United States - Anti-Dumping and Countervailing Measures on Certain Coated Paper from Indonesia – Report of the Panel - Addendum

United States – Anti-Dumping and Countervailing Measures on Certain Coated Paper from Indonesia

Report of the Panel

BCI deleted, as indicated [[***]]

 

 

 

 


 

TABLE OF CONTENTS

1   Introduction.. 13

1.1   Complaint by Indonesia. 13

1.2   Panel establishment and composition. 13

1.3   Panel proceedings. 14

1.3.1   General 14

1.3.2   Additional working procedures concerning BCI 14

1.3.3   Request for a preliminary ruling. 14

1.3.4   Requests of a procedural nature by certain third parties. 14

2   Factual aspects and measures at issue. 15

3   Parties' requests for findings and recommendation.. 16

4   Arguments of the parties. 17

5   Arguments of the thiRd parties. 17

6   Interim review... 17

7   Findings. 17

7.1   Introduction. 17

7.2   General principles regarding treaty interpretation, the applicable standard of review, and burden of proof 18

7.2.1   Treaty interpretation. 18

7.2.2   Standard of review.. 18

7.2.3   Burden of proof 19

7.3   Special and differential treatment 19

7.4   Terms of reference – United States' request for a preliminary ruling. 19

7.5   "As applied" claims concerning the USDOC's subsidy determination. 22

7.5.1   Introduction. 22

7.5.2   Claims under Article 14(d) of the SCM Agreement (rejection of in-country prices as benchmarks to calculate benefit) 23

7.5.2.1   Introduction. 23

7.5.2.2   Legal standard under Article 14(d) of the SCM Agreement 24

7.5.2.3   The USDOC's finding that there were no market-determined prices for standing timber in Indonesia upon which to base the benchmark. 26

7.5.2.4   The USDOC's finding that there were no market prices for logs in Indonesia upon which to base the benchmark. 33

7.5.2.5   Overall conclusion concerning Indonesia's claims under Article 14(d) of the SCM Agreement 39

7.5.3   Claim under Article 12.7 of the SCM Agreement ("facts available") with respect to the debt buy-back  39

7.5.3.1   Introduction. 39

7.5.3.2   Legal standard under Article 12.7 of the SCM Agreement 43

7.5.3.3   Whether the conditions for resorting to facts available were met 44

7.5.3.4   Whether the facts relied upon by the USDOC "reasonably replaced" the missing "necessary information". 50

7.5.4   Claims under Article 2.1(c) and the chapeau of Article 2.1 of the SCM Agreement (specificity) 53

7.5.4.1   Introduction. 53

7.5.4.2   Legal standard under Article 2.1(c) and the chapeau of Article 2.1 of the SCM Agreement 54

7.5.4.3   Whether the USDOC's determinations of de facto specificity are inconsistent with Article 2.1(c) of the SCM Agreement 56

7.5.4.4   Whether the USDOC's determination of de facto specificity in connection with the debt buy-back is inconsistent with the chapeau of Article 2.1 of the SCM Agreement 62

7.5.4.5   Indonesia's allegations concerning the USDOC's determination that the debt buy‑back was a company-specific subsidy. 63

7.5.4.6   Overall conclusion concerning Indonesia's claims under Article 2.1(c) of the SCM Agreement and the chapeau of Article 2.1 of the SCM Agreement 67

7.6   "As applied" claims concerning the USITC's threat of injury determination. 67

7.6.1   Introduction. 67

7.6.2   Claims under Article 3.5 of the Anti-Dumping Agreement and Article 15.5 of the SCM Agreement (non-attribution) 68

7.6.2.1   Introduction. 68

7.6.2.2   Legal standard under Article 3.5 of the Anti-Dumping Agreement and Article 15.5 of the SCM Agreement 69

7.6.2.3   The USITC's consideration of the three alleged "other factors". 72

7.6.2.4   The USITC's re-statement of the legal standard under US law.. 74

7.6.2.5   The USITC's finding of vulnerability. 75

7.6.2.6   Projected decline in demand. 78

7.6.2.7   Expiration of the "black liquor" tax credit 80

7.6.2.8   Non-subject imports. 82

7.6.2.9   Overall conclusion concerning Indonesia's claims under Article 3.5 of the Anti‑Dumping Agreement and Article 15.5 of the SCM Agreement 83

7.6.3   Claims under Article 3.7 of the Anti-Dumping Agreement and Article 15.7 of the SCM Agreement (threat of injury) 83

7.6.3.1   Introduction. 83

7.6.3.2   Legal standard under Article 3.7 of the Anti-Dumping Agreement and Article 15.7 of the SCM Agreement 84

7.6.3.3   The USITC's finding that subject imports would gain market share at the expense of the domestic industry. 85

7.6.3.3.1   Market share trends during the POI 88

7.6.3.3.2   The likely increase in production capacity in China. 92

7.6.3.3.3   The Unisource affidavit and the establishment of Eagle Ridge. 95

7.6.3.4   The USITC's finding that subject imports would have adverse effects on domestic prices  98

7.6.3.5   Overall conclusion concerning Indonesia's claims under Article 3.7 of the Anti‑Dumping Agreement and Article 15.7 of the SCM Agreement 101

7.6.4   Claims under Article 3.8 of the Anti-Dumping Agreement and Article 15.8 of the SCM Agreement ("special care") 101

7.6.4.1   Introduction. 101

7.6.4.2   Legal standard under Article 3.8 of the Anti-Dumping Agreement and Article 15.8 of the SCM Agreement 102

7.6.4.3   Whether the USITC's threat of injury determination is inconsistent with Article 3.8 of the Anti-Dumping Agreement and Article 15.8 of the SCM Agreement 102

7.7   "As such" claims alleging inconsistency of Section 771(11)(B) of the US Tariff Act of 1930 ("tie vote" provision) with Article 3.8 of the Anti-Dumping Agreement and Article 15.8 of the SCM Agreement ("special care") 104

7.7.1   Introduction. 104

7.7.2   Legal standard under Article 3.8 of the Anti-Dumping Agreement and Article 15.8 of the SCM Agreement 105

7.7.3   Whether the US "tie vote" provision is inconsistent with Article 3.8 of the Anti‑Dumping Agreement and Article 15.8 of the SCM Agreement 110

8   Conclusions. 110