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1、編號(hào):時(shí)間:2021年x月X日書山有路勤為徑,學(xué)海無涯苦作舟 頁碼:第。頃共37頁SALES AND PURCHASE CONTRACT FORHeavy Fuel Oil Mazut MI00 Gost 1058575燃料油(重油)M100GOST1058575銷售和采購合同This Contract made on this 18th May 2013.Between:簽約方HEREINAFTER REFERRED TO AS THE SELLER:-以下簡(jiǎn)稱賣方:COMPANY NAME:賣方公司名稱:ADDRESS:TELEPHONE NUMBER:E - MAIL ADDRESS:R

2、EPRESENTED BY:TITTLE:DATE:HEREINAFTER REFERRED TO AS THE BUYER:-以下簡(jiǎn)稱買方:COMPANY NAME :公司名稱:ADDRESS :地址:TELEPHONE NUMBER :電話:REPRESENTED BY :代表:TITLE :DATE:(Hereinafter shall be refeiTed to collectively as "Parties” or singularly as “Party')Whereas, the parties mutually accept to refer to the

3、 General Terms and Definitions, as set out by the INCOTERMS Edition 2000 with latest amendments, having the following terminology fully understood and accepted:(以下統(tǒng)稱“雙方”或單獨(dú)作為“甲方。然而,雙方相互接受的一般條款和定義, 國(guó)際貿(mào)易術(shù)語解釋通則“2000年版最新修訂,具有下列術(shù)語充分理解和接受:DEFINITIONS:定義Metric Ton A measure of weight equivalent to one thou

4、sand kilogram mass (1,000 kg) 公制噸的重量相當(dāng)于措施一千千克重量(1000公斤)Commodity 300.000 Metric Tons per Month elsewhere is this Contract also referred to as “Pioduct" or “Fuel Oil Ml00",the specifications fbr wliich appear in Annex A attached and by this reference confirmed an integral part of this Contr

5、act.商品每月30萬噸,本合同其它地方也稱為“產(chǎn)品”或“燃料油M100”,本協(xié)議在附 錄1還提到該商品詳細(xì)材質(zhì)單,也是本合同的組成部分。Day天Means a Calendar day, unless differently specified. 是公歷天的意思,除非特殊說明Month 月Means a Gregorian calendar month. 是公歷月的意思CalendarPeriod of three (3) consecutive months - 1- January,Quarter日歷季度ASTM美國(guó)測(cè)試和材料協(xié)會(huì)April, 1 July or October.3個(gè)連續(xù)

6、月-1月1日,4月1日,7月1日,10月1日。American Society for Testing and Materials, is the institute, internationally recognized, that approved all Standards,Tests and Procedures used in the Oil Industry and to be referred in The Agreement to the latest revised edition with amendments in force to date.美國(guó)測(cè)試和材料協(xié)會(huì),國(guó)際認(rèn)可

7、研究所,批準(zhǔn)在石油1業(yè)中使用第句頁共37頁編號(hào):時(shí)間:2021年X月X日 書山有路勤為徑,學(xué)海無涯苦作舟頁碼:第生頁共37頁的所有標(biāo)準(zhǔn),測(cè)試和程序,本協(xié)議采用已生效的最新修訂版本。Out-turnThe quantity and quality of the product ascertained, according to the結(jié)算ASTM procedures, on completion of the discharge operations. The so determined out-turn quantity and quality is the base on which th

8、e amount will be computed for the payment of the product effectively delivered to the Buyer.根據(jù)ASTM流程,已確定一定數(shù)量和質(zhì)量商品完成卸載操作,確 認(rèn)商品結(jié)算數(shù)量和質(zhì)量是買方計(jì)算商品付款金額的基礎(chǔ)。Bill of Lading提單The official document, issued at the load port after completion of the loading operations, stating, among other things, the ships loaded

9、quantity, expressed in Metric Tons (MT) per the definitions herein. This document has to be signed in original by the ships Master and made out in accordance with the instruction hereinafter specified in this contract.裝載作業(yè)完成后在裝貨港簽發(fā)的正式文件。除其它信息外,說明 船舶的裝載量,根據(jù)定義以公噸(MT)表述。這份文件必須由船 長(zhǎng)簽署原件,并按照本合同下面指定的指令發(fā)布。D

10、ischargeThe safe port/berth designated by the Buyer as final receivingTerminaldestination.卸貨碼頭買方指定的作為最終貨物接收地安全港口/泊位。CIFCost, Insurance and Freight strictly as referred to in the interpretations defined by the INCOTERMS Edition 2000 with latest amendments. 成本、保險(xiǎn)和運(yùn)費(fèi)(CIF)嚴(yán)格遵照INCOTERMS2000最新修訂版本 解釋。Deli

11、very Date 交貨日期The date mutually accepted by both Seller and Buyer as the date on which the nominated international Surveyor Company has ascertained the quantity and quality of the product pumped into the Buyers designated discharge terminal facilities.Under INCOTERMTM 2000.賣方買方雙方相互接受提名的國(guó)際測(cè)量師公司報(bào)告日期,該

12、日期 已確定一定數(shù)量質(zhì)量產(chǎn)品注入買方指定卸貨碼頭設(shè)施。遵照 INCOTERMS2000Banking Day 銀行日Any day on which the bank opens for business in jurisdiction where the SELLER and BUYER are located.任何一天啟動(dòng)該銀行的業(yè)務(wù),即賣方和買方所在地的司法管轄權(quán)。Execution Date 執(zhí)行日期The date on which the Seller and Buyer receive their respective faxed copies of this Contract,

13、 or as may be indicated otherwise in the Contract.當(dāng)賣方和買方收到他們各自的本合同的傳真件或在合同中另有說明。Proof of Product 商品證明 Documentation to be provided by the end Seller to the BuyerThrough Seller/refinery holding bank.文件通過賣方/煉油廠銀行提供到買方。Whereas, the parties mutually desire to execute the Contract which shall be binding

14、upon, and to the benefit of, the parties, successors and assigns, in accordance with the jurisdictional law of the negotiated and fully executed contract with terms and provisions hereunder agreed upon.International Independent Laboratory: # SGS - Societe Generale de Surveillance #然而,雙方的愿望,簽訂本合同具有約束

15、力,利益的當(dāng)事人,繼承人和受讓人, 按照商定的條款和規(guī)定執(zhí)行合同的談判和充分執(zhí)行有管轄權(quán)的法律。CLAUSE 1 - SCOPE OF THE CONTRACT 合同的范圍Seller and Buyer, under full corporate authority and responsibility, respectively represent that one part is a lawful owner of the commodity in quantity and quality as hereunder specified, and the other has the ful

16、l capability to purchase the said commodity.賣方和買方在公司的權(quán)力和責(zé)任下,分別代表的那一部分是合法擁有本協(xié)議規(guī)定 的數(shù)量和質(zhì)量的商品,和其它完全有能力購買的商品。CLAUSE 2 - COMMODITY 商品2.1 %0乂底式。11"項(xiàng)11。0一0。§1。5_8_5二75 having the contractual minimum guaranteed specifications as per Annex 'A" herewith attached as an integral part of the Co

17、ntract.重質(zhì)燃料油重油M100 GOST 10585-75合同最低保證的規(guī)格按照附件“A”隨函附奉 本合同的組成部分。CLAUSE 3 - QUANTITY 數(shù)量3.1 The total contractual quantity of the commodity sold and purchased under this Contract is Minimum Quantity of 3,650,000 Metric Tons one year contracts as Seller's option.本合同項(xiàng)內(nèi)的商品銷售和購買合同總數(shù)量/最低數(shù)量為3,650,000公噸1年的

18、合同, 由賣方的選擇。3.2 Seller and Buyer hereby agree to deliver and accept the above quantity in partial shipments, with reference to provisions set out in clause 4.賣方和買方特此同意提供并接受上述分批裝運(yùn)的數(shù)量,參考第4條的規(guī)定。3.3 Trial order 50,000 MT + 300,000 MT/ per month x 12 contracts shall be delivered monthly in accordance with

19、 the delivery schedule.試單5萬噸+每月30萬噸x 12應(yīng)每月按照交付時(shí)間表交付,3.4 That the first delivery will be as per delivery schedule and ending on the conclusion of the contract, and the subsequent delivery schedules is approved by the loading terminal(s) on a quarterly basis.首次交付將每批時(shí)間表和結(jié)束的時(shí)間訂立合同,并在隨后的交付時(shí)間表訂定每一 季度的基礎(chǔ)下裝

20、上貨運(yùn)碼頭。3.5 That the validity of the allocation assignment, as reported in the above clause 3.1 is subject to the acceptance by the Seller of the Buyer's financial instmment.數(shù)量分配的有效性,如上述第3.1條說明是由賣方接受買方的金融工具。CLAUSE 4 - TIME PERIOD 期限說明4.1 Tlie duration of this contract is for 13 month's purchas

21、es. The first delivery, should be in thirty ( 30 ) days of receiving the buyers financial instruments.本合同期限為13個(gè)月的采購。第一次交貨,應(yīng)在三十(30)日內(nèi)接受了買方的金 融工具。4.2 The time period for the conclusion of each monthly supply shall terminate once the final batch of current montlily lot has been assessed at the Buyer

22、9;s designated discharge port. However, the time period between the first and the final batch not to exceed Thirty (30) days.每月供貨的時(shí)間期限內(nèi),第一和最后一批不超過三十(30)天應(yīng)到達(dá)買方指定的 卸貨港口。以此規(guī)定在合同周期內(nèi)持續(xù)進(jìn)行。CLAUSE 5 - QUALITY 第五-質(zhì)量5.1 For the full duration of the Contract, the Seller guarantees that the quality of the produ

23、ct sold will confonn to the guaranteed specifications as reported on uAnnex A“ which constitutes an integral part of this Contract.本合同的整個(gè)期間內(nèi)賣方保證銷售的產(chǎn)品的質(zhì)量規(guī)格符合報(bào)告“附件A”,這是構(gòu) 成本合同不可分割的一部分。CLAUSE 6 - PRICE 第六 價(jià)格第2頁共37頁編號(hào):時(shí)間:2021年X月X日 書山有路勤為徑,學(xué)海無涯苦作舟 頁碼:第也頁共37頁6.1 Price Fixed USD Gross () Per Metric Ton incl

24、uding Pipeline Fees.價(jià)格固定每噸USD 總值(美元),包括輸油管道費(fèi)。6.2 The Buyer undertakes to nominate a discharge port(s) CIF. Both Parties agree to set the price by using the above Unit price.賣方承諾價(jià)格是CIF到指定卸貨港。雙方同意確定上述單價(jià)。CLAUSE 7 - PAYMENT AND BANKING PROCEDURES 付款和銀行程序1. 1. Buyer confirms soft offer and issues an Irre

25、vocable Confirmed Purchasing Order (ICPO).買方確認(rèn)軟報(bào)價(jià)和不可撤銷確認(rèn)采購訂單(ICPO)。7. 2. Seller issues Full Corporate Offer (FCO) endorsed by Buyer after receipt of it to return.賣方提供全面的(FCO)由買方后返回簽到賣方。7. 3 Seller issues draft contract open for amendments.賣方發(fā)出合同草案修改。7.4 Buyer and Seller lodge the contract in their r

26、espective banks and finalize the bank for bank processing.買方和賣方提出的合同在各自的銀行和銀行處理完成銀行。7.5 Seller company registers and legalizes the final contract with the appropriate ministry in charge and send the approved contract to buyer via email and both party will lodge the final approved contract with their

27、 respective banks to start the to bank transaction.賣方公司注冊(cè)和合法化,最后的合同與負(fù)責(zé)并將批準(zhǔn)的合同給買方通過電子郵件 和雙方就將最終批準(zhǔn)的合同與各自的銀行開辦的銀行交易。7.6 Buyer company will communicate with their bank and instnjet them to send a free format swift ready, willing and able message (RWA) to seller bank so that seller bank will respond with

28、 the confirmation message of full pop 2% PB and the delivery guaranty by SWIFT mt799.買方將與其銀行商議,通過銀行向賣方銀行SWIFT發(fā)出(RWA):買方已具備,決 定,有能力購貨信息,賣方銀行將根據(jù)該RWA,通過MT799向買方銀行SWIFT確認(rèn) 會(huì):提供全部POP和2 %PB,及保證賣方供貨。Upon the confirmation of the SWIFT MT799 from the buyer's bank, seller's bank will respond immediatel

29、y via SWIFT mt799 under full bank responsibility confirming the posession of the full POP documents and readiness to release the full pop along with 2.0 % PE根據(jù)買方銀行通過SWIFT MT 799確認(rèn)后,賣方銀行將通過SWIFT MT799立即回 復(fù),當(dāng)收到買方信用證,其銀行將負(fù)全責(zé),提供全部賣方POP及2.0%保證金給買方Performance bond to the buyer's bank upon the receipt

30、of the buyer's DL/C當(dāng)買方銀行收到賣方銀方銀行的可轉(zhuǎn)讓信用證7.8 The first ship to buyer's Bank issue, sight letter of credit, transferable letter of credit DL/C ( MT700)買方銀行開出的第一艘船即期信用證,可轉(zhuǎn)讓信用證DL/C (MT700)7.9 . Upon reciept of te payment DLC (MT700) to seller" s bank, seller bank will swift the full pop alon

31、g with 2.0% performance bond to the buyer* s bank.賣方銀行收到DLC (MT700)后將整套POP及2.0%履約保函發(fā)送到買方銀行。7.10 10. Delivery will commence as scheduled in the final contract.交期照合同要求執(zhí)行。7.11 11. Payment for each shipment lot must be paid to the Seller by Telegraphic Transfer (T/T) or MT 103 within 2(Two) days of arri

32、val of each shipment after CIQ.每個(gè)交貨批次付款必須通過電匯支付給賣方(T/T)或MT103后2天(二)檢驗(yàn) 后每批貨物的到達(dá)CIQ。7.12 . At the port of destination within three working days of testing CIQ/ SGS test report, through the buyers Bank, ( T/T ) payment,第曾頁共37頁編號(hào):時(shí)間:2021年X月X日書山有路勤為徑,學(xué)海無涯苦作舟 頁碼:第母噌頁共37頁在目的港口 CIQ或SGS測(cè)試報(bào)告測(cè)試的三個(gè)工作日內(nèi),通過買方銀行,(

33、T/T) 支付CLAUSE 8 - DELIVERY 交貨The Seller warrants performing delivery of the transacted commodity on CIF inside customs - outturn quality and quantity basis, to the buyer's designated discharge port(s), the shipping contract confirmation in Annex F, and the destination port(s) confirmation in Ann

34、ex G.賣方保證成交商品的到岸價(jià)格是在海關(guān)進(jìn)行交付-依到貨的質(zhì)量和數(shù)量基礎(chǔ)上 由買方指定卸貨港并確認(rèn)運(yùn)輸合同(附錄F、附錄G中確認(rèn))The first delivery shall take place within thirty (30) to thirty-five (35) days from acceptance date of BUYER'S financial statement.第一次交貨時(shí)間應(yīng)在買方的款到后起30到35天內(nèi)舉行履行。Buyer shall specify the discharge port(s) in accordance with the appr

35、oved quarterly delivery schedule.買方應(yīng)按照批準(zhǔn)的季度交付時(shí)間表安排卸港。In accordance with provisions set out in the above clause 3, the seller and buyer hereby acknowledge to performing the delivery of monthly lots in batches to conclude the total amount of not less than uSuezmaxn shipments and up “Cape size” for eve

36、ry sliipment.Buyer will have the option to change his designated discharge port within the country, provided that a written notice is given, to the seller, of at least thirty (30) calendar days prior to the estimated ship's amval at the fbnner scheduled nominated discharge port.根據(jù)載于上述第3條的規(guī)定,出賣人和

37、買受人在此確認(rèn)執(zhí)行每月分批簽訂的總量 以“蘇伊士”和“海岬型”船舶裝載每批貨物。買家將有選擇權(quán)力改變他的指定該國(guó)卸貨港,但必須在估計(jì)船舶到達(dá)前至少30日提供 書面通知。8.1 Seller to notify the Buyer of the full - chartered sliip-s particulars (general dimensions, cargo system arrangement and maximum unloading capacity rate, cargo tanks capacities at 98% loaded, manifolds sizes and

38、reductions available on board). This infbniiation must be provided to the buyer at least five (5) days prior to the seller's vessel nomination, so as to assure compliance at the buyer's discharge port.賣方通知買方船的全部數(shù)據(jù)(一般尺寸,貨物的制度安排和最大卸載容積率,98% 加載,歧管的尺寸和減少在船上的貨油艙的能力)。此信息必須在買方提出油灌容器 前至少五(5)天,以確保符合買

39、家的卸貨港。8.2 Seller shall ensure timely arrival of the ship to the discharge port in conformity with the approved schedule.賣方應(yīng)保證及時(shí)到達(dá)卸貨港的船舶符合批準(zhǔn)的計(jì)劃。8.3 Vessels chartered by seller shall in all respects meet port rules and regulations in terms seaworthiness, fire and common safety, ballast operations, and

40、 discharging rates, otherwise, or and any damages caused by non - compliance with such rules and regulations shall be imposed on the seller.賣方所租的船只在各方面滿足適航性,防火和共同安全,壓載作業(yè),放電速率, 否則,造成的任何損失依規(guī)則和法規(guī)應(yīng)當(dāng)給予賣家承擔(dān)。8.4 Vessel(s) to be acceptable by buyer and such acceptance shall not be unreasonably withheld. How

41、ever, the seller chartered vessel shall comply with the three Major Oil Company's requirements and shall be TOVALOP / PANDI or equivalent registered.買家的油灌是可以接受不得被無理拒絕。然而賣方租船應(yīng)遵守三大油公司的要求, 并應(yīng)于TOVALOP/ PANDI注冊(cè)。8.5 Seller's chartered vessel(s) shall arrive at the loading port with her tanks in a

42、prepared state for fitness and cleanliness inspection.賣方所租油船在到達(dá)在裝貨港之前已預(yù)先完成強(qiáng)健和清潔檢查。8.6 Tlie vessel's Master shall advice the Buyer and ship Owner's Agent at the port of discharge, the ship's ETA 120 hours before her arrival, her name, toimage, flag, draughts on board quantities, and actua

43、l Time of arrival 48,36,24, and 12 hours before her arrival to the discharge port.第電京頁共37頁編號(hào):時(shí)間:2021年X月X日書山有路勤為徑,學(xué)海無涯苦作舟 頁碼:第母。頃共37頁油輪艦長(zhǎng)應(yīng)告知在卸貨港的買方和船東代理,在船到來120小時(shí)前提供油輪估計(jì) 到達(dá)時(shí)間(ETA),船名,噸位,旗幟,吃水,船載數(shù)量和到達(dá)的實(shí)際時(shí)間,并分別在 48, 36, 24和12小時(shí)到達(dá)卸貨港前通報(bào)。8.7 Tlie Seller's Chartered Vessel may arrive at the designated

44、 load port with slops in one or two tanks. It is the sole and exclusive option of the seller to perform LOT (Load on Top) procedure or keep said amount of slops segregated from the incoming cargo. In the event of any LOT procedure, seller will arrange that said tanks containing the slops would be sa

45、mpled separately.賣方的包租油船在到達(dá)卸貨港后可能具有一個(gè)或兩個(gè)污水倉。賣方唯一和必須的 選項(xiàng)就是進(jìn)行LOT (在頂部加載)流程并把污水和運(yùn)來的商品嚴(yán)格分離。在任何LOT 程序下,賣方將對(duì)裝有污水的油倉進(jìn)行分離采樣。CLAUSE 9 - INSPECTION - QUANTITY AND QUALITY DETERMINATION 檢查-數(shù)量/質(zhì)量測(cè)定9.1 Seller and Buyer mutually agree that an internationally recognized first class Independent Surveyor Company SGS

46、 and CIQ shall be appointed at both designated loading and discharge ports, to assess the quality and quantity of the cargo according fee, the inspection cost to be borne by Seller at loading port and to be borne by Buyer at discharge port.賣方任命一個(gè)國(guó)際公認(rèn)的一流獨(dú)立檢測(cè)機(jī)構(gòu)SGS公司為裝貨港評(píng)估油品質(zhì)量和數(shù) 量,中國(guó)出入境檢驗(yàn)檢疫局(CIQ)評(píng)估卸貨港口

47、貨品質(zhì)量和數(shù)量,裝貨港檢查費(fèi)賣方 負(fù)擔(dān),買方負(fù)擔(dān)卸貨港檢測(cè)費(fèi)用。9.2 Quantity and Quality assessments, conducted by the appointed Surveyor Company, shall be in accordance with methods and procedures usually used in the oil industry practice, and however, at all times, shall strictly comply with the revised ASTM/IP International sta

48、ndards and procedures enforced at the date of compliance.由檢測(cè)機(jī)構(gòu)進(jìn)行的數(shù)量和質(zhì)量評(píng)估,應(yīng)符合石油行業(yè)實(shí)踐中通常使用的方法和程序,然而在任何時(shí)候,應(yīng)當(dāng)嚴(yán)格遵守最新的ASTM/IP國(guó)際標(biāo)準(zhǔn)和流程。9.3 For converting volumes, from observed to standard temperature, and volumes to weight, ASTM tables, latest revised edition, have to be used.有關(guān)數(shù)據(jù)轉(zhuǎn)換,從實(shí)測(cè)到標(biāo)準(zhǔn)溫度,數(shù)量到重量,必須采用最新修訂版

49、ASTM(美 國(guó)材料與試驗(yàn)協(xié)會(huì))表格。9.4 The assessed quantity will be used for computing the amount to be paid to the seller, applying the price as per the contract.根據(jù)協(xié)議,目的港檢驗(yàn)的數(shù)量將被用于計(jì)算支付給賣方的金額。9.5 One part of these samples filled into not less than two (2) bottles and sealed by Seller or their appointed representati

50、ve, is to be placed on board the tanker under the care of the captain for delivery to the buyer or their nominated representative at the discharge port. The other part of the same samples, filled into not less than two (2) bottles, is sealed by the Captain, and delivered to the Seller.放入瓶?jī)?nèi)樣品應(yīng)不少于兩(2)

51、瓶,由賣方或由其指定代表密封這些樣本瓶,保存 在油輪上并由船長(zhǎng)看護(hù),在卸貨港交付給買方或其指定代表。其它部分的相同樣品也 會(huì)放入不少于兩(2)瓶,由船長(zhǎng)密封,并交給賣方。9.6 The taken samples shall be considered as the only samples for arbitration. If loading was made under the observance of the independent shall be considered as arbitration samples.所采取樣品應(yīng)視為唯一仲裁樣品。如果裝船是在獨(dú)立監(jiān)測(cè)下,應(yīng)視為仲裁樣

52、品。9.7 Both parties shall keep these samples within the duration of this contract, and in case of claims, until moment of settlement. The original copy of quantity & quality inspection certificates issued by CIQ at the discharging port shall be the evidence for the payment settlement for each shi

53、pment delivered.本合同期內(nèi),雙方應(yīng)保持這些樣品,如發(fā)生索賠要求,樣品應(yīng)保持到最后解決爭(zhēng) 議,但目的港CIQ每船油品的檢驗(yàn)報(bào)告正本為雙方結(jié)算支付貨款的依據(jù)。CLAUSE 10 一 INSURANCE 保險(xiǎn)第電。頁共37頁編號(hào):時(shí)間:2021年X月X日書山有路勤為徑,學(xué)海無涯苦作舟頁碼:第雪頃共37頁10.1 Seller, at his own expense, shall procure a policy with a first class Marine Insurance Institute to cover the one hundred and ten percent

54、(110%) of the value of the cargo. The insurance policy will cover all risks of loss or damages to said cargo, including War, hijacking, explosion etc. from the time the cargo has passed the ship's manifold flanges at the loading port. Copy of the policy shall be submitted to Buyer.賣方必須承擔(dān)執(zhí)行頭等海洋保險(xiǎn)

55、委員會(huì)保單的費(fèi)用,該保單以買方為受益人,承 保貨物價(jià)值的110%。該保單將承保所有風(fēng)險(xiǎn)或所涉及貨物的損害,包括戰(zhàn)爭(zhēng)、劫持、 爆炸等,從貨物在裝運(yùn)港貨運(yùn)轉(zhuǎn)移開始,保險(xiǎn)政策副本應(yīng)提交給買方。10.2 Marine Insurance will cover all risk, of loss or damage to said cargo, including war, hijacking, explosion etc. until cargo commences to pass the ship-s manifold flanges at the discharge port to the tan

56、ker at discharging port.海上保險(xiǎn)將承保所有風(fēng)險(xiǎn)的損失或損害的貨物,包括戰(zhàn)爭(zhēng),劫持,爆炸等。直至 貨物在卸貨港開始轉(zhuǎn)移。CLAUSE 11 - PERFORMANCE BOND (PB) AS PER ANNEX D按照附件D的履約保證金(PB)11.1 Tlie Seller's bank, in accordance with the provisions set out, will post into the beneficiary's bank account nominated by the Buyer, L/C, and Performance

57、 Bond to cover the 2.0% (two percent) of the face value of each opened operative revolving documentary letter of credit amount.賣方的銀行,按照合同條款規(guī)定,以買方指定受益人的銀行賬戶發(fā)出履約保證金 (PB),金額必須含蓋每張已執(zhí)行的跟單信用證總額的2.0%。11.2 The format of the performance Bond shall be in accordance with the latest ICC URDG458 (international c

58、hamber of commerce uniform rules for demand guarantee) as per "Annex D履約保證金格式應(yīng)按照“附件D”最新的國(guó)際商會(huì)URDG458 (國(guó)際商會(huì)見索即付保 函統(tǒng)一規(guī)則)。11.31 n the event of Non - perfbnnance by the Seller, the Seller's PB will be called up by the Buyer and the seller will instruct his bank to issue a new PB (based on 2% of face value of (L/C) within a period of 24 (twenty - four) hours having the same tenor as the previous one. Should this be the case, all future payments due by Buyer will be suspended until such a time that the new PB has been placed.如果發(fā)生賣方無作為的情況,賣方的履約保證金將被買方催告,賣方將通知他的 銀行開立期限和前一份履約保函期限

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