessment. |
|
9. Where
appropriate, the controller shall seek the views of data subjects or their
representatives on the intended processing, without prejudice to the
protection of commercial or public interests or the security of processing
operations. |
|
10. Where
processing pursuant to point (c) or (e) of Article 6(1) has a legal basis in
Union law or in the law of the Member State to which the controller is
subject, that law regulates the specific processing operation or set of
operations in question, and a data protection impact assessment has already
been carried out as part of a general impact assessment in the context of the
adoption of that legal basis, paragraphs 1 to 7 shall not apply unless
Member States deem it to be necessary to carry out such an assessment
prior to processing activities. |
|
11. Where
necessary, the controller shall carry out a review to assess if processing is
performed in accordance with the data protection impact assessment at least
when there is a change of the risk represented by processing operations. |
|
Article 36 |
|
Prior
consultation |
|
1. The
controller shall consult the supervisory authority prior to processing where
a data protection impact assessment under Article 35 indicates that the
processing would result in a high risk in the absence of measures taken by
the controller to mitigate the risk. |
|
2. Where
the supervisory authority is of the opinion that the intended processing
referred to in paragraph 1 would infringe this Regulation, in particular
where the controller has insufficiently identified or mitigated the risk, the
supervisory authority shall, within period of up to eight weeks of receipt of
the request for consultation, provide written advice to the controller and,
where applicable to the processor, and may use any of its powers referred to
in Article 58. That period may be extended by six weeks, taking into
account the complexity of the intended processing. The supervisory authority
shall inform the controller and, where applicable, the processor, of any such
extension within one month of receipt of the request for consultation
together with the reasons for the delay. Those periods may be suspended until
the supervisory authority has obtained information it has requested for the
purposes of the consultation. |
|
3. When
consulting the supervisory authority pursuant to paragraph 1, the
controller shall provide the supervisory authority with: |
|
(a) | where
applicable, the respective responsibilities of the controller, joint
controllers and processors involved in the processing, in particular for
processing within a group of undertakings; |
|
(b) | the
purposes and means of the intended processing; |
|
(c) | the
measures and safeguards provided to protect the rights and freedoms of data
subjects pursuant to this Regulation; |
|
(d) | where
applicable, the contact details of the data protection officer; |
|
(e) | the
data protection impact assessment provided for in Article 35; and |
|
(f) | any
other information requested by the supervisory authority. |
|
4. Member
States shall consult the supervisory authority during the preparation of a
proposal for a legislative measure to be adopted by a national parliament, or
of a regulatory measure based on such a legislative measure, which relates to
processing. |
|
5. Notwithstanding
paragraph 1, Member State law may require controllers to consult
with, and obtain prior authorisation from, the
supervisory authority in relation to processing by a controller for the
performance of a task carried out by the controller in the public interest,
including processing in relation to social protection and public health. |
|
Section 4 |
|
Data
protection officer |
|
Article 37 |
|
Designation
of the data protection officer |
|
1. The
controller and the processor shall designate a data protection officer in any
case where: |
|
(a) | the
processing is carried out by a public authority or body, except for courts
acting in their judicial capacity; |
|
(b) | the
core activities of the controller or the processor consist of processing
operations which, by virtue of their nature, their scope and/or their
purposes, require regular and systematic monitoring of data subjects on a
large scale; or |
|
(c) | the
core activities of the controller or the processor consist of processing on a
large scale of special categories of data pursuant to Article 9 and
personal data relating to criminal convictions and offences referred to in
Article 10. |
|
2. A
group of undertakings may appoint a single data protection officer provided
that a data protection officer is easily accessible from each establishment. |
|
3. Where
the controller or the processor is a public authority or body, a single data
protection officer may be designated for several such authorities or bodies,
taking account of their organisational structure
and size. |
|
4. In
cases other than those referred to in paragraph 1, the controller or
processor or associations and other bodies representing categories of
controllers or processors may or, where required by
Union or Member State law shall, designate a data protection officer. The
data protection officer may act for such associations and other bodies
representing controllers or processors. |
|
5. The
data protection officer shall be designated on the basis of professional
qualities and, in particular, expert knowledge of data protection law and
practices and the ability to fulfil the tasks
referred to in Article 39. |
|
6. The
data protection officer may be a staff member of the controller or processor,
or fulfil the tasks on the basis of a service
contract. |
|
7. The
controller or the processor shall publish the contact details of the data
protection officer and communicate them to the supervisory authority. |
|
Article 38 |
|
Position of
the data protection officer |
|
1. The
controller and the processor shall ensure that the data protection officer is
involved, properly and in a timely manner, in all issues which relate to the
protection of personal data. |
|
2. The
controller and processor shall support the data protection officer in
performing the tasks referred to in Article 39 by providing resources
necessary to carry out those tasks and access to personal data and processing
operations, and to maintain his or her expert knowledge. |
|
3. The
controller and processor shall ensure that the data protection officer does
not receive any instructions regarding the exercise of those tasks. He or she
shall not be dismissed or penalised by the controller
or the processor for performing his tasks. The data protection officer shall
directly report to the highest management level of the controller or the
processor. |
|
4. Data
subjects may contact the data protection officer with regard to all issues
related to processing of their personal data and to the exercise of their
rights under this Regulation. |
|
5. The
data protection officer shall be bound by secrecy or confidentiality
concerning the performance of his or her tasks, in accordance with Union or
Member State law. |
|
6. The
data protection officer may fulfil other tasks and
duties. The controller or processor shall ensure that any such tasks and
duties do not result in a conflict of interests. |
|
Article 39 |
|
Tasks of the
data protection officer |
|
1. The
data protection officer shall have at least the following tasks: |
|
(a) | to
inform and advise the controller or the processor and the employees who carry
out processing of their obligations pursuant to this Regulation and to other
Union or Member State data protection provisions; |
|
(b) | to
monitor compliance with this Regulation, with other Union or
Member State data protection provisions and with the policies of the
controller or processor in relation to the protection of personal data,
including the assignment of responsibilities, awareness-raising and training
of staff involved in processing operations, and the related audits; |
|
(c) | to
provide advice where requested as regards the data protection impact
assessment and monitor its performance pursuant to Article 35; |
|
(d) | to
cooperate with the supervisory authority; |
|
(e) | to act
as the contact point for the supervisory authority on issues relating to
processing, including the prior consultation referred to in Article 36,
and to consult, where appropriate, with regard to any other matter. |
|
2. The
data protection officer shall in the performance of his or her tasks have due
regard to the risk associated with processing operations, taking into account
the nature, scope, context and purposes of processing. |
|
Section 5 |
|
Codes of
conduct and certification |
|
Article 40 |
|
Codes of
conduct |
|
1. The
Member States, the supervisory authorities, the Board and the Commission
shall encourage the drawing up of codes of conduct intended to contribute to
the proper application of this Regulation, taking account of the specific
features of the various processing sectors and the specific needs of micro,
small and medium-sized enterprises. |
|
2. Associations
and other bodies representing categories of controllers or processors may
prepare codes of conduct, or amend or extend such codes, for the purpose of
specifying the application of this Regulation, such as with regard to: |
|
(a) | fair
and transparent processing; |
|
(b) | the
legitimate interests pursued by controllers in specific contexts; |
|
(c) | the
collection of personal data; |
|
(d) | the pseudonymisation of personal data; |
|
(e) | the
information provided to the public and to data subjects; |
|
(f) | the
exercise of the rights of data subjects; |
|
(g) | the
information provided to, and the protection of, children, and the manner in
which the consent of the holders of parental responsibility over children is
to be obtained; |
|
(h) | the
measures and procedures referred to in Articles 24 and 25 and the measures to
ensure security of processing referred to in Article 32; |
|
(i) | the notification of personal data breaches to
supervisory authorities and the communication of such personal data breaches
to data subjects; |
|
(j) | the
transfer of personal data to third countries or international organisations; or |
|
(k) |
out-of-court proceedings and other dispute resolution procedures for
resolving disputes between controllers and data subjects with regard to
processing, without prejudice to the rights of data subjects pursuant to
Articles 77 and 79. |
|
3. In
addition to adherence by controllers or processors subject to this
Regulation, codes of conduct approved pursuant to paragraph 5 of this Article
and having general validity pursuant to paragraph 9 of this Article may also
be adhered to by controllers or processors that are not subject to this
Regulation pursuant to Article 3 in order to provide appropriate
safeguards within the framework of personal data transfers to third countries
or international organisations under the terms
referred to in point (e) of Article 46(2). Such controllers or
processors shall make binding and enforceable commitments, via contractual or
other legally binding instruments, to apply those appropriate safeguards
including with regard to the rights of data subjects. |
|
4. A
code of conduct referred to in paragraph 2 of this Article shall contain
mechanisms which enable the body referred to in Article 41(1) to carry
out the mandatory monitoring of compliance with its provisions by the
controllers or processors which undertake to apply it, without prejudice to the
tasks and powers of supervisory authorities competent pursuant to
Article 55 or 56. |
|
5. Associations
and other bodies referred to in paragraph 2 of this Article which intend to
prepare a code of conduct or to amend or extend an existing code shall submit
the draft code, amendment or extension to the supervisory authority which is
competent pursuant to Article 55. The supervisory authority shall
provide an opinion on whether the draft code, amendment or extension complies
with this Regulation and shall approve that draft code, amendment or extension
if it finds that it provides sufficient appropriate safeguards. |
|
6. Where
the draft code, or amendment or extension is approved in accordance with
paragraph 5, and where the code of conduct concerned does not relate to
processing activities in several Member States, the supervisory
authority shall register and publish the code. |
|
7. Where
a draft code of conduct relates to processing activities in several
Member States, the supervisory authority which is competent pursuant to
Article 55 shall, before approving the draft code, amendment or extension,
submit it in the procedure referred to in Article 63 to the Board which
shall provide an opinion on whether the draft code, amendment or extension
complies with this Regulation or, in the situation referred to in
paragraph 3 of this Article, provides appropriate safeguards. |
|
8. Where
the opinion referred to in paragraph 7 confirms that the draft code,
amendment or extension complies with this Regulation, or, in the situation
referred to in paragraph 3, provides appropriate safeguards, the Board
shall submit its opinion to the Commission. |
|
9. The
Commission may, by way of implementing acts, decide that the approved code of
conduct, amendment or extension submitted to it pursuant to paragraph 8
of this Article have general validity within the Union. Those implementing
acts shall be adopted in accordance with the examination procedure set out in
Article 93(2). |
|
10. The
Commission shall ensure appropriate publicity for the approved codes which
have been decided as having general validity in accordance with paragraph 9. |
|
11. The
Board shall collate all approved codes of conduct, amendments and extensions
in a register and shall make them publicly available by way of appropriate
means. |
|
Article 41 |
|
Monitoring of
approved codes of conduct |
|
1. Without
prejudice to the tasks and powers of the competent supervisory authority
under Articles 57 and 58, the monitoring of compliance with a code of
conduct pursuant to Article 40 may be carried out by a body which has an
appropriate level of expertise in relation to the subject-matter of the code
and is accredited for that purpose by the competent supervisory authority. |
|
2. A
body as referred to in paragraph 1 may be accredited to monitor
compliance with a code of conduct where that body has: |
|
(a) |
demonstrated its independence and expertise in relation to the subject-matter
of the code to the satisfaction of the competent supervisory authority; |
|
(b) |
established procedures which allow it to assess the eligibility of
controllers and processors concerned to apply the code, to monitor their
compliance with its provisions and to periodically review its operation; |
|
(c) |
established procedures and structures to handle complaints about
infringements of the code or the manner in which the code has been, or is
being, implemented by a controller or processor, and to make those procedures
and structures transparent to data subjects and the public; and |
|
(d) |
demonstrated to the satisfaction of the competent supervisory authority that
its tasks and duties do not result in a conflict of interests. |
|
3. The
competent supervisory authority shall submit the draft criteria for
accreditation of a body as referred to in paragraph 1 of this Article to the
Board pursuant to the consistency mechanism referred to in Article 63. |
|
4. Without
prejudice to the tasks and powers of the competent supervisory authority and
the provisions of Chapter VIII, a body as referred to in paragraph 1 of
this Article shall, subject to appropriate safeguards, take appropriate
action in cases of infringement of the code by a controller or processor,
including suspension or exclusion of the controller or processor concerned
from the code. It shall inform the competent supervisory authority of such
actions and the reasons for taking them. |
|
5. The
competent supervisory authority shall revoke the accreditation of a body as
referred to in paragraph 1 if the conditions for accreditation are not,
or are no longer, met or where actions taken by the body infringe this Regulation. |
|
6. This
Article shall not apply to processing carried out by public authorities and
bodies. |
|
Article 42 |
|
Certification |
|
1. The
Member States, the supervisory authorities, the Board and the Commission
shall encourage, in particular at Union level, the establishment of data
protection certification mechanisms and of data protection seals and marks,
for the purpose of demonstrating compliance with this Regulation of
processing operations by controllers and processors. The specific needs of
micro, small and medium-sized enterprises shall be taken into account. |
|
2. In
addition to adherence by controllers or processors subject to this
Regulation, data protection certification mechanisms, seals or marks approved
pursuant to paragraph 5 of this Article may be established for the
purpose of demonstrating the existence of appropriate safeguards provided by
controllers or processors that are not subject to this Regulation pursuant to
Article 3 within the framework of personal data transfers to third
countries or international organisations under the
terms referred to in point (f) of Article 46(2). Such controllers
or processors shall make binding and enforceable commitments, via contractual
or other legally binding instruments, to apply those appropriate safeguards,
including with regard to the rights of data subjects. |
|
3. The
certification shall be voluntary and available via a process that is
transparent. |
|
4. A
certification pursuant to this Article does not reduce the responsibility of
the controller or the processor for compliance with this Regulation and is
without prejudice to the tasks and powers of the supervisory authorities
which are competent pursuant to Article 55 or 56. |
|
5. A
certification pursuant to this Article shall be issued by the certification
bodies referred to in Article 43 or by the competent supervisory
authority, on the basis of criteria approved by that competent supervisory
authority pursuant to Article 58(3) or by the Board pursuant to
Article 63. Where the criteria are approved by the Board, this may
result in a common certification, the European Data Protection Seal. |
|
6. The
controller or processor which submits its processing to the certification
mechanism shall provide the certification body referred to in
Article 43, or where applicable, the competent supervisory authority,
with all information and access to its processing activities which are necessary
to conduct the certification procedure. |
|
7. Certification
shall be issued to a controller or processor for a maximum period of three
years and may be renewed, under the same conditions, provided that the
relevant requirements continue to be met. Certification shall be withdrawn,
as applicable, by the certification bodies referred to in Article 43 or
by the competent supervisory authority where the requirements for the
certification are not or are no longer met. |
|
8. The
Board shall collate all certification mechanisms and data protection seals
and marks in a register and shall make them publicly available by any
appropriate means. |
|
Article 43 |
|
Certification
bodies |
|
1. Without
prejudice to the tasks and powers of the competent supervisory authority
under Articles 57 and 58, certification bodies which have an appropriate
level of expertise in relation to data protection shall, after informing the
supervisory authority in order to allow it to exercise its powers pursuant to
point (h) of Article 58(2) where necessary, issue and renew
certification. Member States shall ensure that those certification bodies are
accredited by one or both of the following: |
|
(a) | the
supervisory authority which is competent pursuant to Article 55 or 56; |
|
(b) | the
national accreditation body named in accordance with Regulation (EC)
No 765/2008 of the European Parliament and of the Council (20) in
accordance with EN-ISO/IEC 17065/2012 and with the additional requirements
established by the supervisory authority which is competent pursuant to
Article 55 or 56. |
|
2. Certification
bodies referred to in paragraph 1 shall be accredited in accordance with
that paragraph only where they have: |
|
(a) |
demonstrated their independence and expertise in relation to the subject-matter
of the certification to the satisfaction of the competent supervisory
authority; |
|
(b) |
undertaken to respect the criteria referred to in Article 42(5) and
approved by the supervisory authority which is competent pursuant to
Article 55 or 56 or by the Board pursuant to Article 63; |
|
(c) |
established procedures for the issuing, periodic review and withdrawal of
data protection certification, seals and marks; |
|
(d) |
established procedures and structures to handle complaints about
infringements of the certification or the manner in which the certification
has been, or is being, implemented by the controller or processor, and to
make those procedures and structures transparent to data subjects and the public;
and |
|
(e) |
demonstrated, to the satisfaction of the competent supervisory authority,
that their tasks and duties do not result in a conflict of interests. |
|
3. The
accreditation of certification bodies as referred to in paragraphs 1 and
2 of this Article shall take place on the basis of criteria approved by the
supervisory authority which is competent pursuant to Article 55 or 56 or
by the Board pursuant to Article 63. In the case of accreditation pursuant
to point (b) of paragraph 1 of this Article, those requirements
shall complement those envisaged in Regulation (EC) No 765/2008 and the
technical rules that describe the methods and procedures of the certification
bodies. |
|
4. The
certification bodies referred to in paragraph 1 shall be responsible for
the proper assessment leading to the certification or the withdrawal of such
certification without prejudice to the responsibility of the controller or
processor for compliance with this Regulation. The accreditation shall be
issued for a maximum period of five years and may be renewed on the same
conditions provided that the certification body meets the requirements set
out in this Article. |
|
5. The
certification bodies referred to in paragraph 1 shall provide the
competent supervisory authorities with the reasons for granting or
withdrawing the requested certification. |
|
6. The
requirements referred to in paragraph 3 of this Article and the criteria
referred to in Article 42(5) shall be made public by the supervisory
authority in an easily accessible form. The supervisory authorities shall
also transmit those requirements and criteria to the Board. The Board shall
collate all certification mechanisms and data protection seals in a register
and shall make them publicly available by any appropriate means. |
|
7. Without
prejudice to Chapter VIII, the competent supervisory authority or the
national accreditation body shall revoke an accreditation of a certification
body pursuant to paragraph 1 of this Article where the conditions for
the accreditation are not, or are no longer, met or where actions taken by a
certification body infringe this Regulation. |
|
8. The
Commission shall be empowered to adopt delegated acts in accordance with
Article 92 for the purpose of specifying the requirements to be taken
into account for the data protection certification mechanisms referred to in
Article 42(1). |
|
9. The
Commission may adopt implementing acts laying down technical standards for certification
mechanisms and data protection seals and marks, and mechanisms to promote and
recognise those certification mechanisms, seals and
marks. Those implementing acts shall be adopted in accordance with the
examination procedure referred to in Article 93(2). |
|
CHAPTER V |
|
Transfers of
personal data to third countries or international organisations |
|
Article 44 |
|
General
principle for transfers |
|
Any transfer
of personal data which are undergoing processing or are intended for
processing after transfer to a third country or to an international organisation shall take place only if, subject to the
other provisions of this Regulation, the conditions laid down in this Chapter
are complied with by the controller and processor, including for onward
transfers of personal data from the third country or an international organisation to another third country or to another
international organisation. All provisions in this
Chapter shall be applied in order to ensure that the level of protection of
natural persons guaranteed by this Regulation is not undermined. |
|
Article 45 |
|
Transfers on
the basis of an adequacy decision |
|
1. A
transfer of personal data to a third country or an international organisation may take place where the Commission has
decided that the third country, a territory or one or more specified sectors
within that third country, or the international organisation
in question ensures an adequate level of protection. Such a transfer shall
not require any specific authorisation. |
|
2. When
assessing the adequacy of the level of protection, the Commission shall, in
particular, take account of the following elements: |
|
(a) | the
rule of law, respect for human rights and fundamental freedoms, relevant
legislation, both general and sectoral, including
concerning public security, defence, national
security and criminal law and the access of public authorities to personal
data, as well as the implementation of such legislation, data protection rules,
professional rules and security measures, including rules for the onward
transfer of personal data to another third country or international organisation which are complied with in that country or
international organisation, case-law, as well as
effective and enforceable data subject rights and effective administrative
and judicial redress for the data subjects whose personal data are being
transferred; |
|
(b) | the
existence and effective functioning of one or more independent supervisory
authorities in the third country or to which an international organisation is subject, with responsibility for ensuring
and enforcing compliance with the data protection rules, including adequate
enforcement powers, for assisting and advising the data subjects in
exercising their rights and for cooperation with the supervisory authorities
of the Member States; and |
|
(c) | the
international commitments the third country or international organisation concerned has entered into, or other
obligations arising from legally binding conventions or instruments as well
as from its participation in multilateral or regional systems, in particular
in relation to the protection of personal data. |
|
3. The
Commission, after assessing the adequacy of the level of protection, may
decide, by means of implementing act, that a third country, a territory or
one or more specified sectors within a third country, or an international organisation ensures an adequate level of protection
within the meaning of paragraph 2 of this Article. The implementing act
shall provide for a mechanism for a periodic review, at least every four
years, which shall take into account all relevant developments in the third
country or international organisation. The
implementing act shall specify its territorial and sectoral
application and, where applicable, identify the supervisory authority or
authorities referred to in point (b) of paragraph 2 of this Article. The
implementing act shall be adopted in accordance with the examination
procedure referred to in Article 93(2). |
|
4. The
Commission shall, on an ongoing basis, monitor developments in third
countries and international organisations that
could affect the functioning of decisions adopted pursuant to
paragraph 3 of this Article and decisions adopted on the basis of
Article 25(6) of Directive 95/46/EC. |
|
5. The
Commission shall, where available information reveals, in particular
following the review referred to in paragraph 3 of this Article, that a third
country, a territory or one or more specified sectors within a third country,
or an international organisation no longer ensures
an adequate level of protection within the meaning of paragraph 2 of
this Article, to the extent necessary, repeal, amend or suspend the decision
referred to in paragraph 3 of this Article by means of implementing acts
without retro-active effect. Those implementing acts shall be adopted in
accordance with the examination procedure referred to in Article 93(2). |
|
On duly
justified imperative grounds of urgency, the Commission shall adopt
immediately applicable implementing acts in accordance with the procedure
referred to in Article 93(3). |
|
6. The
Commission shall enter into consultations with the third country or
international organisation with a view to remedying
the situation giving rise to the decision made pursuant to paragraph 5. |
|
7. A
decision pursuant to paragraph 5 of this Article is without prejudice to
transfers of personal data to the third country, a territory or one or more
specified sectors within that third country, or the international organisation in question pursuant to Articles 46 to
49. |
|
8. The
Commission shall publish in the Official Journal of the European Union and on
its website a list of the third countries, territories and specified sectors
within a third country and international organisations
for which it has decided that an adequate level of protection is or is no
longer ensured. |
|
9. Decisions
adopted by the Commission on the basis of Article 25(6) of
Directive 95/46/EC shall remain in force until amended, replaced or
repealed by a Commission Decision adopted in accordance with paragraph 3
or 5 of this Article. |
|
Article 46 |
|
Transfers
subject to appropriate safeguards |
|
1. In
the absence of a decision pursuant to Article 45(3), a controller or processor
may transfer personal data to a third country or an international organisation only if the controller or processor has
provided appropriate safeguards, and on condition that enforceable data
subject rights and effective legal remedies for data subjects are available. |
|
2. The
appropriate safeguards referred to in paragraph 1 may be provided for,
without requiring any specific authorisation from a
supervisory authority, by: |
|
(a) | a legally
binding and enforceable instrument between public authorities or bodies; |
|
(b) | binding
corporate rules in accordance with Article 47; |
|
(c) |
standard data protection clauses adopted by the Commission in accordance with
the examination procedure referred to in Article 93(2); |
|
(d) |
standard data protection clauses adopted by a supervisory authority and
approved by the Commission pursuant to the examination procedure referred to
in Article 93(2); |
|
(e) | an
approved code of conduct pursuant to Article 40 together with binding and
enforceable commitments of the controller or processor in the third country
to apply the appropriate safeguards, including as regards data subjects'
rights; or |
|
(f) | an
approved certification mechanism pursuant to Article 42 together with
binding and enforceable commitments of the controller or processor in the
third country to apply the appropriate safeguards, including as regards data
subjects' rights. |
|
3. Subject
to the authorisation from the competent supervisory
authority, the appropriate safeguards referred to in paragraph 1 may
also be provided for, in particular, by: |
|
(a) |
contractual clauses between the controller or processor and the controller,
processor or the recipient of the personal data in the third country or
international organisation; or |
|
(b) |
provisions to be inserted into administrative arrangements between public
authorities or bodies which include enforceable and effective data subject
rights. |
|
4. The
supervisory authority shall apply the consistency mechanism referred to in
Article 63 in the cases referred to in paragraph 3 of this Article. |
|
5. Authorisations by a Member State or supervisory authority
on the basis of Article 26(2) of Directive 95/46/EC shall remain valid
until amended, replaced or repealed, if necessary, by that supervisory
authority. Decisions adopted by the Commission on the basis of Article 26(4)
of Directive 95/46/EC shall remain in force until amended, replaced or
repealed, if necessary, by a Commission Decision adopted in accordance with
paragraph 2 of this Article. |
|
Article 47 |
|
Binding
corporate rules |
|
1. The
competent supervisory authority shall approve binding corporate rules in
accordance with the consistency mechanism set out in Article 63, provided
that they: |
|
(a) | are
legally binding and apply to and are enforced by every member concerned of
the group of undertakings, or group of enterprises engaged in a joint
economic activity, including their employees; |
|
(b) |
expressly confer enforceable rights on data subjects with regard to the
processing of their personal data; and |
|
(c) | fulfil the requirements laid down in paragraph 2. |
|
2. The
binding corporate rules referred to in paragraph 1 shall specify at
least: |
|
(a) | the
structure and contact details of the group of undertakings, or group of
enterprises engaged in a joint economic activity and of each of its members; |
|
(b) | the
data transfers or set of transfers, including the categories of personal
data, the type of processing and its purposes, the type of data subjects
affected and the identification of the third country or countries in
question; |
|
(c) | their
legally binding nature, both internally and externally; |
|
(d) | the
application of the general data protection principles, in particular purpose
limitation, data minimisation, limited storage
periods, data quality, data protection by design and by default, legal basis
for processing, processing of special categories of personal data, measures
to ensure data security, and the requirements in respect of onward transfers
to bodies not bound by the binding corporate rules; |
|
(e) | the
rights of data subjects in regard to processing and the means to exercise
those rights, including the right not to be subject to decisions based solely
on automated processing, including profiling in accordance with
Article 22, the right to lodge a complaint with the competent
supervisory authority and before the competent courts of the Member States in
accordance with Article 79, and to obtain redress and, where
appropriate, compensation for a breach of the binding corporate rules; |
|
(f) | the
acceptance by the controller or processor established on the territory of a
Member State of liability for any breaches of the binding corporate
rules by any member concerned not established in the Union; the controller or
the processor shall be exempt from that liability, in whole or in part, only
if it proves that that member is not responsible for the event giving rise to
the damage; |
|
(g) | how the
information on the binding corporate rules, in particular on the provisions
referred to in points (d), (e) and (f) of this paragraph is provided to
the data subjects in addition to Articles 13 and 14; |
|
(h) | the
tasks of any data protection officer designated in accordance with
Article 37 or any other person or entity in charge of the monitoring
compliance with the binding corporate rules within the group of undertakings,
or group of enterprises engaged in a joint economic activity, as well as
monitoring training and complaint-handling; |
|
(i) | the complaint procedures; |
|
(j) | the
mechanisms within the group of undertakings, or group of enterprises engaged
in a joint economic activity for ensuring the verification of compliance with
the binding corporate rules. Such mechanisms shall include data protection
audits and methods for ensuring corrective actions to protect the rights of
the data subject. Results of such verification should be communicated to the
person or entity referred to in point (h) and to the board of the
controlling undertaking of a group of undertakings, or of the group of
enterprises engaged in a joint economic activity, and should be available
upon request to the competent supervisory authority; |
|
(k) | the
mechanisms for reporting and recording changes to the rules and reporting
those changes to the supervisory authority; |
|
(l) | the
cooperation mechanism with the supervisory authority to ensure compliance by
any member of the group of undertakings, or group of enterprises engaged in a
joint economic activity, in particular by making available to the supervisory
authority the results of verifications of the measures referred to in point
(j); |
|
(m) | the
mechanisms for reporting to the competent supervisory authority any legal
requirements to which a member of the group of undertakings, or group of
enterprises engaged in a joint economic activity is subject in a third
country which are likely to have a substantial adverse effect on the
guarantees provided by the binding corporate rules; and |
|
(n) | the
appropriate data protection training to personnel having permanent or regular
access to personal data. |
|
3. The
Commission may specify the format and procedures for the exchange of
information between controllers, processors and supervisory authorities for
binding corporate rules within the meaning of this Article. Those
implementing acts shall be adopted in accordance with the examination
procedure set out in Article 93(2). |
|
Article 48 |
|
Transfers or
disclosures not authorised by Union law |
|
Any judgment
of a court or tribunal and any decision of an administrative authority of a
third country requiring a controller or processor to transfer or disclose
personal data may only be recognised or enforceable
in any manner if based on an international agreement, such as a mutual legal
assistance treaty, in force between the requesting third country and the
Union or a Member State, without prejudice to other grounds for transfer
pursuant to this Chapter. |
|
Article 49 |
|
Derogations
for specific situations |
|
1. In
the absence of an adequacy decision pursuant to Article 45(3), or of
appropriate safeguards pursuant to Article 46, including binding
corporate rules, a transfer or a set of transfers of personal data to a third
country or an international organisation shall take
place only on one of the following conditions: |
|
(a) | the
data subject has explicitly consented to the proposed transfer, after having
been informed of the possible risks of such transfers for the data subject
due to the absence of an adequacy decision and appropriate safeguards; |
|
(b) | the
transfer is necessary for the performance of a contract between the data
subject and the controller or the implementation of pre-contractual measures
taken at the data subject's request; |
|
(c) | the
transfer is necessary for the conclusion or performance of a contract
concluded in the interest of the data subject between the controller and
another natural or legal person; |
|
(d) | the
transfer is necessary for important reasons of public interest; |
|
(e) | the
transfer is necessary for the establishment, exercise or defence
of legal claims; |
|
(f) | the
transfer is necessary in order to protect the vital interests of the data
subject or of other persons, where the data subject is physically or legally
incapable of giving consent; |
|
(g) | the
transfer is made from a register which according to Union or Member State law
is intended to provide information to the public and which is open to
consultation either by the public in general or by any person who can
demonstrate a legitimate interest, but only to the extent that the conditions
laid down by Union or Member State law for consultation are fulfilled in
the particular case. |
|
Where a
transfer could not be based on a provision in Article 45 or 46, including the
provisions on binding corporate rules, and none of the derogations for a
specific situation referred to in the first subparagraph of this paragraph is
applicable, a transfer to a third country or an international organisation may take place only if the transfer is not
repetitive, concerns only a limited number of data subjects, is necessary for
the purposes of compelling legitimate interests pursued by the controller
which are not overridden by the interests or rights and freedoms of the data
subject, and the controller has assessed all the circumstances surrounding
the data transfer and has on the basis of that assessment provided suitable
safeguards with regard to the protection of personal data. The controller
shall inform the supervisory authority of the transfer. The controller shall,
in addition to providing the information referred to in Articles 13 and
14, inform the data subject of the transfer and on the compelling legitimate
interests pursued. |
|
2. A
transfer pursuant to point (g) of the first subparagraph of paragraph 1 shall
not involve the entirety of the personal data or entire categories of the
personal data contained in the register. Where the register is intended for
consultation by persons having a legitimate interest, the transfer shall be
made only at the request of those persons or if they are to be the
recipients. |
|
3. Points
(a), (b) and (c) of the first subparagraph of paragraph 1 and the second
subparagraph thereof shall not apply to activities carried out by public
authorities in the exercise of their public powers. |
|
4. The
public interest referred to in point (d) of the first subparagraph of
paragraph 1 shall be recognised in Union law or in
the law of the Member State to which the controller is subject. |
|
5. In
the absence of an adequacy decision, Union or Member State law may, for
important reasons of public interest, expressly set limits to the transfer of
specific categories of personal data to a third country or an international organisation. Member States shall notify such provisions
to the Commission. |
|
6. The
controller or processor shall document the assessment as well as the suitable
safeguards referred to in the second subparagraph of paragraph 1 of this
Article in the records referred to in Article 30. |
|
Article 50 |
|
International
cooperation for the protection of personal data |
|
In relation
to third countries and international organisations,
the Commission and supervisory authorities shall take appropriate steps to: |
|
(a) | develop
international cooperation mechanisms to facilitate the effective enforcement
of legislation for the protection of personal data; |
|
(b) | provide
international mutual assistance in the enforcement of legislation for the
protection of personal data, including through notification, complaint
referral, investigative assistance and information exchange, subject to
appropriate safeguards for the protection of personal data and other
fundamental rights and freedoms; |
|
(c) | engage
relevant stakeholders in discussion and activities aimed at furthering international
cooperation in the enforcement of legislation for the protection of personal
data; |
|
(d) | promote
the exchange and documentation of personal data protection legislation and
practice, including on jurisdictional conflicts with third countries. |
|
CHAPTER VI |
|
Independent
supervisory authorities |
|
Section 1 |
|
Independent
status |
|
Article 51 |
|
Supervisory
authority |
|
1. Each
Member State shall provide for one or more independent public authorities to
be responsible for monitoring the application of this Regulation, in order to
protect the fundamental rights and freedoms of natural persons in relation to
processing and to facilitate the free flow of personal data within the Union
(‘supervisory authority’). |
|
2. Each
supervisory authority shall contribute to the consistent application of this
Regulation throughout the Union. For that purpose, the supervisory
authorities shall cooperate with each other and the Commission in accordance
with Chapter VII. |
|
3. Where
more than one supervisory authority is established in a Member State, that
Member State shall designate the supervisory authority which is to represent
those authorities in the Board and shall set out the mechanism to ensure
compliance by the other authorities with the rules relating to the
consistency mechanism referred to in Article 63. |
|
4. Each
Member State shall notify to the Commission the provisions of its law which
it adopts pursuant to this Chapter, by 25 May 2018 and, without delay, any
subsequent amendment affecting them. |
|
Article 52 |
|
Independence |
|
1. Each
supervisory authority shall act with complete independence in performing its
tasks and exercising its powers in accordance with this Regulation. |
|
2. The
member or members of each supervisory authority shall, in the performance of
their tasks and exercise of their powers in accordance with this Regulation,
remain free from external influence, whether direct or indirect, and shall
neither seek nor take instructions from anybody. |
|
3. Member
or members of each supervisory authority shall refrain from any action
incompatible with their duties and shall not, during their term of office,
engage in any incompatible occupation, whether gainful or not. |
|
4. Each
Member State shall ensure that each supervisory authority is provided with
the human, technical and financial resources, premises and infrastructure
necessary for the effective performance of its tasks and exercise of its
powers, including those to be carried out in the context of mutual
assistance, cooperation and participation in the Board. |
|
5. Each
Member State shall ensure that each supervisory authority chooses and has its
own staff which shall be subject to the exclusive direction of the member or
members of the supervisory authority concerned. |
|
6. Each
Member State shall ensure that each supervisory authority is subject to
financial control which does not affect its independence and that it has
separate, public annual budgets, which may be part of the overall state or
national budget. |
|
Article 53 |
|
General
conditions for the members of the supervisory authority |
|
1. Member
States shall provide for each member of their supervisory authorities to be
appointed by means of a transparent procedure by: |
|
— | their
parliament; |
|
— | their
government; |
|
— | their
head of State; or |
|
— | an
independent body entrusted with the appointment under Member State law. |
|
2. Each
member shall have the qualifications, experience and skills, in particular in
the area of the protection of personal data, required to perform its duties
and exercise its powers. |
|
3. The
duties of a member shall end in the event of the expiry of the term of
office, resignation or compulsory retirement, in accordance with the law of
the Member State concerned. |
|
4. A
member shall be dismissed only in cases of serious misconduct or if the
member no longer fulfils the conditions required for the performance of the
duties. |
|
Article 54 |
|
Rules on the
establishment of the supervisory authority |
|
1. Each
Member State shall provide by law for all of the following: |
|
(a) | the
establishment of each supervisory authority; |
|
(b) | the
qualifications and eligibility conditions required to be appointed as member
of each supervisory authority; |
|
(c) | the
rules and procedures for the appointment of the member or members of each
supervisory authority; |
|
(d) | the
duration of the term of the member or members of each supervisory authority
of no less than four years, except for the first appointment after 24 May
2016, part of which may take place for a shorter period where that is
necessary to protect the independence of the supervisory authority by means
of a staggered appointment procedure; |
|
(e) | whether
and, if so, for how many terms the member or members of each supervisory
authority is eligible for reappointment; |
|
(f) | the
conditions governing the obligations of the member or members and staff of
each supervisory authority, prohibitions on actions, occupations and benefits
incompatible therewith during and after the term of office and rules
governing the cessation of employment. |
|
2. The
member or members and the staff of each supervisory authority shall, in
accordance with Union or Member State law, be subject to a duty of
professional secrecy both during and after their term of office, with regard
to any confidential information which has come to their knowledge in the
course of the performance of their tasks or exercise of their powers. During
their term of office, that duty of professional secrecy shall in particular
apply to reporting by natural persons of infringements of this Regulation. |
|
Section 2 |
|
Competence,
tasks and powers |
|
Article 55 |
|
Competence |
|
1. Each
supervisory authority shall be competent for the performance of the tasks
assigned to and the exercise of the powers conferred on it in accordance with
this Regulation on the territory of its own Member State. |
|
2. Where
processing is carried out by public authorities or private bodies acting on
the basis of point (c) or (e) of Article 6(1), the supervisory authority
of the Member State concerned shall be competent. In such cases Article
56 does not apply. |
|
3. Supervisory
authorities shall not be competent to supervise processing operations of
courts acting in their judicial capacity. |
|
Article 56 |
|
Competence of
the lead supervisory authority |
|
1. Without
prejudice to Article 55, the supervisory authority of the main establishment
or of the single establishment of the controller or processor shall be
competent to act as lead supervisory authority for the cross-border
processing carried out by that controller or processor in accordance with the
procedure provided in Article 60. |
|
2. By
derogation from paragraph 1, each supervisory authority shall be competent to
handle a complaint lodged with it or a possible infringement of this
Regulation, if the subject matter relates only to an establishment in its
Member State or substantially affects data subjects only in its Member State. |
|
3. In
the cases referred to in paragraph 2 of this Article, the supervisory
authority shall inform the lead supervisory authority without delay on that
matter. Within a period of three weeks after being informed the lead
supervisory authority shall decide whether or not it will handle the case in
accordance with the procedure provided in Article 60, taking into account
whether or not there is an establishment of the controller or processor in
the Member State of which the supervisory authority informed it. |
|
4. Where
the lead supervisory authority decides to handle the case, the procedure
provided in Article 60 shall apply. The supervisory authority which informed
the lead supervisory authority may submit to the lead supervisory authority a
draft for a decision. The lead supervisory authority shall take utmost
account of that draft when preparing the draft decision referred to in
Article 60(3). |
|
5. Where
the lead supervisory authority decides not to handle the case, the
supervisory authority which informed the lead supervisory authority shall
handle it according to Articles 61 and 62. |
|
6. The
lead supervisory authority shall be the sole interlocutor of the controller
or processor for the cross-border processing carried out by that controller
or processor. |
|
Article 57 |
|
Tasks |
|
1. Without
prejudice to other tasks set out under this Regulation, each supervisory
authority shall on its territory: |
|
(a) | monitor
and enforce the application of this Regulation; |
|
(b) | promote
public awareness and understanding of the risks, rules, safeguards and rights
in relation to processing. Activities addressed specifically to children
shall receive specific attention; |
|
(c) | advise,
in accordance with Member State law, the national parliament, the government,
and other institutions and bodies on legislative and administrative measures
relating to the protection of natural persons' rights and freedoms with
regard to processing; |
|
(d) | promote
the awareness of controllers and processors of their obligations under this
Regulation; |
|
(e) | upon
request, provide information to any data subject concerning the exercise of
their rights under this Regulation and, if appropriate, cooperate with the
supervisory authorities in other Member States to that end; |
|
(f) | handle
complaints lodged by a data subject, or by a body, organisation
or association in accordance with Article 80, and investigate, to the
extent appropriate, the subject matter of the complaint and inform the
complainant of the progress and the outcome of the investigation within a
reasonable period, in particular if further investigation or coordination
with another supervisory authority is necessary; |
|
(g) |
cooperate with, including sharing information and provide mutual assistance
to, other supervisory authorities with a view to ensuring the consistency of
application and enforcement of this Regulation; |
|
(h) | conduct
investigations on the application of this Regulation, including on the basis
of information received from another supervisory authority or other public
authority; |
|
(i) | monitor relevant developments, insofar as they have
an impact on the protection of personal data, in particular the development
of information and communication technologies and commercial practices; |
|
(j) | adopt
standard contractual clauses referred to in Article 28(8) and in
point (d) of Article 46(2); |
|
(k) |
establish and maintain a list in relation to the requirement for data
protection impact assessment pursuant to Article 35(4); |
|
(l) | give
advice on the processing operations referred to in Article 36(2); |
|
(m) |
encourage the drawing up of codes of conduct pursuant to Article 40(1)
and provide an opinion and approve such codes of conduct which provide
sufficient safeguards, pursuant to Article 40(5); |
|
(n) | encourage
the establishment of data protection certification mechanisms and of data
protection seals and marks pursuant to Article 42(1), and approve the
criteria of certification pursuant to Article 42(5); |
|
(o) | where
applicable, carry out a periodic review of certifications issued in
accordance with Article 42(7); |
|
(p) | draft
and publish the criteria for accreditation of a body for monitoring codes of
conduct pursuant to Article 41 and of a certification body pursuant to
Article 43; |
|
(q) | conduct
the accreditation of a body for monitoring codes of conduct pursuant to
Article 41 and of a certification body pursuant to Article 43; |
|
(r) | authorise contractual clauses and provisions referred to
in Article 46(3); |
|
(s) | approve
binding corporate rules pursuant to Article 47; |
|
(t) |
contribute to the activities of the Board; |
|
(u) | keep
internal records of infringements of this Regulation and of measures taken in
accordance with Article 58(2); and |
|
(v) | fulfil any other tasks related to the protection of
personal data. |
|
2. Each
supervisory authority shall facilitate the submission of complaints referred
to in point (f) of paragraph 1 by measures such as a complaint
submission form which can also be completed electronically, without excluding
other means of communication. |
|
3. The
performance of the tasks of each supervisory authority shall be free of
charge for the data subject and, where applicable, for the data protection
officer. |
|
4. Where
requests are manifestly unfounded or excessive, in particular because of
their repetitive character, the supervisory authority may charge a reasonable
fee based on administrative costs, or refuse to act on the request. The
supervisory authority shall bear the burden of demonstrating the manifestly
unfounded or excessive character of the request. |
|
Article 58 |
|
Powers |
|
1. Each
supervisory authority shall have all of the following investigative powers: |
|
(a) | to
order the controller and the processor, and, where applicable, the
controller's or the processor's representative to provide any information it
requires for the performance of its tasks; |
|
(b) | to
carry out investigations in the form of data protection audits; |
|
(c) | to
carry out a review on certifications issued pursuant to Article 42(7); |
|
(d) | to
notify the controller or the processor of an alleged infringement of this
Regulation; |
|
(e) | to
obtain, from the controller and the processor, access to all personal data
and to all information necessary for the performance of its tasks; |
|
(f) | to
obtain access to any premises of the controller and the processor, including
to any data processing equipment and means, in accordance with Union or
Member State procedural law. |
|
2. Each
supervisory authority shall have all of the following corrective powers: |
|
(a) | to
issue warnings to a controller or processor that intended processing
operations are likely to infringe provisions of this Regulation; |
|
(b) | to issue
reprimands to a controller or a processor where processing operations have
infringed provisions of this Regulation; |
|
(c) | to
order the controller or the processor to comply with the data subject's
requests to exercise his or her rights pursuant to this Regulation; |
|
(d) | to
order the controller or processor to bring processing operations into
compliance with the provisions of this Regulation, where appropriate, in a
specified manner and within a specified period; |
|
(e) | to
order the controller to communicate a personal data breach to the data
subject; |
|
(f) | to
impose a temporary or definitive limitation including a ban on processing; |
|
(g) | to
order the rectification or erasure of personal data or restriction of
processing pursuant to Articles 16, 17 and 18 and the notification of
such actions to recipients to whom the personal data have been disclosed
pursuant to Article 17(2) and Article 19; |
|
(h) | to
withdraw a certification or to order the certification body to withdraw a
certification issued pursuant to Articles 42 and 43, or to order the
certification body not to issue certification if the requirements for the
certification are not or are no longer met; |
|
(i) | to impose an administrative fine pursuant to Article
83, in addition to, or instead of measures referred to in this paragraph,
depending on the circumstances of each individual case; |
|
(j) | to
order the suspension of data flows to a recipient in a third country or to an
international organisation. |
|
3. Each
supervisory authority shall have all of the following authorisation
and advisory powers: |
|
(a) | to
advise the controller in accordance with the prior consultation procedure
referred to in Article 36; |
|
(b) | to
issue, on its own initiative or on request, opinions to the national
parliament, the Member State government or, in accordance with Member State
law, to other institutions and bodies as well as to the public on any issue
related to the protection of personal data; |
|
(c) | to authorise processing referred to in Article 36(5), if the
law of the Member State requires such prior authorisation; |
|
(d) | to
issue an opinion and approve draft codes of conduct pursuant to Article
40(5); |
|
(e) | to
accredit certification bodies pursuant to Article 43; |
|
(f) | to
issue certifications and approve criteria of certification in accordance with
Article 42(5); |
|
(g) | to
adopt standard data protection clauses referred to in Article 28(8) and in
point (d) of Article 46(2); |
|
(h) | to authorise contractual clauses referred to in point (a) of
Article 46(3); |
|
(i) | to authorise
administrative arrangements referred to in point (b) of Article 46(3); |
|
(j) | to
approve binding corporate rules pursuant to Article 47. |
|
4. The
exercise of the powers conferred on the supervisory authority pursuant to
this Article shall be subject to appropriate safeguards, including effective
judicial remedy and due process, set out in Union and Member State law
in accordance with the Charter. |
|
5. Each
Member State shall provide by law that its supervisory authority shall
have the power to bring infringements of this Regulation to the attention of
the judicial authorities and where appropriate, to commence or engage
otherwise in legal proceedings, in order to enforce the provisions of this
Regulation. |
|
6. Each
Member State may provide by law that its supervisory authority shall have
additional powers to those referred to in paragraphs 1, 2 and 3. The
exercise of those powers shall not impair the effective operation of
Chapter VII. |
|
Article 59 |
|
Activity
reports |
|
Each
supervisory authority shall draw up an annual report on its activities, which
may include a list of types of infringement notified and types of measures
taken in accordance with Article 58(2). Those reports shall be
transmitted to the national parliament, the government and other authorities
as designated by Member State law. They shall be made available to the
public, to the Commission and to the Board. |
|
CHAPTER VII |
|
Cooperation
and consistency |
|
Section 1 |
|
Cooperation |
|
Article 60 |
|
Cooperation
between the lead supervisory authority and the other supervisory authorities
concerned |
|
1. The
lead supervisory authority shall cooperate with the other supervisory
authorities concerned in accordance with this Article in an endeavour to reach consensus. The lead supervisory
authority and the supervisory authorities concerned shall exchange all
relevant information with each other. |
|
2. The
lead supervisory authority may request at any time other supervisory
authorities concerned to provide mutual assistance pursuant to Article 61 and
may conduct joint operations pursuant to Article 62, in particular for
carrying out investigations or for monitoring the implementation of a measure
concerning a controller or processor established in another Member State. |
|
3. The
lead supervisory authority shall, without delay, communicate the relevant
information on the matter to the other supervisory authorities concerned. It
shall without delay submit a draft decision to the other supervisory
authorities concerned for their opinion and take due account of their views. |
|
4. Where
any of the other supervisory authorities concerned within a period of four
weeks after having been consulted in accordance with paragraph 3 of this
Article, expresses a relevant and reasoned objection to the draft decision,
the lead supervisory authority shall, if it does not follow the relevant and
reasoned objection or is of the opinion that the objection is not relevant or
reasoned, submit the matter to the consistency mechanism referred to in
Article 63. |
|
5. Where
the lead supervisory authority intends to follow the relevant and reasoned
objection made, it shall submit to the other supervisory authorities
concerned a revised draft decision for their opinion. That revised draft
decision shall be subject to the procedure referred to in paragraph 4
within a period of two weeks. |
|
6. Where
none of the other supervisory authorities concerned has objected to the draft
decision submitted by the lead supervisory authority within the period
referred to in paragraphs 4 and 5, the lead supervisory authority and
the supervisory authorities concerned shall be deemed to be in agreement with
that draft decision and shall be bound by it. |
|
7. The
lead supervisory authority shall adopt and notify the decision to the main
establishment or single establishment of the controller or processor, as the
case may be and inform the other supervisory authorities concerned and the
Board of the decision in question, including a summary of the relevant facts
and grounds. The supervisory authority with which a complaint has been lodged
shall inform the complainant on the decision. |
|
8. By
derogation from paragraph 7, where a complaint is dismissed or rejected, the
supervisory authority with which the complaint was lodged shall adopt the
decision and notify it to the complainant and shall inform the controller
thereof. |
|
9. Where
the lead supervisory authority and the supervisory authorities concerned
agree to dismiss or reject parts of a complaint and to act on other parts of that
complaint, a separate decision shall be adopted for each of those parts of
the matter. The lead supervisory authority shall adopt the decision for the
part concerning actions in relation to the controller, shall notify it to the
main establishment or single establishment of the controller or processor on
the territory of its Member State and shall inform the complainant thereof,
while the supervisory authority of the complainant shall adopt the decision
for the part concerning dismissal or rejection of that complaint, and shall
notify it to that complainant and shall inform the controller or processor
thereof. |
|
10. After
being notified of the decision of the lead supervisory authority pursuant to
paragraphs 7 and 9, the controller or processor shall take the necessary
measures to ensure compliance with the decision as regards processing activities
in the context of all its establishments in the Union. The controller or
processor shall notify the measures taken for complying with the decision to
the lead supervisory authority, which shall inform the other supervisory
authorities concerned. |
|
11. Where,
in exceptional circumstances, a supervisory authority concerned has reasons
to consider that there is an urgent need to act in order to protect the
interests of data subjects, the urgency procedure referred to in Article 66
shall apply. |
|
12. The
lead supervisory authority and the other supervisory authorities concerned
shall supply the information required under this Article to each other by
electronic means, using a standardised format. |
|
Article 61 |
|
Mutual
assistance |
|
1. Supervisory
authorities shall provide each other with relevant information and mutual
assistance in order to implement and apply this Regulation in a consistent
manner, and shall put in place measures for effective cooperation with one
another. Mutual assistance shall cover, in particular, information requests
and supervisory measures, such as requests to carry out prior authorisations and consultations, inspections and
investigations. |
|
2. Each
supervisory authority shall take all appropriate measures required to reply
to a request of another supervisory authority without undue delay and no
later than one month after receiving the request. Such measures may include,
in particular, the transmission of relevant information on the conduct of an
investigation. |
|
3. Requests
for assistance shall contain all the necessary information, including the
purpose of and reasons for the request. Information exchanged shall be used
only for the purpose for which it was requested. |
|
4. The
requested supervisory authority shall not refuse to comply with the request
unless: |
|
(a) | it is
not competent for the subject-matter of the request or for the measures it is
requested to execute; or |
|
(b) |
compliance with the request would infringe this Regulation or Union or
Member State law to which the supervisory authority receiving the
request is subject. |
|
5. The
requested supervisory authority shall inform the requesting supervisory
authority of the results or, as the case may be, of the progress of the measures
taken in order to respond to the request. The requested supervisory authority
shall provide reasons for any refusal to comply with a request pursuant to
paragraph 4. |
|
6. Requested
supervisory authorities shall, as a rule, supply the information requested by
other supervisory authorities by electronic means, using a standardised format. |
|
7. Requested
supervisory authorities shall not charge a fee for any action taken by them
pursuant to a request for mutual assistance. Supervisory authorities may
agree on rules to indemnify each other for specific expenditure arising from
the provision of mutual assistance in exceptional circumstances. |
|
8. Where
a supervisory authority does not provide the information referred to in
paragraph 5 of this Article within one month of receiving the request of
another supervisory authority, the requesting supervisory authority may adopt
a provisional measure on the territory of its Member State in accordance with
Article 55(1). In that case, the urgent need to act under
Article 66(1) shall be presumed to be met and require an urgent binding
decision from the Board pursuant to Article 66(2). |
|
9. The
Commission may, by means of implementing acts, specify the format and
procedures for mutual assistance referred to in this Article and the
arrangements for the exchange of information by electronic means between
supervisory authorities, and between supervisory authorities and the Board,
in particular the standardised format referred to
in paragraph 6 of this Article. Those implementing acts shall be adopted
in accordance with the examination procedure referred to in
Article 93(2). |
|
Article 62 |
|
Joint
operations of supervisory authorities |
|
1. The
supervisory authorities shall, where appropriate, conduct joint operations
including joint investigations and joint enforcement measures in which
members or staff of the supervisory authorities of other Member States are
involved. |
|
2. Where
the controller or processor has establishments in several Member States
or where a significant number of data subjects in more than one Member State
are likely to be substantially affected by processing operations, a
supervisory authority of each of those Member States shall have the right to
participate in joint operations. The supervisory authority which is competent
pursuant to Article 56(1) or (4) shall invite the supervisory authority
of each of those Member States to take part in the joint operations and shall
respond without delay to the request of a supervisory authority to
participate. |
|
3. A
supervisory authority may, in accordance with Member State law, and with
the seconding supervisory authority's authorisation,
confer powers, including investigative powers on the seconding supervisory
authority's members or staff involved in joint operations or, in so far as
the law of the Member State of the host supervisory authority permits,
allow the seconding supervisory authority's members or staff to exercise
their investigative powers in accordance with the law of the
Member State of the seconding supervisory authority. Such investigative
powers may be exercised only under the guidance and in the presence of
members or staff of the host supervisory authority. The seconding supervisory
authority's members or staff shall be subject to the Member State law of
the host supervisory authority. |
|
4. Where,
in accordance with paragraph 1, staff of a seconding supervisory authority
operate in another Member State, the Member State of the host
supervisory authority shall assume responsibility for their actions,
including liability, for any damage caused by them during their operations,
in accordance with the law of the Member State in whose territory they
are operating. |
|
5. The
Member State in whose territory the damage was caused shall make good such
damage under the conditions applicable to damage caused by its own staff. The
Member State of the seconding supervisory authority whose staff has
caused damage to any person in the territory of another Member State
shall reimburse that other Member State in full any sums it has paid to
the persons entitled on their behalf. |
|
6. Without
prejudice to the exercise of its rights vis-à-vis third parties and with the
exception of paragraph 5, each Member State shall refrain, in the
case provided for in paragraph 1, from requesting reimbursement from
another Member State in relation to damage referred to in paragraph 4. |
|
7. Where
a joint operation is intended and a supervisory authority does not, within
one month, comply with the obligation laid down in the second sentence of
paragraph 2 of this Article, the other supervisory authorities may adopt
a provisional measure on the territory of its Member State in accordance with
Article 55. In that case, the urgent need to act under Article 66(1) shall be
presumed to be met and require an opinion or an urgent binding decision from
the Board pursuant to Article 66(2). |
|
Section 2 |
|
Consistency |
|
Article 63 |
|
Consistency
mechanism |
|
In order to
contribute to the consistent application of this Regulation throughout the
Union, the supervisory authorities shall cooperate with each other and, where
relevant, with the Commission, through the consistency mechanism as set out
in this Section. |
|
Article 64 |
|
Opinion of
the Board |
|
1. The
Board shall issue an opinion where a competent supervisory authority intends
to adopt any of the measures below. To that end, the competent supervisory
authority shall communicate the draft decision to the Board, when it: |
|
(a) | aims to
adopt a list of the processing operations subject to the requirement for a
data protection impact assessment pursuant to Article 35(4); |
|
(b) |
concerns a matter pursuant to Article 40(7) whether a draft code of
conduct or an amendment or extension to a code of conduct complies with this
Regulation; |
|
(c) | aims to
approve the criteria for accreditation of a body pursuant to
Article 41(3) or a certification body pursuant to Article 43(3); |
|
(d) | aims to
determine standard data protection clauses referred to in point (d) of
Article 46(2) and in Article 28(8); |
|
(e) | aims to
authorise contractual clauses referred to in point
(a) of Article 46(3); or |
|
(f) | aims to
approve binding corporate rules within the meaning of Article 47. |
|
2. Any
supervisory authority, the Chair of the Board or the Commission may request
that any matter of general application or producing effects in more than one
Member State be examined by the Board with a view to obtaining an
opinion, in particular where a competent supervisory authority does not
comply with the obligations for mutual assistance in accordance with
Article 61 or for joint operations in accordance with Article 62. |
|
3. In
the cases referred to in paragraphs 1 and 2, the Board shall issue an opinion
on the matter submitted to it provided that it has not already issued an
opinion on the same matter. That opinion shall be adopted within eight weeks
by simple majority of the members of the Board. That period may be extended
by a further six weeks, taking into account the complexity of the subject
matter. Regarding the draft decision referred to in paragraph 1
circulated to the members of the Board in accordance with paragraph 5, a
member which has not objected within a reasonable period indicated by the
Chair, shall be deemed to be in agreement with the draft decision. |
|
4. Supervisory
authorities and the Commission shall, without undue delay, communicate by
electronic means to the Board, using a standardised
format any relevant information, including as the case may be a summary of
the facts, the draft decision, the grounds which make the enactment of such
measure necessary, and the views of other supervisory authorities concerned. |
|
5. The
Chair of the Board shall, without undue, delay inform by electronic means: |
|
(a) | the
members of the Board and the Commission of any relevant information which has
been communicated to it using a standardised
format. The secretariat of the Board shall, where necessary, provide
translations of relevant information; and |
|
(b) | the
supervisory authority referred to, as the case may be, in paragraphs 1
and 2, and the Commission of the opinion and make it public. |
|
6. The
competent supervisory authority shall not adopt its draft decision referred
to in paragraph 1 within the period referred to in paragraph 3. |
|
7. The
supervisory authority referred to in paragraph 1 shall take utmost account of
the opinion of the Board and shall, within two weeks after receiving the
opinion, communicate to the Chair of the Board by electronic means whether it
will maintain or amend its draft decision and, if any, the amended draft
decision, using a standardised format. |
|
8. Where
the supervisory authority concerned informs the Chair of the Board within the
period referred to in paragraph 7 of this Article that it does not intend to
follow the opinion of the Board, in whole or in part, providing the relevant
grounds, Article 65(1) shall apply. |
|
Article 65 |
|
Dispute
resolution by the Board |
|
1. In
order to ensure the correct and consistent application of this Regulation in
individual cases, the Board shall adopt a binding decision in the following
cases: |
|
(a) | where,
in a case referred to in Article 60(4), a supervisory authority concerned has
raised a relevant and reasoned objection to a draft decision of the lead authority
or the lead authority has rejected such an objection as being not relevant or
reasoned. The binding decision shall concern all the matters which are the
subject of the relevant and reasoned objection, in particular whether there
is an infringement of this Regulation; |
|
(b) | where
there are conflicting views on which of the supervisory authorities concerned
is competent for the main establishment; |
|
(c) | where a
competent supervisory authority does not request the opinion of the Board in
the cases referred to in Article 64(1), or does not follow the opinion
of the Board issued under Article 64. In that case, any supervisory
authority concerned or the Commission may communicate the matter to the
Board. |
|
2. The
decision referred to in paragraph 1 shall be adopted within one month from
the referral of the subject-matter by a two-thirds majority of the members of
the Board. That period may be extended by a further month on account of the
complexity of the subject-matter. The decision referred to in paragraph 1
shall be reasoned and addressed to the lead supervisory authority and all the
supervisory authorities concerned and binding on them. |
|
3. Where
the Board has been unable to adopt a decision within the periods referred to
in paragraph 2, it shall adopt its decision within two weeks following
the expiration of the second month referred to in paragraph 2 by a simple
majority of the members of the Board. Where the members of the Board are
split, the decision shall by adopted by the vote of its Chair. |
|
4. The
supervisory authorities concerned shall not adopt a decision on the subject
matter submitted to the Board under paragraph 1 during the periods referred
to in paragraphs 2 and 3. |
|
5. The
Chair of the Board shall notify, without undue delay, the decision referred
to in paragraph 1 to the supervisory authorities concerned. It shall inform
the Commission thereof. The decision shall be published on the website of the
Board without delay after the supervisory authority has notified the final
decision referred to in paragraph 6. |
|
6. The
lead supervisory authority or, as the case may be, the supervisory authority
with which the complaint has been lodged shall adopt its final decision on
the basis of the decision referred to in paragraph 1 of this Article, without
undue delay and at the latest by one month after the Board has notified its
decision. The lead supervisory authority or, as the case may be, the
supervisory authority with which the complaint has been lodged, shall inform
the Board of the date when its final decision is notified respectively to the
controller or the processor and to the data subject. The final decision of
the supervisory authorities concerned shall be adopted under the terms of
Article 60(7), (8) and (9). The final decision shall refer to the
decision referred to in paragraph 1 of this Article and shall specify
that the decision referred to in that paragraph will be published on the website
of the Board in accordance with paragraph 5 of this Article. The final
decision shall attach the decision referred to in paragraph 1 of this
Article. |
|
Article 66 |
|
Urgency
procedure |
|
1. In
exceptional circumstances, where a supervisory authority concerned considers
that there is an urgent need to act in order to protect the rights and
freedoms of data subjects, it may, by way of derogation from the consistency
mechanism referred to in Articles 63, 64 and 65 or the procedure
referred to in Article 60, immediately adopt provisional measures
intended to produce legal effects on its own territory with a specified
period of validity which shall not exceed three months. The supervisory
authority shall, without delay, communicate those measures and the reasons
for adopting them to the other supervisory authorities concerned, to the
Board and to the Commission. |
|
2. Where
a supervisory authority has taken a measure pursuant to paragraph 1 and
considers that final measures need urgently be adopted, it may request an
urgent opinion or an urgent binding decision from the Board, giving reasons
for requesting such opinion or decision. |
|
3. Any
supervisory authority may request an urgent opinion or an urgent binding
decision, as the case may be, from the Board where a competent supervisory
authority has not taken an appropriate measure in a situation where there is
an urgent need to act, in order to protect the rights and freedoms of data
subjects, giving reasons for requesting such opinion or decision, including
for the urgent need to act. |
|
4. By
derogation from Article 64(3) and Article 65(2), an urgent opinion or an
urgent binding decision referred to in paragraphs 2 and 3 of this
Article shall be adopted within two weeks by simple majority of the members
of the Board. |
|
Article 67 |
|
Exchange of
information |
|
The
Commission may adopt implementing acts of general scope in order to specify
the arrangements for the exchange of information by electronic means between
supervisory authorities, and between supervisory authorities and the Board,
in particular the standardised format referred to
in Article 64. |
|
Those
implementing acts shall be adopted in accordance with the examination
procedure referred to in Article 93(2). |
|
Section 3 |
|
European data
protection board |
|
Article 68 |
|
European Data
Protection Board |
|
1. The
European Data Protection Board (the ‘Board’) is hereby established as a body
of the Union and shall have legal personality. |
|
2. The
Board shall be represented by its Chair. |
|
3. The
Board shall be composed of the head of one supervisory authority of each
Member State and of the European Data Protection Supervisor, or their
respective representatives. |
|
4. Where
in a Member State more than one supervisory authority is responsible for
monitoring the application of the provisions pursuant to this Regulation, a
joint representative shall be appointed in accordance with that Member
State's law. |
|
5. The
Commission shall have the right to participate in the activities and meetings
of the Board without voting right. The Commission shall designate a
representative. The Chair of the Board shall communicate to the Commission
the activities of the Board. |
|
6. In
the cases referred to in Article 65, the European Data Protection Supervisor
shall have voting rights only on decisions which concern principles and rules
applicable to the Union institutions, bodies, offices and agencies which
correspond in substance to those of this Regulation. |
|
Article 69 |
|
Independence |
|
1. The
Board shall act independently when performing its tasks or exercising its
powers pursuant to Articles 70 and 71. |
|
2. Without
prejudice to requests by the Commission referred to in point (b) of Article
70(1) and in Article 70(2), the Board shall, in the performance of its tasks
or the exercise of its powers, neither seek nor take instructions from
anybody. |
|
Article 70 |
|
Tasks of the
Board |
|
1. The
Board shall ensure the consistent application of this Regulation. To that
end, the Board shall, on its own initiative or, where relevant, at the
request of the Commission, in particular: |
|
(a) | monitor
and ensure the correct application of this Regulation in the cases provided
for in Articles 64 and 65 without prejudice to the tasks of national
supervisory authorities; |
|
(b) | advise
the Commission on any issue related to the protection of personal data in the
Union, including on any proposed amendment of this Regulation; |
|
(c) | advise
the Commission on the format and procedures for the exchange of information
between controllers, processors and supervisory authorities for binding
corporate rules; |
|
(d) | issue
guidelines, recommendations, and best practices on procedures for erasing
links, copies or replications of personal data from publicly available
communication services as referred to in Article 17(2); |
|
(e) |
examine, on its own initiative, on request of one of its members or on
request of the Commission, any question covering the application of this
Regulation and issue guidelines, recommendations and best practices in order
to encourage consistent application of this Regulation; |
|
(f) | issue
guidelines, recommendations and best practices in accordance with
point (e) of this paragraph for further specifying the criteria and conditions
for decisions based on profiling pursuant to Article 22(2); |
|
(g) | issue
guidelines, recommendations and best practices in accordance with
point (e) of this paragraph for establishing the personal data breaches
and determining the undue delay referred to in Article 33(1) and (2) and for
the particular circumstances in which a controller or a processor is required
to notify the personal data breach; |
|
(h) | issue
guidelines, recommendations and best practices in accordance with
point (e) of this paragraph as to the circumstances in which a personal
data breach is likely to result in a high risk to the rights and freedoms of
the natural persons referred to in Article 34(1). |
|
(i) | issue guidelines, recommendations and best practices
in accordance with point (e) of this paragraph for the purpose of
further specifying the criteria and requirements for personal data transfers
based on binding corporate rules adhered to by controllers and binding
corporate rules adhered to by processors and on further necessary
requirements to ensure the protection of personal data of the data subjects
concerned referred to in Article 47; |
|
(j) | issue
guidelines, recommendations and best practices in accordance with
point (e) of this paragraph for the purpose of further specifying the
criteria and requirements for the personal data transfers on the basis of
Article 49(1); |
|
(k) | draw up
guidelines for supervisory authorities concerning the application of measures
referred to in Article 58(1), (2) and (3) and the setting of administrative
fines pursuant to Article 83; |
|
(l) | review
the practical application of the guidelines, recommendations and best
practices referred to in points (e) and (f); |
|
(m) | issue
guidelines, recommendations and best practices in accordance with
point (e) of this paragraph for establishing common procedures for
reporting by natural persons of infringements of this Regulation pursuant to
Article 54(2); |
|
(n) |
encourage the drawing-up of codes of conduct and the establishment of data
protection certification mechanisms and data protection seals and marks
pursuant to Articles 40 and 42; |
|
(o) | carry
out the accreditation of certification bodies and its periodic review
pursuant to Article 43 and maintain a public register of accredited bodies
pursuant to Article 43(6) and of the accredited controllers or
processors established in third countries pursuant to Article 42(7); |
|
(p) | specify
the requirements referred to in Article 43(3) with a view to the
accreditation of certification bodies under Article 42; |
|
(q) | provide
the Commission with an opinion on the certification requirements referred to
in Article 43(8); |
|
(r) | provide
the Commission with an opinion on the icons referred to in
Article 12(7); |
|
(s) | provide
the Commission with an opinion for the assessment of the adequacy of the
level of protection in a third country or international organisation,
including for the assessment whether a third country, a territory or one or
more specified sectors within that third country, or an international organisation no longer ensures an adequate level of
protection. To that end, the Commission shall provide the Board with all
necessary documentation, including correspondence with the government of the
third country, with regard to that third country, territory or specified
sector, or with the international organisation. |
|
(t) | issue
opinions on draft decisions of supervisory authorities pursuant to the
consistency mechanism referred to in Article 64(1), on matters submitted
pursuant to Article 64(2) and to issue binding decisions pursuant to Article
65, including in cases referred to in Article 66; |
|
(u) | promote
the cooperation and the effective bilateral and multilateral exchange of
information and best practices between the supervisory authorities; |
|
(v) | promote
common training programmes and facilitate personnel
exchanges between the supervisory authorities and, where appropriate, with the
supervisory authorities of third countries or with international organisations; |
|
(w) | promote
the exchange of knowledge and documentation on data protection legislation
and practice with data protection supervisory authorities worldwide. |
|
(x) | issue
opinions on codes of conduct drawn up at Union level pursuant to
Article 40(9); and |
|
(y) |
maintain a publicly accessible electronic register of decisions taken by
supervisory authorities and courts on issues handled in the consistency
mechanism. |
|
2. Where
the Commission requests advice from the Board, it may indicate a time limit,
taking into account the urgency of the matter. |
|
3. The
Board shall forward its opinions, guidelines, recommendations, and best
practices to the Commission and to the committee referred to in Article 93
and make them public. |
|
4. The
Board shall, where appropriate, consult interested parties and give them the
opportunity to comment within a reasonable period. The Board shall, without
prejudice to Article 76, make the results of the consultation procedure
publicly available. |
|
Article 71 |
|
Reports |
|
1. The
Board shall draw up an annual report regarding the protection of natural
persons with regard to processing in the Union and, where relevant, in third
countries and international organisations. The
report shall be made public and be transmitted to the European Parliament, to
the Council and to the Commission. |
|
2. The
annual report shall include a review of the practical application of the
guidelines, recommendations and best practices referred to in point (l) of Article
70(1) as well as of the binding decisions referred to in Article 65. |
|
Article 72 |
|
Procedure |
|
1. The
Board shall take decisions by a simple majority of its members, unless
otherwise provided for in this Regulation. |
|
2. The
Board shall adopt its own rules of procedure by a two-thirds majority of its
members and organise its own operational
arrangements. |
|
Article 73 |
|
Chair |
|
1. The
Board shall elect a chair and two deputy chairs from amongst its members by
simple majority. |
|
2. The
term of office of the Chair and of the deputy chairs shall be five years and
be renewable once. |
|
Article 74 |
|
Tasks of the
Chair |
|
1. The
Chair shall have the following tasks: |
|
(a) | to
convene the meetings of the Board and prepare its agenda; |
|
(b) | to
notify decisions adopted by the Board pursuant to Article 65 to the lead
supervisory authority and the supervisory authorities concerned; |
|
(c) | to
ensure the timely performance of the tasks of the Board, in particular in
relation to the consistency mechanism referred to in Article 63. |
|
2. The
Board shall lay down the allocation of tasks between the Chair and the deputy
chairs in its rules of procedure. |
|
Article 75 |
|
Secretariat |
|
1. The
Board shall have a secretariat, which shall be provided by the European Data
Protection Supervisor. |
|
2. The
secretariat shall perform its tasks exclusively under the instructions of the
Chair of the Board. |
|
3. The
staff of the European Data Protection Supervisor involved in carrying out the
tasks conferred on the Board by this Regulation shall be subject to separate
reporting lines from the staff involved in carrying out tasks conferred on
the European Data Protection Supervisor. |
|
4. Where
appropriate, the Board and the European Data Protection Supervisor shall
establish and publish a Memorandum of Understanding implementing this
Article, determining the terms of their cooperation, and applicable to the
staff of the European Data Protection Supervisor involved in carrying out the
tasks conferred on the Board by this Regulation. |
|
5. The
secretariat shall provide analytical, administrative and logistical support
to the Board. |
|
6. The
secretariat shall be responsible in particular for: |
|
(a) | the
day-to-day business of the Board; |
|
(b) |
communication between the members of the Board, its Chair and the Commission; |
|
(c) |
communication with other institutions and the public; |
|
(d) | the use
of electronic means for the internal and external communication; |
|
(e) | the
translation of relevant information; |
|
(f) | the
preparation and follow-up of the meetings of the Board; |
|
(g) | the
preparation, drafting and publication of opinions, decisions on the
settlement of disputes between supervisory authorities and other texts
adopted by the Board. |
|
Article 76 |
|
Confidentiality |
|
1. The
discussions of the Board shall be confidential where the Board deems it
necessary, as provided for in its rules of procedure. |
|
2. Access
to documents submitted to members of the Board, experts and representatives
of third parties shall be governed by Regulation (EC) No 1049/2001 of
the European Parliament and of the Council (21). |
|
CHAPTER VIII |
|
Remedies,
liability and penalties |
|
Article 77 |
|
Right to
lodge a complaint with a supervisory authority |
|
1. Without
prejudice to any other administrative or judicial remedy, every data subject
shall have the right to lodge a complaint with a supervisory authority, in
particular in the Member State of his or her habitual residence, place of
work or place of the alleged infringement if the data subject considers that
the processing of personal data relating to him or her infringes this
Regulation. |
|
2. The
supervisory authority with which the complaint has been lodged shall inform
the complainant on the progress and the outcome of the complaint including
the possibility of a judicial remedy pursuant to Article 78. |
|
Article 78 |
|
Right to an
effective judicial remedy against a supervisory authority |
|
1. Without
prejudice to any other administrative or non-judicial remedy, each natural or
legal person shall have the right to an effective judicial remedy against a
legally binding decision of a supervisory authority concerning them. |
|
2. Without
prejudice to any other administrative or non-judicial remedy, each data
subject shall have the right to a an effective judicial remedy where the
supervisory authority which is competent pursuant to Articles 55 and 56
does not handle a complaint or does not inform the data subject within three
months on the progress or outcome of the complaint lodged pursuant to
Article 77. |
|
3. Proceedings
against a supervisory authority shall be brought before the courts of the Member State
where the supervisory authority is established. |
|
4. Where
proceedings are brought against a decision of a supervisory authority which
was preceded by an opinion or a decision of the Board in the consistency
mechanism, the supervisory authority shall forward that opinion or decision
to the court. |
|
Article 79 |
|
Right to an
effective judicial remedy against a controller or processor |
|
1. Without
prejudice to any available administrative or non-judicial remedy, including
the right to lodge a complaint with a supervisory authority pursuant to
Article 77, each data subject shall have the right to an effective
judicial remedy where he or she considers that his or her rights under this
Regulation have been infringed as a result of the processing of his or her
personal data in non-compliance with this Regulation. |
|
2. Proceedings
against a controller or a processor shall be brought before the courts of the
Member State where the controller or processor has an establishment.
Alternatively, such proceedings may be brought before the courts of the
Member State where the data subject has his or her habitual residence,
unless the controller or processor is a public authority of a Member State
acting in the exercise of its public powers. |
|
Article 80 |
|
Representation
of data subjects |
|
1. The
data subject shall have the right to mandate a not-for-profit body, organisation or association which has been properly
constituted in accordance with the law of a Member State, has statutory
objectives which are in the public interest, and is active in the field of
the protection of data subjects' rights and freedoms with regard to the
protection of their personal data to lodge the complaint on his or her
behalf, to exercise the rights referred to in Articles 77, 78 and 79 on
his or her behalf, and to exercise the right to receive compensation referred
to in Article 82 on his or her behalf where provided for by
Member State law. |
|
2. Member
States may provide that any body, organisation or association referred to in
paragraph 1 of this Article, independently of a data subject's mandate,
has the right to lodge, in that Member State, a complaint with the
supervisory authority which is competent pursuant to Article 77 and to
exercise the rights referred to in Articles 78 and 79 if it
considers that the rights of a data subject under this Regulation have been
infringed as a result of the processing. |
|
Article 81 |
|
Suspension of
proceedings |
|
1. Where
a competent court of a Member State has information on proceedings,
concerning the same subject matter as regards processing by the same
controller or processor, that are pending in a court in another
Member State, it shall contact that court in the other Member State
to confirm the existence of such proceedings. |
|
2. Where
proceedings concerning the same subject matter as regards processing of the
same controller or processor are pending in a court in another
Member State, any competent court other than the court first seized may
suspend its proceedings. |
|
3. Where
those proceedings are pending at first instance, any court other than the
court first seized may also, on the application of one of the parties,
decline jurisdiction if the court first seized has jurisdiction over the
actions in question and its law permits the consolidation thereof. |
|
Article 82 |
|
Right to compensation
and liability |
|
1. Any
person who has suffered material or non-material damage as a result of an
infringement of this Regulation shall have the right to receive compensation
from the controller or processor for the damage suffered. |
|
2. Any
controller involved in processing shall be liable for the damage caused by
processing which infringes this Regulation. A processor shall be liable for
the damage caused by processing only where it has not complied with
obligations of this Regulation specifically directed to processors or where
it has acted outside or contrary to lawful instructions of the controller. |
|
3. A
controller or processor shall be exempt from liability under paragraph 2
if it proves that it is not in any way responsible for the event giving rise
to the damage. |
|
4. Where
more than one controller or processor, or both a controller and a processor,
are involved in the same processing and where they are, under
paragraphs 2 and 3, responsible for any damage caused by processing,
each controller or processor shall be held liable for the entire damage in
order to ensure effective compensation of the data subject. |
|
5. Where
a controller or processor has, in accordance with paragraph 4, paid full
compensation for the damage suffered, that controller or processor shall be
entitled to claim back from the other controllers or processors involved in
the same processing that part of the compensation corresponding to their part
of responsibility for the damage, in accordance with the conditions set out
in paragraph 2. |
|
6. Court
proceedings for exercising the right to receive compensation shall be brought
before the courts competent under the law of the Member State referred to in
Article 79(2). |
|
Article 83 |
|
General
conditions for imposing administrative fines |
|
1. Each
supervisory authority shall ensure that the imposition of administrative
fines pursuant to this Article in respect of infringements of this Regulation
referred to in paragraphs 4, 5 and 6 shall in each individual case be
effective, proportionate and dissuasive. |
|
2. Administrative
fines shall, depending on the circumstances of each individual case, be
imposed in addition to, or instead of, measures referred to in points (a) to
(h) and (j) of Article 58(2). When deciding whether to impose an
administrative fine and deciding on the amount of the administrative fine in
each individual case due regard shall be given to the following: |
|
(a) | the
nature, gravity and duration of the infringement taking into account the
nature scope or purpose of the processing concerned as well as the number of
data subjects affected and the level of damage suffered by them; |
|
(b) | the
intentional or negligent character of the infringement; |
|
(c) | any
action taken by the controller or processor to mitigate the damage suffered
by data subjects; |
|
(d) | the
degree of responsibility of the controller or processor taking into account
technical and organisational measures implemented
by them pursuant to Articles 25 and 32; |
|
(e) | any
relevant previous infringements by the controller or processor; |
|
(f) | the
degree of cooperation with the supervisory authority, in order to remedy the
infringement and mitigate the possible adverse effects of the infringement; |
|
(g) | the
categories of personal data affected by the infringement; |
|
(h) | the
manner in which the infringement became known to the supervisory authority,
in particular whether, and if so to what extent, the controller or processor
notified the infringement; |
|
(i) | where measures referred to in Article 58(2) have
previously been ordered against the controller or processor concerned with
regard to the same subject-matter, compliance with those measures; |
|
(j) |
adherence to approved codes of conduct pursuant to Article 40 or approved
certification mechanisms pursuant to Article 42; and |
|
(k) | any
other aggravating or mitigating factor applicable to the circumstances of the
case, such as financial benefits gained, or losses avoided, directly or
indirectly, from the infringement. |
|
3. If
a controller or processor intentionally or negligently, for the same or
linked processing operations, infringes several provisions of this
Regulation, the total amount of the administrative fine shall not exceed the
amount specified for the gravest infringement. |
|
4. Infringements
of the following provisions shall, in accordance with paragraph 2, be subject
to administrative fines up to 10 000 000 EUR, or in the case
of an undertaking, up to 2 % of the total worldwide annual turnover of the
preceding financial year, whichever is higher: |
|
(a) | the
obligations of the controller and the processor pursuant to Articles 8, 11,
25 to 39 and 42 and 43; |
|
(b) | the
obligations of the certification body pursuant to Articles 42 and 43; |
|
(c) | the
obligations of the monitoring body pursuant to Article 41(4). |
|
5. Infringements
of the following provisions shall, in accordance with paragraph 2, be subject
to administrative fines up to 20 000 000 EUR, or in the case of an
undertaking, up to 4 % of the total worldwide annual turnover of the
preceding financial year, whichever is higher: |
|
(a) | the basic
principles for processing, including conditions for consent, pursuant to
Articles 5, 6, 7 and 9; |
|
(b) | the
data subjects' rights pursuant to Articles 12 to 22; |
|
(c) | the
transfers of personal data to a recipient in a third country or an
international organisation pursuant to
Articles 44 to 49; |
|
(d) | any
obligations pursuant to Member State law adopted under Chapter IX; |
|
(e) |
non-compliance with an order or a temporary or definitive limitation on
processing or the suspension of data flows by the supervisory authority
pursuant to Article 58(2) or failure to provide access in violation of
Article 58(1). |
|
6. Non-compliance
with an order by the supervisory authority as referred to in
Article 58(2) shall, in accordance with paragraph 2 of this Article, be subject
to administrative fines up to 20 000 000 EUR, or in the case of an
undertaking, up to 4 % of the total worldwide annual turnover of the
preceding financial year, whichever is higher. |
|
7. Without
prejudice to the corrective powers of supervisory authorities pursuant to
Article 58(2), each Member State may lay down the rules on whether
and to what extent administrative fines may be imposed on public authorities
and bodies established in that Member State. |
|
8. The
exercise by the supervisory authority of its powers under this Article shall
be subject to appropriate procedural safeguards in accordance with Union and
Member State law, including effective judicial remedy and due process. |
|
9. Where
the legal system of the Member State does not provide for administrative
fines, this Article may be applied in such a manner that the fine is
initiated by the competent supervisory authority and imposed by competent
national courts, while ensuring that those legal remedies are effective and
have an equivalent effect to the administrative fines imposed by supervisory
authorities. In any event, the fines imposed shall be effective,
proportionate and dissuasive. Those Member States shall notify to the
Commission the provisions of their laws which they adopt pursuant to this
paragraph by 25 May 2018 and, without delay, any subsequent amendment law or
amendment affecting them. |
|
Article 84 |
|
Penalties |
|
1. Member
States shall lay down the rules on other penalties applicable to infringements
of this Regulation in particular for infringements which are not subject to
administrative fines pursuant to Article 83, and shall take all measures
necessary to ensure that they are implemented. Such penalties shall be
effective, proportionate and dissuasive. |
|
2. Each
Member State shall notify to the Commission the provisions of its law which
it adopts pursuant to paragraph 1, by 25 May 2018 and, without delay,
any subsequent amendment affecting them. |
|
CHAPTER IX |
|
Provisions
relating to specific processing situations |
|
Article 85 |
|
Processing
and freedom of expression and information |
|
1. Member
States shall by law reconcile the right to the protection of personal data
pursuant to this Regulation with the right to freedom of expression and
information, including processing for journalistic purposes and the purposes
of academic, artistic or literary expression. |
|
2. For
processing carried out for journalistic purposes or the purpose of academic
artistic or literary expression, Member States shall provide for
exemptions or derogations from Chapter II (principles), Chapter III (rights
of the data subject), Chapter IV (controller and processor), Chapter V
(transfer of personal data to third countries or international organisations), Chapter VI (independent supervisory
authorities), Chapter VII (cooperation and consistency) and
Chapter IX (specific data processing situations) if they are necessary
to reconcile the right to the protection of personal data with the freedom of
expression and information. |
|
3. Each
Member State shall notify to the Commission the provisions of its law which
it has adopted pursuant to paragraph 2 and, without delay, any
subsequent amendment law or amendment affecting them. |
|
Article 86 |
|
Processing
and public access to official documents |
|
Personal data
in official documents held by a public authority or a public body or a
private body for the performance of a task carried out in the public interest
may be disclosed by the authority or body in accordance with Union or Member
State law to which the public authority or body is subject in order to
reconcile public access to official documents with the right to the
protection of personal data pursuant to this Regulation. |
|
Article 87 |
|
Processing of
the national identification number |
|
Member States
may further determine the specific conditions for the processing of a
national identification number or any other identifier of general
application. In that case the national identification number or any other
identifier of general application shall be used only under appropriate
safeguards for the rights and freedoms of the data subject pursuant to this
Regulation. |
|
Article 88 |
|
Processing in
the context of employment |
|
1. Member
States may, by law or by collective agreements, provide for more specific
rules to ensure the protection of the rights and freedoms in respect of the
processing of employees' personal data in the employment context, in
particular for the purposes of the recruitment, the performance of the
contract of employment, including discharge of obligations laid down by law
or by collective agreements, management, planning and organisation
of work, equality and diversity in the workplace, health and safety at work,
protection of employer's or customer's property and for the purposes of the
exercise and enjoyment, on an individual or collective basis, of rights and
benefits related to employment, and for the purpose of the termination of the
employment relationship. |
|
2. Those
rules shall include suitable and specific measures to safeguard the data
subject's human dignity, legitimate interests and fundamental rights, with
particular regard to the transparency of processing, the transfer of personal
data within a group of undertakings, or a group of enterprises engaged in a
joint economic activity and monitoring systems at the work place. |
|
3. Each
Member State shall notify to the Commission those provisions of its law which
it adopts pursuant to paragraph 1, by 25 May 2018 and, without delay, any
subsequent amendment affecting them. |
|
Article 89 |
|
Safeguards
and derogations relating to processing for archiving purposes in the public
interest, scientific or historical research purposes or statistical purposes |
|
1. Processing
for archiving purposes in the public interest, scientific or historical
research purposes or statistical purposes, shall be subject to appropriate
safeguards, in accordance with this Regulation, for the rights and freedoms
of the data subject. Those safeguards shall ensure that technical and organisational measures are in place in particular in
order to ensure respect for the principle of data minimisation.
Those measures may include pseudonymisation
provided that those purposes can be fulfilled in that manner. Where those
purposes can be fulfilled by further processing which does not permit or no
longer permits the identification of data subjects, those purposes shall be
fulfilled in that manner. |
|
2. Where
personal data are processed for scientific or historical research purposes or
statistical purposes, Union or Member State law may provide for derogations
from the rights referred to in Articles 15, 16, 18 and 21 subject to the
conditions and safeguards referred to in paragraph 1 of this Article in so
far as such rights are likely to render impossible or seriously impair the
achievement of the specific purposes, and such derogations are necessary for
the fulfilment of those purposes. |
|
3. Where
personal data are processed for archiving purposes in the public interest,
Union or Member State law may provide for derogations from the rights
referred to in Articles 15, 16, 18, 19, 20 and 21 subject to the
conditions and safeguards referred to in paragraph 1 of this Article in so
far as such rights are likely to render impossible or seriously impair the
achievement of the specific purposes, and such derogations are necessary for
the fulfilment of those purposes. |
|
4. Where
processing referred to in paragraphs 2 and 3 serves at the same time another
purpose, the derogations shall apply only to processing for the purposes
referred to in those paragraphs. |
|
Article 90 |
|
Obligations
of secrecy |
|
1. Member
States may adopt specific rules to set out the powers of the supervisory
authorities laid down in points (e) and (f) of Article 58(1) in relation to
controllers or processors that are subject, under Union or Member State law
or rules established by national competent bodies, to an obligation of
professional secrecy or other equivalent obligations of secrecy where this is
necessary and proportionate to reconcile the right of the protection of
personal data with the obligation of secrecy. Those rules shall apply only
with regard to personal data which the controller or processor has received
as a result of or has obtained in an activity covered by that obligation of
secrecy. |
|
2. Each
Member State shall notify to the Commission the rules adopted pursuant to
paragraph 1, by 25 May 2018 and, without delay, any subsequent amendment
affecting them. |
|
Article 91 |
|
Existing data
protection rules of churches and religious associations |
|
1. Where
in a Member State, churches and religious associations or communities apply,
at the time of entry into force of this Regulation, comprehensive rules
relating to the protection of natural persons with regard to processing, such
rules may continue to apply, provided that they are brought into line with
this Regulation. |
|
2. Churches
and religious associations which apply comprehensive rules in accordance with
paragraph 1 of this Article shall be subject to the supervision of an
independent supervisory authority, which may be specific, provided that it fulfils the conditions laid down in Chapter VI of
this Regulation. |
|
CHAPTER X |
|
Delegated
acts and implementing acts |
|
Article 92 |
|
Exercise of
the delegation |
|
1. The
power to adopt delegated acts is conferred on the Commission subject to the
conditions laid down in this Article. |
|
2. The
delegation of power referred to in Article 12(8) and Article 43(8) shall be
conferred on the Commission for an indeterminate period of time from 24 May
2016. |
|
3. The
delegation of power referred to in Article 12(8) and Article 43(8) may be
revoked at any time by the European Parliament or by the Council. A decision
of revocation shall put an end to the delegation of power specified in that
decision. It shall take effect the day following that of its publication in
the Official Journal of the European Union or at a later date specified
therein. It shall not affect the validity of any delegated acts already in
force. |
|
4. As
soon as it adopts a delegated act, the Commission shall notify it
simultaneously to the European Parliament and to the Council. |
|
5. A
delegated act adopted pursuant to Article 12(8) and Article 43(8) shall enter
into force only if no objection has been expressed by either the European
Parliament or the Council within a period of three months of notification of
that act to the European Parliament and the Council or if, before the expiry
of that period, the European Parliament and the Council have both informed
the Commission that they will not object. That period shall be extended by
three months at the initiative of the European Parliament or of the Council. |
|
Article 93 |
|
Committee
procedure |
|
1. The
Commission shall be assisted by a committee. That committee shall be a
committee within the meaning of Regulation (EU) No 182/2011. |
|
2. Where
reference is made to this paragraph, Article 5 of Regulation (EU) No 182/2011
shall apply. |
|
3. Where
reference is made to this paragraph, Article 8 of Regulation (EU) No
182/2011, in conjunction with Article 5 thereof, shall apply. |
|
CHAPTER XI |
|
Final
provisions |
|
Article 94 |
|
Repeal of
Directive 95/46/EC |
|
1. Directive
95/46/EC is repealed with effect from 25 May 2018. |
|
2. References
to the repealed Directive shall be construed as references to this
Regulation. References to the Working Party on the Protection of Individuals
with regard to the Processing of Personal Data established by Article 29 of
Directive 95/46/EC shall be construed as references to the European Data
Protection Board established by this Regulation. |
|
Article 95 |
|
Relationship
with Directive 2002/58/EC |
|
This
Regulation shall not impose additional obligations on natural or legal
persons in relation to processing in connection with the provision of
publicly available electronic communications services in public communication
networks in the Union in relation to matters for which they are subject to
specific obligations with the same objective set out in Directive 2002/58/EC. |
|
Article 96 |
|
Relationship
with previously concluded Agreements |
|
International
agreements involving the transfer of personal data to third countries or
international organisations which were concluded by
Member States prior to 24 May 2016, and which comply with Union law as
applicable prior to that date, shall remain in force until amended, replaced
or revoked. |
|
Article 97 |
|
Commission
reports |
|
1. By
25 May 2020 and every four years thereafter, the Commission shall submit a
report on the evaluation and review of this Regulation to the European
Parliament and to the Council. The reports shall be made public. |
|
2. In
the context of the evaluations and reviews referred to in paragraph 1, the
Commission shall examine, in particular, the application and functioning of: |
|
(a) | Chapter
V on the transfer of personal data to third countries or international organisations with particular regard to decisions adopted
pursuant to Article 45(3) of this Regulation and decisions adopted on
the basis of Article 25(6) of Directive 95/46/EC; |
|
(b) | Chapter
VII on cooperation and consistency. |
|
3. For
the purpose of paragraph 1, the Commission may request information from
Member States and supervisory authorities. |
|
4. In
carrying out the evaluations and reviews referred to in paragraphs 1 and 2,
the Commission shall take into account the positions and findings of the
European Parliament, of the Council, and of other relevant bodies or sources. |
|
5. The
Commission shall, if necessary, submit appropriate proposals to amend this
Regulation, in particular taking into account of developments in information
technology and in the light of the state of progress in the information
society. |
|
Article 98 |
|
Review of
other Union legal acts on data protection |
|
The Commission
shall, if appropriate, submit legislative proposals with a view to amending
other Union legal acts on the protection of personal data, in order to ensure
uniform and consistent protection of natural persons with regard to
processing. This shall in particular concern the rules relating to the
protection of natural persons with regard to processing by Union
institutions, bodies, offices and agencies and on the free movement of such
data. |
|
Article 99 |
|
Entry into
force and application |
|
1. This
Regulation shall enter into force on the twentieth day following that of its
publication in the Official Journal of the European Union. |
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2. It
shall apply from 25 May 2018. |
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This
Regulation shall be binding in its entirety and directly applicable in all
Member States. |
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Done at
Brussels, 27 April 2016. |
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For the
European Parliament |
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The President |
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M. SCHULZ |
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For the
Council |
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The President |
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J.A.
HENNIS-PLASSCHAERT |
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(1) OJ
C 229, 31.7.2012, p. 90. |
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(2) OJ
C 391, 18.12.2012, p. 127. |
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(3) Position
of the European Parliament of 12 March 2014 (not yet published in
the Official Journal) and position of the Council at first reading of 8 April
2016 (not yet published in the Official Journal). Position of the European
Parliament of 14 April 2016. |
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(4) Directive
95/46/EC of the European Parliament and of the Council of
24 October 1995 on the protection of individuals with regard to the
processing of personal data and on the free movement of such data (OJ L 281,
23.11.1995, p. 31). |
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(5) Commission
Recommendation of 6 May 2003 concerning the definition of micro,
small and medium-sized enterprises (C(2003) 1422) (OJ L 124, 20.5.2003, p.
36). |
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(6) Regulation
(EC) No 45/2001 of the European Parliament and of the Council of 18 December 2000
on the protection of individuals with regard to the processing of personal
data by the Community institutions and bodies and on the free movement of
such data (OJ L 8, 12.1.2001, p. 1). |
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(7) Directive
(EU) 2016/680 of the European Parliament and of the Council of 27 April 2016
on the protection of natural persons with regard to the processing of
personal data by competent authorities for the purposes of prevention,
investigation, detection or prosecution of criminal offences or the execution
of criminal penalties, and the free movement of such data and repealing
Council Framework Decision 2008/977/JHA (see page 89 of this Official
Journal). |
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(8) Directive
2000/31/EC of the European Parliament and of the Council of
8 June 2000 on certain legal aspects of information society
services, in particular electronic commerce, in the Internal Market
(‘Directive on electronic commerce’) (OJ L 178, 17.7.2000, p. 1). |
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(9) Directive
2011/24/EU of the European Parliament and of the Council of
9 March 2011 on the application of patients' rights in cross-border
healthcare (OJ L 88, 4.4.2011, p. 45). |
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(10) Council
Directive 93/13/EEC of 5 April 1993 on unfair terms in consumer
contracts (OJ L 95, 21.4.1993, p. 29). |
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(11) Regulation
(EC) No 1338/2008 of the European Parliament and of the Council of
16 December 2008 on Community statistics on public health and
health and safety at work (OJ L 354, 31.12.2008, p. 70). |
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(12) Regulation
(EU) No 182/2011 of the European Parliament and of the Council of
16 February 2011 laying down the rules and general principles
concerning mechanisms for control by Member States of the Commission's
exercise of implementing powers (OJ L 55, 28.2.2011, p. 13). |
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(13) Regulation
(EU) No 1215/2012 of the European Parliament and of the Council of
12 December 2012 on jurisdiction and the recognition and
enforcement of judgments in civil and commercial matters (OJ L 351,
20.12.2012, p. 1). |
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(14) Directive
2003/98/EC of the European Parliament and of the Council of 17 November 2003
on the re-use of public sector information (OJ L 345, 31.12.2003, p. 90). |
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(15) Regulation
(EU) No 536/2014 of the European Parliament and of the Council of
16 April 2014 on clinical trials on medicinal products for human
use, and repealing Directive 2001/20/EC (OJ L 158, 27.5.2014, p. 1). |
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(16) Regulation
(EC) No 223/2009 of the European Parliament and of the Council of
11 March 2009 on European statistics and repealing Regulation (EC, Euratom) No 1101/2008 of the European Parliament and
of the Council on the transmission of data subject to statistical
confidentiality to the Statistical Office of the European Communities,
Council Regulation (EC) No 322/97 on Community Statistics, and Council
Decision 89/382/EEC, Euratom establishing a
Committee on the Statistical Programmes of the
European Communities (OJ L 87, 31.3.2009, p. 164). |
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(17) OJ
C 192, 30.6.2012, p. 7. |
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(18) Directive
2002/58/EC of the European Parliament and of the Council of
12 July 2002 concerning the processing of personal data and the
protection of privacy in the electronic communications sector (Directive on
privacy and electronic communications) (OJ L 201, 31.7.2002, p. 37). |
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(19) Directive
(EU) 2015/1535 of the European Parliament and of the Council of
9 September 2015 laying down a procedure for the provision of
information in the field of technical regulations and of rules on Information
Society services (OJ L 241, 17.9.2015, p. 1). |
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(20) Regulation
(EC) No 765/2008 of the European Parliament and of the Council of
9 July 2008 setting out the requirements for accreditation and
market surveillance relating to the marketing of products and repealing
Regulation (EEC) No 339/93 (OJ L 218, 13.8.2008, p. 30). |
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(21) Regulation
(EC) No 1049/2001 of the European Parliament and of the Council of
30 May 2001 regarding public access to European Parliament, Council
and Commission documents (OJ L 145, 31.5.2001, p. 43). |