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英文合同

時間:2023-05-27 11:59:46 合同范本 我要投稿

關(guān)于英文合同范文錦集八篇

  隨著人們對法律的了解日益加深,我們用到合同的地方越來越多,它可以保護(hù)民事法律關(guān)系。合同有不同的類型,當(dāng)然也有不同的目的,以下是小編整理的英文合同8篇,僅供參考,希望能夠幫助到大家。

關(guān)于英文合同范文錦集八篇

英文合同 篇1

  購 貨 合 同

  PURCHASE CONTRACT

  合同編號:

  Contract No.:

  簽訂日期:

  Date:

  簽訂地點(diǎn):

  Signed at:

  買方:

  The Buyers:

  地址:

  Address:

  聯(lián)系人:

  Contact:

  電話(Tel):

  傳真(Fax):

  郵箱/E-mail:

  賣方:

  The Sellers:

  地址:

  Address:

  聯(lián)系人:

  Contact:

  電話(Tel):

  傳真(Fax):

  郵箱/E-mail:

  經(jīng)買賣雙方確認(rèn)根據(jù)下列條款訂立本合同:

  The undersigned Sellers and Buyers have confirmed this contract in accordance with the terms and conditions stipulated below:

  1. 商品名稱及規(guī)格

  Name of Commodity & Specification

  2. 數(shù)量

  Quantity

  3. 單價

  Unit Price

  4. 總金額

  Amount

  5. 包裝

  Packing

  6. 交貨時間

  Delivery Time

  7. 交貨地點(diǎn)

  Delivery Place

  8. 運(yùn)輸方式

  Means of Transport

  9. 保險(xiǎn)

  Insurance

  由_______方按發(fā)票金額的______%投保__________,加保______從______到______。

  To be covered by for % of the invoice value covering additional from to

  10. 付款條件

  Terms of Payment

  賣方收到50%定金后開始生產(chǎn),發(fā)貨前買方付清余款。

  After the receipt of 50% of the total value payment, the seller shall begin the production and the buyer pay the balance of the total value before delivery.

  11. 裝運(yùn)通知

  Shipping Advice

  一旦裝運(yùn)完畢,賣方應(yīng)立即電告買方合同號、品名、已裝載數(shù)量、發(fā)票總金額、毛重、運(yùn)輸工具名稱及啟運(yùn)日期等。

  The sellers shall immediately, upon the completion of the loading of the goods advise the buyers of the Contract No. names of commodity, loaded quantity, invoice value, gross weight, names of vessel and shipment date by TLX/FAX.

  12. 交貨原則

  Delivery Policy

  賣方在規(guī)定時間內(nèi)所送貨物必須符合訂單要求,送錯或送少,應(yīng)及時更換或補(bǔ)貨,否則,所帶來的損失由賣方全部承擔(dān)。

  The sellers within the prescribed time delivery of goods must comply with the order request, sent to the wrong or the less, should be replaced or replenishment, otherwise, the losses borne entirely by the sellers.

  13. 推遲交貨和罰款

  Late Delivery and Penalty

  如賣方?jīng)]有按照合同規(guī)定準(zhǔn)時交貨,買方同意賣方付給罰款。加入賣方交貨期超過7天,買方有權(quán)取消合同。取消合同的.情況,賣方仍不能延誤付給買方上述罰款。

  Should the Sellers fail to make delivery on time as stipulated in the Contract, the Buyers shall agree to postpone the delivery on condition that the Sellers agree to pay a penalty. In case the Sellers fail to make delivery later than 7 days, the Buyers have the right to cancel the Contract and the Sellers, in spite of the cancellation, shall still pay the aforesaid penalty to the Buyers without delay.

  14. 不可抗力

  Force Majeure

  如因人力不可抗拒的原因造成本合同全部或部分不能履約,賣方概不負(fù)責(zé),但賣方應(yīng)將上述發(fā)生的情況及時通知買方。

  The sellers shall not hold any responsibility for partial or total non-performance of this contract due to Force Majeure. But the sellers shall advise the buyers on time of such occurrence.

  15. 爭議的處理

  Disputes Settlement

  所有與此合同有關(guān)的爭議應(yīng)通過友好協(xié)商解決,如果協(xié)商不能解決,根據(jù)有關(guān)仲裁法則進(jìn)行仲裁。仲裁應(yīng)在深圳進(jìn)行且其結(jié)果對雙方均有約束力,任何一方均不應(yīng)向法院或其他政府部門申請以改變仲裁結(jié)果。仲裁費(fèi)由負(fù)方負(fù)擔(dān)。

  All disputes in connection with this Contract or the execution thereof shall be settled friendly through negotiations. In case no settlement can be reached, the case shall be submitted for arbitration ,in accordance with its Rules of Arbitration. The arbitration shall take place in Shenzhen and the decision of the Arbitration Committee shall be final and binding upon both parties; neither party shall seek recourse to a law court nor other authorities to appeal for revision of the decision. Arbitration fee shall be borne by the losing party. Or the Arbitration may be settled in the third country mutually agreed upon by both parties.

  16.文字

  Versions

  本合同中、英文兩種文字具有同等法律效力,在文字解釋上,若有異議,以中文解釋為準(zhǔn)。 This contract is made out in both Chinese and English of which version is equally effective. Conflicts between these two languages arising therefrom, if any, shall be subject to Chinese version.

  17. 附加條款

  Additional Clauses

  本合同上述條款與本附加條款有抵觸時,以本附加條款為準(zhǔn)

  Conflicts between contract clause hereabove and this additional clause, if any, it is subject to this additional clause.

  18. 本合同一式兩份,雙方各執(zhí)一份,自雙方代表簽字/蓋章之日起生效。

  This contract is made in copies, each party holds one, becomes effective since being signed/sealed by both parties.

  買方(蓋章):

  The Buyer (seal):

  代表(簽字)Representative (signature) :

  日期:

  賣方(蓋章):

  The Seller (seal):

  代表(簽字)Representative (signature) :

  日期:

英文合同 篇2

  主合同編號(Contract NO):

  買 方(Buyer):

  地 址(Add):

  電話(Tel): 傳真(Fax):

  生產(chǎn)廠(Producer):

  地 址(Add):

  電話(Tel): 傳真(Fax):020-32915578

  為體現(xiàn)誠實(shí)信用的合同履行精神,防止延期交貨的情況出現(xiàn),雙方協(xié)商一致,特制定如下條款:

  In order to reflect the spirit of good faith and for avoidance of any delay in delivery, both parties hereby agree as follows:

  一、本協(xié)議是執(zhí)行主合同的關(guān)于延期交貨的特別約定,主合同編號為:。

  This agreement shall constitute a special covenant for implementing the provisions of delayed delivery as set forth in the Master Contract(Contract No._______).

  二、主合同約定的交貨日期為: 年 月 日,運(yùn)輸方式為海運(yùn)集裝箱。

  Delivery date provided in the Master Contract shall be _________, and transportation mode is marine container.

  三、若生產(chǎn)廠無法按照上述交貨期限的約定交貨的.,則買方有權(quán)要求改為空運(yùn)方式運(yùn)輸,相應(yīng)的空運(yùn)費(fèi)用約 美元(USD)從買方應(yīng)當(dāng)支付給生產(chǎn)廠的貨款中扣除。(實(shí)際扣除金額以空運(yùn)費(fèi)單據(jù)為準(zhǔn))

  Where the Producer fails to deliver goods pursuant to the above delivery period, the Buyer has right to amend the original transportation mode to air transportation and corresponding air freight charge is around _______(USD) deductible from payments for goods made by the Buyer to the Producer. (actual deductible amount shall be subject to air freight receipts)

  買 方(Buyer):

  買方代表人:(簽章)Representative: (Sgn & Samp)

  生產(chǎn)廠(Producer):

  生產(chǎn)廠代表人:(簽章)Representative: (Sgn & Samp)

  簽約時間: 年 月 日

  Date of Signing:(D-M-Y)

  注:本合同內(nèi)容如有中英文翻譯誤差,以中文為準(zhǔn)。

  Note: If this contract content has any error of translation, subject to Chinese.

英文合同 篇3

  房地產(chǎn)買賣協(xié)議

  SALES CONTRACT FOR REAL ESTATE

  出售方:(以下簡稱“甲方” )

  買受方: (以下簡稱“乙方” )

  中介方:上海臣信房地產(chǎn)經(jīng)紀(jì)有限公司 (以下簡稱“丙方” )

  Seller: (hereinafter “Party A” )

  Buyer: (hereinafter “Party B”)

  Broker:Shanghai Chenxin Real Estate Co., Ltd. (hereinafter “Party C” )

  經(jīng)丙方中介介紹,甲、乙雙方就上海市__________區(qū)__________路______弄__________號______室及__________車位(以下簡稱“該房地產(chǎn)”)的轉(zhuǎn)讓事宜,簽訂本協(xié)議,協(xié)議內(nèi)容如下(有□選擇的,以√為準(zhǔn)):

  With the introduction of Party C, Party A and Party B enter into the agreement concerning the transfer of ____ Suite and its ancillary carport located at ____ of _____ Alley, _____Avenue _____District of Shanghai (hereinafter as “Real Estate”) detailed as follows (“√” shall be filled in the corresponding“□”, if appropriate):

  一、 【該房地產(chǎn)基本情況】

  1. BASIC INFORMATION

  1、 該房地產(chǎn):房地產(chǎn)權(quán)證書號為:______________;房屋面積:____________平方米;車位面積:___________平方米。

  2、 該房地產(chǎn) □ 已 □ 未設(shè)定抵押。

  3、 該房地產(chǎn) □ 已 □ 未出租。若該房地產(chǎn)已出租,則甲方應(yīng)保證承租人已經(jīng)放棄優(yōu)先購買權(quán),若因承租人以優(yōu)先購買權(quán)引發(fā)糾紛,則甲方愿意承擔(dān)全部法律責(zé)任。

  4、 有關(guān)該房地產(chǎn)的權(quán)屬情況,若上述填寫資料與實(shí)際情況不符或不詳盡的,以上海市房地產(chǎn)登記簿記載的信息為準(zhǔn)。

  1) Certificate of title to this real estate is numbered as __________ with floor space of ______ ㎡and the related carport are ______ ㎡.

  2) Mortgage is made on this real estate: □ Yes □ No.

  3) This real estate has been leased: □ Yes □ No. If “Yes”, Party A shall guarantee that lessee has waived the right of preemption. Any and all legal liabilities arising out of or in connection with the exercise of such rights by lessee shall be borne by Party A.

  4) If the title of this real estate mentioned above is not clearly indicated or is incorrect, information listed in the register of Shanghai Real Estate Office shall be applied.

  二、 【轉(zhuǎn)讓總價及定金與款項(xiàng)的選擇適用】

  2. TRANSFER PRICE AND DEPOSIT, OPTION OF PAYMENT

  甲乙雙方明確,該房地產(chǎn)的轉(zhuǎn)讓總價款:人民幣大寫_______________元(其中含車位轉(zhuǎn)讓款人民幣___________元)。乙方于簽署本協(xié)議時,支付誠意金人民幣__________________ 元至中介方,并委托中介方與甲方洽談;若甲方接受交易條件并簽署本協(xié)議,則乙方委托中介方將誠意金轉(zhuǎn)交給甲方作為款項(xiàng)。若至_ ___年_____月____日,甲方仍未簽署本協(xié)議的,則乙方有權(quán)至中介方處無息取回誠意金;若乙方未按時取回誠意金,則視為繼續(xù)委托中介方與甲方洽談。本協(xié)議簽訂當(dāng)日乙方直接向甲方支付款項(xiàng)人民幣_____________________元。 甲方同意在本合同簽訂后 日內(nèi),乙方向甲方支付款項(xiàng)人民幣元,該款項(xiàng)由乙方或乙方授權(quán)的其他人以現(xiàn)金方式交付或支付至甲方的指定賬戶,若采用支付至甲方指定賬戶的,下述賬戶已為甲方所確認(rèn):

  戶名:_________________ 賬號:___________________ 開戶行:________________

  Party A and Party B expressly agree that the total transfer price of this real estate is CNY ________ inclusive of transfer price of carport as CNY _______. Party B agree that it shall pay Earnest Money as CNY ________ to Party C at this contract date and entrust Party C to negotiate with Party A. if Party A accept and sign this contract, Party B may authorize Party C to transfer such Earnest Money to Party A as deposit; provided, however, Party B may require the repayment of Earnest Money free of interests by Party C if Party A fail to sign this contract prior to ___________. In such event, it shall constitute that continue entrustment has been granted to Party C if Party B fail to take such Earnest Money in due time. Party B shall pay CNY __________ to Party A directly as deposit at this contract date. Party A agree that Party B may pay CNY __________ to it as deposit within ______ days from this contract date. Such deposit shall be paid in cash by Party B or its designee or made through T/T to the following bank account affirmed by Party A: Account Holder: ________Bank Account: _______ Bank Name: _________

  三、 【買賣交易細(xì)則】

  3. SALES RULES

  1) 轉(zhuǎn)讓總價款:人民幣大寫_______________ _________元(其中含車位轉(zhuǎn)讓款人民幣大寫______________________ 元)。

  2) 雙方同意按以下方式支付款項(xiàng):

  第一筆房款: 甲、乙雙方同意自《上海市房地產(chǎn)買賣合同》示范文本簽訂后_____日內(nèi),乙方向甲方支付的上述款項(xiàng) 人民幣_________元作為乙方支付的首筆房款。

  第二筆房款:乙方于______年_____月_____日前,支付甲方房款人民幣___________________元。

  第三筆房款:可按以下情況選擇支付方式: □ 乙方通過銀行按揭貸款的方式向甲方支付第三筆房款人民幣__________________元,該款項(xiàng)由 銀行在取得抵押人為乙方的他項(xiàng)權(quán)利證明后直接劃入甲方帳戶。 □ 甲乙雙方同意共同至房地產(chǎn)交易中心辦理該房地產(chǎn)過戶手續(xù),并取得房地產(chǎn)登記處的核發(fā)的收件收據(jù)后_____日內(nèi),乙方向甲方支付房款人民幣________________元。

  第四筆房款:□在辦妥房屋交付手續(xù)當(dāng)日,乙方向甲方支付房款人民幣___________________元。 □甲乙雙方同意,在簽署買賣合同時將交房款人民幣____________元交丙方監(jiān)管至房屋交付手續(xù)辦妥之日,丙方憑《房屋交接書》向甲方支付上述款項(xiàng)。

  1) The total transfer price of this real estate is CNY ________ inclusive of transfer price of carport as CNY _______.

  2) Such transfer price shall be made in installments as follows:

  The first installment shall be made to Party A by Party B as CNY ________ (inclusive of deposit) within ______ days from commencement date of Sales Contract for the Real Estate Located in Shanghai City (“Sales Contract”).

  The second installment as CNY ______________shall be made to Party A by Party B prior to ___________. The third installment may be made as follows:

  □ CNY _________ as third installment shall be made to Party A by Party B through bank mortgage loans, which shall be directly paid to Party A’s bank account upon the certificate evidencing Party B as mortgagor has been presented to the lending bank, provided, □ Party A and Party B agree to fulfill the transfer formalities for this real estate before Real Estate Trading Center and Party B shall pay Party B CNY _____________ within _____days upon the certificate issued by real estate register has been received.The fourth installment as CNY _____________ shall be paid. □ To Party A by Party B at the date on which the transfer formalities of this real estate has been fulfilled; or □ to Party A by Party C upon the receipt of Deed of Transfer if, as agreed by Party A and Party B, CNY _______ equal to such fourth installment has been delivered to Party C for escrow until the full fulfillment of transfer formalities.

  3) 產(chǎn)權(quán)過戶:待該房地產(chǎn)之抵押登記(若有)已經(jīng)注銷且乙方申請的.按揭貸款(若有)經(jīng)銀行審核通過,具備過戶條件具備后,最晚不遲于______年_____月_____日,共同至該房地產(chǎn)所在區(qū)交易中心辦理房地產(chǎn)過戶手續(xù)。

  3)Transfer. Within _____ days upon the revocation of mortgage registration for this real estate (if any) and the loans acquired by Party B therefore (if any) satisfying the applicable requirements after the review of related bank (in no event late than _______), Party A and Party

  B shall fulfill the transfer formalities before the trading center of that district where this real estate is located.

  4) 房屋交付:甲方于收到乙方全部轉(zhuǎn)讓款項(xiàng)當(dāng)日,將該房地產(chǎn)交付乙方,雙方應(yīng)簽署《房屋交接書》。交付前的物業(yè)管理費(fèi)及公用事業(yè)費(fèi)由甲方承擔(dān),交付后的物業(yè)管理費(fèi)及公用事業(yè)費(fèi)由乙方承擔(dān)。固定裝修、附屬設(shè)施設(shè)備以及經(jīng)甲乙雙方確認(rèn)的家電、家具等價格已經(jīng)包含在該房地產(chǎn)轉(zhuǎn)讓總價款內(nèi),甲方須保證該房屋內(nèi)附屬設(shè)施、設(shè)備均能正常使用及室內(nèi)裝飾與簽訂買賣合同之日的狀況相符。

  4)Delivery. At the date on which all transfer prices,party A shall deliver this real estate to Party

  B and the Certificate of Transfer and Handover shall be concluded by the Parties therefore. Property Management Fees and Utilities Expenses arising out of or in connection with this real estate shall be borne by Party A prior to such delivery, or shall be borne by Party B upon such delivery.

  Charges or expenses related to the fixtures and ancillary equipments & facilities of this real estate, as well as the prices of home appliances and furniture agreed by the Parties, have been included in the transfer price and Party A guarantee that all such ancillary equipments & facilities may work properly, all interior decorations thereof satisfy the conditions provided herein .

  5)相關(guān)費(fèi)用:Miscellaneous Charge.

  [交易稅費(fèi)]:雙方同意,交易中所涉及的上述買賣雙方的稅費(fèi)由 □各自承擔(dān)并支付;□由甲方承擔(dān)并支付;□由乙方承擔(dān)并支付。

  [公證費(fèi)]:若交易涉及買賣合同公證,費(fèi)用由□雙方分擔(dān)并支付;□由甲方承擔(dān)并支付;□由乙方承擔(dān)并支付。

  [中介報(bào)酬]:對于中介方提供中介服務(wù)所產(chǎn)生的報(bào)酬事宜,詳見附件“中介服務(wù)確認(rèn)書”。 Trade Tax. The Parties agree that any and all taxes and charges arising out of transaction hereunder shall be borne and paid by □ Party A; or □ Party B.

  Notary Fees. Any notary fees arising out of or in connection with transaction hereunder shall be borne and paid by □ Party A; □ Party B; or □ Party A and Party B. Brokerage

  fees. Brokerage feess paid to broker for any brokerage service provided shall be detailed in attached Schedule “Acknowledgement of Brokerage fees”.

  四、【法律責(zé)任的選擇適用】

  4. APPLICATION OF LEGAL LIABILITIES

  甲方保證該房地產(chǎn)產(chǎn)權(quán)清晰、權(quán)屬明確,無異議登記、單方預(yù)告登記,無司法、行政查封等限制性交易情形存在;若因本條所述情況導(dǎo)致本協(xié)議效力瑕疵,甲方應(yīng)返還乙方所有已付房款并賠償乙方實(shí)際損失。

  Party a guarantees that it has full and clear ownership to this real estate, which is free of any dispute registered, unilateral advanced registration, judicial or administrative attachment or other events restricting trades. If any defect affecting the validity of this Contract is occurred due to any misrepresentation hereunder, Party A shall refund all transfer prices paid by Party B, and indemnify any and all losses and damages suffered by Party B there-from.

  五、【爭議解決】

  6. DISPUTE SETTLEMENT

  各方在本協(xié)議履行過程中發(fā)生爭議的,應(yīng)友好協(xié)商;協(xié)商不成的,應(yīng)向該房地產(chǎn)所在地人民法院起訴。

  Any dispute arising out of or in connection with the performance hereof shall be settled by amiable negotiation, if fails, either Party may bring a lawsuit before the People’s Court with jurisdiction where this real estate is located.

  六、【合同效力】

  6. VALIDITY

  本協(xié)議自甲、乙雙方簽署起對甲、乙生效,丙方簽署后對丙方生效,一式三份,甲、乙、丙三方各執(zhí)一份。

  This Contract shall have binding force to Party A and Party B upon signatures of such two Parties are made hereon, and shall have binding force to Party C if signature of Party C is also made hereon. This Contract shall be executed in triplicate and each Party shall have one copy.

英文合同 篇4

  在簽訂域名轉(zhuǎn)讓合同中,甲方向乙方繳納域名注冊費(fèi)用,乙方向甲方提供域名注冊服務(wù)。

  簽署日期 The date of signature

  出讓方(甲方): Assignor (Party A):

  受讓方(乙方):Assignee (Party B):

  根據(jù)國家有關(guān)法律、法規(guī)以及相關(guān)規(guī)定,甲、乙雙方在自愿、平等、互利的基礎(chǔ)上,經(jīng)協(xié)商一致域名轉(zhuǎn)讓事宜,訂立本合同,以資信守:

  According to the law, on the basis of voluntary will, equality and mutual benefit, parties A and B conclude the contract with mutual agreement.

  一、 域名情況及轉(zhuǎn)讓范圍 The status of the domain name and the scope of the assignment

  1、 甲方合法擁有下列域名: 在規(guī)定期限內(nèi)的管理權(quán),使用權(quán),所有權(quán)。

  Party A enjoy the managing, using and property right about the following domain name in prescribed terms.

  2、 甲方同意將上述域名的權(quán)限完全轉(zhuǎn)讓乙方所有。

  Party A agrees to assign above-mentioned right totally to Part B.

  3、 以下是域名的詳細(xì)信息:

  Following is the details of the domain name: :

  當(dāng)前注冊人(出讓人)Current registered person

  新注冊人(受讓人)The new registered person (B)

  注冊人(中文名稱) Registrant(Chinese)

  注冊人(英文名稱) Registrant(English)

  地址 The address

  國家 Country

  郵編 Zip Code

  電話 Telephone No.

  傳真The Fax No.

  電子郵箱The email address

  所屬注冊商Authorized agent

  注冊時間Registration time

  二、轉(zhuǎn)讓價格及支付方式 The assignment fees and the payment

  1、 出讓總價:, The total assignment fees:

  2、 乙方必須在甲方完成轉(zhuǎn)讓注冊前一次性支付所有費(fèi)用(即甲方將過戶文件提交北京注冊商總部前)

  Party B should pay off the total assignment fees in one time before the completion of the assignment deed.

  3、 甲方收到轉(zhuǎn)讓費(fèi)用后辦理轉(zhuǎn)戶手續(xù)。(以當(dāng)?shù)劂y行收到款項(xiàng)為準(zhǔn))

  After receiving the assignment fees, party A would perform the transfer procedure. (The receipt time refers to the payment is received in local bank)

  4、 其他費(fèi)用: 甲方支付Other expenditure : It is paid by party A

  二、 雙方權(quán)利與義務(wù)、域名過戶流程及其他

  The liability of two parties and assignment procedure

  1、 雙方權(quán)利與義務(wù): Rights and obligations of two parties:

  a、甲方保證合法擁有以上所述域名的所有權(quán)、管理權(quán)、使用權(quán),如有欺詐行為將承擔(dān)

  相關(guān)的民事和刑事責(zé)任;

  The party A guarantees that it enjoys above mentioned property, managing and using right. If there were any fraud, it would bear the correlative civil or criminal liabilities.

  b、甲方收到轉(zhuǎn)讓費(fèi)用后5個工作日內(nèi)為乙方辦理過戶事宜,不得拖延;

  The party A will proceed the assignment in 5 workdays after it gets the assignment fees and there is not any delay.

  c、過戶后乙方使用此域名產(chǎn)生的一切后果及責(zé)任與甲方無關(guān),由乙方承擔(dān)全部責(zé)任;

  Concluded the assignment, any result and liability, which Party B will bring in the process of using of the domain name, is none of the business With Party A and should be born by Party B.

  2、 過戶流程:Transfer flow:

  a、 乙方在該域名的`注冊商官方站下載過戶資料表格,填好后簽字蓋章EMS郵寄到甲方;

  Party B should download the data sheet for assignment from the official website of the authorized agent, execute and post it to Party A by EMS.

  b、 甲方在收到乙方的過戶資料后,經(jīng)審核無誤后簽字并蓋章;

  Party A should execute the assignment data sheet after receiving and checking out it free from error.

  c、 財(cái)務(wù)到帳后,甲方將完整的過戶文件EMS提交至北京注冊商總部;

  Party A can submit the whole documents to the authorized agent once Party A gets the assignment fees by EMS.

  d、 北京注冊商總部收到過戶資料后,在2-5個工作日內(nèi)將把原注冊內(nèi)容替換成新注冊人的信息;

  Receiving the documents for assignment, the authorized agent would replace the original information of assignor as the new information about assignee in 2 to 5 workdays.

  e、 完成過戶手續(xù)后,乙方可在中國互聯(lián)網(wǎng)信息中心官方站查詢該域名的WHOIS,核對

  無誤后發(fā)傳真或電子郵件給甲方做最后的確認(rèn)。

  Concluded the assignment, Party B can search WHOIS of the domain name on the official website of China Internet Network Information Center. After checking, Party B should send email to Party A for confirmation.

  3、雙方應(yīng)本著誠實(shí)信用的原則履行本合同。任何一方在履行中采用欺詐、脅迫或者暴力的手段,另一方可以解除合同并有權(quán)要求對方賠償損失。任何一方在履行中發(fā)現(xiàn)或者有證據(jù)表明對方已經(jīng)、正在或者將要違約,可以中止履行本合同,但應(yīng)及時通知對方。甲方提前解除合同,無權(quán)要求乙方返還域名并應(yīng)對乙方遭受的損失承擔(dān)賠償責(zé)任,乙方無故解除合同,應(yīng)返還甲方上述費(fèi)用以及域名。

  The two parties should take the principle of good faith performance of this contract. The use of any party in the performance of fraud, coercion or violent means, the other party may terminate the contract and the right to demand compensation for damages. Found in the performance of any party, or there is evidence that the other party have been, are or will default, may suspend the performance of the contract, but shall promptly notify the other party. Where party A early termination of the contract, no right to demand the return of the domain and should bear the liability for losses of party B, where party B terminate contract without valid reason, these costs should be compensated to A and the domain name should be returned to party A.

  4、 其他: 其余未盡事宜雙方協(xié)商解決。

  Other matters: The remaining outstanding issues resolved through mutual consultation.

  三、 合同雙方簽署后生效Contracts enters into force after execution.

  合同壹式兩份,甲、乙方各持壹份。

  The contact shall be executed in two counterparts, each party holds one.

  出讓方(甲方): 受讓方(乙方):

  Assignor (Party A) : Assignee (Party B):

英文合同 篇5

  出租方(甲方)lessor (hereinafter referred to as party a) :

  承租方(乙方)lessee (hereinafter referred to as party b) :

  根據(jù)國家有關(guān)法律、法規(guī)和有關(guān)規(guī)定,甲、乙雙方在平等自愿的基礎(chǔ)上,經(jīng)友好協(xié)商一致,就甲方將其合法擁有的房屋出租給乙方使用,乙方承租使用甲方房屋事宜,訂立本合同。

  in accordance with relevant chinese laws 、decrees and pertinent rules and regulations ,party a and party b have reached an agreement through friendly consultation to conclude the following contract.

  一、 物業(yè)地址 location of the premises

  甲方將其所有的位于上海市_________區(qū)____________________________________的房屋及其附屬設(shè)施在良好狀態(tài)下出租給乙方___________使用。

  party a will lease to party b the premises and attached facilities all owned by party a itself, which is located at _______________________________________ __________________________ and in good condition for_____________ .

  二、 房屋面積 size of the premises

  出租房屋的登記面積為_________平方米(建筑面積)。

  the registered size of the leased premises is_________square meters (gross size).

  三、 租賃期限 lease term

  租賃期限自_______年___月___日起至_______年___月___日止,為期___年,甲方應(yīng)于_______年___月___日將房屋騰空并交付乙方使用。

  the lease term will be from _____(month) _____(day) _______(year) to ________(month) _____(day) _______(year). party a will clear the premises and provide it to party b for use before _____(month) _____(day) _______(year).

  四、 租金 rental

  1. 數(shù)額:雙方商定租金為每月人民幣_____________元整, 乙方以___________形式支付給甲方 。

  amount: the rental will be ____________per month. party b will pay the rental

  to party a in the form of ____________in ________________.

  2. 租金按_____月為壹期支付;第一期租金于_______年_____月_____日以前付清;以后每期租金于每月的______日以前繳納,先付后住(若乙方以匯款形式支付租金,則以匯出日為支付日,匯費(fèi)由匯出方承擔(dān))。甲方收到租金后予書面簽收。

  payment of rental will be one installment everymonth(s). the first installment will be paid before_______(month)______(day)__________(year). each successive installment will be paid_____________each month.

  party b will pay the rental before using the premises and attached facilities (in case party b pays the rental in the form of remittance, the date of remitting will be the day of payment and the remittance fee will be borne by the remitter.) party a will issue a written receipt after receiving the payment.

  3. 如乙方逾期支付租金超過十天,則每天以月租金的0.5%支付滯納金;如乙方逾期支付租金超過十五天,則視為乙方自動退租,構(gòu)成違約,甲方有權(quán)收回房屋,并追究乙方違約責(zé)任。

  in case the rental is more than ten working days overdue, party b will pay 0.5 percent of monthly rental as overdue fine every day, if the rental be paid 15 days overdue, party b will be deemed to have with drawn from the premises and breach the contract. in this situation, party a has the right to take back the premises and take actions against party b's breach.

  五、 保證金 deposit

  1. 為確保房屋及其附屬設(shè)施之安全與完好,及租賃期內(nèi)相關(guān)費(fèi)用之如期結(jié)算,乙方同意于______年_____月_____日前支付給甲方保證金人民幣 _________元整,甲方在收到保證金后予以書面簽收。

  guarantying the safety and good conditions of the premises and attached facilities and account of relevant fees are settled on schedule during the lease term, party b will pay _________to party a as a deposit before _____(month) _____(day) _______(year). party a will issue a written receipt after receiving the deposit.

  2. 除合同另有約定外,甲方應(yīng)于租賃關(guān)系消除且乙方遷空、點(diǎn)清并付清所有應(yīng)付費(fèi)用后的當(dāng)天將保證金全額無息退還乙方。

  unless otherwise provided for by this contract, party a will return full amount of the deposit without interest on the day when this contract expires and party b clears the premises and has paid all due rental and other expenses.

  3. 因乙方違反本合同的規(guī)定而產(chǎn)生的違約金、損壞賠償金和其它相關(guān)費(fèi)用,甲方可在保證金中抵扣,不足部分乙方必須在接到甲方付款通知后十日內(nèi)補(bǔ)足。

  in case party b breaches this contract, party a has right to deduct the default fine, compensation for damage or any other expenses from the deposit . in case the deposit is not sufficient to cover such items, party b should pay the insufficiency within ten days after receiving the written notice of payment from party a.

  六、 甲方義務(wù) obligations of party a

  1. 甲方須按時將房屋及附屬設(shè)施(詳見附件)交付乙方使用。

  party a will provide the premises and attached facilities (see the appendix of furniture list for detail) on schedule to party b for using.

  2. 房屋設(shè)施如因質(zhì)量原因、自然損耗或?yàn)?zāi)害而受到損壞,甲方有修繕并承擔(dān)相關(guān)費(fèi)用的責(zé)任。

  in case the premise and attached facilities are damaged by quality problems, natural damages or disasters, party a will be responsible to repair and pay the relevant expenses.

  3. 甲方應(yīng)確保出租的房屋享有出租的權(quán)利,反之如乙方權(quán)益因此遭受損害,甲方應(yīng)負(fù)賠償責(zé)任。

  party a will guarantee the lease right of the premises. otherwise, party a will be responsible to compensate party b's losses.

  七、 乙方義務(wù) obligations of party b

  1. 乙方應(yīng)按合同的規(guī)定按時支付定金、租金及保證金。

  party b will pay the rental, the deposit and other expenses on time.

  2. 乙方經(jīng)甲方同意,可在房屋內(nèi)添置設(shè)備。租賃期滿后,乙方將添置的設(shè)備搬走,并保證不影響房屋的.完好及正常使用。

  party b may decorate the premises and add new facilities with party a's approval. when this contract expires, party b may take away the added facilities which are removable without changing the good conditions of the premises for normal use.

  3. 未經(jīng)甲方同意,乙方不得將承租的房屋轉(zhuǎn)租或分租,并愛護(hù)使用該房屋如因乙方過失或過錯致使房屋及設(shè)施受損,乙方應(yīng)承擔(dān)賠償責(zé)任。

  party b will not transfer the lease of the premises or sublet it without party a's approval and should take good care of the premises. otherwise, party b will be responsible to compensate any damages of the premises and attached facilities caused by its fault and negligence.

  4. 乙方應(yīng)按本合同規(guī)定合法使用該房屋,不得擅自改變使用性質(zhì)。乙方不得在該房屋內(nèi)存放危險(xiǎn)物品。否則,如該房屋及附屬設(shè)施因此受損,乙方應(yīng)承擔(dān)全部責(zé)任。

  party b will use the premises lawfully according to this contract without changing the nature of the premises and storing hazardous materials in it. otherwise, party b will be responsible for the damages caused by it

  5. 乙方應(yīng)承擔(dān)租賃期內(nèi)的水、電、煤氣、電訊、收視費(fèi)、等一切因?qū)嶋H使用而產(chǎn)生的費(fèi)用,并按單如期繳納。

  party b will bear the cost of utilities such as communications, water, electricity, gas, management fee etc. on time during the lease term.

  八、 合同終止及解除的規(guī)定 termination and dissolution of the contract

  1. 乙方在租賃期滿后如需退租或續(xù)租,應(yīng)提前兩個月通知甲方,由雙方另行協(xié)商退租或續(xù)租事宜。在同等條件下乙方享有優(yōu)先續(xù)租權(quán)。

  within two months before the contract expires, party b will notify party a if it intends to extend the leasehold. in this situation, two parties will discuss matters over the extension.

  2. 租賃期滿后,乙方應(yīng)在當(dāng)天將房屋交還甲方;任何滯留物,如未取得甲方諒解,均視為放棄,任憑甲方處置,乙方?jīng)Q無異議。

  when the lease term expires, party b will return the premises and attached facilities to party a within days. any belongings left in it without party a's previous understanding will be deemed to be abandoned by party b. in this situation, party a has the right to dispose of it and party a will raise no objection.

  3. 本合同一經(jīng)雙方簽字后立即生效;未經(jīng)雙方同意,不得任意終止,如有未盡事宜,甲、乙雙方可另行協(xié)商。

  this contract will be effective after being signed by both parties. any party has no right to terminate this contract without another party's agreement. anything not covered in this contract will be discussed separately by both parties

  九、 違約及處理 breach of the contract

  1. 甲、乙雙方任何一方在未征得對方諒解的情況下,不履行本合同規(guī)定條款,導(dǎo)致本合同中途中止,則視為該方違約,雙方同意違約金為人民幣___________元整,若違約金不足彌補(bǔ)無過錯方之損失,則違約方還需就不足部分支付賠償金。

  during the lease term, any party who fails to fulfill any article of this contract without the other party's understanding will be deemed to breach the contract. both parties agree that the default fine will be________________. in case the default fine is not sufficient to cover the loss suffered by the faultless party, the party in breach should pay additional compensation to the other party.

  2. 若雙方在執(zhí)行本合同或與本合同有關(guān)的事情時發(fā)生爭議,應(yīng)首先友好協(xié)商;協(xié)商不成,可向有管轄權(quán)的人民法院提起訴訟。本合同一經(jīng)雙方簽字后立即生效;未經(jīng)雙方同意,不得任意終止,如有未盡事宜,甲、乙雙方可另行協(xié)商。

  both parties will solve the disputes arising from execution of the contract or in connection with the contract through friendly consultation. in case the agreement cannot be reached, any party may summit the dispute to the court that has the jurisdiction over the matter.

  十、 其他 miscellaneous

  1. 本合同附件是本合同的有效組成部分,與本合同具有同等法律效力。

  any annex is the integral part of this contract. the annex and this contract are equally valid.

  2. 本合同壹式貳份,甲、乙雙方各執(zhí)一份。

  there are 2 originals of this contract. each party will hold 1 original(s).

  3. 甲、乙雙方如有特殊約定,可在本款另行約定:

  other special terms will be listed bellows:

  __________________________________________________________________________________

  __________________________________________________________________________________

  甲 方:

  party a

  證件號碼:

  id no

  聯(lián)絡(luò)地址:

  address

  電 話:

  tel:

  代 理 人:

  representative:

  日 期:

  date:

英文合同 篇6

  合同編號:_________________

  Contract No:_______________

  簽訂日期:_________________

  Date:______________________

  簽訂地點(diǎn):_________________

  Signed at : _______________

  電 話:____________________

  Tel: ______________________

  傳 真:____________________

  Fax:_______________________

  電 報(bào):____________________

  Cable: ____________________

  電 傳:____________________

  Telex: ____________________

  電 話:____________________

  Tel: ______________________

  傳 真:____________________

  Fax:_______________________

  電報(bào):_____________________

  Cable: ____________________

  電傳:_____________________

  Telex: ____________________

  經(jīng)買雙方確認(rèn)根據(jù)下列條款訂立本合同:

  The undersigned Sellers and Buyers have confirmed this contract in accordance with the terms and conditions stipulated below :

  1. 貨號

  Art No. 名稱及規(guī)格

  Descriptions 單位

  Unit 數(shù)量

  Quantity 單價

  Unit Price 金額

  Amount

  合計(jì):_________________

  Totally:______________

  總值(大寫):_____________________

  Total value:(in words)_____________

  允許溢短____%。________% more or less in quantity and value allowed.

  2.成交價格術(shù)語:

  Terms: □ FOB □ CFR □ CIF □ DDU □

  3.出產(chǎn)國與制造商:___________________________

  Country of origin and manufacturers : ________

  4.包裝:__________________

  Packing: __________________

  5.裝運(yùn)嘜頭:______________

  Shipping Marks: ___________

  6.裝運(yùn)港:________________

  Delivery port : ___________

  7.目地港:________________

  Destination: ______________

  8.轉(zhuǎn)運(yùn):□ 允許 □ 不允許; 分批裝運(yùn):□ 允許 □ 不允許

  Transhipments: □ allowed □ not allowed

  Partial shipments:□allowed □ not allowed

  9.裝運(yùn)期:________________

  Shipment date: ____________

  10.保險(xiǎn):由____按發(fā)票金額110%,投保_____險(xiǎn),另加保_____險(xiǎn)。

  Insurance : to be covered by the FOR 110% of the invoice value covering additional

  11.付款條件:

  Terms of payment:

  □買方通過_____銀行在____年____月____日前開出以賣方為受益人的_______期信用證。

  The buyers shall open a Letter of Credit at sight through bank in favour of the sellers prior to .

  □付款交單:買方應(yīng)對賣方開具的以買方為付款人的見票后_____天付款跟單匯票,付款時交單。

  Documents against payment (D/P)

  The buyers shall duly make the payment against documentary draft made out to the buyers at sight by the sellers.

  □承兌交單:買方應(yīng)對賣方開具的以買方為付款人的見票后_____天承兌跟單匯票,承兌時交單。

  Documents against acceptance: (D/P)

  The buyers shall duly make the payment against documentary draft made out to the buyers at sight by the sellers.

  □貨到付款:買方在收到貨物后____天內(nèi)將全部貨款支付賣方(不適用于FOB、CFR、CIF術(shù)語)。

  Cash on delivery (COD)

  The buyers shall pay to the sellers total amount within days after the receipt of the goods .(This clause is not applied to the terms of FOB,CFR,CIF).

  □

  12.單據(jù):賣給方應(yīng)將下列單據(jù)提交銀行議付/托收。

  Documents :The sellers shall present the following documents required to the banks for negotiation/collection.

 、 運(yùn)單

  Shipping Bills :

  □ 海運(yùn):全套空白抬頭/指示抬頭、空白背書/指示背書注明運(yùn)費(fèi)已付/到付的已裝船清潔海運(yùn)/聯(lián)運(yùn)正本提單,通知在目的港 公司

  In case by sea : Full set of clean on board ocean Bills of Lading / combined transportation Bills of Lading made out to order blank endorsed / endorsed in favour of or made out to order of ,marked “freight prepaid / collected ” notifying at the port of destination .

  □ 陸運(yùn):全套注明運(yùn)費(fèi)已付/到付的裝車的記名清潔運(yùn)單,通知在目的地 公司。

  In case by land transportation: full set of clean on board land transportation Bills made out to marked “freight prepaid / collected ” notifying at the destination.

  □空運(yùn):全套注明運(yùn)費(fèi)已付/到付的記名空運(yùn)單,通知在目的地 公司。

  In case by Air : Full set of clean on board AWB made out to marked “freight prepaid/collected”notifying at

  the destination .

  □ :

 、跇(biāo)有合同編號信用證號及裝運(yùn)嘜頭的商業(yè)發(fā)票一式____份。

  Singed commercial invoice in copied indicating contract No, L/C No. And shipping marks.

  ③由_____出具的裝箱單或重量單一式______份。

  Packing list / weight memo in copies issued by .

 、苡蒧______出具的.質(zhì)量證明書一式________份

  Certificate of Quality in copies issued by .

 、萦蒧_______出具的數(shù)量證明書一式________份

  Certificate of Quantity in copies issued by .

 、薇kU(xiǎn)單正本一式_______份。

  Insurance policy / certificate in copies .

 、 簽發(fā)的產(chǎn)地證一式_______份

  Certificate of Origin in copies issued by .

  ⑧裝運(yùn)通知:

  shipping advice:

  另外,賣方應(yīng)在交運(yùn)后____小時內(nèi)以特快專遞方式郵寄給買方第____項(xiàng)單據(jù)副本一套。

  In addition , the sellers shall, within hours after shipment effected , send each copy of the above—mentioned documents No.____, directly to the buyers by courier service.

  13.裝運(yùn)條款:

  □ FOB

  賣方應(yīng)在合同規(guī)定的裝運(yùn)日期前30天,以電報(bào)/電傳/傳真通知買方合同號、品名、數(shù)量、金額、包裝件、毛重、尺碼及裝運(yùn)港可裝日期,以便買方安排租船/訂艙。裝運(yùn)船只按期到達(dá)裝運(yùn)港后,如賣方不能按時裝船,發(fā)生的空船費(fèi)或滯期費(fèi)由賣方負(fù)擔(dān)。在貨物超過船舷并脫離吊鉤以前一切費(fèi)用和風(fēng)險(xiǎn)由賣方負(fù)擔(dān)。

  The sellers shall , 30 days before the shipment date specified in the contract advise the buyers by CABLE / TELEX /FAX of the contract No. , commodity , quantity , amount , packages , gross weight , measurement , and the date of shipment in order that the buyers can charter a vessel / book shipping space . In the event of the sellers’ failure to effect loading when the vessel arrives duly at the loading port , all expenses including dead freight and / or demurrage charges thus incurred shall be for seller’s account.

  □ CIF或CFR

  CIF and CFR

  賣方須按時在裝運(yùn)期限內(nèi)將貨物由裝運(yùn)港裝船到目的港。在CFR術(shù)語下,賣方應(yīng)在裝船前2天電傳/傳真/電報(bào)買方合同號、品名、發(fā)票價值及開船日期,以便買方安排保險(xiǎn)。

  The sellers shall ship the goods duly within the shipping duration from the port of shipment to the port of destination . Under CFR terms , the sellers shall advise the buyers by CABLE/FAX/TELEX of the contract No. , commodity , invoice value and the date of despatch two days before the shipment for the buyers to arrange insurance in time.

  □ DDU

  賣方須按時在裝運(yùn)期限內(nèi)將貨物由裝運(yùn)港裝運(yùn)至目的港。

  The sellers shall ship the goods duly within the shipping duration from the port of the port of destination .

  □

  14.裝運(yùn)通知

  shipping advice :

  一件裝載完畢,賣方應(yīng)在____小時內(nèi)電傳/傳真/電報(bào)買方合同編號、品名、已發(fā)運(yùn)數(shù)量、發(fā)票總金額、毛重、船名/車/機(jī)號及啟程日期等。

  The sellers shall immediately upon the completion of the loading of the goods , advise buyers of the contract No., names of commodity , loading quantity , invoice values , gross weight , name of vessel and shipment date by TLX/FAX/CABLE within _____hours .

  15.質(zhì)量保證:

  Quality guarantee :

  貨物品質(zhì)規(guī)格必須符合本合同及質(zhì)量保證書之規(guī)定,品質(zhì)保證期為貨到目的港_____個月內(nèi),在保證期限內(nèi),因制造廠商在設(shè)計(jì)制造過程中的缺陷造成的貨物損害應(yīng)由賣方負(fù)責(zé)賠償。

  The sellers shall guarantee that the commodity must be in conformity with the quality and specifications specified in this contract and Letter of Quality Guarantee .The guarantee period shall be months after the arrival of the goods at the port of destination , and during the period the sellers shall be responsible for the damage due to the defects in designing and manufacturing of the manufacturer.

  16.商品檢驗(yàn):賣方須在裝運(yùn)前_____日委托 檢驗(yàn)機(jī)構(gòu)對合同之貨物進(jìn)行檢驗(yàn)并出具檢驗(yàn)證書,貨到目的港后,由買方委托____檢驗(yàn)機(jī)構(gòu)進(jìn)行復(fù)檢。

  Goods inspection : The sellers shall have the goods inspected by Inspection Authority days before the shipment and issued the Inspection Certificate . The buyers shall have the goods reinspected by Inspection Authority after the goods arrival at the destination.

  17.索賠

  Claims:

  如經(jīng)中國_____檢驗(yàn)機(jī)構(gòu)復(fù)檢,發(fā)現(xiàn)貨物有損壞、殘缺或品名、規(guī)格、數(shù)量及質(zhì)量與本合同及質(zhì)量保證書之規(guī)定不符,買方可于貨到目的港后 天內(nèi)憑上述檢驗(yàn)機(jī)構(gòu)出具的證明書向賣方要求索賠。如上述規(guī)定之索賠期與質(zhì)量保證期不一致,在質(zhì)量保證期限內(nèi)買方仍可向賣方就質(zhì)量保證條款之內(nèi)容向賣方提出索賠。

  The buyers shall lodge claims against the sellers based on the Inspection Certificate issued by China Inspection Authority Days after the arrival of the goods at the destination , if the goods are found to be damaged , missing or the specifications , quantity, and quality not in conformity with those specified in this contract and Letter of Quality Guarantee . In case the claim period above specified is not in conformity with the quality guarantee period, during the quality guarantee period, the buyers have rights to lodge claims against the sellers concerning the quality guarantee.

  18.延期交貨違約金

  Late delivery and penalty

  除雙方認(rèn)可的不可抗力因素外,賣方遲于合同規(guī)定的期限交貨,如買方同意遲延交貨,賣方應(yīng)同意對信用證有關(guān)條款進(jìn)行個性和同意銀行在議付貨款時扣除本條規(guī)定的違約金。違約金總值不超過貨物總價值的5%,差率按7天0.5%計(jì)算,不滿7天仍按7天計(jì)算。在未采用信用證支付的情況下,賣方應(yīng)將前述方法計(jì)算的違約金即付買方。

  If the sellers fail to make delivery on time as stipulated in the contract , with exception of Force Majeure, the buyers shall agree to postpone the delivery on conditions that the sellers agree to amend the clauses of the L/C and pay a penalty which shall be deducted by the paying bank from the payment under negotiation . The penalty , however , shall not exceed 5% of the total value of the goods . The rate of penalty is charged at 0.5%for every seven days , if less that seven days. In case , the payment is not made through L/C , the sellers shall pay the penalty counted as above to the buyers as soon as possible.

  19.人力不可抗拒:如因人力不可抗拒的原因造成本合同全部或部分不能履約,賣方概不負(fù)責(zé),但賣方應(yīng)將上述發(fā)生的情況及

  時通知買方。

  Force Majeure : The sellers shall not hold any responsibility for partial or total non-performance of this contract due to Force Majeure . But the sellers shall advise the buyers on times of such occurrence.

  20.爭議之解決方式:

  Disputes settlement :

  □任何因本合同而發(fā)生或與本合同有關(guān)的爭議,應(yīng)提交中國國際經(jīng)濟(jì)貿(mào)易仲裁委員會,按該會的仲裁規(guī)則進(jìn)行仲裁。仲裁地點(diǎn)在中國深圳。仲裁裁決是終局的,對雙方均有約束力。

  All disputes arising out of the contract or in connection with the contract , shall be submitted to the China International Economic and Trade Arbitration Commission for arbitration in accordance with its Rules of Arbitration in ShenZhen China . The arbitral award is final and binding upon both parties.

  □

  21.法律適用

  Law application :

  本合同之簽訂地、或發(fā)生爭議時貨物所在地在中華人民共和國境內(nèi)或被訴人為中國法人的,適用中華人民共和國法律,除此規(guī)定外,適用《聯(lián)合國國際貨物銷售公約》。

  It will be governed by the law of the People’s Republic of China under the circumstances that the contract is singed or the goods while the disputes arising are in the People’s Republic of China or the deffendant is Chinese legal person , otherwise it is governed by United Nations Convention on Contract for the International Sale of Goods .

  22.本合同使用的FOB、CFR、CIF、DDU 術(shù)語系根據(jù)國際商會《Incoterms 1990》

  23.文字:本合同中、英兩種文字具有同等法律效力,在文字解釋上,若有異議,以中文解釋為準(zhǔn)。

  Versions : This contract is made out in both Chinese and English of which version is equally effective .Conflicts between these two language arising therefrom . if any , shall be subject to Chinese version .

  24.附加條款(本合同上述條款與本附加條款有抵觸時,以本附加條款為準(zhǔn)):

  Additional Clauses : (conflicts between contract clause here above and this additional clause , if any , it is subject to this additional clause)

  25.本合同共____份,自雙方代表簽字(蓋章)之日起生效。

  This contract is in copies , effective since being signed / sealed by both parties:

  買方代表人:___________________________ 賣方代表人 :_________________________

  Representative of the buyers : _______ Representative of the sellers :______

  簽字:_________________________________ 簽字:________________________________

  Authorized signature :________________ Authorized signature : ______________

英文合同 篇7

  一、交貨條款 TERMS OF DELIVERY

 。保b船條件: Terms of Shipment;

  離岸加運(yùn)費(fèi)價條款:賣方應(yīng)在本合同第(9)條規(guī)定之時間內(nèi),將貨物由裝船口岸直接船運(yùn)到中國口岸,在未經(jīng)征得買方同意前,中途不得轉(zhuǎn)船。貨物不得用懸掛買方不能接受國家的旗幟的船只裝運(yùn)。

  For CFR Terms: The Sellers shall ship the goods within the time as stipulated in Clause (9) of this Contract by a direct vessel sailing from the port of loading to China Port. Transhipment eoute is not allowed without the Buyers' consent.The goods should not be carried by vessels flying of the countries not acceptable to the Buyers.

  離岸價條款: For FOB Terms:

  (A)裝運(yùn)本合同貨物的船只,由買方或買方運(yùn)輸代理人中國租船公司(地址:北京、二里溝。電報(bào)掛號:ZHOUGZU PEKING)租定艙位。賣放應(yīng)負(fù)責(zé)將所訂貨物在本合同第

  (9)條規(guī)定的裝船期限內(nèi)按買方所通知的任何日期裝上買方指定的船只。

  The shipping space for the contracted goods shall be booked by the Buyers or the Buyers'shipping agent,China National Chartering Corporation (Address: Er LiGou Beijing Cable Address:ZHOUGZU PEKING).The Sellers shall undertake to load the contracted goods on board the vessel nominated by the Buyers on any date notified by the Buyers, within the time of shipment stipulated in the Clause (9) of this Contract.

  (B)貨物裝運(yùn)前10—15日,買方應(yīng)電告賣方合同號、船只名稱、船只預(yù)計(jì)到港日期、裝運(yùn)數(shù)量及船運(yùn)代理人的名稱,以便賣方可與該船運(yùn)代理人聯(lián)系及安排貨物的裝運(yùn)。賣方應(yīng)將聯(lián)系結(jié)果及時報(bào)告買方,如買方因故需要變更船只或有關(guān)船只提前或推遲到達(dá)情況發(fā)生,買方或船運(yùn)代理人應(yīng)及時通知賣方。賣方亦應(yīng)與中租代理保持密切聯(lián)系。

  10—15 days prior to the date of shipment,the Buyers shall inform the Sellers by cable if the contract number,name of vessel, ETA of vessel, quantity to be loaded and the name of shipping agent, so as to enable the latter to contact the shipping agent directly and arrange the shipment of the goods. The Sellers shall cable in time the Buyers of the result thereof. Should,for certain reasons,it become necessary for the Buyers to replace the named vessel with another one, or should the named vessel arrive at the port of shipment earlier or later than the date of arrival as previously notified to the Sellers, the Buyers or their shipping agent shall advise the Sellers to this effect in due time. The Sellers shall also keep close contact with the agent of Zhougzu.

  (C)如買方所訂船只到達(dá)裝港后,賣方不能按買方所通知的時間如期裝船時,則空艙費(fèi)及滯期費(fèi)等一切費(fèi)用和后果均由賣方負(fù)擔(dān)。但如船只臨時撤換、延期或退關(guān)等情況而未能及時通知賣方停止發(fā)貨者,在裝港發(fā)生的棧租及保險(xiǎn)費(fèi)損失的計(jì)算,應(yīng)以代理通知之裝船日期(如貨物晚于船代理通知之裝船日期抵達(dá)裝港,應(yīng)以貨物抵港日期)為準(zhǔn),在港口免費(fèi)堆存期滿后第16天起應(yīng)由買方負(fù)擔(dān),人力不可抗拒的'情況除外,但賣方仍負(fù)有載貨船只到達(dá)裝港后立即將貨物裝船之義務(wù)并負(fù)擔(dān)費(fèi)用及風(fēng)險(xiǎn)。前述各種有關(guān)費(fèi)用均憑原始單據(jù)核實(shí)支付。

  Should the Sellers fail to load the goods,within the time as notified by the Buyers, on board the vessel booked by the Buyers after its arrival at the port of shipment, all expenses such as dead freight, demurrage, etc.,and consequences thereof shall be borne by the Sellers. Should the vessel be withdraw or replaced or delayed eventually or the cargo be shut out,etc.,and the Sellers be not informed in good time to stop delivery of the cargo, the calculation of the loss for storage expenses and insurance premium thus sustained at the loading port should be based on the loading date notified by the agent to the Sellers(or based on the date of the arrival of the cargo at the loading port in case port in case the cargo should arrive there later than the notified loading date).The above-mentioned loss to be calculated from the 16th day after expiry of the free storage time at the port should be borne by the Buyers with the exception of Force Majeure. However, the Sellers still undertaked to load the cargo immediately upon the carrying vessel's arrivel at the loading port at their own risks and expenses. The payment of the afore-said expenses shall be effected against presentation of the original vouchers after being checked.

  2.裝船通知:貨物裝運(yùn)完畢后,賣方立即以電報(bào)通知買方合同號、貨名、所裝數(shù)量或重量、發(fā)票金額、船名、起運(yùn)口岸、開船日期及目的口岸。由于賣方不給上述裝船通知電報(bào)而導(dǎo)致買方不能及時保險(xiǎn)時,則所發(fā)生之一切損失均由賣方負(fù)責(zé)賠償。

  Advice of Shipment: Immediately after completion of loading of goods on board the vessel the Sellers shall advise the Buyers by cable of the contract numver, name of goods, quantity or weight loaded, invoicevalue, name of vessel, port of shipment, sailing date and port of destination. Should the Buyers be made unable to arrange insurance in time owing to the Sellers' failure to give the above mentioned advice of shipment by cable, the Sellers shall be held responsible for any and alll damage and/or loss attributable to such failrue.

  3.裝船單據(jù): Shipping documents:

  (A)賣方憑下列單據(jù)向付款銀行議付貨款:

  (a)填寫通知目的口岸中國對外貿(mào)易運(yùn)輸公司分公司的空白抬頭、空白背書的全套已裝船清潔海運(yùn)提單(如系成本加運(yùn)費(fèi)條款則注明運(yùn)費(fèi)已付,如系離岸價條款則注明運(yùn)費(fèi)待收)。(b)已簽署的發(fā)票5份,注明合同號及裝船碼頭。(c)注明尺碼的裝箱單/或重量單2份。(d)本交貨條款第5條規(guī)定的品質(zhì)檢驗(yàn)證明書及數(shù)量或重量證明書各1份。(e)本交貨條款第2條規(guī)定的按港通知電報(bào)副狽蕁

  The Sellers shall present the following documents to the paying bank for negotiation of paymenta)Full set of clean on board,"freight prepaid" for C﹠F Terms or "freight to

英文合同 篇8

  FOB CRUDE OIL SALES AGREEMENT

  離岸原油銷售協(xié)議

  This is to confirm the Agreement between us as follow:

  我們之間的協(xié)議現(xiàn)來確認(rèn)如下:

  Parties:

  當(dāng)事人:

  SELLER- SAUDI ARABIAN OIL COMPANY, A COMPANY WITH LIMITED LIABILITY ORGANIZED UNDER THE LAWS OF THE KINGDOM OF SAUDI ARABIA

  賣方:沙特阿拉伯石油公司,一家依照阿拉伯法律下的有限責(zé)任公司。

  BUYER- A COMPANY INCORPORATED UNDER THE LAWS OF買方: 國家法律下的股份有限公司

  Term of Agreement

  合同條款

  This Agreement shall be effective as of and shall continue tin effect through and including with automatic one-year extensions thereafter unless terminated at the option of either party,other than for cause,upon at least sixty(60)days written notice prior to the expiration of the original term or,if applicable,any subsequent anniversary date.

  此合同自。。起開始生效。若雙方未提出終止合同,該合同將自動延期一年。在終止期前至少60天開出書面證明原始條款有效,如果適用的話,其后任何年均可繼續(xù)生效。

  Grade,Quantity and Quality:

  數(shù)量和質(zhì)量等級

  3.1 Subject to availability and the production policies determined by the

  Government of the Kingdom of Saudi Arabia,SELLER shall deliver and sell to BUYER and BUYER shall lift or receive and buy from SELLER a total of { quantity in numbers and words}

  Barrels per day of Arabian Light crude oil, minus up to ten percent(10%)if BUYER s or SEELERs option,or plus up to ten percent (10%)if BUYER so requests and SELLER agrees. Additional volumes of crude oil of similar or different grades may be delivered under this agreement as the parties may from time to time agree.

  依據(jù)由沙特阿拉伯政府出臺的有效相關(guān)產(chǎn)品政策,賣方應(yīng)該將貨物發(fā)送并賣給買家,買家也應(yīng)該接受并且同意接手從賣方手里買的總數(shù){插入數(shù)量的數(shù)字和文字}-------阿拉伯輕質(zhì)原油,數(shù)量的上下幅度為總數(shù)量的10%。如果買家這樣要求并且賣家同意的話。額外大量的原油同品級的或是不同品級的將會遵從買賣雙方的意愿按照合同的要求發(fā)貨。

  The availability of each grade of crude oil specified in Paragraph 3.1 will be advised by SELLER from time to time in accordance with the production policies of Government of the Kingdom of Saudi Arabia. Subject to availability, and underless otherwise mutually agreed, the quantitied of each grade of crude oil to be lifted or received and purchased by BUYER during the term of this Agreement shall be spread over the term of this Agreement as evenly as practicable.

  每個可用的原油等級的表述在條款3.1,根據(jù)沙特王國的生產(chǎn)政策通知給賣方。雙方同意,每個品級的原油數(shù)量被買房收到和被購買的,在被協(xié)議期限之內(nèi),將會遍及又很輕的實(shí)用性的條款。

  Notwithstanding anything to the contrary contained else where in this Agreement and without prejudice to any other rights or remedies available to SELLER hereunder if at any time BUYER,for at any reason other than force majeure(as defined in Paragraph 11.6)or a reason attributable to SELLER, fails

  to lift or receive and purchase quantities of crude oil in accordance with this Paragraph 3, SELLER may at one time or from time to time thereafter, at its sole discretion, and upon notice to BUYER, reduce any or all quantities and grades of crude oil which BUYER would have otherwise been entitled to lift and buy.

  盡管任何相反的1包含在這個協(xié)議和其他地方不影響其他權(quán)利或補(bǔ)救措施提供本協(xié)議項(xiàng)下賣方有任何時候,如果買方在任何理由,不可抗力除外)項(xiàng)所定義的(11.6)或一個原因致使賣方不能提升,或接受和購買數(shù)量的`原油依照本第三項(xiàng)規(guī)定,賣方可以在同一時間或從時間,以時間之后,行駛他的自由決定權(quán),在通知買方,減少任何或全部數(shù)量、等級的原油,否則會被買方有權(quán)解除選購。

  The quality of each grade of crude oil delivered hereunder shall be the usual quality of that grade being made available by SELLER at the time of loading of the crude oil at the SELLER's loading port in Saudi Arabia. SELLER warrants that it has good and marketable title to the crude oil, free and clear of all charges, liens and encumbrances but THERE ARE NO GUARANTEES OR WARRANTIES, EXPRESS OR IMPLIED, OF MERCHANTABILITY, FITNESS OR SUITABILITY OF THE CRUDE OIL, FOR ANY PARTICULAR PURPOSE OR OTHERWISE, WHICH EXTEND BEYOND THE DESCRIPTION OF THE CRUDE OIL AND ANY SPECIFICATIONS THEREFOR CONTAINED IN THIS AGREEMENT.

  每個品級質(zhì)量的原油是日常質(zhì)量的,由賣方在裝船原油賣方裝運(yùn)港美國在沙特的賣方的裝運(yùn)港。賣方保證具有良好的所有權(quán)與市場的原油、自由和明確的、留置物的所有指控,但沒有及抵押擔(dān);虮WC,明示或暗示,適銷,或適度性的原油、適合于某特殊目的性或其他的描述,超越了微生物對原油的任何規(guī)格因此包含在本協(xié)議。

  Price:

  4.1 The price per barrel of each grade of crude oil to be sold hereunder shall be the average of the means of Oman and Dubai crude oil quotations (as

  published in Platt's Crude Oil Marketwire under the heading "Spot Assessment") for the entiremonth in which the Bill of Lading date falls, plus or minus a differential for each grade to be provided by SELLER to BUYER as per Paragraph 4.2.

  每個品級的原油的每桶價格買的價格將會取阿曼和迪拜的原油報(bào)價的均值的平均數(shù)。(正如在潑辣托市場上的點(diǎn)評估標(biāo)題下的),一整個月的提單在日落期,加或減一個不同對于每個品級的由賣方提供給買方如段落4.2中的。

  On or before the fifth (5th) day of each month, SELLER shall notify BUYER of the differential to be used to determine the price per barrel of each grade of crude oil for sale under this Agreement during the following month ("Scheduled Month of Delivery"). Within five (5) calendar days after receipt of SELLER's notification as set forth in the preceding sentence, BUYER may elect to terminate this Agreement by delivering written notice thereof to SELLER. Unless BUYER elects to terminate this Agreement in accordance with the immediately preceding sentence, the price differential notified by SELLER shall apply. Termination by BUYER in accordance with this Paragraph 4.2 shall be effective as of the first day of the month following SELLER's receipt of BUYER's notice; provided, however, that termination under this or any other provision of this Agreement shall not affect the parties' rights and obligations with respect to deliveries of crude oil under this Agreement which were made prior to the effective date of termination; and further provided that in the event of termination hereunder or expiration of the Agreement, this Agreement shall remain in effect with respect to all crude oil for which delivery has been confirmed pursuant to Paragraph 6. The differential applicable to such crude oil shall be the differential which was in effect during the month prior to termination.

  每個月第五天或是第五天之前,賣方需通知買方,習(xí)慣于決定每個品級的原油的每桶的價格在協(xié)議下的下一個月的銷售(預(yù)訂交貨月)。在收到如前所

  述的內(nèi)容賣方在五個日歷天之內(nèi)通知,買家可能選擇終止合同,通過發(fā)送書面證明的方式由此發(fā)給賣方。除非買方根據(jù)前述的內(nèi)容終止協(xié)議,通知賣方的價格差異將被申請。由買方根據(jù)段落4.2的終止將會有效,自當(dāng)月的第一天起根據(jù)賣方收到買方的通知為準(zhǔn),假使,然而,在規(guī)定條款下的此終止將不會影響到當(dāng)事人的權(quán)利和義務(wù)希望原油按照合同的要求運(yùn)送,在生效期前終止;如果是,在有效期內(nèi)終止合同,合同將保持有效考慮到原油的運(yùn)送確定依照段落6.在終止期前一直有效。

  If delivery is at Yanbu, BUYER shall pay, in addition to the price calculated in accordance with Paragraph 4.1, the East-West Pipeline transit fee, currently U.S. $0.25 (twenty-five U.S. cents) per barrel.

  如果是在yanbu卸貨,買家將會付款,額外價格的計(jì)算將會根據(jù)段落4.1,中東管道運(yùn)輸費(fèi),當(dāng)前為每桶0.25美元(25美分)

  Should issuance of the Bill of Lading occur before or after the Scheduled Month of Delivery, the price of such cargo shall be calculated using the differential that would have applied had issuance of the Bill of Lading occurred in the Scheduled Month of Delivery; however, the Oman and Dubai Prices shall be calculated with reference to the Bill of Lading date, as set forth in Paragraph 4.1.

  簽發(fā)提單應(yīng)該在預(yù)期裝運(yùn)之前或是之后,運(yùn)價將會計(jì)算使用不同的應(yīng)該被申請的已經(jīng)簽發(fā)的提單;然而,阿曼和迪拜價格將會按照提單的日期來計(jì)算,如前所述的段落4.1

  Payment:

  支付條款;

  5.1 Payment for each parcel of crude oil sold shall be made in the full amount of SELLER's telexed or faxed invoice without discounts or deductions by BUYER to SELLER via electronic transfer in immediately available funds in U.S. Dollars to SELLER's account as follows:

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