Norwegian Shipbrokers’ Association’s
Memorandum of Agreement for sale and
purcha of Ships. Adopted by BIMCO in 1956.
Code-name
SALEFORM 2012
Revid 1996, 1983 and 1986/87, 1993 and 2012
MEMORANDUM OF AGREEMENT
船舶买卖合同之协议备忘录
Dated 日期: 1
来月经拉肚子
[Name of Sellers] hereinafter called the Sellers, have agreed to ll, and 2
[卖方名称] 以下称之为卖方,已经同意将出售,
[Name of Buyers] hereinafter called the Buyers, have agreed to buy: 3
[买方名称] 以下称之为买方,已经同意将购买,
Name of Vesl 船名: 4
IMO Number 国际海事组织船舶识别号码: 5
Classification Society88年属什么 船级社: 6
Class Notation 入级符号: 7
Year of Build 建造时间: Builder/Yard 建造地: 8
Flag 船旗国: Place of Registration注册登记地: GT/NT总吨/净吨: 9
hereinafter called the “Vesl”, on the following terms and conditions: 10
以下称之为‘船舶’,并遵循以下条款与条件:
Definitions 定义 11
“Banking Days” are days on which banks are open both in the country of the currency stipulated for 12
the Purcha Price in Clau 1 (Purcha Price) and in the place of closing stipulated in Clau 8 13
(Documentation) and (add additional jurisdictions as appropriate). 14
‘银行(工作)日’是指:在第1条款(购买价格)所订立的购买船舶所使用的货币的国家和在第8条款(交船文件)以及在 (司法管辖权,若附加条款适用)所规定的船舶交接的国家,银行都开门营业的工作日。
“Buyers' Nominated Flag State” means (state flag state). 15
‘买方指定的船旗国‘是指: (载明的船旗国)。
“Class” means the class notation referred to above. 16
悯农古诗二首
‘船级’是指:上文提到的船舶入级符号。
“Classification Society” means the Society referred to above. 17
‘船级社’是指:上文提到的船级社。
“Deposit” shall have the meaning given in Clau 2 (Deposit). 18
‘保证金/押金’是应具有第2条款(保证金)所赋予的含义的保证金。
“Deposit Holder” means (state name and location of Deposit Holder) or, if left blank, the 19
Sellers' Bank, which shall hold and relea the Deposit in accordance with this Agreement. 20
‘保证金持有人’是指: (载明保证金持有人的名称和位置),或者空白不填,按照本协议规定,应该持有和释放保证金的卖方的银行。
“In writing” or “written” means a letter handed over from the Sellers to the Buyers or vice versa, a 21
registered letter, email or telefax. 22
“书面形式”或‘书面’是指:卖方转交给买方的信函,反之亦然,挂号信,电子邮件或电传。
“Parties” means the Sellers and the Buyers. 23
‘合同缔约方’是指:卖方和买方。
“Purcha Price” means the price for the Vesl as stated in Clau 1 (Purcha Price). 24
‘购买价格’是指:在第1条款载明的船舶买卖价格(购买价格)。
“Sellers' Account” means (11月17日是什么星座state details of bank account) at the Sellers' Bank. 25
‘卖方账户’是指:在买方银行设立的 (载明银行账户细节)。
“Sellers' Bank” means (登山作文state name of bank, branch and details) or, if left blank, the bank 26
notified by the Sellers to the Buyers for receipt of the balance of the Purcha Price 27
‘卖方银行’是指: (载明银行名称、分行名称和详细信息),或者空白不填,由卖方通知给买方,并负责接收船舶购买价格剩余款项的指定银行。
1. Purcha Price 1. 购买价格 28
The Purcha Price is 置之死地而后生 (state currency and amount both in words and figures). 29
1. 购买价格
船舶购买价格 (以文字和数字形式注明币种和金额)。
2. Deposit 2. 保证金/押金 30
As curity for the correct fulfilment of this Agreement the Buyers shall lodge a deposit of 31
% ([ ] per cent or, if left blank, 10% (ten per cent), of the Purcha Price (the 32
“Deposit”) in an interest bearing account for the Parties with the Deposit Holder within three (3) 33
Banking Days after the date that: 34
2. 保证金/押金
为确保本协议的正确执行,自以下之日起的3个银行工作日内,买方应该将船舶购买价款的 %,或如果未填写,10%(百分之十),作为保证金存入代表合同双方共同利益的保证金持有人计息账户:
(i). this Agreement has been signed by the Parties and exchanged in original or by email or 35
telefax; and 36
(i). 本协议的正本文件已经签署并且通过电子邮件或传真交换之后;
(ii). the Deposit Holder has confirmed in writing to the Parties that the account has been 37
关于诚信的名言名句opened. 38
(ii). 该保证金的持有人以书面形式通知合同双方该账户已经开通之后。
The Deposit shall be relead in accordance with joint written instructions of the Parties. 39
Interest, if any, shall be credited to the Buyers. Any fee charged for holding and releasing the 陈子云 40
Deposit shall be borne equally by the Parties. The Parties shall provide to the Deposit Holder 41
all necessary documentation to open and maintain the account without delay. 42
该保证金应该按照双方联名的书面指示进行放款。若由此产生的利息,应该归还给买方。因保管和释放本保证金而产生的任何费用应该由合同双方平均分摊。合同双方应该毫无延迟地提供给保证金持有人建立和维持该账户必需的所有文件。
3. Payment 3. 付款 43
On delivery of the Vesl, but not later than three (3) Banking Days after the date that Notice of 44
Readiness has been given in accordance with Clau 5 (Time and place of delivery and 45