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L 525/2 EN Official Journal of the European Union 26.1.2016
AMENDING BUDGET No 8 FOR THE FINANCIAL YEAR 2015
CONTENTS
Page
GENERAL STATEMENT OF REVENUE
A. Introduction and financing of the general budget . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3
B. General statement of revenue by budget heading . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 17
— Title 1: Own resources . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 18
— Title 3: Surpluses, balances and adjustments . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 24
— Title 5: Revenue accruing from the administrative operation of the institutions . . . . . . . . . . . . . . . . . . . . . . . . . . 30
— Title 7: Interest on late payments and fines . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 34
— Title 8: Borrowing and lending operations . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 38
STATEMENT OF REVENUE AND EXPENDITURE BY SECTION
Section III: Commission 41
— Revenue . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 42
— Title 5: Revenue accruing from the administrative operation of the institution . . . . . . . . . . . . . . . . . . . . . . . . . . . 42
— Title 7: Interest on late payments and fines . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 45
— Title 8: Borrowing and lending operations . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 49
Section IX: European Data Protection Supervisor 52
— Expenditure . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 54
— Title 1: Expenditure relating to persons working with the institution . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 55
— Title 2: Buildings, equipment and expenditure in connection with the operation of the institution . . . . . . . . 5826.1.2016 EN Official Journal of the European Union L 525/3
A. INTRODUCTION AND FINANCING OF THE GENERAL BUDGET
FINANCING OF THE GENERAL BUDGET
Appropriations to be covered during the financial year 2015 pursuant to Article 1 of Council Decision 2007/436/EC, Euratom
of 7 June 2007 on the system of the European Communities’ own resources
EXPENDITURE
Description Budget 2015 ( 1 ) Budget 2014 ( 2 ) Change (%)
1. Smart and inclusive growth 66 853 308 910 65 300 076 773 + 2,38
2. Sustainable growth: natural resources 55 998 594 804 56 443 752 595 – 0,79
3. Security and citizenship 1 929 165 795 1 665 510 850 + 15,83
4. Global Europe 7 422 489 907 6 840 903 616 + 8,50
5. Administration 8 658 632 705 8 405 389 881 + 3,01
6. Compensation p.m. 28 600 000 —
Special instruments 418 230 818 350 000 000 + 19,49
Total expenditure ( 3 ) 141 280 422 939 139 034 233 715 + 1,62
( 1) The figures in this column correspond to those in the 2015 budget (OJ L 69, 13.3.2015) plus Amending Budgets No 1 to 8/2015.
( 2) The figures in this column correspond to those in the 2014 budget (OJ L 51, 20.2.2014) plus amending budgets No 1/2014 to No 7/2014.
( 3) The third subparagraph of Article 310(1) of the Treaty on the Functioning of the European Union reads: ‘The revenue and expenditure shown in the budget shall be in
balance’.L 525/4 EN Official Journal of the European Unio n 26.1.2016
REVENUE
Description Budget 2015 ( 1 ) Budget 2014 ( 2 ) Change (%)
Miscellaneous revenue (Titles 4 to 9) 3 045 497 557 5 545 428 277 – 45,08
Surplus available from the preceding financial year (Chapter 3 0, Article 3 0 0) 1 434 557 708 1 005 406 925 + 42,68
Surplus of own resources resulting from the repayment of the surplus of the Guarantee
Fund for external actions (Chapter 3 0, Article 3 0 2) p.m. p.m. —
Balance of own resources accruing from VAT and GNP/GNI-based own resources for
earlier years (Chapters 3 1 and 3 2) 7 133 244 000 4 095 463 000 + 74,17
Total revenue for Titles 3 to 9 11 613 299 265 10 646 298 202 + 9,08
Net amount of customs duties and sugar levies (Chapters 1 1 and 1 2) 18 759 400 000 16 084 600 000 + 16,63
VAT-based own resource at the uniform rate (Tables 1 and 2, Chapter 1 3) 18 023 353 946 17 689 735 350 + 1,89
Remainder to be financed by the additional resource (GNI-based own resource, Table 3,
Chapter 1 4) 92 884 369 728 94 613 600 163 – 1,83
Appropriations to be covered by the own resources referred to in Article 2 of Decision
2007/436/EC, Euratom ( 3) 129 667 123 674 128 387 935 513 + 1,00
Total revenue ( 4 ) 141 280 422 939 139 034 233 715 + 1,62
( 1) The figures in this column correspond to those in the 2015 budget (OJ L 69, 13.3.2015) plus Amending Budgets No 1 to 8/2015.
( 2) The figures in this column correspond to those in the 2014 budget (OJ L 51, 20.2.2014) plus amending budgets No 1/2014 to No 7/2014.
( 3) The own resources for the 2015 budget are determined on the basis of the budget forecasts adopted at the 163th meeting of the Advisory Committee on Own
Resources on 19 May 2015.
( 4) The third subparagraph of Article 310(1) of the Treaty on the Functioning of the European Union reads: ‘The revenue and expenditure shown in the budget shall be in
balance’.26.1.2016 EN Official Journal of the European Union L 525/5
TABLE 1
Calculation of capping of harmonised value added tax (VAT) bases pursuant to Article 2(1)(b) of Decision 2007/436/EC, Euratom
1 % of gross national Member States
1 % of non-capped 1 % of gross national 1 % of capped VAT
Member State
VAT base income
Capping rate (in %) incom cae
p
pm inu glt i rp al ti ee d by
base (1 )
whose
c
aV pA pT
e
db ase is
(1) (2) (3) (4) (5) (6)
Belgium 1 706 142 000 4 044 908 000 50 2 022 454 000 1 706 142 000
Bulgaria 198 876 547 412 388 025 50 206 194 013 198 876 547
Czech Republic 647 411 520 1 429 950 658 50 714 975 329 647 411 520
Denmark 1 009 757 767 2 691 551 852 50 1 345 775 926 1 009 757 767
Germany 12 589 972 422 29 998 426 500 50 14 999 213 250 12 589 972 422
Estonia 94 993 380 195 941 500 50 97 970 750 94 993 380
Ireland 716 534 000 1 605 484 000 50 802 742 000 716 534 000
Greece 721 214 000 1 758 757 000 50 879 378 500 721 214 000
Spain 4 426 469 500 10 723 591 000 50 5 361 795 500 4 426 469 500
France 9 641 876 785 21 697 735 000 50 10 848 867 500 9 641 876 785
Croatia 254 557 226 414 701 663 50 207 350 832 207 350 832 Croatia
Italy 5 678 630 500 15 782 177 500 50 7 891 088 750 5 678 630 500
Cyprus 104 197 550 162 048 000 50 81 024 000 81 024 000 Cyprus
Latvia 89 467 685 245 937 500 50 122 968 750 89 467 685
Lithuania 141 763 284 363 756 951 50 181 878 476 141 763 284
Luxembourg 291 317 000 302 768 000 50 151 384 000 151 384 000 Luxembourg
Hungary 424 456 952 1 028 794 578 50 514 397 289 424 456 952
Malta 57 656 446 79 473 735 50 39 736 868 39 736 868 Malta
Netherlands 2 656 093 000 6 589 010 000 50 3 294 505 000 2 656 093 000
Austria 1 499 133 500 3 201 701 000 50 1 600 850 500 1 499 133 500
Poland 1 673 268 277 3 997 275 344 50 1 998 637 672 1 673 268 277
Portugal 785 527 000 1 708 890 500 50 854 445 250 785 527 000
Romania 545 644 129 1 517 506 692 50 758 753 346 545 644 129
Slovenia 186 363 000 366 916 000 50 183 458 000 183 458 000 Slovenia
Slovakia 260 067 500 737 276 500 50 368 638 250 260 067 500
Finland 913 380 000 1 992 220 500 50 996 110 250 913 380 000
Sweden 1 871 874 481 4 301 727 510 50 2 150 863 755 1 871 874 481
United Kingdom 11 122 338 554 22 990 023 751 50 11 495 011 876 11 122 338 554
Total 60 308 984 005 140 340 939 259 70 170 469 632 60 077 846 483
( 1) The base to be used does not exceed 50 % of GNI.L 525/6 EN Official Journal of the European Unio n 26.1.2016
TABLE 2
Breakdown of own resources accruing from VAT pursuant to Article 2(1)(b) of Decision 2007/436/EC, Euratom
(Chapter 1 3)
Uniform rate of VAT own resource VAT-based own resource at uniform
Member State 1 % of capped VAT base
(in %) rate
(1) (2) (3) = (1) × (2)
Belgium 1 706 142 000 0,300 511 842 600
Bulgaria 198 876 547 0,300 59 662 964
Czech Republic 647 411 520 0,300 194 223 456
Denmark 1 009 757 767 0,300 302 927 330
Germany 12 589 972 422 0,300 3 776 991 727
Estonia 94 993 380 0,300 28 498 014
Ireland 716 534 000 0,300 214 960 200
Greece 721 214 000 0,300 216 364 200
Spain 4 426 469 500 0,300 1 327 940 850
France 9 641 876 785 0,300 2 892 563 036
Croatia 207 350 832 0,300 62 205 250
Italy 5 678 630 500 0,300 1 703 589 150
Cyprus 81 024 000 0,300 24 307 200
Latvia 89 467 685 0,300 26 840 306
Lithuania 141 763 284 0,300 42 528 985
Luxembourg 151 384 000 0,300 45 415 200
Hungary 424 456 952 0,300 127 337 086
Malta 39 736 868 0,300 11 921 060
Netherlands 2 656 093 000 0,300 796 827 900
Austria 1 499 133 500 0,300 449 740 050
Poland 1 673 268 277 0,300 501 980 483
Portugal 785 527 000 0,300 235 658 100
Romania 545 644 129 0,300 163 693 239
Slovenia 183 458 000 0,300 55 037 400
Slovakia 260 067 500 0,300 78 020 250
Finland 913 380 000 0,300 274 014 000
Sweden 1 871 874 481 0,300 561 562 344
United Kingdom 11 122 338 554 0,300 3 336 701 566
Total 60 077 846 483 18 023 353 94626.1.2016 EN Official Journal of the European Union L 525/7
TABLE 3
Determination of uniform rate and breakdown of resources based on gross national income pursuant to Article 2(1)(c)
of Decision 2007/436/EC, Euratom (Chapter 1 4)
Uniform rate of ‘additional base’‚ own ‘Additional base’ own resource at uniform
Member State 1 % of gross national income
resource rate
(1) (2) (3) = (1) × (2)
Belgium 4 044 908 000 2 677 114 263
Bulgaria 412 388 025 272 938 189
Czech Republic 1 429 950 658 946 409 981
Denmark 2 691 551 852 1 781 398 206
Germany 29 998 426 500 19 854 398 530
Estonia 195 941 500 129 683 490
Ireland 1 605 484 000 1 062 586 372
Greece 1 758 757 000 1 164 029 800
Spain 10 723 591 000 7 097 387 238
France 21 697 735 000 14 360 602 477
Croatia 414 701 663 274 469 466
Italy 15 782 177 500 10 445 402 587
Cyprus 162 048 000 107 251 144
Latvia 245 937 500 0,6 618 480 ( 1 ) 162 773 242
Lithuania 363 756 951 240 751 810
Luxembourg 302 768 000 200 386 395
Hungary 1 028 794 578 680 905 632
Malta 79 473 735 52 599 532
Netherlands 6 589 010 000 4 360 923 079
Austria 3 201 701 000 2 119 039 398
Poland 3 997 275 344 2 645 588 685
Portugal 1 708 890 500 1 131 025 757
Romania 1 517 506 692 1 004 358 767
Slovenia 366 916 000 242 842 620
Slovakia 737 276 500 487 964 976
Finland 1 992 220 500 1 318 547 150
Sweden 4 301 727 510 2 847 089 742
United Kingdom 22 990 023 751 15 215 901 200
Total 140 340 939 259 92 884 369 728
( 1) Calculation of rate: (92 884 369 728) / (140 340 939 259) = 0,661847998299209.L 525/8 EN Official Journal of the European Unio n 26.1.2016
TABLE 4.1
Correction of budgetary imbalances for the United Kingdom for the year 2014 pursuant to Article 4 of Decision 2007/436/EC, Euratom
(Chapter 1 5)
Description Coefficient (1 ) (%) Amount
1. United Kingdom’s share (in %) of notional uncapped VAT base 17,7 333
2. United Kingdom’s share (in %) of enlargement-adjusted total allocated expenditure 7,3 956
3. (1) – (2) 10,3 377
4. Total allocated expenditure 128 742 225 549
5. Enlargement related expenditure ( 2 ) 33 471 514 270
6. Enlargement-adjusted total allocated expenditure = (4) – (5) 95 270 711 279
7. United Kingdom’s correction original amount = (3) × (6) × 0,66 6 500 187 311
8. United Kingdom’s advantage ( 3 ) 1 992 582 801
9. Core United Kingdom’s correction = (7) – (8) 4 507 604 510
10. Windfall gains deriving from traditional own resources ( 4 ) – 36 554 387
11. Correction for the United Kingdom = (9) – (10) 4 544 158 897
( 1) Rounded percentages.
( 2) The amount of enlargement-related expenditure corresponds to total allocated expenditure in the ten Member States which joined the Union on 1 May 2004 and the
two Member States which joined the Union on 1 January 2007, except for agricultural direct payments and market-related expenditure as well as that part of rural
development expenditure originating from the EAGGF, Guarantee Section. This amount is deducted from total allocated expenditure to ensure that expenditure which is
unabated before enlargement remains so after enlargement.
( 3) The ‘UK advantage’ corresponds to the effects arising for the United Kingdom from the changeover to capped VAT and the introduction of the GNP/GNI-based own
resource.
( 4) These windfall gains correspond to the net gains of the United Kingdom resulting from the increase — from 10 to 25 % as of 1 January 2001 — in the percentage of
traditional own resources retained by Member States to cover the collection costs of traditional own resources (TOR).26.1.2016 EN Official Journal of the European Union L 525/9
TABLE 4.2
Correction of budgetary imbalances for the United Kingdom for the year 2013 pursuant to Article 4 of Decision 2007/436/EC, Euratom
(Chapter 3 6)
Description Coefficient (1 ) (%) Amount
1. United Kingdom’s share (in %) of notional uncapped VAT base 16,0 378
2. United Kingdom’s share (in %) of enlargement-adjusted total allocated expenditure 6,0 959
3. (1) – (2) 9,9 418
4. Total allocated expenditure 134 745 129 775
5. Enlargement related expenditure ( 2 ) 31 288 595 815
6. Enlargement-adjusted total allocated expenditure = (4) – (5) 103 456 533 960
7. United Kingdom’s correction original amount = (3) × (6) × 0,66 6 788 418 578
8. United Kingdom’s advantage ( 3 ) 846 456 483
9. Core United Kingdom’s correction = (7) – (8) 5 941 962 095
10. Windfall gains deriving from traditional own resources ( 4 ) 18 914 477
11. Correction for the United Kingdom ( 5 ) = (9) – (10) 5 923 047 619
( 1) Rounded percentages.
( 2) The amount of enlargement-related expenditure corresponds to total allocated expenditure in the ten Member States which joined the Union on 1 May 2004 and the
two Member States which joined the Union on 1 January 2007, except for agricultural direct payments and market-related expenditure as well as that part of rural
development expenditure originating from the EAGGF, Guarantee Section. This amount is deducted from total allocated expenditure to ensure that expenditure which is
unabated before enlargement remains so after enlargement.
( 3) The ‘UK advantage’ corresponds to the effects arising for the United Kingdom from the changeover to capped VAT and the introduction of the GNP/GNI-based own
resource.
( 4) These windfall gains correspond to the net gains of the United Kingdom resulting from the increase — from 10 to 25 % as of 1 January 2001 — in the percentage of
traditional own resources retained by Member States to cover the collection costs of traditional own resources (TOR).
( 5) Note: The difference of € – 380 865 288 between the provisional amount of the 2013 UK correction (€ 5 923 047 619, as calculated above) and the previously
budgeted amount of the 2013 UK correction (€ 5 542 182 331, entered in Amending budget No 3/2014) is financed in chapter 36 of Amending budget No 6/2015.L 525/10 EN Official Journal of the European Unio n 26.1.2016
TABLE 4.3
Correction of budgetary imbalances for the United Kingdom for the year 2012 pursuant to Article 4 of Decision 2007/436/EC, Euratom
(Chapter 3 6)
Description Coefficient (1 ) (%) Amount
1. United Kingdom’s share (in %) of notional uncapped VAT base 16,1 345
2. United Kingdom’s share (in %) of enlargement-adjusted total allocated expenditure 7,2 358
3. (1) – (2) 8,8 987
4. Total allocated expenditure 126 017 496 941
5. Enlargement related expenditure ( 2 ) 30 151 705 809
5a. Pre-accession expenditure 3 084 631 771
5b. Expenditure related to Art 4(1)(g) 27 067 074 038
6. Enlargement-adjusted total allocated expenditure = (4) – (5) 95 865 791 132
7. United Kingdom’s correction original amount = (3) × (6) × 0,66 5 630 330 443
8. United Kingdom’s advantage ( 3 ) 474 388 884
9. Core United Kingdom’s correction = (7) – (8) 5 155 941 559
10. Windfall gains deriving from traditional own resources ( 4 ) 12 333 175
11. Correction for the United Kingdom ( 5 ) = (9) – (10) 5 143 608 383
( 1) Rounded percentages.
( 2) The amount of enlargement-related expenditure corresponds to: (i) payments made to the 10 new Member States (which joined the EU on 1 May 2004) under 2003
appropriations, as adjusted by applying the EU GDP deflator for years 2004-2011, as well as payments made to Bulgaria and Romania under 2006 appropriations, as
adjusted by applying the EU GDP deflator for years 2007-2011 (5a); and (ii) total allocated expenditure in those Member States, except for agricultural direct payments
and market-related expenditure as well as that part of rural development expenditure originating from the EAGGF, Guarantee Section (5b). This amount is deducted
from total allocated expenditure to ensure that expenditure which is unabated before enlargement remains so after enlargement.
( 3) The ‘UK advantage’ corresponds to the effects arising for the United Kingdom from the changeover to capped VAT and the introduction of the GNP/GNI-based own
resource.
( 4) These windfall gains correspond to the net gains of the United Kingdom resulting from the increase — from 10 to 25 % as of 1 January 2001 — in the percentage of
traditional own resources retained by Member States to cover the collection costs of traditional own resources (TOR).
( 5) Note: The difference of € – 512 207 055 between the provisional amount of the 2012 UK correction (€ 5 143 608 383, as calculated above) and the previously
budgeted amount of the 2012 UK correction (€ 4 631 401 328, entered in Amending budget No 6/2013) is financed in chapter 36 of Amending budget No 6/2015.26.1.2016 EN Official Journal of the European Union L 525/11
TABLE 4.4
Correction of budgetary imbalances for the United Kingdom for the year 2011 pursuant to Article 4 of Decision 2007/436/EC, Euratom
(Chapter 3 5)
Description Coefficient (1 ) (%) Amount
1. United Kingdom’s share (in %) of notional uncapped VAT base 14,9 523
2. United Kingdom’s share (in %) of enlargement-adjusted total allocated expenditure 7,3 026
3. (1) – (2) 7,6 497
4. Total allocated expenditure 116 702 674 481
5. Enlargement related expenditure ( 2 ) 26 837 206 246
5a. Pre-accession expenditure 3 046 579 123
5b. Expenditure related to Art 4(1)(g) 23 790 627 123
6. Enlargement-adjusted total allocated expenditure = (4) – (5) 89 865 468 236
7. United Kingdom’s correction original amount = (3) × (6) × 0,66 4 537 145 502
8. United Kingdom’s advantage ( 3 ) 142 138 675
9. Core United Kingdom’s correction = (7) – (8) 4 395 006 827
10. Windfall gains deriving from traditional own resources ( 4 ) 8 632 837
11. Correction for the United Kingdom ( 5 ) = (9) – (10) 4 386 373 990
( 1) Rounded percentages.
( 2) The amount of enlargement-related expenditure corresponds to: (i) payments made to the 10 new Member States (which joined the EU on 1 May 2004) under 2003
appropriations, as adjusted by applying the EU GDP deflator for years 2004-2010, as well as payments made to Bulgaria and Romania under 2006 appropriations, as
adjusted by applying the EU GDP deflator for years 2007-2010 (5a); and (ii) total allocated expenditure in those Member States, except for agricultural direct payments
and market-related expenditure as well as that part of rural development expenditure originating from the EAGGF, Guarantee Section (5b). This amount is deducted
from total allocated expenditure to ensure that expenditure which is unabated before enlargement remains so after enlargement.
( 3) The ‘UK advantage’ corresponds to the effects arising for the United Kingdom from the changeover to capped VAT and the introduction of the GNP/GNI-based own
resource.
( 4) These windfall gains correspond to the net gains of the United Kingdom resulting from the increase — from 10 to 25 % as of 1 January 2001 — in the percentage of
traditional own resources retained by Member States to cover the collection costs of traditional own resources (TOR).
( 5) Note: The difference of € – 197 962 241 between the definitive amount of the 2011 UK correction (€ 4 386 373 990, as calculated above) and the previously budgeted
amount of the 2011 UK correction (€ 4 188 411 749, entered in Amending budget No 3/2014) is financed in chapter 35 of Amending budget No 6/2015.L 525/12 EN Official Journal of the European Unio n 26.1.2016
TABLE 5.1
Calculation of the financing of the correction for the United Kingdom amounting to EUR – 4 544 158 897 (Chapter 1 5)
Three quarters of
Shares without
the share of
Germany, the Column 4
Germany, the Financing scale
Percentage share of Shares without the Netherlands, distributed in
Member State Netherlands, Financing scale applied to the
GNI base United Kingdom Austria, Sweden accordance with
Austria and correction
and the United column 3
Sweden in
Kingdom
column 2
(1) (2) (3) (4) (5) (6) = (2) + (4) + (5) (7)
Belgium 2,88 3,45 5,52 1,56 5,00 227 330 088
Bulgaria 0,29 0,35 0,56 0,16 0,51 23 176 845
Czech Republic 1,02 1,22 1,95 0,55 1,77 80 365 439
Denmark 1,92 2,29 3,67 1,04 3,33 151 269 379
Germany 21,38 25,56 0,00 – 19,17 0,00 6,39 290 405 953
Estonia 0,14 0,17 0,27 0,08 0,24 11 012 215
Ireland 1,14 1,37 2,19 0,62 1,99 90 230 685
Greece 1,25 1,50 2,40 0,68 2,18 98 844 865
Spain 7,64 9,14 14,64 4,12 13,26 602 682 406
France 15,46 18,49 29,62 8,35 26,84 1 219 446 279
Croatia 0,30 0,35 0,57 0,16 0,51 23 306 875
Italy 11,25 13,45 21,54 6,07 19,52 886 982 795
Cyprus 0,12 0,14 0,22 0,06 0,20 9 107 348
Latvia 0,18 0,21 0,34 0,09 0,30 13 822 068
Lithuania 0,26 0,31 0,50 0,14 0,45 20 443 703
Luxembourg 0,22 0,26 0,41 0,12 0,37 17 016 030
Hungary 0,73 0,88 1,40 0,40 1,27 57 819 847
Malta 0,06 0,07 0,11 0,03 0,10 4 466 547
Netherlands 4,70 5,61 0,00 – 4,21 0,00 1,40 63 786 269
Austria 2,28 2,73 0,00 – 2,05 0,00 0,68 30 994 726
Poland 2,85 3,41 5,46 1,54 4,94 224 653 059
Portugal 1,22 1,46 2,33 0,66 2,11 96 042 290
Romania 1,08 1,29 2,07 0,58 1,88 85 286 224
Slovenia 0,26 0,31 0,50 0,14 0,45 20 621 247
Slovakia 0,53 0,63 1,01 0,28 0,91 41 436 080
Finland 1,42 1,70 2,72 0,77 2,46 111 965 875
Sweden 3,07 3,67 0,00 – 2,75 0,00 0,92 41 643 760
United Kingdom 16,38 0,00 0,00 0,00 0,00 0
Total 100,00 100,00 100,00 – 28,18 28,18 100,00 4 544 158 897
The calculations are made to 15 decimal places.26.1.2016 EN Official Journal of the European Union L 525/13
TABLE 5.2
Intermediate update of the financing of the 2013 UK correction (chapter 36)
Member State Amount
(1)
Belgium 21 086 719
Bulgaria 2 638 709
Czech Republic 8 452 106
Denmark 10 531 440
Germany 23 687 365
Estonia 1 123 952
Ireland 12 880 201
Greece 5 940 696
Spain 57 278 112
France 96 456 818
Croatia 1 527 600
Italy 65 379 144
Cyprus 1 558 619
Latvia 572 289
Lithuania 1 804 672
Luxembourg – 688 281
Hungary 5 678 759
Malta 754 325
Netherlands 8 532 126
Austria 1 859 547
Poland 19 604 131
Portugal 9 472 101
Romania 8 755 802
Slovenia 2 200 336
Slovakia 2 943 154
Finland 8 548 776
Sweden 2 286 070
United Kingdom – 380 865 288
Total 0L 525/14 EN Official Journal of the European Unio n 26.1.2016
TABLE 5.3
Intermediate update of the financing of the 2012 UK correction (chapter 36)
Member State Amount
(1)
Belgium 20 609 337
Bulgaria 2 761 140
Czech Republic 8 144 978
Denmark 15 569 429
Germany 35 721 878
Estonia 1 607 973
Ireland 13 192 753
Greece 10 134 814
Spain 61 882 563
France 134 788 539
Croatia 1 255 475
Italy 119 606 240
Cyprus 1 962 450
Latvia 1 174 712
Lithuania 2 581 885
Luxembourg – 626 437
Hungary 6 799 870
Malta 800 752
Netherlands 8 934 474
Austria 2 296 477
Poland 18 950 469
Portugal 12 984 470
Romania 10 427 052
Slovenia 2 497 710
Slovakia 3 685 428
Finland 9 962 881
Sweden 4 499 743
United Kingdom – 512 207 055
Total 026.1.2016 EN Official Journal of the European Union L 525/15
TABLE 5.4
Financing of the definitive 2011 UK correction (chapter 35)
Member State Amount
(1)
Belgium 11 815 757
Bulgaria 1 392 513
Czech Republic 4 784 685
Denmark 3 487 953
Germany 10 915 347
Estonia 364 152
Ireland 3 453 266
Greece 2 741 329
Spain 27 503 186
France 43 503 201
Croatia —
Italy 53 237 596
Cyprus 1 207 563
Latvia 244 042
Lithuania 768 575
Luxembourg 37 104
Hungary 2 508 198
Malta 344 459
Netherlands 5 167 025
Austria 1 172 371
Poland 9 539 521
Portugal 2 909 281
Romania 2 915 322
Slovenia 702 416
Slovakia 1 459 572
Finland 4 044 692
Sweden 1 743 115
United Kingdom – 197 962 241
Total 0TABLE 6
Summary of financing (1 ) of the general budget by type of own resource and by Member State
Traditional own resources (TOR) VA T and GNI-based own resources, including adjustments
To tal own
Member State
Net sugar sector Net customs duties
Total net traditional Collection costs
VA T-based own GNI-based own United Kingdom To tal ‘national
Share in total
resources (2 )
own resources (25 % of gross TOR) ‘national contribu-
levies (75 %) (75 %) resource resource correction contributions’
(75 %) (p.m.) tions’ (%)
(1) (2) (3) = (1) + (2) (4) (5) (6) (7) (8) = (5) + (6) + (7) (9) (10) = (3) + (8)
Belgium 6 600 000 1 777 109 902 1 783 709 902 594 569 967 511 842 600 2 677 114 263 280 841 901 3 469 798 764 3,13 5 253 508 666
Bulgaria 400 000 60 771 523 61 171 523 20 390 508 59 662 964 272 938 189 29 969 207 362 570 360 0,33 423 741 883
Czech Republic 3 400 000 218 992 601 222 392 601 74 130 867 194 223 456 946 409 981 101 747 208 1 242 380 645 1,12 1 464 773 246
Denmark 3 400 000 343 547 332 346 947 332 115 649 111 302 927 330 1 781 398 206 180 858 201 2 265 183 737 2,04 2 612 131 069
Germany 26 300 000 3 673 396 526 3 699 696 526 1 233 232 172 3 776 991 727 19 854 398 530 360 730 543 23 992 120 800 21,63 27 691 817 326
Estonia 0 24 631 290 24 631 290 8 210 430 28 498 014 129 683 490 14 108 292 172 289 796 0,16 196 921 086
Ireland 0 256 746 238 256 746 238 85 582 079 214 960 200 1 062 586 372 119 756 905 1 397 303 477 1,26 1 654 049 715
Greece 1 400 000 134 450 271 135 850 271 45 283 424 216 364 200 1 164 029 800 117 661 704 1 498 055 704 1,35 1 633 905 975
Spain 4 700 000 1 267 919 835 1 272 619 835 424 206 612 1 327 940 850 7 097 387 238 749 346 267 9 174 674 355 8,27 10 447 294 190
France 30 900 000 1 609 531 084 1 640 431 084 546 810 361 2 892 563 036 14 360 602 477 1 494 194 837 18 747 360 350 16,90 20 387 791 434
Croatia 1 700 000 45 282 852 46 982 852 15 660 951 62 205 250 274 469 466 26 089 950 362 764 666 0,33 409 747 518
Italy 4 700 000 1 620 394 666 1 625 094 666 541 698 222 1 703 589 150 10 445 402 587 1 125 205 775 13 274 197 512 11,97 14 899 292 178
Cyprus 0 19 145 718 19 145 718 6 381 906 24 307 200 107 251 144 13 835 980 145 394 324 0,13 164 540 042
Latvia 0 28 395 898 28 395 898 9 465 299 26 840 306 162 773 242 15 813 111 205 426 659 0,19 233 822 557
Lithuania 800 000 68 730 978 69 530 978 23 176 993 42 528 985 240 751 810 25 598 835 308 879 630 0,28 378 410 608
Luxembourg 0 15 703 791 15 703 791 5 234 597 45 415 200 200 386 395 15 738 416 261 540 011 0,24 277 243 802
Hungary 2 100 000 115 412 112 117 512 112 39 170 704 127 337 086 680 905 632 72 806 674 881 049 392 0,79 998 561 504
Malta 0 11 939 184 11 939 184 3 979 728 11 921 060 52 599 532 6 366 083 70 886 675 0,06 82 825 859
Netherlands 7 200 000 2 226 496 487 2 233 696 487 744 565 496 796 827 900 4 360 923 079 86 419 894 5 244 170 873 4,73 7 477 867 360
Austria 3 200 000 208 774 381 211 974 381 70 658 127 449 740 050 2 119 039 398 36 323 121 2 605 102 569 2,35 2 817 076 950
Poland 12 800 000 482 300 013 495 100 013 165 033 338 501 980 483 2 645 588 685 272 747 180 3 420 316 348 3,08 3 915 416 361
Portugal 100 000 129 502 501 129 602 501 43 200 834 235 658 100 1 131 025 757 121 408 142 1 488 091 999 1,34 1 617 694 500
Romania 900 000 122 403 526 123 303 526 41 101 175 163 693 239 1 004 358 767 107 384 400 1 275 436 406 1,15 1 398 739 932
Slovenia 0 65 396 612 65 396 612 21 798 871 55 037 400 242 842 620 26 021 709 323 901 729 0,29 389 298 341
Slovakia 1 300 000 99 923 441 101 223 441 33 741 147 78 020 250 487 964 976 49 524 234 615 509 460 0,55 716 732 901
Finland 700 000 116 487 715 117 187 715 39 062 572 274 014 000 1 318 547 150 134 522 224 1 727 083 374 1,56 1 844 271 089
Sweden 2 600 000 519 515 847 522 115 847 174 038 616 561 562 344 2 847 089 742 50 172 688 3 458 824 774 3,12 3 980 940 621
United Kingdom 9 500 000 3 371 797 676 3 381 297 676 1 127 099 226 3 336 701 566 15 215 901 200 – 5 635 193 481 12 917 409 285 11,65 16 298 706 961
Total 124 700 000 18 634 700 000 18 759 400 000 6 253 133 333 18 023 353 946 92 884 369 728 0 110 907 723 674 100,00 129 667 123 674
(1 ) p.m. (own resources + other revenue = total revenue = total expenditure); (129 667 123 674 + 11 613 299 265 = 141 280 422 939 = 141 280 422 939).
(2 ) Total own resources as percentage of GNI: (129 667 123 674) / (14 034 093 925 900) = 0,92 %; own resources ceiling as percentage of GNI: 1,23 %.
L
525/16
EN
Official
Journal
of
the
European
Union
26.1.201626.1.2016 EN Official Journal of the European Union L 525/17
B. GENERAL STATEMENT OF REVENUE BY BUDGET HEADING
Amending budget
Title Heading Budget 2015 New amount
No 8/2015
1 OWN RESOURCES 138 270 491 148 – 8 603 367 474 129 667 123 674
3 SURPLUSES, BALANCES AND ADJUSTMENTS 1 434 557 708 7 133 244 000 8 567 801 708
4 REVENUE ACCRUING FROM PERSONS WORKING WITH
THE INSTITUTIONS AND OTHER UNION BODIES 1 300 952 883 1 300 952 883
5 REVENUE ACCRUING FROM THE ADMINISTRATIVE
OPERATION OF THE INSTITUTIONS 54 453 674 40 000 000 94 453 674
6 CONTRIBUTIONS AND REFUNDS IN CONNECTION WITH
UNION AGREEMENTS AND PROGRAMMES 60 000 000 60 000 000
7 INTEREST ON LATE PAYMENTS AND FINES 123 000 000 1 400 000 000 1 523 000 000
8 BORROWING AND LENDING OPERATIONS 6 890 000 30 000 000 36 890 000
9 MISCELLANEOUS REVENUE 30 201 000 30 201 000
GRAND TOTAL 141 280 546 413 – 123 474 141 280 422 939L 525/18 EN Official Journal of the European Unio n 26.1.2016
TITLE 1
OWN RESOURCES
CHAPTER 1 1 — LEVIES AND OTHER DUTIES PROVIDED FOR UNDER THE COMMON ORGANISATION OF THE
MARKETS IN SUGAR (ARTICLE 2(1)(A) OF DECISION 2007/436/EC, EURATOM)
CHAPTER 1 2 — CUSTOMS DUTIES AND OTHER DUTIES REFERRED TO IN ARTICLE 2(1)(A) OF DECISION 2007/436/
EC, EURATOM
CHAPTER 1 3 — OWN RESOURCES ACCRUING FROM VALUE ADDED TAX PURSUANT TO ARTICLE 2(1)(B) OF
DECISION 2007/436/EC, EURATOM
CHAPTER 1 4 — OWN RESOURCES BASED ON GROSS NATIONAL INCOME PURSUANT TO ARTICLE 2(1)(C) OF
DECISION 2007/436/EC, EURATOM
Article Amending budget
Heading Budget 2015 New amount
Item No 8/2015
CHAPTER 1 1
1 1 0 Production levies related to the marketing year 2005/2006
and previous years p.m. p.m.
1 1 1 Sugar storage levies p.m. p.m.
1 1 3 Charges levied on non-exported C sugar, C isoglucose and C
inulin syrup production, and on substituted C sugar and C
isoglucose p.m. p.m.
1 1 7 Production charge 124 700 000 124 700 000
1 1 8 One-off amounts on additional sugar quotas and supple-
mentary isoglucose quotas p.m. p.m.
1 1 9 Surplus amount p.m. p.m.
CHAPTER 1 1 — TOTAL 124 700 000 124 700 000
CHAPTER 1 2
1 2 0 Customs duties and other duties referred to in Article 2(1)(a)
of Decision 2007/436/EC, Euratom 17 834 700 000 800 000 000 18 634 700 000
CHAPTER 1 2 — TOTAL 17 834 700 000 800 000 000 18 634 700 000
CHAPTER 1 3
1 3 0 Own resources accruing from value added tax pursuant to
Article 2(1)(b) of Decision 2007/436/EC, Euratom 18 023 353 946 18 023 353 946
CHAPTER 1 3 — TOTAL 18 023 353 946 18 023 353 946
CHAPTER 1 4
1 4 0 Own resources based on gross national income pursuant to
Article 2(1)(c) of Decision 2007/436/EC, Euratom 102 287 737 202 – 9 403 367 474 92 884 369 728
CHAPTER 1 4 — TOTAL 102 287 737 202 – 9 403 367 474 92 884 369 72826.1.2016 EN Official Journal of the European Union L 525/19
CHAPTER 1 5 — CORRECTION OF BUDGETARY IMBALANCES
CHAPTER 1 6 — GROSS REDUCTION IN THE ANNUAL GNI-BASED CONTRIBUTION GRANTED TO THE
NETHERLANDS AND SWEDEN
Article Amending budget
Heading Budget 2015 New amount
Item No 8/2015
CHAPTER 1 5
1 5 0 Correction of budgetary imbalances granted to the United
Kingdom in accordance with Articles 4 and 5 of Decision
2007/436/EC, Euratom 0,— 0,—
CHAPTER 1 5 — TOTAL 0,— 0,—
CHAPTER 1 6
1 6 0 Gross reduction in the annual GNI-based contribution
granted to the Netherlands and Sweden pursuant to Article
2(5) of Decision 2007/436/EC, Euratom p.m. p.m.
CHAPTER 1 6 — TOTAL p.m. p.m.
Title 1 — Total 138 270 491 148 – 8 603 367 474 129 667 123 674L 525/20 EN Official Journal of the European Unio n 26.1.2016
TITLE 1
OWN RESOURCES
CHAPTER 1 2 — CUSTOMS DUTIES AND OTHER DUTIES REFERRED TO IN ARTICLE 2(1)(A) OF DECISION 2007/436/EC, EURATOM
1 2 0 Customs duties and other duties referred to in Article 2(1)(a) of Decision 2007/436/EC, Euratom
Budget 2015 Amending budget No 8/2015 New amount
17 834 700 000 800 000 000 18 634 700 000
Remarks
The assignment of customs duties as own resources to the financing of common expenditure is the logical consequence
of the free movement of goods within the Union. This article may comprise levies, premiums, additional or
compensatory amounts, additional amounts or factors, Common Customs Tariff duties and other duties established or
to be established by the institutions of the European Union in respect of trade with third countries and customs duties
on products under the expired Treaty establishing the European Coal and Steel Community.
Figures are net of collection costs.
Legal basis
Council Decision 2007/436/EC, Euratom of 7 June 2007 on the system of the European Communities’ own resources
(OJ L 163, 23.6.2007, p. 17), and in particular Article 2(1)(a) thereof.26.1.2016 EN Official Journal of the European Union L 525/21
CHAPTER 1 2 — CUSTOMS DUTIES AND OTHER DUTIES REFERRED TO IN ARTICLE 2(1)(A) OF DECISION 2007/436/EC, EURATOM
(cont'd)
1 2 0 (cont'd)
Amending budget
Member State Budget 2015 New amount
No. 8/2015
Belgium 1 700 817 398 76 292 504 1 777 109 902
Bulgaria 58 162 561 2 608 962 60 771 523
Czech Republic 209 591 104 9 401 497 218 992 601
Denmark 328 798 618 14 748 714 343 547 332
Germany 3 515 695 181 157 701 345 3 673 396 526
Estonia 23 573 852 1 057 438 24 631 290
Ireland 245 723 952 11 022 286 256 746 238
Greece 128 678 232 5 772 039 134 450 271
Spain 1 213 487 198 54 432 637 1 267 919 835
France 1 540 432 850 69 098 234 1 609 531 084
Croatia 43 338 829 1 944 023 45 282 852
Italy 1 550 830 051 69 564 615 1 620 394 666
Cyprus 18 323 780 821 938 19 145 718
Latvia 27 176 843 1 219 055 28 395 898
Lithuania 65 780 312 2 950 666 68 730 978
Luxembourg 15 029 617 674 174 15 703 791
Hungary 110 457 394 4 954 718 115 412 112
Malta 11 426 627 512 557 11 939 184
Netherlands 2 130 911 520 95 584 967 2 226 496 487
Austria 199 811 559 8 962 822 208 774 381
Poland 461 594 554 20 705 459 482 300 013
Portugal 123 942 873 5 559 628 129 502 501
Romania 117 148 662 5 254 864 122 403 526
Slovenia 62 589 092 2 807 520 65 396 612
Slovakia 95 633 662 4 289 779 99 923 441
Finland 111 486 820 5 000 895 116 487 715
Sweden 497 212 688 22 303 159 519 515 847
United Kingdom 3 227 044 171 144 753 505 3 371 797 676
Article 1 2 0 — Total 17 834 700 000 800 000 000 18 634 700 000L 525/22 EN Official Journal of the European Unio n 26.1.2016
CHAPTER 1 4 — OWN RESOURCES BASED ON GROSS NATIONAL INCOME PURSUANT TO ARTICLE 2(1)(C) OF DECISION 2007/436/
EC, EURATOM
1 4 0 Own resources based on gross national income pursuant to Article 2(1)(c) of Decision 2007/436/EC, Euratom
Budget 2015 Amending budget No 8/2015 New amount
102 287 737 202 – 9 403 367 474 92 884 369 728
Remarks
The GNI-based resource is an ‘additional’ resource, providing the revenue required to cover expenditure in excess of the
amount yielded by traditional own resources, VAT-based payments and other revenue in any particular year. By
implication, the GNI-based resource ensures that the general budget of the Union is always balanced ex ante.
The GNI call rate is determined by the additional revenue needed to finance the budgeted expenditure not covered by
the other resources (VAT-based payments, traditional own resources and other revenue). Thus a call rate is applied to the
GNI of each of the Member States.
The rate to be applied to the Member States’ gross national income for this financial year is 0,6618 %.
Legal basis
Council Decision 2007/436/EC, Euratom of 7 June 2007 on the system of the European Communities’ own resources
(OJ L 163, 23.6.2007, p. 17), and in particular Article 2(1)(c) thereof.26.1.2016 EN Official Journal of the European Union L 525/23
CHAPTER 1 4 — OWN RESOURCES BASED ON GROSS NATIONAL INCOME PURSUANT TO ARTICLE 2(1)(C) OF DECISION 2007/436/EC,
EURATOM (cont'd)
1 4 0 (cont'd)
Amending budget
Member State Budget 2015 New amount
No. 8/2015
Belgium 2 948 138 218 – 271 023 955 2 677 114 263
Bulgaria 300 569 728 – 27 631 539 272 938 189
Czech Republic 1 042 222 019 – 95 812 038 946 409 981
Denmark 1 961 742 240 – 180 344 034 1 781 398 206
Germany 21 864 405 229 – 2 010 006 699 19 854 398 530
Estonia 142 812 302 – 13 128 812 129 683 490
Ireland 1 170 159 800 – 107 573 428 1 062 586 372
Greece 1 281 873 093 – 117 843 293 1 164 029 800
Spain 7 815 907 916 – 718 520 678 7 097 387 238
France 15 814 431 821 – 1 453 829 344 14 360 602 477
Croatia 302 256 027 – 27 786 561 274 469 466
Italy 11 502 867 468 – 1 057 464 881 10 445 402 587
Cyprus 118 108 966 – 10 857 822 107 251 144
Latvia 179 251 974 – 16 478 732 162 773 242
Lithuania 265 124 885 – 24 373 075 240 751 810
Luxembourg 220 672 982 – 20 286 587 200 386 395
Hungary 749 838 714 – 68 933 082 680 905 632
Malta 57 924 570 – 5 325 038 52 599 532
Netherlands 4 802 411 377 – 441 488 298 4 360 923 079
Austria 2 333 565 332 – 214 525 934 2 119 039 398
Poland 2 913 421 073 – 267 832 388 2 645 588 685
Portugal 1 245 527 807 – 114 502 050 1 131 025 757
Romania 1 106 037 387 – 101 678 620 1 004 358 767
Slovenia 267 427 364 – 24 584 744 242 842 620
Slovakia 537 365 257 – 49 400 281 487 964 976
Finland 1 452 033 370 – 133 486 220 1 318 547 150
Sweden 3 135 321 563 – 288 231 821 2 847 089 742
United Kingdom 16 756 318 720 – 1 540 417 520 15 215 901 200
Article 1 4 0 — Total 102 287 737 202 – 9 403 367 474 92 884 369 728L 525/24 EN Official Journal of the European Unio n 26.1.2016
TITLE 3
SURPLUSES, BALANCES AND ADJUSTMENTS
CHAPTER 3 0 — SURPLUS AVAILABLE FROM THE PRECEDING FINANCIAL YEAR
CHAPTER 3 1 — BALANCES AND ADJUSTMENT OF BALANCES BASED ON VAT FOR THE PREVIOUS FINANCIAL
YEARS AS A RESULT OF THE APPLICATION OF ARTICLE 10(4), (5) AND (8) OF REGULATION (EC,
EURATOM) NO 1150/2000
CHAPTER 3 2 — BALANCES AND ADJUSTMENTS OF BALANCES BASED ON GROSS NATIONAL INCOME/PRODUCT
FOR THE PREVIOUS FINANCIAL YEARS AS A RESULT OF THE APPLICATION OF ARTICLE 10(6), (7)
AND (8) OF REGULATION (EC, EURATOM) NO 1150/2000
Article Amending budget
Heading Budget 2015 New amount
Item No 8/2015
CHAPTER 3 0
3 0 0 Surplus available from the preceding financial year 1 434 557 708 1 434 557 708
3 0 2 Surplus own resources resulting from repayment of the
surplus from the Guarantee Fund for external actions p.m. p.m.
CHAPTER 3 0 — TOTAL 1 434 557 708 1 434 557 708
CHAPTER 3 1
3 1 0 Application for 1995 and subsequent financial years of
Article 10(4), (5) and (8) of Regulation (EC, Euratom)
No 1150/2000
3 1 0 3 Application for 1995 and subsequent years of Article 10(4),
(5) and (8) of Regulation (EC, Euratom) No 1150/2000 p.m. – 192 713 000 – 192 713 000
Article 3 1 0 — Total p.m. – 192 713 000 – 192 713 000
CHAPTER 3 1 — TOTAL p.m. – 192 713 000 – 192 713 000
CHAPTER 3 2
3 2 0 Application for 1995 and subsequent financial years of
Article 10(6), (7) and (8) of Regulation (EC, Euratom)
No 1150/2000
3 2 0 3 Application for 1995 and subsequent financial years of Article
10(6), (7) and (8) of Regulation (EC, Euratom) No 1150/2000 p.m. 7 325 957 000 7 325 957 000
Article 3 2 0 — Total p.m. 7 325 957 000 7 325 957 000
CHAPTER 3 2 — TOTAL p.m. 7 325 957 000 7 325 957 00026.1.2016 EN Official Journal of the European Union L 525/25
CHAPTER 3 4 — ADJUSTMENT RELATING TO THE NON-PARTICIPATION OF CERTAIN MEMBER STATES IN CERTAIN
POLICIES IN THE AREA OF FREEDOM, SECURITY AND JUSTICE
CHAPTER 3 5 — RESULT OF THE DEFINITIVE CALCULATION OF THE FINANCING OF THE CORRECTION OF
BUDGETARY IMBALANCES FOR THE UNITED KINGDOM
CHAPTER 3 6 — RESULT OF INTERMEDIATE UPDATES OF THE CALCULATION OF THE FINANCING OF THE
CORRECTION OF BUDGETARY IMBALANCES FOR THE UNITED KINGDOM
Article Amending budget
Heading Budget 2015 New amount
Item No 8/2015
CHAPTER 3 4
3 4 0 Adjustment for the impact of the non-participation of
certain Member States in certain policies in the area of
freedom, security and justice p.m. p.m.
CHAPTER 3 4 — TOTAL p.m. p.m.
CHAPTER 3 5
3 5 0 Result of the definitive calculation of the financing of the
correction of budgetary imbalances for the United Kingdom
3 5 0 4 Result of the definitive calculation of the financing of the
correction of budgetary imbalances for the United Kingdom 0,— 0,—
Article 3 5 0 — Total 0,— 0,—
CHAPTER 3 5 — TOTAL 0,— 0,—
CHAPTER 3 6
3 6 0 Result of intermediate updates of the calculation of the
financing of the correction of budgetary imbalances for the
United Kingdom
3 6 0 4 Result of intermediate updates of the calculation of the
financing of the correction of budgetary imbalances for the
United Kingdom 0,— 0,—
Article 3 6 0 — Total 0,— 0,—
CHAPTER 3 6 — TOTAL 0,— 0,—
Title 3 — Total 1 434 557 708 7 133 244 000 8 567 801 708L 525/26 EN Official Journal of the European Unio n 26.1.2016
TITLE 3
SURPLUSES, BALANCES AND ADJUSTMENTS
CHAPTER 3 1 — BALANCES AND ADJUSTMENT OF BALANCES BASED ON VAT FOR THE PREVIOUS FINANCIAL YEARS AS A RESULT
OF THE APPLICATION OF ARTICLE 10(4), (5) AND (8) OF REGULATION (EC, EURATOM) NO 1150/2000
3 1 0 Application for 1995 and subsequent financial years of Article 10(4), (5) and (8) of Regulation (EC, Euratom)
No 1150/2000
3 1 0 3 Application for 1995 and subsequent years of Article 10(4), (5) and (8) of Regulation (EC, Euratom) No 1150/2000
Budget 2015 Amending budget No 8/2015 New amount
p.m. – 192 713 000 – 192 713 000
Remarks
Under Article 7(1) of Regulation (EEC, Euratom) No 1553/89, Member States are to send the Commission a statement
of the total amount of the VAT resources base for the previous calendar year before 31 July.
Each Member State is debited with an amount calculated on the basis of that statement according to Union rules and
credited with the 12 payments actually made during the previous financial year. The Commission works out each
Member State’s balance and informs it in time for that Member State to enter its balance in the Commission’s account
referred to in Article 9(1) of Regulation (EC, Euratom) No 1150/2000 on the first working day of December of the
same year.
Any corrections to the abovementioned statements resulting from Commission controls in accordance with Article 9 of
Regulation (EEC, Euratom) No 1553/89 or/and any changes to the GNI of previous financial years that have an effect on
the capping of the ‘VAT’ base will lead to adjustments of the ‘VAT’ balances.
The budgeted amounts include the balances deferred in 2014.
Legal basis
Council Regulation (EEC, Euratom) No 1553/89 of 29 May 1989 on the definitive uniform arrangements for the
collection of own resources accruing from value added tax (OJ L 155, 7.6.1989, p. 9).
Council Regulation (EC, Euratom) No 1150/2000 of 22 May 2000 implementing Decision 2007/436/EC Euratom on
the system of the European Communities’ own resources (OJ L 130, 31.5.2000, p. 1), and in particular Article 10(4),
(5) and (8) thereof.26.1.2016 EN Official Journal of the European Union L 525/27
CHAPTER 3 1 — BALANCES AND ADJUSTMENT OF BALANCES BASED ON VAT FOR THE PREVIOUS FINANCIAL YEARS AS A RESULT
OF THE APPLICATION OF ARTICLE 10(4), (5) AND (8) OF REGULATION (EC, EURATOM) NO 1150/2000 (cont'd)
3 1 0 (cont'd)
3 1 0 3 (cont'd)
Amending budget
Member State Budget 2015 New amount
No. 8/2015
Belgium p.m. 72 870 000 72 870 000
Bulgaria p.m. 1 525 000 1 525 000
Czech Republic p.m. 9 640 000 9 640 000
Denmark p.m. – 5 927 000 – 5 927 000
Germany p.m. – 103 806 000 – 103 806 000
Estonia p.m. 608 000 608 000
Ireland p.m. 7 099 000 7 099 000
Greece p.m. – 45 286 000 – 45 286 000
Spain p.m. – 72 892 000 – 72 892 000
France p.m. – 43 477 000 – 43 477 000
Croatia p.m. – 1 184 000 – 1 184 000
Italy p.m. – 216 644 000 – 216 644 000
Cyprus p.m. 11 239 000 11 239 000
Latvia p.m. 1 669 000 1 669 000
Lithuania p.m. 358 000 358 000
Luxembourg p.m. 14 886 000 14 886 000
Hungary p.m. 4 379 000 4 379 000
Malta p.m. 3 630 000 3 630 000
Netherlands p.m. – 26 259 000 – 26 259 000
Austria p.m. – 4 400 000 – 4 400 000
Poland p.m. 30 536 000 30 536 000
Portugal p.m. 18 273 000 18 273 000
Romania p.m. – 12 492 000 – 12 492 000
Slovenia p.m. 1 905 000 1 905 000
Slovakia p.m. 6 967 000 6 967 000
Finland p.m. – 8 412 000 – 8 412 000
Sweden p.m. 1 356 000 1 356 000
United Kingdom p.m. 161 126 000 161 126 000
Item 3 1 0 3 — Total p.m. – 192 713 000 – 192 713 000L 525/28 EN Official Journal of the European Unio n 26.1.2016
CHAPTER 3 2 — BALANCES AND ADJUSTMENTS OF BALANCES BASED ON GROSS NATIONAL INCOME/PRODUCT FOR THE
PREVIOUS FINANCIAL YEARS AS A RESULT OF THE APPLICATION OF ARTICLE 10(6), (7) AND (8) OF REGULATION (EC, EURATOM)
NO 1150/2000
3 2 0 Application for 1995 and subsequent financial years of Article 10(6), (7) and (8) of Regulation (EC, Euratom)
No 1150/2000
3 2 0 3 Application for 1995 and subsequent financial years of Article 10(6), (7) and (8) of Regulation (EC, Euratom) No 1150/
2000
Budget 2015 Amending budget No 8/2015 New amount
p.m. 7 325 957 000 7 325 957 000
Remarks
On the basis of figures for aggregate gross national income and its components from the preceding year, supplied by the
Member States in accordance with Article 2(2) of Regulation (EC, Euratom) No 1287/2003, each Member State shall be
debited with an amount calculated according to Union rules and credited with the 12 payments made during that
previous financial year.
The Commission works out each Member State’s balance and informs it in time for that Member State to enter its
balance in the account referred to in Article 9(1) of Regulation (EC, Euratom) No 1150/2000 on the first working day
of December of the same year.
Any changes to the gross national product/gross national income of previous financial years pursuant to Article 2(2) of
Regulation (EC, Euratom) No 1287/2003, subject to Articles 4 and 5 thereof, gives rise for each Member State
concerned to an adjustment to the balance established pursuant to Article 10(7) of Regulation (EC, Euratom) No 1150/
2000.
The budgeted amounts include the balances deferred in 2014.
Legal basis
Council Regulation (EC, Euratom) No 1150/2000 of 22 May 2000 implementing Decision 2007/436/EC, Euratom on
the system of the European Communities’ own resources (OJ L 130, 31.5.2000, p. 1), and in particular Article 10(6),
(7) and (8) thereof.
Council Regulation (EC, Euratom) No 1287/2003 of 15 July 2003 on the harmonisation of gross national income at
market prices (OJ L 181, 19.7.2003, p. 1).26.1.2016 EN Official Journal of the European Union L 525/29
CHAPTER 3 2 — BALANCES AND ADJUSTMENTS OF BALANCES BASED ON GROSS NATIONAL INCOME/PRODUCT FOR THE
PREVIOUS FINANCIAL YEARS AS A RESULT OF THE APPLICATION OF ARTICLE 10(6), (7) AND (8) OF REGULATION (EC, EURATOM)
NO 1150/2000 (cont'd)
3 2 0 (cont'd)
3 2 0 3 (cont'd)
Amending budget
Member State Budget 2015 New amount
No. 8/2015
Belgium p.m. 147 716 000 147 716 000
Bulgaria p.m. 59 923 000 59 923 000
Czech Republic p.m. 51 471 000 51 471 000
Denmark p.m. – 60 420 000 – 60 420 000
Germany p.m. 383 851 000 383 851 000
Estonia p.m. 11 786 000 11 786 000
Ireland p.m. 156 657 000 156 657 000
Greece p.m. – 171 235 000 – 171 235 000
Spain p.m. – 333 271 000 – 333 271 000
France p.m. 300 400 000 300 400 000
Croatia p.m. – 5 551 000 – 5 551 000
Italy p.m. 1 167 877 000 1 167 877 000
Cyprus p.m. 55 184 000 55 184 000
Latvia p.m. – 1 293 000 – 1 293 000
Lithuania p.m. 6 460 000 6 460 000
Luxembourg p.m. 74 065 000 74 065 000
Hungary p.m. 42 869 000 42 869 000
Malta p.m. 17 767 000 17 767 000
Netherlands p.m. 538 657 000 538 657 000
Austria p.m. – 72 668 000 – 72 668 000
Poland p.m. 197 995 000 197 995 000
Portugal p.m. 21 688 000 21 688 000
Romania p.m. 40 791 000 40 791 000
Slovenia p.m. 14 745 000 14 745 000
Slovakia p.m. – 14 817 000 – 14 817 000
Finland p.m. 9 616 000 9 616 000
Sweden p.m. 41 121 000 41 121 000
United Kingdom p.m. 4 644 573 000 4 644 573 000
Item 3 2 0 3 — Total p.m. 7 325 957 000 7 325 957 000L 525/30 EN Official Journal of the European Unio n 26.1.2016
TITLE 5
REVENUE ACCRUING FROM THE ADMINISTRATIVE OPERATION OF THE INSTITUTIONS
CHAPTER 5 0 — PROCEEDS FROM THE SALE OF MOVABLE PROPERTY (SUPPLY OF GOODS) AND IMMOVABLE
PROPERTY
CHAPTER 5 1 — PROCEEDS FROM LETTING AND HIRING
Article Amending budget
Heading Budget 2015 New amount
Item No 8/2015
CHAPTER 5 0
5 0 0 Proceeds from the sale of movable property (supply of goods)
5 0 0 0 Proceeds from the sale of vehicles — Assigned revenue p.m. p.m.
5 0 0 1 Proceeds from the sale of other movable property — Assigned
revenue p.m. p.m.
5 0 0 2 Proceeds from the supply of goods to other institutions or
bodies — Assigned revenue p.m. p.m.
Article 5 0 0 — Total p.m. p.m.
5 0 1 Proceeds from the sale of immovable property p.m. p.m.
5 0 2 Proceeds from the sale of publications, printed works and
films — Assigned revenue p.m. p.m.
CHAPTER 5 0 — TOTAL p.m. p.m.
CHAPTER 5 1
5 1 0 Proceeds from the hiring-out of furniture and equipment —
Assigned revenue p.m. p.m.
5 1 1 Proceeds from letting and subletting immovable property and
reimbursement of charges connected with lettings
5 1 1 0 Proceeds from letting and subletting immovable property —
Assigned revenue p.m. p.m.
5 1 1 1 Reimbursement of charges connected with lettings —
Assigned revenue p.m. p.m.
Article 5 1 1 — Total p.m. p.m.
CHAPTER 5 1 — TOTAL p.m. p.m.26.1.2016 EN Official Journal of the European Union L 525/31
CHAPTER 5 2 — REVENUE FROM INVESTMENTS OR LOANS GRANTED, BANK AND OTHER INTEREST
CHAPTER 5 5 — REVENUE FROM THE SUPPLY OF SERVICES AND WORK
CHAPTER 5 7 — OTHER CONTRIBUTIONS AND REFUNDS IN CONNECTION WITH THE ADMINISTRATIVE
OPERATION OF THE INSTITUTIONS
Article Amending budget
Heading Budget 2015 New amount
Item No 8/2015
CHAPTER 5 2
5 2 0 Revenue from investments or loans granted, bank and other
interest on the institutions’ accounts 453 674 453 674
5 2 1 Revenue from investments or loans granted, bank and other
interest on the accounts of organisations receiving subsidies
transferred to the Commission 10 000 000 40 000 000 50 000 000
5 2 2 Interest yielded by prefinancing 40 000 000 40 000 000
5 2 3 Revenue generated on Trust Accounts — Assigned revenue p.m. p.m.
CHAPTER 5 2 — TOTAL 50 453 674 40 000 000 90 453 674
CHAPTER 5 5
5 5 0 Proceeds from the supply of services and work for other
institutions or bodies, including refunds by other institutions
or bodies of mission allowances paid on their behalf —
Assigned revenue p.m. p.m.
5 5 1 Revenue from third parties in respect of services or work
supplied at their request — Assigned revenue p.m. p.m.
CHAPTER 5 5 — TOTAL p.m. p.m.
CHAPTER 5 7
5 7 0 Revenue arising from the repayment of amounts wrongly
paid — Assigned revenue p.m. p.m.
5 7 1 Revenue earmarked for a specific purpose, such as income
from foundations, subsidies, gifts and bequests, including the
earmarked revenue specific to each institution — Assigned
revenue p.m. p.m.
5 7 2 Repayment of welfare expenditure incurred on behalf of
another institution p.m. p.m.
5 7 3 Other contributions and refunds in connection with the
administrative operation of the institution — Assigned
revenue p.m. p.m.
5 7 4 Revenue arising from the Commission contribution to the
European External Action Service (EEAS) for Commission
staff working in Union delegations — Assigned revenue p.m. p.m.
CHAPTER 5 7 — TOTAL p.m. p.m.L 525/32 EN Official Journal of the European Unio n 26.1.2016
CHAPTER 5 8 — MISCELLANEOUS COMPENSATION
CHAPTER 5 9 — OTHER REVENUE FROM ADMINISTRATIVE OPERATIONS
Article Amending budget
Heading Budget 2015 New amount
Item No 8/2015
CHAPTER 5 8
5 8 0 Revenue from payments connected with lettings — Assigned
revenue p.m. p.m.
5 8 1 Revenue from insurance payments received — Assigned
revenue p.m. p.m.
CHAPTER 5 8 — TOTAL p.m. p.m.
CHAPTER 5 9
5 9 0 Other revenue from administrative operations 4 000 000 4 000 000
CHAPTER 5 9 — TOTAL 4 000 000 4 000 000
Title 5 — Total 54 453 674 40 000 000 94 453 67426.1.2016 EN Official Journal of the European Union L 525/33
TITLE 5
REVENUE ACCRUING FROM THE ADMINISTRATIVE OPERATION OF THE INSTITUTIONS
CHAPTER 5 2 — REVENUE FROM INVESTMENTS OR LOANS GRANTED, BANK AND OTHER INTEREST
5 2 1 Revenue from investments or loans granted, bank and other interest on the accounts of organisations receiving
subsidies transferred to the Commission
Budget 2015 Amending budget No 8/2015 New amount
10 000 000 40 000 000 50 000 000
Remarks
This article is intended to record the revenue accruing from the repayment of interest by the subsidised organisations
which have placed advances received from the Commission on interest-bearing accounts. If they remain unused, these
advances and the interest on them have to be repaid to the Commission.
Commission 50 000 000L 525/34 EN Official Journal of the European Unio n 26.1.2016
TITLE 7
INTEREST ON LATE PAYMENTS AND FINES
CHAPTER 7 0 — INTEREST ON LATE PAYMENTS
CHAPTER 7 1 — FINES
CHAPTER 7 2 — INTEREST ON DEPOSITS AND FINES
Article Amending budget
Heading Budget 2015 New amount
Item No 8/2015
CHAPTER 7 0
7 0 0 Interest on late payments
7 0 0 0 Interest due on late payments into the accounts held with the
treasuries of the Member States 5 000 000 5 000 000 10 000 000
7 0 0 1 Other interest on late payments 3 000 000 3 000 000
Article 7 0 0 — Total 8 000 000 5 000 000 13 000 000
7 0 1 Interest on late payments and other interest on fines 15 000 000 30 000 000 45 000 000
CHAPTER 7 0 — TOTAL 23 000 000 35 000 000 58 000 000
CHAPTER 7 1
7 1 0 Fines, periodic penalty payments and other penalties 100 000 000 1 315 000 000 1 415 000 000
7 1 1 Excess emissions premiums for new passenger cars p.m. p.m.
7 1 2 Penalty payments and lump sums imposed on a Member
State for not complying with a judgment of the Court of
Justice of the European Union on its failure to fulfil an
obligation under the Treaty p.m. 50 000 000 50 000 000
CHAPTER 7 1 — TOTAL 100 000 000 1 365 000 000 1 465 000 000
CHAPTER 7 2
7 2 0 Interest on deposits and fines
7 2 0 0 Interest on deposits and fines resulting from the implemen-
tation of the excessive deficit procedure — Assigned revenue p.m. p.m.
Article 7 2 0 — Total p.m. p.m.
CHAPTER 7 2 — TOTAL p.m. p.m.
Title 7 — Total 123 000 000 1 400 000 000 1 523 000 00026.1.2016 EN Official Journal of the European Union L 525/35
TITLE 7
INTEREST ON LATE PAYMENTS AND FINES
CHAPTER 7 0 — INTEREST ON LATE PAYMENTS
7 0 0 Interest on late payments
7 0 0 0 Interest due on late payments into the accounts held with the treasuries of the Member States
Budget 2015 Amending budget No 8/2015 New amount
5 000 000 5 000 000 10 000 000
Remarks
Any delay by a Member State in making the entry in the account opened in the name of the Commission referred to in
Article 9(1) of Regulation (EC, Euratom) No 1150/2000 gives rise to the payment of interest by the Member State
concerned.
In the case of Member States whose currency is the euro, the interest rate shall be equal to the rate as published in the
Official Journal of the European Union, C series, which the European Central Bank applied to its refinancing operations, on
the first day of the month in which the due date fell, increased by two percentage points. This rate shall be increased by
0,25 of a percentage point for each month of delay. The increased rate shall be applied to the entire period of delay.
In the case of Member States whose currency is not the euro, the rate shall be equal to the rate applied on the first day
of the month in question by the central banks for their main refinancing operations, increased by two percentage
points, or, for the Member States for which the Central Bank rate is not available, the most equivalent rate applied on
the first day of the month in question on the Member State’s money market, increased by two percentage points. This
rate shall be increased by 0,25 of a percentage point for each month of delay. The increased rate shall be applied to the
entire period of delay.
The interest rate applies to all entries of own resources enumerated under Article 10 of Regulation (EC, Euratom) No
1150/2000.
Council p.m.
Commission 10 000 000
European External Action Service p.m.
Total 10 000 000
Legal basis
Council Regulation (EC, Euratom) No 1150/2000 of 22 May 2000 implementing Decision 2007/436/EC, Euratom on
the system of the European Communities’ own resources (OJ L 130, 31.5.2000, p. 1).
Regulation (EU, Euratom) No 966/2012 of the European Parliament and of the Council of 25 October 2012 on the
financial rules applicable to the general budget of the Union and repealing Council Regulation (EC, Euratom) No 1605/
2002 (OJ L 298, 26.10.2012, p. 1), and in particular Article 78(4) thereof.L 525/36 EN Official Journal of the European Unio n 26.1.2016
CHAPTER 7 0 — INTEREST ON LATE PAYMENTS (cont'd)
7 0 1 Interest on late payments and other interest on fines
Budget 2015 Amending budget No 8/2015 New amount
15 000 000 30 000 000 45 000 000
Remarks
This article is intended to receive accrued interest on special accounts for fines and interest on late payment connected
with fines.
Legal basis
Council Regulation (EC) No 1/2003 of 16 December 2002 on the implementation of the rules on competition laid
down in Articles 81 and 82 of the Treaty (OJ L 1, 4.1.2003, p. 1).
Council Regulation (EC) No 139/2004 of 20 January 2004 on the control of concentrations between undertakings
(OJ L 24, 29.1.2004, p. 1), and in particular Articles 14 and 15 thereof.
Regulation (EU, Euratom) No 966/2012 of the European Parliament and of the Council of 25 October 2012 on the
financial rules applicable to the general budget of the Union and repealing Council Regulation (EC, Euratom) No 1605/
2002 (OJ L 298, 26.10.2012, p. 1), and in particular Article 78(4) thereof.
Commission Delegated Regulation (EU) No 1268/2012 of 29 October 2012 on the rules of application of Regulation
(EU, Euratom) No 966/2012 of the European Parliament and of the Council on the financial rules applicable to the
general budget of the Union (OJ L 362, 31.12.2012, p. 1), and in particular Article 83 thereof.
CHAPTER 7 1 — FINES
7 1 0 Fines, periodic penalty payments and other penalties
Budget 2015 Amending budget No 8/2015 New amount
100 000 000 1 315 000 000 1 415 000 000
Remarks
The Commission may impose fines, periodic penalty payments and other penalties on undertakings and associations of
undertakings for not respecting bans or not carrying out their obligations under the Regulations below or under
Articles 101 and 102 of the Treaty on the Functioning of the European Union.
The fines must normally be paid within three months of the Commission decision being notified. However, the
Commission will not collect the amount due when the undertaking has lodged an appeal with the Court of Justice of
the European Union; the undertaking must accept that interest will be paid on the debt after the final date for payment
and provide the Commission with a bank guarantee covering both the principal of the debt and interest or surcharges
by the final date for payment.26.1.2016 EN Official Journal of the European Union L 525/37
CHAPTER 7 1 — FINES (cont'd)
7 1 0 (cont'd)
Legal basis
Council Regulation (EC) No 1/2003 of 16 December 2002 on the implementation of the rules on competition laid
down in Articles 81 and 82 of the Treaty (OJ L 1, 4.1.2003, p. 1).
Council Regulation (EC) No 139/2004 of 20 January 2004 on the control of concentrations between undertakings
(OJ L 24, 29.1.2004, p. 1), and in particular Articles 14 and 15 thereof.
Regulation (EU, Euratom) No 966/2012 of the European Parliament and of the Council of 25 October 2012 on the
financial rules applicable to the general budget of the Union and repealing Council Regulation (EC, Euratom) No 1605/
2002 (OJ L 298, 26.10.2012, p. 1).
Commission Delegated Regulation (EU) No 1268/2012 of 29 October 2012 on the rules of application of Regulation
(EU, Euratom) No 966/2012 of the European Parliament and of the Council on the financial rules applicable to the
general budget of the Union (OJ L 362, 31.12.2012, p. 1).
7 1 2 Penalty payments and lump sums imposed on a Member State for not complying with a judgment of the Court of
Justice of the European Union on its failure to fulfil an obligation under the Treaty
Budget 2015 Amending budget No 8/2015 New amount
p.m. 50 000 000 50 000 000
Legal basis
Treaty on the Functioning of the European Union, and in particular Article 260(2) thereof.L 525/38 EN Official Journal of the European Unio n 26.1.2016
TITLE 8
BORROWING AND LENDING OPERATIONS
CHAPTER 8 0 — REVENUE RESULTING FROM THE EUROPEAN UNION GUARANTEE FOR BORROWING AND
LENDING OPERATIONS IN THE MEMBER STATES
CHAPTER 8 1 — LOANS GRANTED BY THE COMMISSION
CHAPTER 8 2 — REVENUE RESULTING FROM THE EUROPEAN UNION GUARANTEE FOR BORROWING AND
LENDING OPERATIONS FOR THIRD COUNTRIES
Article Amending budget
Heading Budget 2015 New amount
Item No 8/2015
CHAPTER 8 0
8 0 0 European Union guarantee for Union borrowings for balance
of payments support p.m. p.m.
8 0 1 European Union guarantee for Euratom borrowings p.m. p.m.
8 0 2 European Union guarantee for Union borrowings for
financial assistance under the European Financial Stabili-
sation Mechanism p.m. p.m.
CHAPTER 8 0 — TOTAL p.m. p.m.
CHAPTER 8 1
8 1 0 Capital repayments and interest in respect of special loans
and risk capital granted in the framework of financial
cooperation with Mediterranean third countries p.m. 30 000 000 30 000 000
8 1 3 Capital repayments and interest in respect of loans and risk
capital granted by the Commission to developing countries in
the Mediterranean region and South Africa under the
European Union Investment Partners operation p.m. p.m.
CHAPTER 8 1 — TOTAL p.m. 30 000 000 30 000 000
CHAPTER 8 2
8 2 7 European Union guarantee for the borrowing programmes
contracted by the Union to provide macro-financial
assistance to third countries p.m. p.m.
8 2 8 Guarantee for Euratom borrowings to improve the degree of
efficiency and safety of nuclear power stations in the
countries of central and eastern Europe and the Common-
wealth of Independent States p.m. p.m.
CHAPTER 8 2 — TOTAL p.m. p.m.26.1.2016 EN Official Journal of the European Union L 525/39
CHAPTER 8 3 — REVENUE RESULTING FROM THE EUROPEAN UNION GUARANTEE FOR LOANS GRANTED BY
FINANCIAL ESTABLISHMENTS IN THIRD COUNTRIES
CHAPTER 8 5 — REVENUE FROM CONTRIBUTIONS BY GUARANTEE BODIES
Article Amending budget
Heading Budget 2015 New amount
Item No 8/2015
CHAPTER 8 3
8 3 5 European Union guarantee for European Investment Bank
loans to third countries p.m. p.m.
CHAPTER 8 3 — TOTAL p.m. p.m.
CHAPTER 8 5
8 5 0 Dividends paid by the European Investment Fund 6 890 000 6 890 000
CHAPTER 8 5 — TOTAL 6 890 000 6 890 000
Title 8 — Total 6 890 000 30 000 000 36 890 000L 525/40 EN Official Journal of the European Unio n 26.1.2016
TITLE 8
BORROWING AND LENDING OPERATIONS
CHAPTER 8 1 — LOANS GRANTED BY THE COMMISSION
8 1 0 Capital repayments and interest in respect of special loans and risk capital granted in the framework of financial
cooperation with Mediterranean third countries
Budget 2015 Amending budget No 8/2015 New amount
p.m. 30 000 000 30 000 000
Remarks
This article is intended to record capital repayments and interest payments on special loans and risk capital granted
from the appropriations in Chapters 21 03 and 22 02 of the statement of expenditure in Section III ‘Commission’ to
Mediterranean third countries.
It also comprises capital repayments and interest payments on special loans and risk capital granted to certain
Mediterranean Member States which, however, represent a very small proportion of the overall amount. These loans/
risk capital were granted at a time those countries had not yet joined the Union.
The revenue obtained normally exceeds the amounts forecast in the budget because of the interest payments on special
loans which may still be disbursed during the preceding financial year as well as during the current financial year. The
interest on special loans and risk capital is charged from the moment the loans are disbursed; interest on special loans is
paid in six-monthly instalments and interest on risk capital generally in annual instalments.
This article may accommodate, in accordance with Article 21 of the Financial Regulation, assigned revenue which is
used to provide additional appropriations to finance expenditure to which this revenue is assigned.
Legal basis
For the legal basis, see remarks for Chapters 21 03 and 22 02 of the statement of expenditure in Section III
‘Commission’.26.1.2016 EN Official Journal of the European Union L 525/41
SECTION III
COMMISSIONL 525/42 EN Official Journal of the European Unio n 26.1.2016
COMMISSION
REVENUE
TITLE 5
REVENUE ACCRUING FROM THE ADMINISTRATIVE OPERATION OF THE INSTITUTION
CHAPTER 5 0 — PROCEEDS FROM THE SALE OF MOVABLE PROPERTY (SUPPLY OF GOODS) AND IMMOVABLE
PROPERTY
CHAPTER 5 1 — PROCEEDS FROM LETTING AND HIRING
CHAPTER 5 2 — REVENUE FROM INVESTMENTS OR LOANS GRANTED, BANK AND OTHER INTEREST
Article Amending budget
Heading Budget 2015 New amount
Item No 8/2015
CHAPTER 5 0
5 0 0 Proceeds from the sale of movable property (supply of goods)
5 0 0 0 Proceeds from the sale of vehicles — Assigned revenue p.m. p.m.
5 0 0 1 Proceeds from the sale of other movable property — Assigned
revenue p.m. p.m.
5 0 0 2 Proceeds from the supply of goods to other institutions or
bodies — Assigned revenue p.m. p.m.
Article 5 0 0 — Total p.m. p.m.
5 0 1 Proceeds from the sale of immovable property p.m. p.m.
5 0 2 Proceeds from the sale of publications, printed works and
films — Assigned revenue p.m. p.m.
CHAPTER 5 0 — TOTAL p.m. p.m.
CHAPTER 5 1
5 1 0 Proceeds from the hiring-out of furniture and equipment —
Assigned revenue p.m. p.m.
5 1 1 Proceeds from letting and subletting immovable property and
reimbursement of charges connected with lettings
5 1 1 0 Proceeds from letting and subletting immovable property —
Assigned revenue p.m. p.m.
5 1 1 1 Reimbursement of charges connected with lettings —
Assigned revenue p.m. p.m.
Article 5 1 1 — Total p.m. p.m.
CHAPTER 5 1 — TOTAL p.m. p.m.
CHAPTER 5 2
5 2 0 Revenue from investments or loans granted, bank and other
interest on the institution’s accounts p.m. p.m.
5 2 1 Revenue from investments or loans granted, bank and other
interest on the accounts of organisations receiving subsidies
transferred to the Commission 10 000 000 40 000 000 50 000 000
5 2 2 Interest yielded by prefinancing 40 000 000 40 000 000
5 2 3 Revenue generated on trust accounts — Assigned revenue p.m. p.m.
CHAPTER 5 2 — TOTAL 50 000 000 40 000 000 90 000 00026.1.2016 EN Official Journal of the European Union L 525/43
COMMISSION
CHAPTER 5 5 — REVENUE FROM THE SUPPLY OF SERVICES AND WORK
CHAPTER 5 7 — OTHER CONTRIBUTIONS AND REFUNDS IN CONNECTION WITH THE ADMINISTRATIVE
OPERATION OF THE INSTITUTION
CHAPTER 5 8 — MISCELLANEOUS COMPENSATION
CHAPTER 5 9 — OTHER REVENUE FROM ADMINISTRATIVE OPERATIONS
Article Amending budget
Heading Budget 2015 New amount
Item No 8/2015
CHAPTER 5 5
5 5 0 Proceeds from the supply of services and work for other
institutions or bodies, including refunds by other institutions
or bodies of mission allowances paid on their behalf —
Assigned revenue p.m. p.m.
5 5 1 Revenue from third parties in respect of services or work
supplied at their request — Assigned revenue p.m. p.m.
CHAPTER 5 5 — TOTAL p.m. p.m.
CHAPTER 5 7
5 7 0 Revenue arising from the repayment of amounts wrongly
paid — Assigned revenue p.m. p.m.
5 7 1 Revenue earmarked for a specific purpose, such as income
from foundations, subsidies, gifts and bequests, including the
earmarked revenue specific to each institution — Assigned
revenue p.m. p.m.
5 7 2 Repayment of welfare expenditure incurred on behalf of
another institution p.m. p.m.
5 7 3 Other contributions and refunds in connection with the
administrative operation of the institution — Assigned
revenue p.m. p.m.
CHAPTER 5 7 — TOTAL p.m. p.m.
CHAPTER 5 8
5 8 0 Revenue from payments connected with lettings — Assigned
revenue p.m. p.m.
5 8 1 Revenue from insurance payments received — Assigned
revenue p.m. p.m.
CHAPTER 5 8 — TOTAL p.m. p.m.
CHAPTER 5 9
5 9 0 Other revenue from administrative operations 4 000 000 4 000 000
CHAPTER 5 9 — TOTAL 4 000 000 4 000 000
Title 5 — Total 54 000 000 40 000 000 94 000 000L 525/44 EN Official Journal of the European Union 26.1.2016
COMMISSION
TITLE 5
REVENUE ACCRUING FROM THE ADMINISTRATIVE OPERATION OF THE INSTITUTION
CHAPTER 5 2 — REVENUE FROM INVESTMENTS OR LOANS GRANTED, BANK AND OTHER INTEREST
5 2 1 Revenue from investments or loans granted, bank and other interest on the accounts of organisations receiving
subsidies transferred to the Commission
Budget 2015 Amending budget No 8/2015 New amount
10 000 000 40 000 000 50 000 000
Remarks
This article is intended to record the revenue accruing from the repayment of interest by the subsidised organisations
which have placed advances received from the Commission on interest-bearing accounts. If they remain unused, these
advances and the interest on them have to be repaid to the Commission.26.1.2016 EN Official Journal of the European Union L 525/45
COMMISSION
TITLE 7
INTEREST ON LATE PAYMENTS AND FINES
CHAPTER 7 0 — INTEREST ON LATE PAYMENTS
CHAPTER 7 1 — FINES
CHAPTER 7 2 — INTEREST ON DEPOSITS AND FINES
Article Amending budget
Heading Budget 2015 New amount
Item No 8/2015
CHAPTER 7 0
7 0 0 Interest on late payments
7 0 0 0 Interest due on late payments into the accounts held with the
treasuries of the Member States 5 000 000 5 000 000 10 000 000
7 0 0 1 Other interest on late payments 3 000 000 3 000 000
Article 7 0 0 — Total 8 000 000 5 000 000 13 000 000
7 0 1 Interest on late payments and other interest on fines 15 000 000 30 000 000 45 000 000
CHAPTER 7 0 — TOTAL 23 000 000 35 000 000 58 000 000
CHAPTER 7 1
7 1 0 Fines, periodic penalty payments and other penalties 100 000 000 1 315 000 000 1 415 000 000
7 1 1 Excess emissions premiums for new passenger cars p.m. p.m.
7 1 2 Penalty payments and lump sums imposed on a Member
State for not complying with a judgment of the Court of
Justice of the European Union on its failure to fulfil an
obligation under the Treaty p.m. 50 000 000 50 000 000
CHAPTER 7 1 — TOTAL 100 000 000 1 365 000 000 1 465 000 000
CHAPTER 7 2
7 2 0 Interest on deposits and fines
7 2 0 0 Interest on deposits and fines resulting from implementation
of the excessive deficit procedure — Assigned revenue p.m. p.m.
Article 7 2 0 — Total p.m. p.m.
CHAPTER 7 2 — TOTAL p.m. p.m.
Title 7 — Total 123 000 000 1 400 000 000 1 523 000 000L 525/46 EN Official Journal of the European Union 26.1.2016
COMMISSION
TITLE 7
INTEREST ON LATE PAYMENTS AND FINES
CHAPTER 7 0 — INTEREST ON LATE PAYMENTS
7 0 0 Interest on late payments
7 0 0 0 Interest due on late payments into the accounts held with the treasuries of the Member States
Budget 2015 Amending budget No 8/2015 New amount
5 000 000 5 000 000 10 000 000
Remarks
Any delay by a Member State in making the entry in the account opened in the name of the Commission referred to in
Article 9(1) of Regulation (EC, Euratom) No 1150/2000 gives rise to the payment of interest by the Member State
concerned.
In the case of Member States whose currency is the euro, the interest rate shall be equal to the rate as published in the
Official Journal of the European Union, C series, which the European Central Bank applied to its refinancing operations, on
the first day of the month in which the due date fell, increased by two percentage points. This rate shall be increased by
0,25 of a percentage point for each month of delay. The increased rate shall be applied to the entire period of delay.
In the case of Member States whose currency is not the euro, the rate shall be equal to the rate applied on the first day
of the month in question by the Central Banks for their main refinancing operations, increased by two percentage
points, or, for the Member States for which the Central Bank rate is not available, the most equivalent rate applied on
the first day of the month in question on the Member State’s money market, increased by two percentage points. This
rate shall be increased by 0,25 of a percentage point for each month of delay. The increased rate shall be applied to the
entire period of delay.
The interest rate applies to all entries of own resources enumerated under Article 10 of Regulation (EC, Euratom) No
1150/2000.
Legal basis
Council Regulation (EC, Euratom) No 1150/2000 of 22 May 2000 implementing Decision 2007/436/EC, Euratom on
the system of the European Communities’ own resources (OJ L 130, 31.5.2000, p. 1).
Regulation (EU, Euratom) No 966/2012 of the European Parliament and of the Council of 25 October 2012 on the
financial rules applicable to the general budget of the Union and repealing Council Regulation (EC, Euratom) No 1605/
2002 (OJ L 298, 26.10.2012, p. 1), and in particular Article 78(4) thereof.
7 0 1 Interest on late payments and other interest on fines
Budget 2015 Amending budget No 8/2015 New amount
15 000 000 30 000 000 45 000 00026.1.2016 EN Official Journal of the European Union L 525/47
COMMISSION
CHAPTER 7 0 — INTEREST ON LATE PAYMENTS (cont'd)
7 0 1 (cont'd)
Remarks
This article is intended to record accrued interest on special accounts for fines and interest on late payment connected
with fines.
Legal basis
Council Regulation (EC) No 1/2003 of 16 December 2002 on the implementation of the rules on competition laid
down in Articles 81 and 82 of the Treaty (OJ L 1, 4.1.2003, p. 1).
Council Regulation (EC) No 139/2004 of 20 January 2004 on the control of concentrations between undertakings
(OJ L 24, 29.1.2004, p. 1), and in particular Articles 14 and 15 thereof.
Regulation (EU, Euratom) No 966/2012 of the European Parliament and of the Council of 25 October 2012 on the
financial rules applicable to the general budget of the Union and repealing Council Regulation (EC, Euratom) No 1605/
2002 (OJ L 298, 26.10.2012, p. 1), and in particular Article 78(4) thereof.
Commission Delegated Regulation (EU) No 1268/2012 of 29 October 2012 on the rules of application of Regulation
(EU, Euratom) No 966/2012 of the European Parliament and of the Council on the financial rules applicable to the
general budget of the Union (OJ L 362, 31.12.2012, p. 1), and in particular Article 83 thereof.
CHAPTER 7 1 — FINES
7 1 0 Fines, periodic penalty payments and other penalties
Budget 2015 Amending budget No 8/2015 New amount
100 000 000 1 315 000 000 1 415 000 000
Remarks
The Commission may impose fines, periodic penalty payments and other penalties on undertakings and associations of
undertakings for not respecting bans or not carrying out their obligations under the Regulations enumerated below or
under Articles 101 and 102 of the Treaty on the Functioning of the European Union.
The fines must normally be paid within three months of the Commission decision being notified. However, the
Commission will not collect the amount due when the undertaking has lodged an appeal with the Court of Justice of
the European Union; the undertaking must accept that interest will be paid on the debt after the final date for payment
and provide the Commission with a bank guarantee covering both the principal of the debt and interest or surcharges
by the final date for payment.
Legal basis
Council Regulation (EC) No 1/2003 of 16 December 2002 on the implementation of the rules on competition laid
down in Articles 81 and 82 of the Treaty (OJ L 1, 4.1.2003, p. 1).L 525/48 EN Official Journal of the European Union 26.1.2016
COMMISSION
CHAPTER 7 1 — FINES (cont'd)
7 1 0 (cont'd)
Council Regulation (EC) No 139/2004 of 20 January 2004 on the control of concentrations between undertakings (the
EC Merger Regulation) (OJ L 24, 29.1.2004, p. 1), and in particular Articles 14 and 15 thereof.
Regulation (EU, Euratom) No 966/2012 of the European Parliament and of the Council of 25 October 2012 on the
financial rules applicable to the general budget of the Union and repealing Council Regulation (EC, Euratom) No 1605/
2002 (OJ L 298, 26.10.2012, p. 1).
Commission Delegated Regulation (EU) No 1268/2012 of 29 October 2012 on the rules of application of Regulation
(EU, Euratom) No 966/2012 of the European Parliament and of the Council on the financial rules applicable to the
general budget of the Union (OJ L 362, 31.12.2012, p. 1).
7 1 2 Penalty payments and lump sums imposed on a Member State for not complying with a judgment of the Court of
Justice of the European Union on its failure to fulfil an obligation under the Treaty
Budget 2015 Amending budget No 8/2015 New amount
p.m. 50 000 000 50 000 000
Legal basis
Treaty on the Functioning of the European Union, and in particular Article 260(2) thereof.26.1.2016 EN Official Journal of the European Union L 525/49
COMMISSION
TITLE 8
BORROWING AND LENDING OPERATIONS
CHAPTER 8 0 — REVENUE RESULTING FROM THE EUROPEAN UNION GUARANTEE FOR BORROWING AND
LENDING OPERATIONS IN THE MEMBER STATES
CHAPTER 8 1 — LOANS GRANTED BY THE COMMISSION
CHAPTER 8 2 — REVENUE RESULTING FROM THE EUROPEAN UNION GUARANTEE FOR BORROWING AND
LENDING OPERATIONS FOR THIRD COUNTRIES
Article Amending budget
Heading Budget 2015 New amount
Item No 8/2015
CHAPTER 8 0
8 0 0 European Union guarantee for Union borrowings for balance
of payments support p.m. p.m.
8 0 1 European Union guarantee for Euratom borrowings p.m. p.m.
8 0 2 European Union guarantee for Union borrowings for
financial assistance under the European Financial Stabili-
sation Mechanism p.m. p.m.
CHAPTER 8 0 — TOTAL p.m. p.m.
CHAPTER 8 1
8 1 0 Capital repayments and interest in respect of special loans
and risk capital granted in the framework of financial
cooperation with Mediterranean third countries p.m. 30 000 000 30 000 000
8 1 3 Capital repayments and interest in respect of loans and risk
capital granted by the Commission to developing countries in
the Mediterranean region and South Africa under the
European Community Investment Partners operation p.m. p.m.
CHAPTER 8 1 — TOTAL p.m. 30 000 000 30 000 000
CHAPTER 8 2
8 2 7 European Union guarantee for the borrowing programmes
contracted by the Union to provide macro-financial
assistance to third countries p.m. p.m.
8 2 8 Guarantee for Euratom borrowings to improve the degree of
efficiency and safety of nuclear power stations in the
countries of central and eastern Europe and the Common-
wealth of Independent States p.m. p.m.
CHAPTER 8 2 — TOTAL p.m. p.m.L 525/50 EN Official Journal of the European Union 26.1.2016
COMMISSION
CHAPTER 8 3 — REVENUE RESULTING FROM THE EUROPEAN UNION GUARANTEE FOR LOANS GRANTED BY
FINANCIAL ESTABLISHMENTS IN THIRD COUNTRIES
CHAPTER 8 5 — REVENUE FROM CONTRIBUTIONS BY GUARANTEE BODIES
Article Amending budget
Heading Budget 2015 New amount
Item No 8/2015
CHAPTER 8 3
8 3 5 European Union guarantee for European Investment Bank
loans to third countries p.m. p.m.
CHAPTER 8 3 — TOTAL p.m. p.m.
CHAPTER 8 5
8 5 0 Dividends paid by the European Investment Fund 6 890 000 6 890 000
CHAPTER 8 5 — TOTAL 6 890 000 6 890 000
Title 8 — Total 6 890 000 30 000 000 36 890 00026.1.2016 EN Official Journal of the European Union L 525/51
COMMISSION
TITLE 8
BORROWING AND LENDING OPERATIONS
CHAPTER 8 1 — LOANS GRANTED BY THE COMMISSION
8 1 0 Capital repayments and interest in respect of special loans and risk capital granted in the framework of financial
cooperation with Mediterranean third countries
Budget 2015 Amending budget No 8/2015 New amount
p.m. 30 000 000 30 000 000
Remarks
This article is intended to record capital repayments and interest payments on special loans and risk capital granted
from the appropriations in Chapters 21 03 and 22 02 of the statement of expenditure in this section to Mediterranean
third countries.
It also comprises capital repayments and interest payments on special loans and risk capital granted to certain
Mediterranean Member States which, however, represent a very small proportion of the overall amount. These loans/
risk capital were granted at a time the countries had not yet joined the Union.
The revenue obtained normally exceeds the amounts forecast in the budget because of the interest payments on special
loans which may still be disbursed during the preceding financial year as well as during the current financial year. The
interest on special loans and risk capital is charged from the moment the loans are disbursed; interest on special loans is
paid in six-monthly instalments and interest on risk capital generally in annual instalments.
This article may accommodate, in accordance with Article 21 of the Financial Regulation, assigned revenue which is
used to provide additional appropriations to finance expenditure to which this revenue is assigned.
Legal basis
For the legal basis, see remarks for Chapters 21 03 and 22 02 of the statement of expenditure in this section.L 525/52 EN Official Journal of the European Union 26.1.2016
EUROPEAN DATA PROTECTION SUPERVISOR
SECTION IX
EUROPEAN DATA PROTECTION SUPERVISOR26.1.2016 EN Official Journal of the European Union L 525/53
EUROPEAN DATA PROTECTION SUPERVISOR
REVENUE
Contribution of the European Union to the financing of the expenditure of the
European Data Protection Supervisor for the financial year 2015
Heading Amount
Expenditure 8 883 891
Own resources – 959 000
Contribution due 7 924 891L 525/54 EN Official Journal of the European Union 26.1.2016
EUROPEAN DATA PROTECTION SUPERVISOR
EXPENDITURE
Title Amending budget
Heading Budget 2015 New amount
Chapter No 8/2015
1 EXPENDITURE RELATING TO PERSONS WORKING
WITH THE INSTITUTION
1 0 MEMBERS OF THE INSTITUTION 1 009 243 – 56 160 953 083
1 1 STAFF OF THE INSTITUTION 4 981 725 4 981 725
Title 1 — Total 5 990 968 – 56 160 5 934 808
2 BUILDINGS, EQUIPMENT AND EXPENDITURE IN
CONNECTION WITH THE OPERATION OF THE INSTI-
TUTION
2 0 BUILDINGS, EQUIPMENT AND EXPENDITURE IN
CONNECTION WITH THE OPERATION OF THE INSTI-
TUTION 2 381 750 – 67 314 2 314 436
Title 2 — Total 2 381 750 – 67 314 2 314 436
3 EUROPEAN DATA PROTECTION BOARD
3 0 EXPENDITURE IN CONNECTION WITH THE OPERATION
OF THE BOARD 511 173 511 173
Title 3 — Total 511 173 511 173
10 OTHER EXPENDITURE
10 0 PROVISIONAL APPROPRIATIONS p.m. p.m.
10 1 CONTINGENCY RESERVE p.m. p.m.
Title 10 — Total p.m. p.m.
GRAND TOTAL 8 883 891 – 123 474 8 760 41726.1.2016 EN Official Journal of the European Union L 525/55
EUROPEAN DATA PROTECTION SUPERVISOR
TITLE 1
EXPENDITURE RELATING TO PERSONS WORKING WITH THE INSTITUTION
CHAPTER 1 0 — MEMBERS OF THE INSTITUTION
CHAPTER 1 1 — STAFF OF THE INSTITUTION
Article Amending budget
Heading Budget 2015 New amount
Item No 8/2015
CHAPTER 1 0
1 0 0 Remuneration, allowances and other entitlements of
Members
1 0 0 0 Remuneration and allowances
Non-differentiated appropriations 627 689 627 689
1 0 0 1 Entitlements on entering and leaving the service
Non-differentiated appropriations — —
1 0 0 2 Temporary allowances
Non-differentiated appropriations 296 000 – 45 000 251 000
1 0 0 3 Pensions
Non-differentiated appropriations p.m. p.m.
1 0 0 4 Provisional appropriation
Non-differentiated appropriations 11 160 – 11 160 p.m.
Article 1 0 0 — Total 934 849 – 56 160 878 689
1 0 1 Other expenditure in connection with Members
1 0 1 0 Further training
Non-differentiated appropriations 15 000 15 000
1 0 1 1 Mission expenses, travel expenses and other ancillary
expenditure
Non-differentiated appropriations 59 394 59 394
Article 1 0 1 — Total 74 394 74 394
CHAPTER 1 0 — TOTAL 1 009 243 – 56 160 953 083
CHAPTER 1 1
1 1 0 Remuneration, allowances and other entitlements of officials
and temporary staff
1 1 0 0 Remuneration and allowances
Non-differentiated appropriations 4 105 808 4 105 808
1 1 0 1 Entitlements on entering the service, transfer and leaving the
service
Non-differentiated appropriations 50 000 50 000
1 1 0 2 Paid overtime
Non-differentiated appropriations p.m. p.m.
1 1 0 3 Special assistance grants
Non-differentiated appropriations — —L 525/56 EN Official Journal of the European Union 26.1.2016
EUROPEAN DATA PROTECTION SUPERVISOR
CHAPTER 1 1 — STAFF OF THE INSTITUTION (cont'd)
Article Amending budget
Heading Budget 2015 New amount
Item No 8/2015
1 1 0 (cont'd)
1 1 0 4 Allowances and miscellaneous contributions upon early
termination of service
Non-differentiated appropriations p.m. p.m.
1 1 0 5 Provisional appropriation
Non-differentiated appropriations — —
Article 1 1 0 — Total 4 155 808 4 155 808
1 1 1 Other staff
1 1 1 0 Contract staff
Non-differentiated appropriations 251 756 251 756
1 1 1 1 Cost of traineeships and staff exchanges
Non-differentiated appropriations 179 428 179 428
1 1 1 2 Services and work to be contracted out
Non-differentiated appropriations 51 202 51 202
Article 1 1 1 — Total 482 386 482 386
1 1 2 Other expenditure in connection with staff
1 1 2 0 Mission expenses, travel expenses and other ancillary
expenditure
Non-differentiated appropriations 157 398 157 398
1 1 2 1 Recruitment costs
Non-differentiated appropriations 6 789 6 789
1 1 2 2 Further training
Non-differentiated appropriations 78 500 78 500
1 1 2 3 Social service
Non-differentiated appropriations p.m. p.m.
1 1 2 4 Medical service
Non-differentiated appropriations 14 844 14 844
1 1 2 5 Union nursery centre and other day nurseries and after-school
centres
Non-differentiated appropriations 80 000 80 000
1 1 2 6 Relations between staff and other welfare expenditure
Non-differentiated appropriations 6 000 6 000
Article 1 1 2 — Total 343 531 343 531
CHAPTER 1 1 — TOTAL 4 981 725 4 981 725
Title 1 — Total 5 990 968 – 56 160 5 934 80826.1.2016 EN Official Journal of the European Union L 525/57
EUROPEAN DATA PROTECTION SUPERVISOR
TITLE 1
EXPENDITURE RELATING TO PERSONS WORKING WITH THE INSTITUTION
CHAPTER 1 0 — MEMBERS OF THE INSTITUTION
1 0 0 Remuneration, allowances and other entitlements of Members
1 0 0 2 Temporary allowances
Budget 2015 Amending budget No 8/2015 New amount
296 000 – 45 000 251 000
Remarks
Regulation No 422/67/EEC, No 5/67/Euratom of the Council of 25 July 1967 determining the emoluments of the
President and Members of the Commission, of the President, Judges, Advocates-General and Registrar of the Court of
Justice, of the President, Members and Registrar of the General Court and of the President, Members and Registrar of the
European Union Civil Service Tribunal (OJ 187, 8.8.1967, p. 1), and in particular Article 7 thereof.
This appropriation is intended to cover transitional allowances, family allowances and the corrective coefficient applied
in respect of the countries of residence of former Members of the institution.
1 0 0 4 Provisional appropriation
Budget 2015 Amending budget No 8/2015 New amount
11 160 – 11 160 p.m.
Remarks
Regulation (EU, Euratom) No 966/2012 of the European Parliament and of the Council of 25 October 2012 on the
financial rules applicable to the general budget of the Union and repealing Council Regulation (EC, Euratom) No 1605/
2002 (OJ L 298, 26.10.2012, p. 1).
This appropriation is intended to cover the effect of any adjustments in remuneration and pensions which may be made
by the Council in the course of the financial year.
This appropriation is purely provisional and may be used only after its transfer to other headings in accordance with the
Financial Regulation.L 525/58 EN Official Journal of the European Union 26.1.2016
EUROPEAN DATA PROTECTION SUPERVISOR
TITLE 2
BUILDINGS, EQUIPMENT AND EXPENDITURE IN CONNECTION WITH THE OPERATION OF THE
INSTITUTION
CHAPTER 2 0 — BUILDINGS, EQUIPMENT AND EXPENDITURE IN CONNECTION WITH THE OPERATION OF THE
INSTITUTION
Article Amending budget
Heading Budget 2015 New amount
Item No 8/2015
CHAPTER 2 0
2 0 0 Rents, charges and buildings expenditure
Non-differentiated appropriations 885 000 885 000
2 0 1 Expenditure in connection with the operation and activities
of the institution
2 0 1 0 Equipment
Non-differentiated appropriations 367 500 367 500
2 0 1 1 Supplies
Non-differentiated appropriations 15 000 15 000
2 0 1 2 Other operating expenditure
Non-differentiated appropriations 110 250 110 250
2 0 1 3 Translation and interpretation costs
Non-differentiated appropriations 775 000 – 67 314 707 686
2 0 1 4 Expenditure on publishing and information
Non-differentiated appropriations 112 000 112 000
2 0 1 5 Expenditure in connection with the activities of the institution
Non-differentiated appropriations 117 000 117 000
Article 2 0 1 — Total 1 496 750 – 67 314 1 429 436
CHAPTER 2 0 — TOTAL 2 381 750 – 67 314 2 314 436
Title 2 — Total 2 381 750 – 67 314 2 314 43626.1.2016 EN Official Journal of the European Union L 525/59
EUROPEAN DATA PROTECTION SUPERVISOR
TITLE 2
BUILDINGS, EQUIPMENT AND EXPENDITURE IN CONNECTION WITH THE OPERATION OF THE
INSTITUTION
CHAPTER 2 0 — BUILDINGS, EQUIPMENT AND EXPENDITURE IN CONNECTION WITH THE OPERATION OF THE INSTITUTION
2 0 1 Expenditure in connection with the operation and activities of the institution
2 0 1 3 Translation and interpretation costs
Budget 2015 Amending budget No 8/2015 New amount
775 000 – 67 314 707 686
Remarks
Agreement on administrative cooperation between the European Data Protection Supervisor and the institution
providing the service.
This appropriation is intended to cover all translation and interpretation costs and other associated costs.