FCTC Article 5.3
Contents
Background
Article 5.3 of the Framework Convention on Tobacco Control (FCTC) recommends measures to the Parties to protect their public health policies from commercial and other vested interests of the tobacco industry. [1]
Guiding Principles
- Principle 1 - The tobacco industry produces and promotes a product that is addictive, cause disease and death and give rise to a range of social problems, including poverty. Thus, an incompatible conflict exists between the tobacco industry’s interests and public health policy interests.
- Principle 2 - Countries should be accountable and transparent when they deal with the tobacco industry, or representatives of its interests.
- Principle 3 - Countries should require the tobacco industry or its representatives to operate in a manner that is accountable and transparent.
- Principle 4 - Tobacco industry should not be granted incentives to establish or sustain their businesses as their products are lethal.
Implementation Guidelines[1][2]
Below guidelines, published to facilitate the implementation of Article 5.3, are applicable to:
- government officials,
- representatives and employees of any national, state, provincial, municipal, local or other public or semi/quasi-public institution or body within the jurisdiction of a country,
Or
- to any person acting on their behalf
Article 5.3 also state that any government branch (executive, legislative and judiciary) responsible for setting and implementing tobacco control policies and for protecting those policies against tobacco industry interests should be accountable for implementation of its implementation.
Guidelines
- Raise awareness about the addictive and harmful nature of tobacco products and about tobacco industry interference with Parties’ tobacco control policies.
- Parties should inform and educate all branches of government and the public about
- The addictive and harmful nature of tobacco products,
- The need to protect public health policies for tobacco control from commercial and other vested interests of the tobacco industry and
- The strategies and tactics used by the tobacco industry to interfere with the tobacco control activities.
- Parties should inform and educate all branches of government and the public about
- Establish measures to limit interactions with the tobacco industry and ensure the transparency of those interactions that occur
- Governments should interact with the tobacco industry only when its strictly necessary
- Where interactions are necessary, should be conducted transparently, and whenever possible, publicly.
- Parties should reject partnerships and agreements with the tobacco industry
- Governments should not:
- accept, partnerships and non-binding or non-enforceable agreements as well as any voluntary arrangement with the tobacco industry or any entity or person working to further its interests;
- accept, support or endorse the tobacco industry organizing, promoting or participating in or performing youth, public education or any initiatives that are directly or indirectly related to tobacco control
- accept, support or endorse any voluntary code of conduct or instrument drafted by the tobacco industry that is offered as a substitute for legally enforceable tobacco control measures.
- accept, support or endorse any offer for assistance or proposed tobacco control legislation or policy drafted by or in collaboration with the tobacco industry.
- Governments should not:
- Avoid conflicts of interest for government officials and employees
- Payments, gifts and services, monetary or in-kind, and research funding offered by the tobacco industry to government institutions, officials or employees can create conflicts of interest. Conflicting interests are created even if a promise of favourable consideration is not given in exchange, as the potential exists for personal interest to influence official responsibilities as recognized in the International Code of Conduct for Public Officials adopted by the United Nations General Assembly. Governments:
- should have a code of conduct for public officials, prescribing the standards with which they should comply in their dealings with the tobacco industry.
- should not award contracts for carrying out any work related to setting and implementing public health policies with respect to tobacco control to candidates or tenderers who have conflicts of interest with established tobacco control policies.
- should develop clear policies that require public office holders who have or have had a role in setting and implementing public health policies with respect to tobacco control to inform their institutions about any intention to engage in an occupational activity within the tobacco industry, whether gainful or not, within a specified period of time after leaving service.
- should develop clear policies that require applicants for public office positions which have a role in setting and implementing public health policies with respect to tobacco control to declare any current or previous occupational activity with any tobacco industry whether gainful or not.
- should require government officials to declare and divest themselves of direct interests in the tobacco industry.
- state institutions should not have any financial interest in the tobacco industry, unless they are responsible for managing a State-owned tobacco industry.
- should not allow any person employed by the tobacco industry or any entity working to further its interests to be a member of any government body, committee or advisory group that sets or implements tobacco control or public health policy.
- should not nominate any person employed by the tobacco industry or any entity working to further its interests to serve on delegations to meetings of the Conference of the Parties, its subsidiary bodies or any other bodies established pursuant to decisions of the Conference of the Parties.
- should not allow any official or employee of government or of any semi/quasi-governmental body to accept payments, gifts or services, monetary or in-kind, from the tobacco industry.
- should have effective measures to prohibit contributions from the tobacco industry or any entity working to further its interests to political parties, candidates or campaigns, or to require full disclosure of such contributions
- Payments, gifts and services, monetary or in-kind, and research funding offered by the tobacco industry to government institutions, officials or employees can create conflicts of interest. Conflicting interests are created even if a promise of favourable consideration is not given in exchange, as the potential exists for personal interest to influence official responsibilities as recognized in the International Code of Conduct for Public Officials adopted by the United Nations General Assembly. Governments:
- Governments should require that the information provided by the tobacco industry is transparent and accurate.
- Governments should denormalize and regulate purported “socially responsible” activities carried out by the tobacco industry, including but now limited to activities described as "corporate social responsibility"
- The government should not give any preferential treatment to the tobacco industry.
- The State-owned tobacco industries should be treated in the same way as any other tobacco industry.
Advantages
The purpose of these guidelines is to ensure that efforts to protect tobacco control from commercial and other vested interests of the tobacco industry.[1]
Implementation
To ensure the implementation of tobacco control policies, monitoring the implementation of Article 5.3 of the Convention in essential. This also involves tobacco industry monitoring. With the guidance of WHO, FCTC, tobacco observatories were established for the purpose. Nongovernmental organizations and other members of civil society not affiliated with the tobacco industry could play an essential role in monitoring the activities of the tobacco industry.[1]
Implementation - South Asia
Afghanistan
Afghanistan signed the Framework Convention on Tobacco Control (FCTC) in 2004 and later ratified in 2010.[3] The Article 5.3 is implemented in the country along with the other FCTC articles ensuring the policies are protected from commercial and other vested interests of the tobacco companies. However, a formal monitoring system to assess its implementation status is not present.
Bangladesh
Bangladesh officially signed the FCTC on 16th June 2003 and ratified it on 14th June 2004.[3] In 2005, following the WHO FCTC the Bangladesh government passed the tobacco control act in accordance with the WHO FCTC. However, Article 5.3 was not incorporated into the National Law as of February 2020. Bangladesh is among the top three countries that face the highest level of tobacco industry interference according to the Global Tobacco Industry Interference Index by the Global Center for Good Governance in Tobacco Control (GGTC).[4]
Bhutan
Bhutan signed the WHO FCTC on 09th December 2003, followed by the ratification on 23rd August 2004.[3] The Tobacco Control Act of Bhutan was enacted by the Parliament of Bhutan on 6th June 2010.[5]
Bhutan has completely banned the sale and manufacture of tobacco and tobacco related products. All forms of promotions and advertisements were banned by the Tobacco Control Act in 2010 and the sale and manufacture ban was enacted in 2004. FCTC Article 5.3 is not incorporated to the national legal framework as of February 2020.
India
The FCTC was ratified on 05th February 2004 and the FCTC protocol came into force on 27th February 2005.[3] Indian Ministry of Health and Family Welfare issued a letter signed by the Additional Secretary, to all state governments in India, underlining India's obligation under the WHO FCTC Article 5.3 to protect public health policies from the commercial and vested interests of the tobacco industry. The letter hence prohibited all state governments any form of collaboration with the Philip Morris International (PMI) funded Foundation for Smoke-Free World (FSFW).[6]
Some states in India has implemented Article 5.3 through local government notifications. However, India does not have any policy or legislation as of 2020 to implement Article 5.3 at national level. India is at the 11th place from top according to the level of tobacco industry interference as reported by the Global Tobacco Industry Interference Index by the Global Center for Good Governance in Tobacco Control (GGTC).[4]
Maldives
The FCTC was signed on 17 May 2004 and ratified on 20 May 2004 by Maldives.[3] The Article 5.3 of WHO FCTC was applied within Maldives and is being regulated and monitored by the Health Protection Agency and the Police.
Nepal
The FCTC was signed on 03rd December 2003 and later ratified on 07th November 2006.[3] The Nepal regulatory framework for tobacco control includes laws related to FCTC Article 5.3.
Pakistan
The WHO FCTC was signed in Pakistan on 3rd December 2003, ratified on 7th November 2006 and became a party of the WHO FCTC on 5th February 2007.[3] The Article 5.3 is implemented as part of the FCTC. However, gaps of implementation prevails and a comprehensive legislation incorporating all the the recommendations is yet to be established at national level.
Pakistan is at the 13th place from top according to the level of tobacco industry interference as reported by the Global Tobacco Industry Interference Index by the Global Center for Good Governance in Tobacco Control (GGTC).[4]
Sri Lanka
In the year 2019, Sri Lanka developed a set of national guidelines to implement the FCTC Article 5.3.[7] However, FCTC Article 5.3 is still not incorporated in to the national legal framework The National Authority on Tobacco and Alcohol (NATA) Act.
The tobacco observatory of Sri Lanka, Centre for Combating Tobacco (CCT) was initiated in 2016. Established at the Faculty of Medicine, University of Colombo, as of 2020, it is the only WHO-FCTC endorsed tobacco observatory in the WHO South East Asia Region.[1]Sri Lankan tobacco observatory launched its regional network in 2019 July, networking with institutions in the South Asian region to form the South Asian Regional Consortium Centre for Combating Tobacco (SARC-CCT). Its investigative findings are disseminated via the TobaccoUnmaskedSouth.Asia website.
Sri Lanka is at the 19th place from top (total of 38 countries) according to the level of tobacco industry interference as reported by the Global Tobacco Industry Interference Index. Even though its a better position compared to other assessed countries in the region, the level of interference is still significant.[4]
TUSouthAsia Resources
External Resources
- Global Tobacco Industry Interference Index
- Guidelines for implementation of Article 5.3 of the WHO Framework Convention on Tobacco Control
Notes
- ↑ 1.0 1.1 1.2 1.3 1.4 World Health Organization. Framework Convention on Tobacco Control, 2005, accessed March 2017
- ↑ World Health Organization. Guidelines for implementation of Article 5.3 of the WHO Framework Convention on Tobacco Control, 2013, accessed July 2017
- ↑ 3.0 3.1 3.2 3.3 3.4 3.5 3.6 United Nations Treaty CollectionFramework Convention on Tobacco Control21 May 2003,Accessed February 2020
- ↑ 4.0 4.1 4.2 4.3 Mary Assunta.Global Tobacco Industry Interference Index, Global Center for Good Governance in Tobacco Control (GGTC), September 2019, accessed February 2020
- ↑ Parliament of Bhutan. Tobacco Control Act of Bhutan, 2010, accessed February 2020
- ↑ Department of Health and Family Welfare. Tobacco Control Program, not dated, accessed February 2020
- ↑ Ministry of Health, Nutrition & Indigenous Medicine, National Authority on Tobacco & Alcohol, World Health Organization Country Office for Sri Lanka. Sri Lanka National Guidelines of Protection of Public Policies from Commercial and other Vested Interests of the Tobacco Industry. Undated. Colombo:NATA