READ: THE PERSONAL DATA PROTECTION BILL, 2018

THE PERSONAL DATA PROTECTION BILL, 2018

CHAPTER I

PRELIMINARY

  1. Short title, extent and commencement.— …………………………………………………………………….. 1

 

  1. Application of the Act to processing of personal data.— ……………………………………………….. 1

 

  1. Definitions.— In this Act, unless the context otherwise requires, — ……………………………….. 2

 

CHAPTER II

 

DATA PROTECTION OBLIGATIONS

 

  1. Fair and reasonable processing.— ………………………………………………………………………………. 6
  2. Purpose limitation.— ………………………………………………………………………………………………… 6

 

  1. Collection limitation. —. …………………………………………………………………………………………… 7

 

  1. Lawful processing.— ………………………………………………………………………………………………… 7
  2. Notice.— …………………………………………………………………………………………………………………. 7

 

  1. Data quality.— …………………………………………………………………………………………………………. 8

 

  1. Data storage limitation.— ………………………………………………………………………………………… 8
  2. Accountability.— ……………………………………………………………………………………………………. 9

 

CHAPTER III

 

GROUNDS FOR PROCESSING OF PERSONAL DATA

 

  1. Processing of personal data on the basis of consent.—…………………………………………………. 9

 

  1. Processing of personal data for functions of the State. — …………………………………………… 10
  2. Processing of personal data in compliance with law or any order of any court or tribunal. —

10

 

  1. Processing of personal data necessary for prompt action. — ………………………………………. 10

 

  1. Processing of personal data necessary for purposes related to employment. —……………… 10
  2. Processing of data for reasonable purposes. —………………………………………………………….. 11

 

CHAPTER IV

 

GROUNDS FOR PROCESSING OF SENSITIVE PERSONAL DATA

 

  1. Processing of sensitive personal data based on explicit consent. —……………………………… 11

 

  1. Processing of sensitive personal data for certain functions of the State. — …………………… 12

 

  1. Processing of sensitive personal data in compliance with law or any order of any court or tribunal. — …………………………………………………………………………………………………………… 12
  2. Processing of certain categories of sensitive personal data for prompt action. —…………… 12

 

i

 

  1. Further categories of sensitive personal data.— ………………………………………………………… 13

 

CHAPTER V

 

PERSONAL AND SENSITIVE PERSONAL DATA OF CHILDREN

 

  1. Processing of personal data and sensitive personal data of children. —………………………… 13

 

CHAPTER VI

 

DATA PRINCIPAL RIGHTS

 

  1. Right to confirmation and access. — ……………………………………………………………………….. 14

 

  1. Right to correction, etc.— ………………………………………………………………………………………. 14
  2. Right to Data Portability. — …………………………………………………………………………………… 15

 

  1. Right to Be Forgotten. — ……………………………………………………………………………………….. 16

 

  1. General conditions for the exercise of rights in this Chapter. — ………………………………….. 16

 

CHAPTER VII

 

TRANSPARENCY AND ACCOUNTABILITY MEASURES

 

  1. Privacy by Design. — ……………………………………………………………………………………………. 17
  2. Transparency. — …………………………………………………………………………………………………… 18

 

  1. Security Safeguards.— …………………………………………………………………………………………… 18

 

  1. Personal Data Breach.— ………………………………………………………………………………………… 18
  2. Data Protection Impact Assessment. — ……………………………………………………………………. 19

 

  1. Record-Keeping. — ………………………………………………………………………………………………. 20
  2. Data Audits. —……………………………………………………………………………………………………… 20

 

  1. Data Protection Officer. — …………………………………………………………………………………….. 21

 

  1. Processing by entities other than data fiduciaries. — …………………………………………………. 22
  2. Classification of data fiduciaries as significant data fiduciaries. — ……………………………… 22

 

  1. Grievance Redressal. — …………………………………………………………………………………………. 23

 

CHAPTER VIII

 

TRANSFER OF PERSONAL DATA OUTSIDE INDIA

  1. Restrictions on Cross-Border Transfer of Personal Data. — ……………………………………….. 23

 

  1. Conditions for Cross-Border Transfer of Personal Data. — ………………………………………… 24

 

CHAPTER IX

 

EXEMPTIONS

  1. Security of the State.— ………………………………………………………………………………………….. 25
  2. Prevention, detection, investigation and prosecution of contraventions of law.— ………….. 25

 

  1. Processing for the purpose of legal proceedings.— ……………………………………………………. 26

 

  1. Research, archiving or statistical purposes. — ………………………………………………………….. 27
  2. Personal or domestic purposes. — …………………………………………………………………………… 27

 

  1. Journalistic purposes.— …………………………………………………………………………………………. 28

 

  1. Manual processing by small entities.— ……………………………………………………………………. 28

 

CHAPTER X

 

DATA PROTECTION AUTHORITY OF INDIA

  1. Establishment and incorporation of Authority.— ………………………………………………………. 29
  2. Composition and qualifications for appointment of members.— …………………………………. 29

 

  1. Terms and conditions of appointment.— ………………………………………………………………….. 30

 

  1. Removal of members.— ………………………………………………………………………………………… 30
  2. Powers of the chairperson.— ………………………………………………………………………………….. 31

 

  1. Meetings of the Authority.— ………………………………………………………………………………….. 31

 

  1. Vacancies, etc. not to invalidate proceedings of the Authority.—………………………………… 31
  2. Officers and Employees of the Authority.— …………………………………………………………….. 31

 

  1. Grants by Central Government.— …………………………………………………………………………… 32

 

  1. Accounts and Audit — …………………………………………………………………………………………… 32
  2. Furnishing of returns, etc. to Central Government.—…………………………………………………. 32

 

  1. Powers and Functions of the Authority.— ………………………………………………………………… 33
  2. Codes of Practice.—………………………………………………………………………………………………. 35

 

  1. Power of Authority to issue directions.— …………………………………………………………………. 36

 

  1. Power of Authority to call for information.— …………………………………………………………… 37
  2. Power of Authority to conduct inquiry. — ……………………………………………………………….. 37

 

  1. Action to be taken by Authority pursuant to an inquiry.—………………………………………….. 38

 

  1. Search and Seizure.— ……………………………………………………………………………………………. 39
  2. Coordination between the Authority and other regulators or authorities.— …………………… 40

 

  1. Appointment of Adjudicating Officer.— ………………………………………………………………….. 41

 

CHAPTER XI PENALTIES AND REMEDIES

  1. Penalties.— ………………………………………………………………………………………………………….. 41

 

  1. Penalty for failure to comply with data principal requests under Chapter VI.—…………….. 42
  2. Penalty for failure to furnish report, returns, information, etc.— …………………………………. 42

 

  1. Penalty for failure to comply with direction or order issued by the Authority.— …………… 43

 

  1. Penalty for contravention where no separate penalty has been provided.— ………………….. 43
  2. Adjudication by Adjudicating Officer.—………………………………………………………………….. 43

 

  1. Compensation.—…………………………………………………………………………………………………… 44

 

  1. Compensation or penalties not to interfere with other punishment.— ………………………….. 45
  2. Data Protection Funds.— ……………………………………………………………………………………….. 45

 

  1. Recovery of Amounts.—………………………………………………………………………………………… 46

 

CHAPTER XII APPELLATE TRIBUNAL

  1. Establishment of Appellate Tribunal.—……………………………………………………………………. 47

 

  1. Qualifications, appointment, term, conditions of service of members.—………………………. 48
  2. Vacancies.— ………………………………………………………………………………………………………… 48

 

  1. Staff of Appellate Tribunal.— ………………………………………………………………………………… 48

 

  1. Distribution of business amongst benches.— ……………………………………………………………. 48
  2. Appeals to Appellate Tribunal.— ……………………………………………………………………………. 49

 

  1. Procedure and powers of Appellate Tribunal.—………………………………………………………… 49

 

  1. Orders passed by Appellate Tribunal to be executable as a decree.— ………………………….. 50
  2. Appeal to Supreme Court of India.— ………………………………………………………………………. 50

 

  1. Right to legal representation.— ………………………………………………………………………………. 50
  2. Civil court not to have jurisdiction.—………………………………………………………………………. 51

 

CHAPTER XIII OFFENCES

  1. Obtaining, transferring or selling of personal data contrary to the Act.—……………………… 51

 

  1. Obtaining, transferring or selling of sensitive personal data contrary to the Act.—………… 51

 

  1. Re-identification and processing of de-identified personal data. — ……………………………… 52
  2. Offences to be cognizable and non-bailable.— …………………………………………………………. 52

 

  1. Power to investigate offences.—……………………………………………………………………………… 52

 

  1. Offences by companies.— ……………………………………………………………………………………… 52
  2. Offences by Central or State Government departments. — …………………………………………. 53

 

CHAPTER XIV TRANSITIONAL PROVISIONS

  1. Transitional provisions and commencement. — ………………………………………………………… 54

 

CHAPTER XV MISCELLANEOUS

  1. Power of Central Government to issue directions in certain circumstances. — ……………… 55

 

  1. Members, etc., to be public servants. — …………………………………………………………………… 55

 

  1. Protection of action taken in good faith. — …………………………………………………………….. 55
  2. Exemption from tax on income. — ………………………………………………………………………… 55

 

  1. Delegation. — …………………………………………………………………………………………………….. 55

 

  1. Power to remove difficulties. — ……………………………………………………………………………. 56
  2. Power to exempt certain data processors.— ……………………………………………………………. 56

 

  1. No application to non-personal data……………………………………………………………………….. 56

 

  1. Bar on processing certain forms of biometric data……………………………………………………. 56
  2. Power to make rules. — ……………………………………………………………………………………….. 56

 

  1. Power to make regulations. — ………………………………………………………………………………. 58

 

  1. Rules and Regulations to be laid before Parliament.—……………………………………………… 59
  2. Overriding effect of this Act. — ……………………………………………………………………………. 60

 

  1. Amendment of Act 21 of 2000. — …………………………………………………………………………. 60

 

  1. Amendment of Act 22 of 2005. — …………………………………………………………………………. 60

 

THE FIRST SCHEDULE ……………………………………………………………………………………………………. 61

 

THE SECOND SCHEDULE…………………………………………………………………………………………………. 62

 

 

THE PERSONAL DATA PROTECTION BILL, 2018

 

WHEREAS the right to privacy is a fundamental right and it is necessary to protect personal data as an essential facet of informational privacy;

 

WHEREAS the growth of the digital economy has meant the use of data as a critical means of communication between persons;

 

WHEREAS it is necessary to create a collective culture that fosters a free and fair digital economy, respecting the informational privacy of individuals, and ensuring empowerment, progress and innovation;

 

AND WHEREAS it is expedient to make provision: toprotect the autonomy of individuals in relation with their personal data, to specify where the flow and usage of personal data is appropriate, to create a relationship of trust between persons and entities processing their personal data, to specify the rights of individuals whose personal data are processed, to create a framework for implementing organisational and technical measures in processing personal data, to lay down norms for cross-border transfer of personal data,  to  ensure  the  accountability  of  entities  processing  personal  data,  to  provide  remedies  for unauthorised and harmful processing, and to establish a Data Protection Authority for overseeing processing activities;

 

BE IT ENACTED by Parliament in the Sixty-Ninth Year of the Republic of India as follows:

 

 

 

CHAPTER I PRELIMINARY

 

 

  1. Short title, extentand commencement.—

 

(1)     This Act may be called the Personal Data Protection Act, 2018. (2)   It extends to the whole of India.

(3)     The provisions of Chapter XIV of this Act shall come into force on such date, as the Central Government may by notification appointand the remaining provisions of the Act shall come into force in accordance with the provisions in that Chapter.

 

 

  1. Application of the Act to processing of personal data.—

 

(1)     This Act applies to the following—

 

(a)     processing of personal data where such data has been collected, disclosed, shared or otherwise processed within the territory of India; and

 

(b)     processing of personal data by the State, any Indian company, any Indian citizen or any person or body of persons incorporated or created under Indian law.

 

 

(2)    Notwithstanding anything contained insub-section (1), the Act shall apply to the processing of personal data by data fiduciaries or data processors not present within the territory of India, only if such processing is —

 

(a)     in connection with any business carried on in India, or any systematic activity of offering goods or services to data principals within the territory of India; or

 

(b)     in connection with any activity which involves profiling of data principals within the territory of India.

 

(3)     Notwithstanding anything contained in sub-sections (1) and (2), the Act shall not apply to processing ofanonymised data.

 

 

  1. Definitions.—In this Act, unless the context otherwise requires, —

 

(1)     “Aadhaar number”shall have the meaning assigned to it under clause (a) of section 2 of the Aadhaar (Targeted Delivery of Financial and Other Subsidies, Benefits and Services) Act, 2016 (18 of 2016);

 

(2)     “Adjudicating Officer” means an officer of the adjudication wing under section 68;

 

(3)     “Anonymisation”in  relation  to  personal  data,  means  the  irreversible  process  of transforming or converting personal data to a form in which a data principal cannot be identified, meeting the standards specified by the Authority.

 

(4)     “Anonymised data” means data which has undergone the process of anonymisation under sub-clause (3) of this section;

 

(5)     “Appellate Tribunal”means the tribunal notified under Chapter XIIof this Act;

 

(6)     “Authority” means the Data Protection Authority of India established under Chapter X

of this Act;

 

(7)     “Automated  means”means  any  equipment  capable  of  operating  automatically  in response to instructions given for the purpose of processing data;

 

(8)     “Biometric  data”means  facial  images,  fingerprints,  iris  scans,  or  any  other  similar personal data resulting from measurements or technical processing operations carried out on physical, physiological, or behavioural characteristics of a data principal, which allow or confirm the unique identification of that natural person;

 

(9)     “Child” means a data principal below the age of eighteen years;

 

(10)   “Code of Practice”means a code of practice issued by the Authority under section 61; (11)   “Consent”means consent under section 12;

 

(12)   “Data”means and includes a representation of information, facts, concepts, opinions, or instructions in a manner suitable for communication, interpretation, or processing by humans or by automated means;

 

(13)   “Data fiduciary”means any person, including the State, a company, any juristic entity or any individual who alone or in conjunction with others determines the purpose and means of processing of personal data;

 

(14)   “Data principal”means the natural person to whom the personal data referred to in sub- clause (28) relates;

 

(15)   “Data processor”means any person, including the State, a company, any juristic entity or any individual who processes personal data on behalf of a data fiduciary, but does not include an employee of the data fiduciary;

 

(16)   “De-identification”meansthe process by which a data fiduciary or data processor may remove, or mask identifiers from personal data, or replace them with such other fictitious name or code that is unique to an individual but does not, on its own, directly identify the data principal;

 

(17)   “Disaster” shall have the same meaning assigned to it underclause (d) of section 2 of the

Disaster Management Act, 2005 (53 of 2005);

 

(18)   “Explicit consent”means consent under section 18;

 

(19)   “Financial data”means any number or other personal data used to identify an account opened by, or card or payment instrument issued by a financial institution to a data principal or any personal data regarding the relationship between a financial institution and a data principal including financial status and credit history;

 

(20)  “Genetic data”means personal data relating to the inherited or acquired genetic characteristics of a natural person which give unique information about the behavioural characteristics, physiology or the health of that natural person and which result,in particular, from an analysis of a biological sample from the natural person in question;

 

(21)   “Harm”includes—

 

(i)      bodily or mental injury;

 

(ii)     loss, distortion or theft of identity; (iii)   financial loss or loss of property, (iv)            loss of reputation, or humiliation; (v)          loss of employment;

(vi)    any discriminatory treatment;

 

(vii)   any subjection to blackmail or extortion;

 

(viii)  any  denial  or  withdrawal  of  a  service,  benefit  or  good  resulting  from  an evaluative decision about the data principal;

 

(ix)    any restriction placed or suffered directly or indirectly on speech, movement or any other action arising out of a fear of being observed or surveilled; or

 

(x)     any observation or surveillance that is not reasonably expected by the data principal.

 

(22)   “Health data”means data related to the state of physical or mental health of the data principal and includes records regarding the past, present or future state of the health of such data principal, data collected in the course of registration for, or provision of health services, data associating the data principal to the provision of specific health services.

 

(23)   “Intersex status”means the condition of a data principal who is—

 

(i)      a combination of female or male;

 

(ii)     neither wholly female nor wholly male; or

 

(iii)    neither female nor male.

 

(24)   “Intra-group schemes” means schemes approved by the Authority under section 41;

 

(25)   “Journalistic purpose” means any activity intended towards the dissemination through print, electronic or any other media of factual reports, analysis, opinions, views or documentaries regarding—

 

(i)      news, recent or current events; or

 

(ii)     any other  information  which  the  data  fiduciary believes  the  public,  or  any significantly discernible class of the public, to have an interest in;

 

(26)   “Notification”  means  a  notification  published  in  the  Official  Gazette  and  the  term

“notify” shall be construed accordingly;

 

(27)  “Official identifier” means any number, code, or other identifier, including Aadhaar number, assigned to a data principal under a law made by Parliament or any State Legislature  which  may  be  used  for  the  purpose  of  verifying  the  identity  of  a  data principal;

 

(28)   “Person”means—

 

(i)      an individual,

(ii)     a Hindu undivided family, (iii)   a company,

 

(iv)    a firm,

(v)     an association of persons or a body of individuals, whether incorporated or not, (vi)    the State, and

(vii)   every artificial juridical person, not falling within any of the preceding sub- clauses;

 

 

(29)  “Personal data”means data about or relating to a natural person who is directly or indirectly identifiable, having regard to any characteristic, trait, attribute or any other feature of the identity of such natural person, or any combination of such features, or any combination of such features with any other information;

 

(30)   “Personal data breach” means any unauthorised or accidental disclosure, acquisition, sharing, use, alteration, destruction, loss of access to, of personal data that compromises the confidentiality, integrity or availability of personal data to a data principal;

(31)   “Prescribed”means prescribed by rules made by the Central Government under this Act; (32)   “Processing”in  relation  to  personal  data,  means  an  operation  or  set  of  operations

performed   on   personal   data,   and   may   include   operations   such   as   collection,

recording,organisation,  structuring,   storage,   adaptation,   alteration,   retrieval,   use, alignment  or  combination,  indexing,  disclosure  by  transmission,  dissemination  or

otherwise making available, restriction, erasure or destruction;

 

(33)   “Profiling”means  any form of  processing of personal  data  that analyses  or predicts aspects concerning the behaviour, attributes or interest of a data principal;

 

(34)   “Re-identification”meansthe process by which a data fiduciary or data processor may reverse a process of de-identification;

 

(35)   “Sensitive Personal Data”means personal data revealing, related to, or constituting, as may be applicable—

 

(i)      passwords;

(ii)     financial data; (iii)          health data;

(iv)    official identifier; (v)      sex life;

(vi)    sexual orientation; (vii)   biometric data; (viii)  genetic data;

(ix)    transgender status; (x)     intersex status;

(xi)    caste or tribe;

 

(xii)   religiousor political belief or affiliation; or

(xiii)  any other category of data specified by the Authority under section 22.

 

 

(36)   “Significant data fiduciary”means a data fiduciary notified by the Authority under section 38;

 

(37)   “Significant harm”means harm that has an aggravated effect having regard to the nature of the personal data being processed,the impact, continuity, persistence or irreversibility of the harm;

 

(38)   “Specified” means specified by regulations made by the Authority under this Act and the

term “specify” shall be construed accordingly;

 

(39)   “State” shall, unless the context otherwise requires, have the same meaning assigned to itunder Article 12 of the Constitution;

 

(40)   “Systematic  activity”  means  any  structured  or  organised  activity  that  involves  an element of planning, method, continuity or persistence;

 

(41)   “Transgender status”means the condition of a data principal whose sense of gender does not match with the gender assigned to that data principal at birth, whether or not they have undergone sex reassignment surgery, hormone therapy, laser therapy, or any other similar medical procedure.

 

 

 

CHAPTER II

DATA PROTECTION OBLIGATIONS

 

 

  1. Fair and reasonable processing.—Any person processing personal data owes a duty to the data principal to process such personal data in a fair and reasonable manner that respects the privacy of the data principal.

 

 

  1. Purpose limitation.—

 

(1)     Personal data shall be processed only for purposes that are clear, specific and lawful.

 

(2)     Personal data shall be processed only for purposes specified or for any other incidental purpose that the data principal would reasonably expect the personal data to be used for, having regard to the specified purposes, and the context and circumstances in which the personal data was collected.

 

  1. Collection limitation.  —Collection  of  personal  data  shall  be  limited  to  such  data  that  is necessary for the purposes of processing.

 

 

  1. Lawful processing.—

 

(1)     Personal data shall be processed only on the basis of one or a combination of grounds of processing in Chapter III.

 

(2)     Sensitive personal data shall be processed only on the basis of one or a combination of grounds of processing in Chapter IV.

 

 

  1. Notice.—

 

(1)     Thedata fiduciary shall provide the data principal with the following information, no later than at the time of collection of the personal data or, if the data is not collected from the data principal, as soon as is reasonably practicable

 

(a)     the purposes for which the personal data is to be processed; (b)           the categories of personal data being collected;

(c)     the identity and contact details of the data fiduciary and the contact details of the

data protection officer, if applicable;

(d)     the right of the data principal to withdraw such consent, and the procedure for such withdrawal, if the personal data is intended to be processed on the basis of consent;

(e)     the basis for such processing, and the consequences of the failure to provide such

personal data, if the processing of the personal data is based on the grounds in section 12 to section 17, and section 18 to section 22;

(f)      the source of such collection, if the personal data is not collected from the data principal;

(g)     theindividuals or entities including other data fiduciaries or data processors, with

whom such personal data may be shared, if applicable;

(h)     information regarding any cross-border transfer of the personal data that the data fiduciary intends to carry out, if applicable;

(i)      the period for which the personal data will be retained in terms of section 10 or

where such period is not known, the criteria for determining such period;

(j)      the existence of and procedure for the exercise of data principal rights mentioned in

Chapter VI and any related contact details for the same; (k)     the procedure for grievance redressal under section 39;

(l)      the existence of a right to file complaints to the Authority;

(m)    where applicable, any rating in the form of a data trust score that may be assignedto the data fiduciary under section 35; and

(n)     any other information as may be specified by the Authority.

 

(2)     Thedata fiduciary shall provide the information as required under this section to the data principal in a clear and concise manner that is easily comprehensible to a reasonable person and in multiple languages where necessary and practicable.

 

(3)     Sub-section (1) shall not apply where the provision of notice under this section would substantially prejudice the purpose of processing of personal data under sections15or 21of this Act.

 

 

  1. Data quality.—

 

(1)     Thedata fiduciary shall take reasonable steps to ensure that personal data processed is complete, accurate, not misleading and updated, having regard to the purposes for which it is processed.

 

(2)     In considering whether any reasonable step is necessaryunder sub-section (1), the data fiduciary shall have regard to whether the personal data—

 

(a)     is likely to be used to make a decision about the data principal;

(b)     is  likely  to  be  disclosed  to  other  individuals  or  entities  including  other  data fiduciaries or processors; or

(c)     is kept in a form that distinguishes personal data based on facts from personal data based on opinions or personal assessments.

 

(3)    Where personal data is disclosed to other individuals or entities, including other data fiduciaries or processors, and the data fiduciary subsequently finds that such data does not comply with sub-section (1), the data fiduciary shall take reasonable steps to notify suchindividuals or entities of thisfact.

 

 

  1. Data storage limitation.—

 

(1)     Thedata fiduciary shall retain personal data only as long as may be reasonably necessary to satisfy the purpose for which it is processed.

 

(2)     Notwithstanding sub-section (1), personal data may be retained for a longer period of time if such retention is explicitly mandated, or necessary to comply with any obligation, under a law.

 

(3)     The data fiduciary must undertake periodic review in order to determine whether it is necessary to retain the personal data in its possession.

 

(4)     Where it is not necessary for personal data to be retained by the data fiduciary under sub- sections (1) and (2), then such personal data must be deleted in a manner as may be specified.

 

  1. Accountability.—

 

(1)     The data fiduciary shall be responsible for complying with all obligations set out in this

Act in respect of any processing undertaken by it or on its behalf.

 

(2)     The data fiduciary should be able to demonstrate that any processing undertaken by it or on its behalf is in accordance with the provisions of this Act.

 

 

 

CHAPTER III

GROUNDS FOR PROCESSING OF PERSONAL DATA

 

 

  1. Processing of personal data on the basis of consent.—

 

(1)     Personal data may be processed on the basis of the consent of the data principal, given no later than at the commencement of the processing.

 

(2)     For the consent of the data principal to be valid, it must be

 

(a)     free, having regard to whether it meets the standard under section 14 of the Indian

Contract Act, 1872 (9 of 1872);

(b)     informed, having regard to whether the data principal has been provided with the information required under section 8;

(c)     specific, having regard to whether the data principal can determine the scope of consent in respect of the purposes of processing;

(d)     clear, having regard to whether it is indicated through an affirmative action that is meaningful in a given context; and

(e)     capable of being withdrawn, having regard to whether the ease of such withdrawal

is comparable to the ease with which consent may be given.

 

 

(3)     The data fiduciary shall not make the provision of any goods or services or the quality thereof, the performance of any contract, or the enjoyment of any legal right or claim, conditional on consent to processing of any personal data not necessary for that purpose.

 

(4)     The data fiduciaryshall bear the burden of proof to establish that consent has been given by the data principal for processing of personal data in accordance with sub-section (2).

 

(5)    Where the data principal withdraws consent for the processing of any personal data necessary for the performance of a contract to which the data principal is a party, all legal consequences for the effects of such withdrawal shall be borne by the data principal.

 

  1. Processing of personal data for functions of the State. —

 

(1)     Personal data may be processed if such processing is necessary for any function of

Parliament or any State Legislature.

 

(2)     Personal data may be processed if such processing isnecessary forthe exercise of any function of the State authorised by law for:

 

(a)     the provision of any service or benefit to the data principal from the State; or

(b)     the issuance of any certification, license or permit for any action or activity of the data principal by the State.

 

 

  1. Processing of personal data in compliance with law or any order of any court or tribunal. —

 

Personal data may be processed if such processing is

 

(a)     explicitly mandated under any law made by Parliament or any State Legislature; or

(b)     for compliance with any order or judgment of any Court or Tribunal in India.

 

 

  1. Processing of personal data necessary for prompt action. —

 

Personal data may be processed if such processing is necessary

 

(a)     to respond to any medical emergency involving a threat to the life or a severe threat to the health of the data principal or any other individual;

(b)     to undertake any measure to provide medical treatment or health services to any individual during an epidemic, outbreak of disease or any other threat to public health; or

(c)     to undertake any measure to ensure safety of, or provide assistance or services to, any individual during any disaster or any breakdown of public order.

 

 

  1. Processing of personal data necessary for purposes related to employment. —

 

(1)     Personal data may be processed if such processing is necessary for

 

(a)     recruitmentor termination of employment of a data principal by the data fiduciary; (b)          provision of any service to, or benefit sought by,the data principal who is an

employee of the data fiduciary;

(c)     verifying the attendance of the data principal who is an employee of the data fiduciary; or

(d)     any  other  activity  relating  to  the  assessment  of  the  performance  of  the  data principal who is an employee of the data fiduciary.

 

(2)     Sub-section (1) shall apply only where processing on the basis of consent of the data principal is not appropriate having regard to the employment relationship between the

 

data fiduciary and the data principal, or would involve a disproportionate effort on the part of the data fiduciary due to the nature of the processing activities under this section.

 

 

  1. Processing of data for reasonable purposes. —

 

(1)     In addition to the grounds for processing contained in section12 to section 16, personal data may be processed if such processing is necessary for such reasonable purposes as may be specified after taking into consideration

 

(a)     the interest of the data fiduciary in processing for that purpose;

(b)     whether the data fiduciary can reasonably be expected to obtain the consent of the data principal;

(c)     any public interest in processing for that purpose;

(d)     the effect of the processing activity on the rights of the data principal; and

(e)     the reasonable expectations of the data principal having regard to the context of the processing.

 

(2)     For the purpose of sub-section (1), the Authority may specify reasonable purposes related to the following activities, including

 

(a)     prevention and detection of any unlawful activity including fraud; (b)          whistle blowing;

(c)     mergers and acquisitions;

(d)     network and information security; (e)   credit scoring;

(f)      recovery of debt;

(g)     processing of publicly available personal data;

 

 

(3)     Where the Authority specifies a reasonable purpose under sub-section (1), it shall:

 

(a)     lay down such safeguards as may be appropriate to ensure the protection of the rights of data principals; and

(b)     determine where the provision of notice under section 8 would not apply having regard to whether such provision would substantially prejudice the relevant reasonable purpose.

 

 

 

CHAPTER IV

GROUNDS FOR PROCESSING OF SENSITIVE PERSONAL DATA

 

 

  1. Processing of sensitive personal data based on explicit consent. —

 

(1)     Sensitive personal data may be processed on the basis of explicit consent.

 

(2)     For the purposes of sub-section (1), consent shall be considered explicit only if it isvalid as per section 12 and is additionally:

 

(a)     informed, having regard to whether the attention of the data principal has been drawn to purposes ofor operations in processing that may have significant consequences for the data principal;

(b)     clear, having regard to whether it is meaningful without recourse to inference from conduct in a context; and

(c)     specific,  having  regard  to  whether  the  data  principal  is  given  the  choice  of

separately consenting to the purposes of, operations in, and the use of different categories of sensitive personal data relevant to processing.

 

 

  1. Processing of sensitive personal data for certain functions of the State. —

Sensitive personal data may be processed if such processing is strictly necessary for: (a)     any function of Parliament or any State Legislature.

(b)     the exercise of any function of the State authorised by law forthe provision of any

service or benefit to the data principal.

 

 

  1. Processing of sensitive personal data in compliance with law or any order of any court or tribunal. —

 

Sensitive personal data may be processed if such processing is

 

(a)     explicitly mandated under any law made by Parliament or any State Legislature; or

(b)     necessaryfor compliance with any order or judgment of any Court or Tribunal in

India.

 

 

  1. Processing of certain categories of sensitive personal data for prompt action. —

 

Passwords,financial data, health data, official identifiers, genetic data, and biometric data may be processed where such processing is strictly necessary

 

 

(a)     to respond to any medical emergency involving a threat to the life or a severe threat to the health of the data principal;

(b)     to undertake any measure to provide medical treatment or health services to any

individual during an epidemic, outbreak of disease or any other threat to public health; or

(c)     to undertake any measure to ensure safety of, or provide assistance or services to, any individual during any disaster or any breakdown of public order.

 

  1. Further categories of sensitive personal data.—

 

(1)     Such further categories of personal data as may be specified by the Authority shall be sensitive personal data and, where such categories of personal data have been specified, the Authority may also specify any further grounds on which such specified categories of personal data may be processed.

 

(2)     The Authority shall specify categories of personal data under sub-section (1) having regard to

 

(a)     theriskof  significant  harm  that  may  be  caused  to  the  data  principal  by  the processing of such category of personal data;

(b)     the expectation of confidentiality attached to such category of personal data;

(c)     whether a significantly discernible class of data principals may suffer significant harm from the processing of such category of personal data; and

(d)     the adequacy of protection afforded by ordinary provisions applicable to personal data.

 

(3)    The Authority may also specify categories of personal data, which require additional safeguards or restrictions where repeated, continuous or systematic collection for the purposes of profiling takes place and, where such categories of personal data have been specified, the Authority may also specify such additional safeguards or restrictions applicable to such processing.

 

 

 

CHAPTER V

PERSONAL AND SENSITIVE PERSONAL DATA OF CHILDREN

 

 

  1. Processing of personal data and sensitive personal data of children. —

 

(1)     Every data fiduciary shall process personal data of children in a manner that protects and advances the rights and best interests of the child.

 

(2)     Appropriate mechanisms for age verification and parental consent shall be incorporated by data fiduciaries in order to process personal data of children.

 

(3)     Appropriateness of an age verification mechanism incorporated by a data fiduciary shall be determined on the basis of—

 

(a)     volume of personal data processed;

(b)     proportion of such personal data likely to be that of children;

(c)     possibility of harm to children arising out of processing of personal data; and

(d)     such other factors as may be specified by the Authority.

 

(4)     The Authority shall notify the following as guardian data fiduciaries—

 

 

(a)     data fiduciaries who operate commercial websites or online services directed at children; or

(b)     data fiduciaries who process large volumes of personal data of children.

 

 

(5)     Guardian  data  fiduciaries  shall  be  barred  from  profiling,  tracking,  or  behavioural monitoring of, or targeted advertising directed at, children and undertaking any other processing of personal data that can cause significant harm to the child.

 

(6)     Sub-section (5) may apply in such modified form, to data fiduciaries offering counseling or child protection services to a child, as the Authority may specify.

 

(7)    Where a guardian data fiduciary notified under sub-section (4)exclusively provides counseling or child protection services to a child, as under sub-section (6), then such guardian data fiduciary will not be required to obtain parental consent as set out under sub-section (2).

 

 

 

CHAPTER VI

DATA PRINCIPAL RIGHTS

 

 

  1. Right to confirmation and access. —

 

(1)     The data principal shall have the right to obtain from the data fiduciary

 

(a)     confirmation whether the data fiduciary is processing or has processed personal data of the data principal;

(b)     a brief summary ofthe personal data of the data principal being processed or that has been processed by the data fiduciary;

(c)     abrief  summary of  processing activities  undertaken by the  data fiduciary  with

respect  to  the  personal  data  of  the  data  principal,  including  any  information provided in the notice under section 8 in relation to such processing activities.

 

(2)     The data fiduciary shall provide the information as required under this section to the data principal in a clear and concise manner that is easily comprehensible to a reasonable person.

 

 

  1. Right to correction, etc.—

 

(1)     Where  necessary,  having  regard  to  the  purposes  for  which  personal  data  is  being processed, the data principal shall have the right to obtain from the data fiduciary processing personal data of the data principal

 

(a)     the correction of inaccurate or misleading personal data; (b)    the completion of incomplete personal data; and

(c)     the updating of personal data that is out of date.

 

 

(2)     Where the data fiduciary receives a request under sub-section (1), and the data fiduciary does not agree with the need for such correction, completion or updatinghaving regard to the purposes of processing, the data fiduciary shall provide the data principal with adequate justificationin writing for rejecting the application.

 

(3)     Where  the  data  principal  is  not  satisfied  with  thejustification  provided  by  the  data fiduciary under sub-section (2), the data principalmay require that the data fiduciary take reasonable steps to indicate,alongside the relevant personal data, that the same is disputed by the data principal.

 

(4)     Where the data fiduciary corrects, completes, or updates personal data in accordance with sub-section (1), the data fiduciary shall also take reasonable steps to notify all relevant entities or individuals to whom such personal data may have been disclosed regarding the relevant correction, completion or updating, particularly where such action would have an impact on the rights and interests of the data principal or on decisions made regarding them.

 

 

  1. Right to Data Portability. —

 

(1)     The data principal shall have the right to—

 

(a)     receivethe following personal data related to the data principal in a structured, commonly used and machine-readable format—

 

(i)      whichsuch data principal has provided to the data fiduciary;

(ii)     which has been generated in the course of provision of services or use of goods by the data fiduciary;or

(iii)    which forms part of any profile on the data principal, or which the data

fiduciaryhas otherwise obtained.

 

(b)     have  the  personal  data  referred  to  in  clause  (a)  transferred  to  any  other  data fiduciary in the format referred to in that clause.

 

(2)    Sub-section (1) shall only apply where the processing has been carried out through automated means, and shall not apply where—

 

(a)     processing is necessary for functions of the State undersection 13; (b)          processing is in compliance of law as referred to in section 14; or

(c)     compliance with the request in sub-section (1) would reveal a trade secret of any data fiduciaryor would not be technically feasible.

 

  1. Right to Be Forgotten. —

 

(1)     The data principal shall have the right to restrict or prevent continuing disclosure of personal data by a data fiduciaryrelated to the data principalwhere such disclosure

 

(a)     has served the purpose for which it was made or is no longer necessary;

(b)     was made on the basis of consent under section 12 and such consent has since been withdrawn;or

(c)     was  made  contrary  to  the  provisions  of  this  Act  or  any  other  law  made  by

Parliament or any State Legislature.

 

(2)     Sub-section  (1)  shall   only  apply  where  the   Adjudicating  Officer  under  section

68determines the applicability of clause (a), (b) or (c) of sub-section (1) and that the rights  and  interests  of  the  data  principal  in  preventing  or  restricting  the  continued

disclosure of personal data override the right to freedom of speech and expression and the

right to information of any citizen.

 

(3)     In determining whether the condition in sub-section (2) is satisfied, the Adjudicating

Officer shall have regard to

 

(a)     the sensitivity of the personal data;

(b)    the scale of disclosure and the degree of accessibility sought to be restricted or prevented;

(c)     the role of the data principal in public life;

(d)     the relevance of the personal data to the public; and

(e)     the nature of the disclosure and of the activities of the data fiduciary, particularly whether the data fiduciarysystematically facilitates access to personal data and whether the activities would be significantly impeded if disclosures of the relevant nature were to be restricted or prevented.

 

(4)     The right under sub-section (1) shall be exercised by filing an application in such form and manner as may be prescribed.

 

(5)     Where any person finds that personal data, the disclosure of which has been restricted or prevented by an order of the Adjudicating Officerunder sub-section (2) does not satisfy the conditions referred to in that sub-section any longer, they may apply for the review of that order to the Adjudicating Officer in such manner as may be prescribed, and such Adjudicating Officer shall review her order on the basis of the considerations referred to in sub-section (3).

 

 

  1. General conditions for the exercise of rights in this Chapter. —

 

(1)     The exercise of any right under this Chapter, except the right undersection 27,shall only be on the basis of a request made in writing to the data fiduciarywith reasonable information to satisfy the data fiduciaryof the identity of the data principal making the request and the data fiduciary shall acknowledge receipt of such request within such period of time as may be specified.

 

 

(2)     Thedata fiduciary may chargea reasonable fee to be paid for complying with requests made under this Chapter, except for requestsmade under clauses (a) and (b) of sub-section (1) ofsection 24 and section 25 which shall be complied with by the  data fiduciary without charging any fee.

 

(3)     The Authority may specify a reasonable time period within which the data fiduciaryshall comply with the requests under this Chapter, and such time period shall be communicated to the data principal along with the acknowledgement referred to in sub-section (1).

 

(4)     Where any request made under this Chapter is refused by the data fiduciary, it shall provide the data principal making such request with adequate reasons for suchrefusal as per the provisions of this Chapter in writing,and shall inform the data principal regarding the right to file a complaint with the Authority against the refusal within such period and in such manner as may be specified.

 

(5)     The data fiduciary is not obliged to comply with any request made under this Chapter where such compliance would harm the rights of any other data principal under this Act.

 

(6)     The manner of exercise of rights under this Chapter shall be in such form as may be provided by law or in the absence of such law, in a reasonable format to be followed by each data fiduciary.

 

 

 

CHAPTER VII

TRANSPARENCY AND ACCOUNTABILITY MEASURES

 

 

  1. Privacy by Design. —

 

Every data fiduciary shall implement policies and measures to ensure that—

 

 

(a)     managerial, organisational, business practices and technical systems are designed in a manner to anticipate, identify and avoid harm to the data principal;

(b)    theobligations mentioned in Chapter II are embedded in organisational and business practices;

(c)     technology used in the processing of personal data is in accordance with commercially accepted or certified standards;

(d)   legitimate interests of businesses including any innovation is achieved without compromising privacy interests;

(e)     privacy is protected throughout processing from the point of collection to deletion of personal data;

(f)     processing of personal data is carried out in a transparent manner; and

(g)     the interest of the data principal is accounted for at every stage of processing of personal data.

 

  1. Transparency. —

 

(1)     The data fiduciary shall take reasonable steps to maintain transparency regarding its general practices related to processing personal data and shall make the following information available in an easily accessible form as may be specified—

 

(a)     the  categories  of  personal  data  generally  collected  and  the  manner  of  such collection;

(b)     the purposes for which personal data is generally processed;

(c)     any  categories  of  personal  data  processed  in  exceptional  situations  or  any exceptional purposes of processing that create a risk of significant harm;

(d)     the existence of and procedure for the exercise of data principal rights mentioned in

Chapter VI, and any related contact details for the same; (e)    the existence of a right to file complaints to the Authority;

(f)      where applicable, any rating in the form of a data trust score that may be accorded to the data fiduciary under section 35;

(g)     where applicable, information regarding cross-border transfers of personal data that

the data fiduciary generally carries out;and

(h)     any other information as may be specified by the Authority.

 

 

(2)     The data fiduciary shall notify the data principal of important operations in the processing of personal data related to the data principal through periodic notifications in such manner as may be specified.

 

 

  1. Security Safeguards.—

 

(1)     Having regard to the nature, scope and purpose of processing personal data undertaken, the risks associated with such processing, and the likelihood and severity of the harm that may result from such processing, the data fiduciaryand the data processor shall implement appropriate security safeguards including—

 

(a)     use of methods such as de-identification and encryption;

(b)     steps necessary to protect the integrity of personal data; and

(c)     steps necessary to prevent misuse, unauthorised access to, modification, disclosure or destruction of personal data.

 

(2)     Every data fiduciary and data processor shall undertake a review of its security safeguards periodicallyas may be specified and may take appropriate measures accordingly.

 

 

  1. Personal Data Breach.—

 

(1)     The data fiduciary shall notify the Authority of any personal data breach relating to any personal data processed by the data fiduciarywhere such breach is likely to causeharm to any data principal.

 

(2)     The notification referred to in sub-section (1) shall include the following particulars

 

(a)     nature of personal data which is the subject matter of the breach; (b)   number of data principals affected by the breach;

(c)     possible consequences of the breach; and

(d)     measures being taken by the data fiduciary to remedy the breach.

 

 

(3)     The notification referred to in sub-section (1) shall be made by the data fiduciary to the Authority  as  soon  as  possible  and  not  later  than  the  time  period  specified  by  the Authority, following the breach after accounting for any time that may be required to adopt any urgent measures to remedy the breach or mitigate any immediate harm.

 

(4)     Where it is not possible to provide all the information as set out in sub-section (2) at the same time, the data fiduciary shall provide such information to the Authority in phases without undue delay.

 

(5)     Upon receipt of notification, the Authority shall determine whether such breach should be reported by the data fiduciary to the data principal, taking into account the severity of the harm that may be caused to such data principal or whether some action is required on the part of the data principal to mitigate such harm.

 

(6)     The Authority, may in addition to requiring the data fiduciary to report the personal data breach to the data principal under sub-section (5), direct the data fiduciary to take appropriate remedial action as soon as possible andto conspicuously post the details of the personal data breach on its website.

 

(7)     The Authority may, in addition, also post the details of the personal data breach on its own website.

 

 

  1. Data Protection Impact Assessment. —

 

(1)     Where the data fiduciary intends to undertake any processing involving new technologies or large scale profiling or use of sensitive personal data such as genetic data or biometric data, or any other processing which carries a risk of significant harm to data principals, such processing shall not be commenced unless the data fiduciary has undertaken a data protection impact assessment in accordance with the provisions of this section.

 

(2)     The  Authority  may,  in  addition,  specify  those  circumstances,  or  classes  of  data fiduciaries, or processing operations where such data protection impact assessment shall be mandatory, and may also specify those instances where a data auditor under this Act shall be engaged by the data fiduciary to undertake a data protection impact assessment.

 

(3)     A data protection impact assessment shall contain, at a minimum

 

(a)     detailed  description  of  the  proposed  processing  operation,  the  purpose  of processing and the nature of personal data being processed;

 

 

    (b)     assessment of the potential harm that may be caused to the data principals whose personal data is proposed to be processed; and

(c)     measures for managing, minimising, mitigating or removing such risk of harm.

 

(4)

 

Upon completion of the data protection impact assessment, the data protection officer shall review the assessment prepared and shall submit the same to the Authorityin such manner as may be specified.

 

(5)

 

On receipt of the assessment, if the Authority has reason to believe that the processing is likely to cause harm to the data principals, the Authority may direct the data fiduciary to cease such processingor direct that such processing shall be subject to such conditions as may be issued by the Authority.

 

34.

 

Recor

 

d-Keeping. —

   

(1)

 

The data fiduciary shall maintain accurate and up-to-date records of the following

     

(a)     important  operations  in  the  data  life-cycle  including  collection,  transfers,  and

    erasure of personal data to demonstrate compliance as required under section 11;
    (b)     periodic review of security safeguards under section 31;
    (c)     dataprotection impact assessments under section 33; and
    (d)     any other aspect of processing as may be specified by the Authority.
   

(2)

 

The records in sub-section (1) shall be maintained in such form as specified by the

Authority.

   

(3)

 

Notwithstanding anything contained in this Act, this section shall apply to the Central or State Government, departments of the Central and State Government, and any agency instrumentality or authority which is “the State” under Article 12 of the Constitution.

 

  1. Data Audits. —

 

(1)     The data fiduciary shall have its policies and the conduct of its processing of personal data audited annually by an independent data auditor under this Act.

 

(2)     The data auditor will evaluate the compliance of the data fiduciary with the provisions of this Act, including

 

(a)     clarity and effectiveness of notices under section 8; (b)           effectiveness of measures adopted under section 29;

(c)     transparency in relation to processing activities under section 30; (d)  security safeguards adopted pursuant to section 31;

(e)     instances of personal data breach and response of the data fiduciary, including the

promptness of notification to the Authority under section 32; and

(f)     any other matter as may be specified.

 

 

(3)     The Authority shall specify the form, manner and procedure for conducting audits under this section including any civil penalties on data auditors for negligence.

 

(4)     The Authority shall register persons with expertise in the area of information technology, computer systems, data science, data protection or privacy, with such qualifications, experience and eligibility having regard to factors such as independence, integrity and ability, as it may specify, as data auditors under this Act.

 

(5)     A data auditor may assign a rating in the form of a data trust score to the data fiduciary pursuant to a data audit conducted under this section.

 

(6)     The Authority shall specify the criteria for assigning a rating in the form of a data trust score having regard to the factors mentioned in sub-section (2).

 

(7)     Notwithstanding sub-section (1) where the Authority is of the view that the data fiduciary is processing personal data in a manner that is likely to cause harm to a data principal, the Authority may order the data fiduciary to conduct an audit and shall appoint a data auditor for that purpose.

 

 

  1. Data Protection Officer. —

 

(1)     The data fiduciary shall appoint a data protection officer for carrying out the following functions

 

(a)     providing  information  and  advice  to  the  data  fiduciary  on  matters  relating  to fulfilling its obligations under this Act;

(b)     monitoring personal data processing activities of the data fiduciary to ensure that such processing does not violate the provisions of this Act;

(c)     providing advice to the data fiduciary where required on the manner in which data protection impact assessments must be carried out, and carry out the review of such assessment as under sub-section (4) of section 33;

(d)     providing advice to the data fiduciary, where required on the manner in which internal mechanisms may be developed in order to satisfy the principles set out under section 29;

(e)     providing  assistance  to  and  cooperating  with  the  Authority  on  matters  of compliance of the data fiduciary with provisions under this Act;

(f)      act  as  the  point  of  contact  for  the  data  principal  for  the  purpose  of  raising grievances to the data fiduciary pursuant to section 39 of this Act; and

(g)     maintaining an inventory of all records maintained by the data fiduciary pursuant to

section 34.

 

 

(2)     Nothing shall prevent the data fiduciary from assigning any other function to the data protection officer, which it may consider necessary, in addition to the functions provided in sub-section (1) above.

 

(3)     The data protection officer shall meet the eligibility and qualification requirements to carry out its functions under sub-section (1) as may be specified.

 

(4)     Where any data fiduciary not present within the territory of India carries on processing to which the Act applies under section 2(2), and the data fiduciary is required to appoint a data protection officer under this Act, the data fiduciary shall appoint such officer who shall be basedin India and shall represent the data fiduciary in compliance of obligations under this Act.

 

 

  1. Processing by entities other than data fiduciaries. —

 

(1)    The data fiduciary shall only engage, appoint, use or involve a data processor to processpersonal data on its behalf through avalid contract.

 

(2)     The data processor referred to in sub-section (1) shall not further engage, appoint, use, or involve another data processor in the relevant processing on its behalf except with the authorisation of the data fiduciary, unless permitted through the contract referred to in sub-section (1).

 

(3)     The data processor, and any employee of the data fiduciary or the data processor, shall only process personal data in accordance with the instructions of the data fiduciary unless they are required to do otherwise under law and shall treat any personal data that comes within their knowledge as confidential.

 

 

  1. Classification of data fiduciaries as significant data fiduciaries. —

 

 

 

(1)     The Authority shall, having regard to the following factors, notify certain data fiduciaries or classes of data fiduciaries as significant data fiduciaries

 

(a)     volume of personal data processed;

(b)     sensitivity of personal data processed; (c)         turnover of the data fiduciary;

(d)     risk of harm resulting from any processing or any kind of processing undertaken by the fiduciary;

(e)     use of new technologies for processing; and

(f)      any other factor relevant in causing harm to any data principal as a consequence of such processing.

 

(2)    The notification of a data fiduciary or classes of data fiduciaries as significant data fiduciaries by the Authority under sub-section (1) shall require such data fiduciary or class of data fiduciaries to register with the Authority in such manner as may be specified.

 

(3)     All or any ofthe following obligations in this Chapter, as determined by the Authority, shall apply only to significant data fiduciaries—

 

(a)     data protection impact assessments under section 33; (b)         record-keeping under section 34;

(c)     data audits under section 35; and

(d)     data protection officer under section 36.

 

 

(4)     Notwithstanding sub-section (3), the Authority may notify the application of all or any of the obligations in sub-section (3) to such data fiduciary or class of data fiduciaries, not being a significant data fiduciary, if it is of the view that any processing activity undertaken by such data fiduciary or class of data fiduciaries carries a risk of significant harm to data principals.

 

 

  1. Grievance Redressal. —

 

(1)     Every data fiduciary shall have in place proper procedures and effective mechanisms to address grievances of data principals efficiently and in a speedy manner.

 

(2)     A data principal may raise a grievance in case of a violation of any of the provisions of this Act, or rules prescribed, or regulations specified thereunder, which has caused or is likely to cause harm to such data principal, to

 

(a)     the data protection officer, in case of a significant data fiduciary; or

(b)     an officer designated for this purpose, in case of any other data fiduciary.

 

 

(3)     A grievance raised under sub-section (2) shall be resolved by the data fiduciary in an expeditious manner and no later than thirty days from the date of receipt of grievance by such data fiduciary.

 

(4)     Where,  a  grievance  under  sub-section  (2)  is  not  resolved  within  the  time  period mentioned under sub-section (3), or where the data principal is not satisfied with the manner in which the grievance is resolved, or the data fiduciary has rejected the grievance raised, the data principal shall have the right to file a complaint with the adjudication wing under section 68 of the Act in the manner prescribed.

 

(5)     Any person aggrieved by an order made under this section by an Adjudicating Officerin accordance with the procedure prescribed in this regard, may prefer an appeal to the Appellate Tribunal.

 

 

 

CHAPTER VIII

TRANSFER OF PERSONAL DATA OUTSIDE INDIA

 

 

  1. Restrictions on Cross-Border Transfer of Personal Data. —

 

(1)     Every data fiduciary shall ensure the storage, on a server or data centre located in India, of at least one serving copy of personal data to which this Act applies.

 

(2)     The Central Government shall notify categories of personal data as critical personal data that shall only be processed in a server or data centre located in India.

 

(3)     Notwithstanding anything contained in sub-section (1), the Central Government may notify certain categories of personal data as exempt from the requirement under sub- section (1) on the grounds of necessity or strategic interests of the State.

 

(4)     Nothing contained in sub-section (3) shall apply to sensitive personal data.

 

 

  1. Conditions for Cross-Border Transfer of Personal Data. —

 

(1)     Personal data other than those categories of sensitive personal data notified under sub- section (2) of section 40 may be transferred outside the territory of Indiawhere

 

(a)     the transfer is made subject to standard contractual clauses or intra-group schemes that have been approved by the Authority; or

(b)     the Central Government, after consultation with the Authority, has prescribed that transfers to a particular country, or to a sector within a country or to a particular international organisation is permissible; or

(c)     the Authority approves a particular transfer or set of transfers as permissible due to a situation of necessity; or

(d)     in addition to clause (a) or (b) being satisfied, the data principal has consented to such transfer of personal data; or

(e)     in addition to clause (a) or (b) being satisfied, the data principal has explicitly consented to such transfer of sensitive personal data, which does not include the categories of sensitive personal data notified under sub-section (2) of section 40.

 

(2)     The Central Government may only prescribe the permissibility of transfers under clause (b) of sub-section (1) where it finds that the relevant personal data shall be subject to an adequate level of protection, having regard to the applicable laws and international agreements, and the effectiveness of the enforcement by authorities with appropriate jurisdiction, and shall monitor the circumstances applicable to such data in order to review decisions made under this sub-section.

 

(3)     Notwithstanding sub-section (2) of Section 40,sensitive personal data notified by the

Central Government may betransferred outside the territory of India

 

(a)    to a particular person or entity engaged in the provision of health services or emergency services where such transfer is strictly necessary for prompt action under section 16; and

(b)    to a particular country, a prescribed sector within a country or to a particular international organisation that has beenprescribed under clause (b) of sub-section (1),  wherethe  Central  Government  is  satisfied  that  such  transfer  or  class  of

 

transfersis necessary for any class of data fiduciaries or data principals anddoesnot hamper the effective enforcement of this Act.

 

(4)     Any transfer under clause (a) ofsub-section (3) shall be notified to the Authority within such time period as may be prescribed.

 

(5)     The Authority may only approve standard contractual clauses or intra-group schemes under clause (a) of sub-section (1) where such clauses or schemes effectively protect the rights of data principals under this Act, including in relation with further transfers from the transferees of personal data under this sub-section to any other person or entity.

 

(6)     Where a data fiduciary seeks to transfer personal data subject to standard contractual clauses or intra-group schemes under clause (a) of sub-section (1), it shall certify and periodically report to the Authority as may be specified, that the transfer is made under a contract that adheres to such standard contractual clauses or intra-group schemes and that it  shall  bear  any  liability  for  the  harm caused  due  to  any  non-compliance with  the standard contractual clauses or intra-group schemes by the transferee.

 

 

 

CHAPTER IX

EXEMPTIONS

 

 

  1. Security of the State.—

 

(1)     Processing of personal data in the interests of the security of the State shall not be permitted unless it is authorised pursuant to a law,andis in accordance with the procedure established by such law, made by Parliament and is necessary for, and proportionate to, such interests being achieved.

 

(2)     Any processing authorised by a lawreferred to in sub-section (1) shall be exempted from the following provisions of the Act

 

(a)     Chapter II, except section 4; (b)          Chapter III;

(c)     Chapter IV; (d)  Chapter V; (e)     Chapter VI;

(f)      Chapter VII, except section 31; and

(g)     Chapter VIII.

 

 

  1. Prevention, detection, investigation and prosecution of contraventions of law.—

 

(1)    Processing of personal data in the interests of prevention, detection,investigation and prosecution of any offence or any other contravention of law shall not be permitted unless

 

it is authorised by a law made by Parliament and State Legislatureand is necessary for, and proportionate to, such interests being achieved.

 

(2)     Any processing authorised by law referred to in sub-section (1) shall be exempted from the following provisions of the Act

(a)     Chapter II, except section 4; (b)          Chapter III;

(c)     Chapter IV; (d)  Chapter V; (e)     Chapter VI;

(f)      Chapter VII except section 31; and

(g)     Chapter VIII.

 

 

(3)     Sub-section (1) shall apply in relation to processing of personal data of a data principal who is a victim, witness, or any person with information about the relevant offence or contravention only if processing in compliance with the provisions of this law would be prejudicial to the prevention, detection, investigation or prosecution of any offence or other contravention of law.

(4)     Personal data processed under sub-section (1) shall not be retained once the purpose of prevention, detection, investigation or prosecution of any offence or other contravention of law is complete except where such personal data is necessary for the maintenance of any record or database which constitutes a proportionate measure to prevent, detect or investigate or prosecute any offence or class of offences in future.

 

 

  1. Processing for the purpose of legal proceedings.—

 

(1)    Where disclosure of personal data is necessary for enforcing any legal right or claim, seeking any relief, defending any charge,opposing any claim, or obtaining any legal advice from an advocate in any impending legal proceeding such processing shall be exempted from the following provisions of this Act—

 

(a)     Chapter II, except section 4; (b)          Chapter III;

(c)     Chapter IV; (d)  Chapter V;

(e)     Chapter VI; and

(f)      Chapter VII, except section 31.

 

 

(2)     Where processing of personal data by any Court or Tribunal in India is necessary for the exercise of any judicial function, such processing shall be exempted from the following provisions of this Act—

 

(a)     Chapter II, except section 4; (b)          Chapter III;

(c)     Chapter IV; (d)  Chapter V;

(e)     Chapter VI; and

(f)      Chapter VII, except section 31.

 

 

  1. Research, archiving or statisticalpurposes. —

 

(1)    Where processing of personal data is necessary for research, archiving, or statistical purposes, such processing may be exempted from such provisions of this Act as the Authority may specify except section 4, section 31 and section 33.

 

(2)    For the purpose of sub-section (1), the Authority may exempt different categories of research, archiving, or statistical purposes from different provisions of the Act.

 

(3)     Sub-section (1) shall apply only where

 

(a)     compliance with the provisions of this Act will disproportionately divert resources from the purpose referred to in sub-section (1);

(b)     the purposes of processing cannot be achieved if the personal data is anonymised; (c)            the data fiduciary has carried out de-identification meeting the standard contained

in any code of practice under section 61, where the purpose of processing can be achieved if the personal data is in a de-identified form;

(d)     personal data will not be used to take any decision specific to or action directed specifically towards the data principal; and

(e)     personal  data  will  not  be  processed  in  a  manner  that  gives  rise  to  a  risk  of

significant harm to the data principal.

 

 

 

  1. Personal or domestic purposes. —

 

(1)     Personal data processed by a natural person in the course of a purely personal or domestic purpose, shall be exempted from the following provisions of this Act

 

(a)     Chapter II, except section 4; (b)          Chapter III;

(c)     Chapter IV; (d)  Chapter V; (e)     Chapter VI;

(f)      Chapter VII; and

(g)     Chapter VIII.

 

(2)     Sub-section (1) shall not apply where the relevant processing

 

(a)     involvesdisclosure to the public; or

(b)     is undertaken in connection with any professional or commercial activity.

 

 

  1. Journalistic purposes.—

 

(1)     Where  the  processing of  personal  data  is  necessary for  or  relevant  to  a journalistic purpose, the following provisions of the Act shall not apply

 

(a)     Chapter II, except section 4; (b)          Chapter III;

(c)     Chapter IV; (d)  Chapter V; (e)     Chapter VI;

(f)      Chapter VII except section 31; and

(g)     Chapter VIII.

 

 

(2)     Sub-section (1) shall apply only where itcan be demonstrated that the processing is in compliance with any code of ethics issued by

 

(a)     the Press Council of India, or

(b)     any media self-regulatory organisation

 

 

  1. Manual processing by small entities.—

 

(1)     Subject to any law for the time being in force, where personal data is processed through means other than automated means by a small entity, the following provisions of the Act shall not apply

 

(a)     Sections 8, 9 and 10 in Chapter II;

(b)     Clause (c) of sub-section (1) of section 24, and sections 26 and 27 in Chapter VI;

and

(c)     Section 29 to section 36, and sections 38 and 39 in Chapter VII.

 

(2)     For the purposes of sub-section (1), a small entity shall be any data fiduciary which

 

(a)     did not have a turnover of more than twenty lakh rupees or such other lower amount as may be prescribed by the Central Government in the preceding financial year;

(b)     does not collect personal data for the purpose of disclosure to any other individuals or entities, including other data fiduciaries or processors; and

(c)     did not process personal data of more than one hundred data principals in any one day in the preceding twelve calendar months.

 

Explanation:  For  the  purpose  of  sub-section  (2),  “turnover”  means  the  gross  amount  of  revenue recognised in the profit and loss account or any other equivalent statement, as applicable, from the sale, supply or distribution of goods or services or on account of services rendered, or both, by the data fiduciary in the preceding financial year.

 

 

 

CHAPTER X

DATA PROTECTION AUTHORITY OF INDIA

 

 

  1. Establishment and incorporation of Authority.—

 

(1)     The Central Government shall, by notification, establish for the purposes of this Act, an

Authority to be called the Data Protection Authority of India.

 

(2)     The  Authority  shall  be  a  body  corporate  by  the  name  aforesaid,  having  perpetual succession and a common seal, with power, subject to the provisions of this Act, to acquire, hold and dispose of property, both movable and immovable, and to contract and shall, by the said name, sue or be sued.

 

(3)     The head office of the Authority shall be at such place as may be prescribed.

 

(4)     The Authority may, with the prior approval of the Central Government, establish its offices at other places in India.

 

 

  1. Composition and qualifications for appointment of members.—

 

(1)     The Authority shall consist of a chairpersonand sixwhole-time members.

 

(2)     The chairperson and the members of the Authority shall be appointed by the Central

Government on the recommendation made by a selection committee consisting of

 

(a)     the Chief Justice of India or a judge of the Supreme Court of India nominated by the Chief Justice of India, who shall be the chairperson of the selection committee;

(b)     theCabinet Secretary; and

(c)     oneexpert of repute as mentioned in sub-section (6), to be nominated by the Chief

Justice of India or a judge of the Supreme Court of India nominated by the Chief

Justice of India,in consultation with the Cabinet Secretary.

 

(3)     The procedure to be followed by the selection committee for recommending the names under sub-section (2) shall be such as may be prescribed.

 

(4)     The chairperson and the members of the Authority shall be persons of ability, integrity and standing, and must have specialised knowledge of, and not less than ten years professional experience in the field of data protection, information technology, data management, data science, data security, cyber and internet laws, and related subjects.

 

(5)     A vacancy caused to the office of the chairperson or any other member shall be filled up within a period of three months from the date on which such vacancy occurs.

 

(6)     The Central Government shall maintain a list of at least five experts who have specialised knowledge of, and professional experience in the field of data protection, information technology, data management, data science, cyber and internet laws, and related subjects.

 

 

  1. Terms and conditions of appointment.—

 

(1)     The chairperson and the members shall be appointed for a term of five years or till they attain the age of sixty-five years, whichever is earlier, and they shall not be eligible for re- appointment.

 

(2)     The salaries and allowances payable to, and other terms and conditions of service of the chairperson and the members shall be such as may be prescribed and shall not be varied to their disadvantage during their term.

 

(3)     The chairperson and the members shall not, during their term and for a period of two years from the date on which they cease to hold office, accept

 

(a)     any  employment  either  under  the  Central  Government  or  under  any  State

Government; or

(b)     any appointment, in any capacity whatsoever, with a significant data fiduciary.

 

(4)     Notwithstanding anything contained in sub-section (1), the chairperson or a member may

 

(a)     relinquish his office by giving in writing to the Central Government a notice of not less than three months; or

(b)     be removed from his office in accordance with the provisions of this Act.

 

 

  1. Removal of members.—

 

 

(1)     The Central Government may remove from office, the chairperson or any member who

 

(a)     has been adjudged an insolvent;

(b)     has become physically or mentally incapable of acting as a chairperson or member; (c)          has been convicted of an offence, which in the opinion of the Central Government,

involves moral turpitude;

(d)     has so abused her position as to render her continuation in office detrimental to the public interest; or

(e)     has acquired such financial or other interest as is likely to affect prejudicially her

functions as a chairperson or a member.

 

(2)     No chairperson or any member shall be removed under clause (d) or (e) of sub-section (1)

unless she has been given a reasonable opportunity of being heard.

 

  1. Powers of the chairperson.—

 

The chairperson shall have powers of general superintendence and direction of the affairs of the Authority and shall also exercise all powers and do all such acts and things which may be exercised or done by the Authority under the Act.

 

 

  1. Meetings of the Authority.—

 

(1)     The chairperson and members of the Authority shall meet at such times and places and shall  observe  such  rules  and  procedures  in  regard  to  transaction  of  business  at  its meetings including quorum at such meetings, as may be prescribed.

 

(2)     If, for any reason, the chairperson is unable to attend any meeting of the Authority, any other member chosen by the members present at the meeting, shall preside at the meeting.

 

(3)     All questions which come up before any meeting of the Authority shall be decided by a majority of votes of the members present and voting, and in the event of an equality of votes, the chairperson or in her absence, the member presiding, shall have a casting or a second vote.

 

(4)     Any member who has any direct or indirect pecuniary interest in any matter coming up for consideration at a meeting of the Authority shall disclose the nature of her interest at such meeting, which shall be recorded in the proceedings of the Authority and such member shall not take part in any deliberation or decision of the Authority with respect to that matter.

 

 

  1. Vacancies, etc. not to invalidate proceedings of the Authority.—

 

No act or proceeding of the Authority shall be invalid merely by reason of

 

(a)     any vacancy or defect in the constitution of the Authority;

(b)     any defect in the appointment of a person as a chairperson or member; or,

(c)     any irregularity in the procedure of the Authority not affecting the merits of the case.

 

 

  1. Officers and Employees of the Authority.—

 

(1)     The Authority may appoint such officers, employees, consultants and experts as it may consider necessary for effectively discharging its functions under this Act.

 

(2)     Any remuneration, salary or allowances, and other terms and conditions of service of such officers, employees, consultants and experts shall be such as may be specified.

 

  1. Grants by Central Government.—

 

The Central Government may, after due appropriation made by Parliament by law in this behalf, make to the Authority grants of such sums of money as it may think fit for the purposes of this Act.

 

 

  1. Accounts and Audit —

 

(1)     The Authority shall maintain proper accounts and other relevant records and prepare an annual statement of accounts in such form as may be prescribed by the Central Government in consultation with the Comptroller and Auditor-General of India.

 

(2)     The accounts of the Authority shall be audited by the Comptroller and Auditor-General of India at such intervals as may be prescribed and any expenditure incurred by her in connection with such audit shall be reimbursed to her by the Authority.

 

(3)     The Comptroller and Auditor-General of India and any other person appointed by her in connection with the audit of the accounts of the Authority shall have the same rights and privileges and authority in connection with such audit as the Comptroller and Auditor- General of India generally has in connection with the audit of the Government accounts and, in particular, shall have the right to demand the production of books, accounts, connected vouchers and other documents and papers, and to inspect any of the offices of the Authority.

 

(4)     The accounts of the Authority as certified by the Comptroller and Auditor-General of India or any other person appointed by the Comptroller and Auditor-General of India in this behalf together with the audit report thereon shall be forwarded annually to the Central Government and the Central Government shall cause the same to be laid before each House of the Parliament.

 

 

  1. Furnishing of returns, etc. to Central Government.—

 

(1)     The Authority shall furnish to the Central Government at such time and in such form and manner as may be prescribed or as the Central Government may direct, such returns and statements and such particulars in regard to any proposed or existing programme for the promotion and development of protection of personal data, as the Central Government from time to time, require.

 

(2)     The Authority shall prepare once every year in such form and at such time as may be prescribed, an annual report giving a summary of its activities during the previous year and copies of the report shall be forwarded to the Central Government.

 

(3)     A copy of the report received under sub-section (2) shall be laid, as soon as may be after it is received, before each House of the Parliament.

 

 

  1. Powers and Functions of the Authority.—

 

(1)     It shall be the duty of the Authority to protect the interests of data principals, prevent any misuse of personal data, ensure compliance with the provisions of this Act, and promote awareness of data protection.

 

(2)     Without prejudice to the generality of the foregoing and other functions set out under this

Act, the functions of the Authority shall include

 

 

(a)     monitoring and enforcing application of the provisions of this Act;

(b)     specifying reasonable purposes for which personal data may be processed under section 17 of this Act;

(c)     specifying residuary categories of sensitive personal data under section 22 of this

Act;

(d)    taking prompt and appropriate action in response to a data security breach in accordance with the provisions of this Act;

(e)     specifying the circumstances where a data protection impact assessment may be

required to be undertaken in accordance with section 33 of this Act;

(f)      maintaining  a  database  on  its  website  containing  names  of  significant  data fiduciaries  along  with  a  rating  in  the  form  of  a  data  trust  score  indicating compliance with the obligations of this Act by such fiduciaries;

(g)     specifying the criteria for assigning a rating in the form of a data trust score by a data auditor having regard to the factors mentioned in sub-section (2) of section 35;

(h)     examination of any data audit reports submitted under section 35 of this Act and taking any action pursuant thereto in accordance with the provisions of this Act;

(i)      issuance of a certificate of registration to data auditors and renewal, modification,

withdrawal, suspension or cancellation thereof and maintaining a database on its website of such registered data auditors and specifying the requisite qualifications, code of conduct, practical training and functions to be performed by such data auditors;

(j)      categorisation  and  issuance  of  certificate  of  registration  to  significant  data fiduciaries and renewal, modification, withdrawal, suspension or cancellation thereof under section 38;

(k)     monitoring cross-border transfer of personal data undersection 41 of this Act;

(l)      issuing codes of practice in accordance with section 61 of this Act and publishing such codes on its website;

(m)    promoting public awareness and understanding of the risks, rules, safeguards and rights in respect of protection of personal data, including issuance of any public statement  setting  out  trends  in,  or  specific  instances  of,  contravention  of  the

 

provisions of this Act by a data fiduciary or a class of data fiduciaries, as the case may be;

(n)     promoting awareness among data fiduciaries of their obligations and duties under this Act;

(o)     monitoring technological developments and commercial practices that may affect

protection of personal data;

(p)     promoting  measures  and  undertaking  research  for  innovation  in  the  field  of protection of personal data;

(q)     advising Parliament, Central Government, State Government and any regulatory or

statutory authority on measures that must be undertaken to promote protection of personal data and ensuring consistency of application and enforcement of this Act;

(r)      issuing guidance on any provision under this Act either on its own or in response to any  query  received  from  a  data  fiduciary  where  the  Authority  considers  it necessary, subject always to the provisions of this Act;

(s)      advising the Central Government on the acceptance of any relevant international instrument relating to protection of personal data;

(t)      specifying fees and other charges for carrying out the purposes of this Act; (u)     receiving and handling complaints under the provisions of this Act;

(v)     calling for information from, conducting inspections and inquiries into the affairs of data fiduciaries in accordance with the provisions of this Act;

(w)    preparation and publication of reports setting out the result of any inspection or inquiry and any other comments that the Authority deems to be in public interest; and

(x)     performing such other functions, including maintaining, updating and submitting any records, documents,books, registers or any other data, as may be prescribed.

 

(3)     Notwithstanding anything contained in any other law for the time being in force, while exercising the powers under clause (v) of sub-section (2), the Authority shall have the same powers as are vested in a civil court under the Code of Civil Procedure, 1908 (5 of

1908) while trying a suit, in respect of the following matters, namely

 

 

(a)     the discovery and production of books of account and other documents, at such place and at such time as may be specified;

(b)     summoning and enforcing the attendance of persons and examining them on oath; (c)      inspection of any book, document, register or record of any data fiduciary;

(d)     issuing commissions for the examination of witnesses or documents; (e)   any other matter which may be prescribed.

 

(4)     Where, pursuant to the provisions of this Act, the Authority processes personal data,it shall be construed as the data fiduciary or the data processor in relation to such personal data as applicable, and where the Authority comes into possession of any information that

 

is treated as confidential by the data fiduciary or data processor, it shall not disclose such information unless required as per law, or where it is required to carry out its function under clause (w) of sub-section (2).

 

 

  1. Codes of Practice.—

 

(1)     The Authority shall issue codes of practice in accordance with this section to promote good practices of data protection and facilitate compliance with the obligations under this Act.

 

(2)     Notwithstanding sub-section  (1),  the  Authority may also  approve,and issue  codes of practice submittedby an industry or trade association, an association representing the interest  of  data  principals,  any  sectoral  regulator  or  statutory  authority,  or  any departments or ministries of the Central or State Government.

 

(3)     The Authority shall ensure transparency while approving or issuing any code of practice under this section in accordance with sub-section (4).

 

(4)     A code of practice, whether under sub-section (1) or sub-section (2), shall not be issued unless the Authority has undertaken a requisite consultation process with relevant sectoral regulators and stakeholders including the public and has followed the procedure for issuance of such code of practice, as may be prescribed.

 

(5)     A code of practice issued under this section shall not derogate fromthe provisions of this

Actor any applicable law.

 

(6)     Without prejudice to sub-sections (1) or (2), or any other provision of this Act, the

Authority may issue codes of practice in respect of the following matters

 

(a)     requirements for notice undersection 8 of this Act including any model forms or guidance relating to notice;

(b)     measures for ensuring quality of personal data processed under section 9 of this

Act;

(c)     measures pertaining to the retention of personal data under section 10 of this Act; (d) conditions for valid consent under section 12 of this Act;

(e)     processing of personal data under section 15 of this Act;

(f)      activities where processing of personal data may be undertaken undersection 17; (g)  processing of sensitive personal data underChapter IV of this Act;

(h)     processing  of  personal  data  under  any  other  ground  for  processing,  including

processing of personal data of children and development of appropriate age- verification mechanisms under section 23 and mechanisms for processing personal data on the basis of consent of users incapable of providing valid consent under this Act;

(i)      exercise of any right by data principals under Chapter VI of this Act;

(j)      the standards and means by which a data principal may avail the right to data portability under section 26 of this Act;

 

(k)    transparency and accountability measures including the standards thereof to be maintained by data fiduciaries and data processors under Chapter VII of this Act;

(l)      standards for security safeguards to be maintained by data fiduciaries and data processors under section 31 of this Act;

(m)    methods of de-identification and anonymisation;

(n)     methods of destruction, deletion, or erasure of personal data where required under this Act;

(o)     appropriate action to be taken by the data fiduciary or data processor in response to a personal data breach under section 32 of this Act;

(p)     manner in which data protection impact assessments may be carried out by the data fiduciary or a class thereof under section 33 of this Act;

(q)     cross-border transfer of personal data pursuant to section 41 of this Act;

(r)      processing of any personal data or sensitive personal data to carry out any activity necessary for research, archiving or statistical purposes under section 45 of this Act; and

(s)      any other matter which, in the view of the Authority, may require issuance of a code of practice.

 

(7)     Non-compliance by the data fiduciary or data processor with any code of practice issued under this section and applicable to it may be considered by the Authority, or any court, tribunal  or  statutory  body,  while  determining  whether  such  data  fiduciary  or  data processor has violated the provisions of this Act.

 

(8)     Nothing contained in sub-section (7) shall prevent a data fiduciary or data processor from demonstrating before the Authority, or any court, tribunal or statutory body, that it has adopted an equivalent or a higher standard than that stipulated under the relevant code of practice.

 

(9)     The Authority may review, modify or revoke a code of practice issued under this section in the manner prescribed.

 

(10)   The Authority shall maintain a register in the manner prescribed containing details of the codes of practice, which are currently in force and shall make such codes of practice publicly available on its website.

 

 

  1. Power of Authority to issue directions.—

 

(1)     The Authority may, for the discharge of its functions under this Act, issue such directions from time to time as it may consider necessary to data fiduciaries or data processors generally, or to any data fiduciaryor data processor in particular, and such data fiduciaries or data processors, as the case may be, shall be bound to comply with such directions.

 

(2)     No such direction shall be issued under sub-section (1) unless the Authority has given a reasonable  opportunity  of  being  heard  to  the  data  fiduciaries  or  data  processors concerned.

 

(3)     The Authority may, on a representation made to it or on its own motion, modify, suspend, withdraw or cancel any direction issued under sub-section (1) and in doing so, may impose such conditions as it thinks fit, subject to which the modification, suspension, withdrawal or cancellation shall have effect.

 

 

  1. Power of Authority to call for information.—

 

 

(1)     Without prejudice to the other provisions of this Act, the Authority may require a data fiduciaryor data processor to provide such information as may be reasonably required by it for discharging its functions under this Act.

 

(2)     If the Authority requires a data fiduciary or a data processor to provide information as per sub-section (1), it must provide a written notice to the data fiduciaryor the data processor stating the reasons for such requisition.

 

(3)     The Authority shall specify the manner in which the data fiduciaryor data processor shall provide the information sought in sub-section (1), including the designation of the officer or employee of the Authority who may seek such information, time frame within which such information is required to be furnished and the form in which such information may be provided.

 

 

 

  1. Power of Authority to conduct inquiry. —

 

 

(1)     The Authority may conduct an inquiry where it has reasonable grounds to believe that

 

(a)     the activities of the data fiduciaryor data processor being conducted in a manner which is detrimental to the interest of data principals; or

(b)     anydata fiduciaryor data processor has violated any of the provisions of this Act or the rules prescribed, or the regulations specified, or directions issued by the Authority thereunder.

 

(2)     For the purpose of sub-section (1), the Authority shall, by an order in writing, appoint one of its officers as an Inquiry Officer to inquire into the affairs of such data fiduciaryor data processor and to report to the Authority on any inquiry made.

 

(3)     An Inquiry Officer, may wherever necessary, appoint any other person for the purpose of assisting in any inquiry under this section.

 

(4)     The order referred to in sub-section (2) shall also set out the reasons for commencing the inquiry and the scope of the inquiry and may be modified from time to time.

 

(5)    Every officer, employee or other person acting under the direct authority of the data fiduciary or the data processor, or a service provider, or a contractor, where services are being obtained by or provided to the data fiduciary or data processor, as the case may be,

 

shall be bound to produce before the Inquiry Officer directed to make the inquiry, all such books, registers, documents, records and any data in their custody or power and to furnish to the Inquiry Officer any statement and information relating to the affairs of the data fiduciary or data processor as the Inquiry Officer may require within such time as the said Inquiry Officer may specify.

 

(6)     The Inquiry Officer shall undertake the inquiry only after providing a written notice to the persons  referred  to  in  sub-section  (5)  stating  the  reasons  for  the  inquiry  and  the relationship between the data fiduciary and the scope of the inquiry.

 

(7)     The Inquiry Officer may keep in its custody any books, registers, documents, records and other data produced under sub-section (5) for six months and thereafter shall return the same to the person by whom or on whose behalf such books, registers, documents, record and data are produced, unless an approval to retain such books, registers, documents, record and data for an additional period not exceeding three months has been obtained from the Authority.

 

(8)     Without prejudice to any other power set out in this Act or under any other law, any Inquiry Officer directed to make an inquiry may examine on oath, any officer, employee or  other  person  acting  under  the  direct  authority  of  the  data  fiduciary  or  the  data processor, or a service provider, or a contractor where services are being obtained by or provided to the data fiduciary or data processor, as the case may be, in relation to the business or activity of the data fiduciary or data processor.

 

 

 

  1. Action to be taken by Authority pursuant to an inquiry.—

 

 

(1)     On receipt of a report under sub-section (2) of section 64, the Authority may, after giving such opportunity to the data fiduciaryor data processor to make a representation in connection with the report as the Authority deems reasonable, by an order in writing

 

(a)     issue a warning to the data fiduciary or data processor where the business or activity is likely to violate the provisions of this Act;

(b)     issue a reprimand to the data fiduciary or data processor where the business or activity has violated the provisions of this Act;

(c)     require the data fiduciary or data processor to cease and desist from committing or causing any violation of the provisions of this Act;

(d)     require the data fiduciaryor data processor to modify its business or activity to bring it in compliance with the provisions of this Act;

(e)     temporarily suspend or discontinue business or activity of the data fiduciary or data

processor which is in contravention of the provisions of this Act;

(f)      vary, suspend or cancel any registration granted by the Authority in case of a significantdata fiduciary;

(g)     suspend or discontinue any cross-border flow of personal data; or

(h)     require the data fiduciary or data processor to take any such action in respect of any matter arising out of the report as the Authority may think fit.

 

 

(2)     A data fiduciaryor data processor aggrieved by an order made under this section by the

Authority may prefer an appeal to the Appellate Tribunal.

 

 

  1. Search and Seizure.—

 

(1)     Where the Authority has reasonable grounds to believe that

 

(a)     any person who has been required under sub-section (5) of section 64to produce, or cause to be produced, any books, registers, documents, records or data in her custody or power is likely to omit or fail, or has omitted or failed, to do so; or

(b)    any books, registers, documents, records or data belonging to any person as mentioned in clause(a) of sub-section (1) are likely to be tampered with, altered, mutilated, manufactured, falsified or destroyed; or

(c)     a contravention of any provision of this Act has been committed or is likely to be committed by a data fiduciary,

 

it may authorise any officer of the Authority not below the rank equivalent to that of a Gazetted

Officer of the Central Government (hereinafter referred to as “Authorised Officer”) to

 

(i)          enter and search any building or place where she has reason to suspect that such books, registers, documents, records or data are kept;

(ii)          break  open  the  lock  of  any  box,  locker,  safe,  almirah  or  other  receptacle  for

exercising  the  powers  conferred  by  clause  (i)  where  the  keys  thereof  are  not available;

(iii)          access  any  computer,  computer  resource,  or  any  other  device  containing  or

suspected to be containing data;

(iv)         seize all or any such books, registers, documents, records or data found as a result of such search;

(v)         place  marks  of  identification  on  such  books,  registers,  documents,  records  or

databases or make extracts or copies of the same.

 

(2)     The Authorised Officer may requisition the services of any police officer or of any officer of the Central Government, or of both, as the case may be, for assistance related to any of the purposes specified in sub-section (1) and it shall be the duty of every such police officer or officer to comply with such requisition.

 

(3)     The Authorised Officer may, where it is not practicable to seize any such book, register, document, record or data specified in sub-section (1), serve an order on the person who is in immediate possession or control thereof that such person shall not remove, part with or otherwise deal with it except with the previous permission of such officer and such officer may take such steps as may be necessary for ensuring compliance with this sub- section.

 

(4)     The Authorised Officer may, during the course of the search or seizure, examine on oath any  person  who  is  found  to  be  in  possession  or  control  of  any  books,  registers,

 

 

    documents,  records  or  data,  and  any  statement  made  by  such  person  during  such examination may thereafter be used in evidence in any proceeding under this Act.
 

(5)

 

The books, registers, documents, records or data seized under sub-section (1) shall not be retained by the Authorised Officer for a period exceeding six months from the date of the seizure unless the reasons for retaining the same are recorded by her in writing and the approval of the Authority for such retention is obtained.

 

(6)

 

The Authority shall not authorise the retention of the books, registers, documents, records or data for a period exceeding thirty days after all the proceedings under this Act, for which the said books, registers, documents, records or data are relevant, are completed.

 

(7)

 

The person from whose custody the books, registers, documents, records or data are seized under sub-section (1) may make copies thereof, or take extracts therefrom, in the presence of the Authorised Officer or any other person appointed by her in this behalf at such place and time as the Authorised Officer may designate in this behalf.

 

(8)

 

If a person legally entitled to the books, registers, documents, records or data seized under sub-section (1) objects for any reason to the approval given by the Authority under sub- section (5), such person may make an application to the Appellate Tribunal stating therein the reason for such objection and requesting for the return of the books, registers, documents, records or data.

 

(9)

 

On receipt of the application under sub-section (8), the Appellate Tribunal may, after giving the parties an opportunity of being heard, pass such order as it thinks fit including any order prohibiting the destruction or alteration of such books, registers, documents, records or data.

 

(10)

 

The provisions of the Code of Criminal Procedure, 1973 (2 of 1974) relating to searches and seizures shall apply, so far as may be, to every search and seizure made under sub- section (1).

 

(11)

 

Without prejudice to the generality of the foregoing, rules may be prescribed in relation to the process for search and seizure under this section and in particular may provide for

     

(a)     obtaining ingress into such building or place to be searched where free ingress thereto is not available;

(b)     obtaining access to a computer, computer resource, or any other device containing or suspected to be containing data, where such access is not available;

(c)     ensuring safe custody of any books, registers, documents, records or data seized under this section.

 

67.

 

Coord

 

ination between the Authority and other regulators or authorities.—

 

Where any action proposed to be taken by the Authority under this Act is such that any other regulator or authority constituted under a law made by Parliament or the State legislature may also have concurrent jurisdiction, the Authority shall consult such other regulator or authority before taking such action and

 

may also enter into a memorandum of understanding with such other regulator or authority governing the coordination of such actions.

 

 

  1. Appointment of Adjudicating Officer.—

 

(1)     Without prejudice to any other provision of this Act and for the purpose of imposing of penalties under section69to section 73or awarding compensation under section 75, the Authority shall have a separate adjudication wing.

 

(2)    The Central Government shall,having regard to the need to ensure the operational segregation, independence, and neutrality of the adjudication wing,prescribe

 

(a)     number of Adjudicating Officers;

(b)     qualification of Adjudicating Officers;

(c)     manner and terms of appointment of Adjudicating Officers ensuring independence of such officers;

(d)     jurisdiction of Adjudicating Officers;

(e)     procedure for carrying out an adjudication under this Act; and

(f)      other such requirements as the Central Government may deem fit.

 

(3)     The Adjudicating Officers shall be persons of ability, integrity and standing, and must have specialised knowledge of, and not less than seven years professional experience in the fields of constitutional law, cyber and internet laws, information technology law and policy, data protection and related subjects.

 

 

 

CHAPTER XI PENALTIES AND REMEDIES

 

 

  1. Penalties.—

 

(1)     Where thedata fiduciary contravenes any of the following provisions, it shall be liable to a penalty which may extend up to five crore rupeesor two per cent of its total worldwide turnover of the preceding financial year, whichever is higher, as applicable

 

(a)     obligation to take prompt and appropriate action in response to a data security breach under section 32 of this Act;

(b)     obligation to undertake a data protection impact assessment by a significant data

fiduciary under section 33 of this Act;

(c)     obligation to conduct a data audit by a significant data fiduciary under section 35 of this Act;

(d)     appointment of a data protection officer by a significantdata fiduciaryundersection

36 of this Act;

(e)     failure to register with the Authority under sub-section (2) of section 38.

 

(2)     Where a data fiduciary contravenes any of the following provisions, it shall be liable to a penalty which may extend up to fifteen crore rupees or four per cent of its total worldwide turnover of the preceding financial year, whichever is higher, as applicable

 

(a)     processing of personal data in violation of the provisions of Chapter II; (b)     processing of personal data in violation of the provisions of Chapter III;

(c)     processing of sensitive personal data in violation of the provisions of Chapter IV of

this Act;

(d)     processing of personal data of children in violation of the provisions of Chapter V; (e)          failure to adhere to security safeguards as per section 31 of this Act;

(f)      transfer of personal data outside India in violation of section 41 of this Act.

 

Explanation I. For the purposes of this section, “total worldwide turnover” means the gross amount of revenue recognised in the profit and loss account or any other equivalent statement, as applicable, from the sale, supply or distribution of goods or services or on account of services rendered, or both, and where such revenue is generated within India and outside India.

 

Explanation II. For the purposes of this section, it is hereby clarified thattotal worldwide turnover in relation to a data fiduciaryis the total worldwide turnover of the data fiduciary and the total worldwide turnover of any group entity of the data fiduciary where such turnover of a group entity arises as a result of the processing activities of the data fiduciary, having regard to factors, including

 

(i)      thealignment of the overall economic interests of the data fiduciary and the group entity;

(ii)     therelationship  between  the  data  fiduciary  and  the  group  entity  specifically  in relation to the processing activity undertaken by the data fiduciary; and

(iii)    thedegree of control exercised by the group entity over the data fiduciary or vice versa, as the case may be.

 

 

  1. Penalty for failure to comply with data principal requests under Chapter VI.—

 

Where, any data fiduciary, without any reasonable explanation, fails to comply with any request made by a data principal under Chapter VI of this Act, such data fiduciary shall be liable to a penalty of five thousand rupees for each day during which such default continues, subject to a maximum of ten lakh rupees in case of significant data fiduciaries and five lakh rupees in other cases.

 

 

  1. Penalty for failure to furnish report, returns, information, etc.—

 

If any data fiduciary, who is required under this Act, or rules prescribed or regulations specified thereunder, to furnish any report, return or information to the Authority, fails to furnish the same, then such data fiduciary shall be liable to penalty which shall be ten thousand rupees for each day during which such default continues, subject to a maximum of twenty lakh rupees in case of significant data fiduciaries and five lakh rupees in other cases.

 

  1. Penalty for failure to comply with direction or order issued by the Authority.—

 

If any data fiduciaryor data processor fails to comply with any direction issued by the Authority under section 62or order issued by the Authority under section 65,as applicable, such data fiduciaryor data processor shall be liable to a penalty which, in case of a data fiduciary may extend to twenty thousand rupees for each day during which such default continues, subject to a maximum of two crore rupees, and in case of a data processor may extend to five thousand rupees for each day during which such default continues, subject to a maximum of fifty lakh rupees.

 

 

  1. Penalty for contravention where no separate penalty has been provided.—

 

Where any person fails to comply with any provision of this Act, or rules prescribed or regulations specified thereunder as applicable to such person, for which no separate penalty has been provided, then such person shall be liable to a penalty subject to a maximum of one crore rupees in case of significant data fiduciaries, and a maximum of twenty five lakh rupees in all other cases.

 

 

 

  1. Adjudication by Adjudicating Officer.—

 

 

(1)     No penalty shall be imposed under this Chapter except after conducting an inquiry in such manner as may be prescribed, and the data fiduciary or data processoror any person, as the case may be, has been given a reasonable opportunity of being heard.

 

(2)     While holding an inquiry, the Adjudicating Officer shall have the power to summon and enforce the attendance of any person acquainted with the facts and circumstances of the case to give evidence or to produce any document which, in the opinion of the Adjudicating Officer, may be useful for or relevant to the subject matter of the inquiry.

 

(3)     If, on the conclusion of such inquiry, the Adjudicating Officer is satisfied that the person has failed to comply with the provisions of this Act or has caused harm to any data principal as a result of any violation of the provisions of this Act, which a penalty may be imposed under section 69to section 73, the Adjudicating Officer may impose a penalty in accordance with the provisions of the appropriate section.

 

(4)     While deciding whether to impose a penalty under sub-section (3) of this section and in determining  the  quantum  of  penalty  under  section69to  section  73,  the  Adjudicating Officer shall have due regard to the following factors, as may be applicable

 

(a)     nature, gravity and duration of violation taking into account the nature, scope and purpose of processing concerned;

(b)     number of data principals affected, and the level of harm suffered by them; (c)         intentional or negligent character of the violation;

(d)     nature of personal data impacted by the violation;

(e)     repetitive nature of the default;

 

(f)      transparency and accountability measures implemented by the data fiduciary or data processor including adherence to any relevant code of practice relating to security safeguards;

(g)     action taken by the data fiduciary or data processor to mitigate the harm suffered by data principals; and

(h)     any other aggravating or mitigating factors relevant to the circumstances of the

case, such as, the amount of disproportionate gain or unfair advantage, wherever quantifiable, made as a result of the default.

 

(5)     Any person aggrieved by an order under this section by the Adjudicating Officer may prefer an appeal to the Appellate Tribunal.

 

 

  1. Compensation.—

 

(1)     Any data principal who has suffered harm as a result of any violation of any provision under this Act, or rules prescribed or regulations specified hereunder, by a data fiduciary or a data processor, shall have the right to seek compensation from the data fiduciary or the data processor, as the case may be.

 

Explanation.- For the removal of doubts, it is hereby clarified that a data processor shall be liable only where it has acted outside or contrary to the instructions of the data fiduciary pursuant to section37, or where the data processor is found to have acted in a negligent manner, or where the data processor has not incorporated adequate security safeguards under section 31, or where it has violated any provisions of this Act expressly applicable to it.

 

(2)    The data principal may seek compensation under this section pursuant to a complaint instituted in such form and manner as may be prescribed before an Adjudicating Officer.

 

(3)     Where there are one or more data principals or any identifiable class of data principals who have suffered harm as a result of any violation by the same data fiduciary or data processor, one complaint may be instituted on behalf of all such principals seeking compensation for the harm suffered.

 

(4)     While deciding whether to award compensation and the amount of compensation under this section, the Adjudicating Officer shall have due regard to the following factors, namely

 

(a)     nature,  duration  and  extent  of  violation  of  the  provisions  of  the  Act,  rules prescribed, or regulations specified thereunder;

(b)     nature and extent of harm suffered by the data principal; (c)   intentional or negligent character of the violation;

(d)     transparency and accountability measures implemented by the data fiduciary or the data processor, as the case may be, including adherence to any relevant code of

practice relating to security safeguards;

(e)     action taken by the data fiduciary or the data processor, as the case may be, to mitigate the damage suffered by the data principal;

 

(f)      previous  history  of  any,  or  such,  violation  by  the  data  fiduciary  or  the  data processor, as the case may be;

(g)     whether the arrangement between the data fiduciary and data processor contains adequate transparency and accountability measures to safeguard the personal data

being processed by the data processor on behalf of the data fiduciary;

(h)     any other aggravating or mitigating factor relevant to the circumstances of the case, such  as,  the  amount  of  disproportionate  gain  or  unfair  advantage,  wherever

quantifiable, made as a result of the default.

 

(5)     Where more than one data fiduciary or data processor, or both a data fiduciary and a data processor are involved in the same processing activity and are found to have caused harm to the data principal as per this section, then each data fiduciary or data processor may be ordered to pay the entire compensation for the harm in order to ensure effective and speedy compensation to the data principal.

 

(6)     Where a data fiduciary or a data processor has, in accordance with sub-section (5), paid the entire amount of compensation for the harm suffered by the data principal, such data fiduciary or data processor shall be entitled to claim from the other data fiduciaries or data processors, as the case may be, that amount of compensation corresponding to their part of responsibility for the harm caused.

 

(7)     Any person aggrieved by an order made under this section by the Adjudicating Officer may prefer an appeal to the Appellate Tribunal.

 

(8)     The Central Government may prescribe the procedure for hearing of a complaint under this section.

 

 

 

  1. Compensation or penalties not to interfere with other punishment.—

 

No compensation awarded, or penalty imposed, under this Act shall prevent the award of compensation or imposition of any other penalty or punishment under any other law for the time being in force.

 

 

  1. Data ProtectionFunds.—

 

(1)     There shall be constituted a fund to be called the Data Protection Authority Fundto which the following shall be credited

 

(a)     all Government grants, fees and charges received by the Authority under this Act;

and

(b)     all sums received by the Authority from such other source as may be decided upon by the Central Government, but which shall not include the sums mentioned in sub- section (3).

 

(c)     The Data Protection Authority Fund shall be applied for meeting

 

(i)      the salaries, allowances and other remuneration of the chairperson, members, officers, employees, consultants and experts appointed by the Authority; and

(ii)     the other expenses of the Authority in connection with the discharge of its functions and for the purposes of this Act.

 

(2)     Without prejudice to the foregoing, there shall also be constituted a fund to be called the Data Protection Awareness Fundto which all sums realised by way of penalties by the Authority under this Act shall be credited.

 

(3)     The Data Protection Awareness Fund shall be applied solely for the purpose of generating awareness regarding data protection including for the purposes set out in clauses (m), (o) and (p) of sub-section (2) of section 61 and for no other purpose whatsoever.

 

 

  1. Recovery of Amounts.—

 

(1)     The Authority shall, by an order in writing, appoint at least one officer or employee as a

Recovery Officer for the purpose of this Act. (2)      Where any person fails to comply with

(a)     an order of the Adjudicating Officer imposing a penalty under the provisions of this

Act; or

(b)     an order of the Adjudicating Officer directing payment of compensation under the provisions of this Act,

 

the Recovery Officer may recover from such person the aforesaid amount in any of the following ways, in descending order of priority, namely

 

(i)          attachment and sale of the person‟s movable property;

(ii)          attachment of the person‟s bank accounts;

(iii)          attachment and sale of the person‟s immovable property;

(iv)         arrest and detention of the person in prison;

(v)         appointing a receiver for the management of the person‟s movable and immovable

properties.

 

(3)     For the purpose of such recovery, the provisions of section 220 to section 227, and sections 228A, 229 and 232, the Second and Third Schedules of the Income Tax Act,

1961 (43 of 1961) and the Income Tax (Certificate Proceedings) Rules, 1962, as in force

from time to time, in so far as may be, shall apply with necessary modifications as if the said provisions and rules

 

(a)     were the provisions of this Act; and

(b)     referred to the amount due under this Act instead of to income tax under the

Income Tax Act, 1961 (43 of 1961).

 

(4)     In this section, the movable or immovable property or monies held in a bank account shall include property or monies which meet all the following conditions

 

 

(a)     property or monies transferred by the person without adequate consideration; (b)       such transfer is made:

 

(i)          on or after the date on which the amount in the certificate drawn up under section 222 of the Income Tax Act, 1961 (43 of 1961) had become due; and

(ii)          to the person‟s spouse, minor child, son‟s wife or son‟s minor child.

 

(c)     such property or monies are held by, or stand in the name of, any of the persons referred to in sub-clause (b), including where they are so held or stand in the name of such persons after they have attained the age of majority.

 

(5)    The Recovery Officer shall be empowered to seek the assistance of the local district administration while exercising the powers under this section.

 

 

 

 

CHAPTER XII APPELLATE TRIBUNAL

 

 

  1. Establishment of Appellate Tribunal.—

 

(1)     The Central Government shall, by notification, establish an Appellate Tribunal to

 

(a)     hear and dispose of any appeal from an order of the Adjudicating Officer under sub-section (5) of section 39;

(b)     hear and dispose of any appeal from an order of the Authority under sub-section (2)

of section 65;

(c)     hear and dispose of an application under sub-section (9) of section 66;

(d)     hear and dispose of any appeal from an order of the Adjudicating Officer under sub-section (5) of section 74; and

(e)     hear and dispose of any appeal from an order of an Adjudicating Officer under sub-

section (7) of section 75.

 

(2)     The Appellate Tribunal shall consist of a chairperson and such number of members as may be notified by the Central Government.

 

(3)     The Appellate Tribunal shall be set up at such place or places, as the Central Government may, in consultation with the chairperson of the Appellate Tribunal, notify.

 

(4)    Where, in the opinion of the Central Government, any existing body is competent to discharge the functions of the Appellate Tribunal as envisaged under this Act, then the Central Government may notify such existing body to act as the Appellate Tribunal under this Act.

 

  1. Qualifications, appointment, term, conditions of service of members.—

 

 

(1)     The Central Government may prescribe the qualifications, appointment, term of office, salaries  and  allowances,  resignation,  removal  and  the  other  terms  and  conditions  of service of the chairperson and any member of the Appellate Tribunal.

 

(2)     Neither the salary and allowances nor the other terms and conditions of service of the chairperson or member of the Appellate Tribunal may be varied to her disadvantage after her appointment.

 

 

  1. Vacancies.—

 

If, for reason other than temporary absence, any vacancy occurs in the office of the chairperson or a member of the Appellate Tribunal, the Central Government shall appoint another person in accordance with the provisions of this Act and the rules prescribed to fill the vacancy and the proceedings may be continued before the Appellate Tribunal from the stage at which the vacancy is filled.

 

 

  1. Staff of Appellate Tribunal.—

 

(1)    The Central Government shall provide the Appellate Tribunal with such officers and employees as it may deem fit.

 

(2)     The officers and employees of the Appellate Tribunal shall discharge their functions under the general superintendence of its chairperson.

 

(3)     The  salaries  and  allowances  and  other  conditions  of  service  of  such  officers  and employees of the Appellate Tribunal shall be such as may be prescribed.

 

 

  1. Distribution of business amongst benches.—

 

(1)     Subject to the provisions of this Act, the jurisdiction of the Appellate Tribunal may be exercised by benches thereof, which shall be constituted by the chairperson.

 

(2)    Where benches of the Appellate Tribunal are constituted under sub-section (1), the chairperson may, from time to time, by notification, make provisions as to the distribution of the business of the Appellate Tribunal amongst the benches, transfer of members between benches, and also provide for the matters which may be dealt with by each bench.

 

(3)     On the application of any of the parties and after notice to the parties, and after hearing such of them as the chairperson may desire to be heard, or on the chairperson‟s own motion without such notice, the chairperson of the Appellate Tribunal may transfer any case pending before one bench, for disposal, to any other bench.

 

  1. Appeals to Appellate Tribunal.—

 

(1)    Any person may file an appealor application, as the case may be, with the Appellate Tribunal in such form, verified in such manner and be accompanied by such fee, as may be prescribed.

 

(2)     Any appeal or application to the Appellate Tribunal, as the case may beshall be preferred within a period of thirty days from the date on which a copy of the decision or order made by the Authority or the Adjudicating Officer, as the case may be, is received by the appellant or applicant and it shall be in such form, verified in such manner and be accompanied by such fee as may be prescribed.

 

(3)    Notwithstanding sub-section (2), the Appellate Tribunal may entertain any appeal or application, as the case may be, after the expiry of the said period of thirty days if it is satisfied that there was sufficient cause for not filing it within that period.

 

(4)     On  receipt  of  an  appealor  application,  as  the  case  may  be,  under  this  section,  the Appellate  Tribunal  may,  after  providing  the  parties  to  the  dispute  or  appeal,  an opportunity of being heard, pass such orders thereon as it thinks fit.

 

(5)     The Appellate Tribunal shall send a copy of every order made by it to the parties to the dispute or the appeal and to the Authority, as the case may be.

 

(6)     The Appellate Tribunal may, for the purpose of examining the legality or propriety or correctness, of any decision, or order of the Authority or Adjudicating Officer referred to in the appeal or application preferred under this section, on its own motion or otherwise, call for the records relevant to disposing of such appeal or application and make such orders as it thinks fit.

 

 

 

  1. Procedure and powers of Appellate Tribunal.—

 

 

(1)     The Appellate Tribunal shall not be bound by the procedure laid down by the Code of Civil Procedure, 1908 (5 of 1908), but shall be guided by the principles of natural justice and, subject to the other provisions of this Act, the Appellate Tribunal shall have powers to regulate its own procedure.

 

(2)     The Appellate Tribunal shall have, for the purposes of discharging its functions under this

Act, the same powers as are vested in a civil court under the Code of Civil Procedure,

1908 (5 of 1908), while trying a suit, in respect of the following matters, namely—

(a)     summoning and enforcing the attendance of any person and examining her on oath; (b)         requiring the discovery and production of documents;

(c)     receiving evidence on affidavits;

(d)     subject to the provisions of section 123 and section 124 of the Indian Evidence Act,

1872 (1 of 1872), requisitioning any public record or document or a copy of such record or document, from any office;

 

(e)     issuing commissions for the examination of witnesses or documents; (f)         reviewing its decisions;

(g)     dismissing an application for default or deciding it, ex parte;

(h)     setting aside any order of dismissal of any application for default or any order passed by it, ex parte; and

(i)      any other matter which may be prescribed.

 

(3)     Every  proceeding  before  the  Appellate  Tribunal  shall  be  deemed  to  be  a  judicial proceeding within the meaning of sections 193 and 228, and for the purposes of section

196 of the Indian Penal Code, 1860 (45 of 1860) and the Appellate Tribunal shall be deemed to be a civil court for the purposes of section 195 and Chapter XXVI of the Code of Criminal Procedure, 1973 (2 of 1974).

 

 

 

  1. Orders passed by Appellate Tribunal to be executable as a decree.—

 

(1)    An order passed by the Appellate Tribunal under this Act shall be executable by the Appellate Tribunal as a decree of civil court, and for this purpose, the Appellate Tribunal shall have all the powers of a civil court.

 

(2)     Notwithstanding  anything  contained  in  sub-section  (1),  the  Appellate  Tribunal  may transmit any order made by it to a civil court having local jurisdiction and such civil court shall execute the order as if it were a decree made by that court.

 

 

 

  1. Appeal to Supreme Court of India.—

 

(1)        Notwithstanding anything contained in the Code of Civil Procedure, 1908 (5 of 1908) or in any other law, an appeal shall lie against any order of the Appellate Tribunal to the Supreme Court of India.

 

(2)        No appeal shall lie against any decision or order made by the Appellate Tribunal with the consent of the parties.

 

(3)        Every appeal under this section shall be preferred within a period of ninety days from the date of the decision or order appealed against.

 

(4)        Notwithstanding sub-section (3), the Supreme Court of India may entertain the appeal after the expiry of the said period of ninety days, if it is satisfied that the appellant was prevented by sufficient cause from preferring the appeal in time.

 

 

 

  1. Right to legal representation.—

 

The applicant or appellant may either appear in person or authorise one or more legal practitioners or any of its officers to present her or its case before the Appellate Tribunal.

 

Explanation.- For the purposes of this section, “legal practitioner” includes an advocate, or an attorney and includes a pleader in practice.

 

 

 

  1. Civil court not to have jurisdiction.—

 

No civil court shall have jurisdiction to entertain any suit or proceeding in respect of any matter which the Appellate Tribunal is empowered by or under this Act to determine and no injunction shall be granted by any court or other authority in respect of any action taken or to be taken in pursuance of any power conferred by or under this Act.

 

 

 

CHAPTER XIII OFFENCES

 

 

  1. Obtaining, transferring or selling of personal data contrary to the Act.—

 

 

Any person who alone or jointly with others, knowingly or intentionally or recklessly, in contravention of the provisions of this Act

 

(a)     obtains personal data; or

(b)     discloses personal data; or

(c)     transfers personal data to another person; or

(d)     sells or offers to sell personal data to another person,

 

which results in significant harm to a data principal, then such person shall be punishable with imprisonment for a term not exceeding three years or shall be liable to a fine which may extend up to rupees two lakh or both.

 

 

 

  1. Obtaining, transferring or selling of sensitive personal data contrary to the Act.—

 

Any person who alone or jointly with others, knowingly or intentionally or recklessly, in contravention of the provisions of this Act

 

(a)     obtains sensitive personal data; or

(b)     discloses sensitive personal data; or

(c)     transfers sensitive personal data to another person; or

(d)     sells or offers to sell sensitive personal data to another person,

 

which results in harm to a data principal, then such person shall be punishable with imprisonment for a term not exceeding five years or shall be liable to a fine which may extend up to rupees three lakhs or both.

 

 

  1. Re-identification and processing of de-identified personal data. —

 

(1)     Any person who, knowingly or intentionally or recklessly

 

(a)     re-identifies personal data which has been de-identified by a data fiduciary or a data processor, as the case may be; or

(b)     re-identifies and processes such personal data as mentioned in clause (a)

 

without the consent of such data fiduciary or data processor, then such person shall be punishable with imprisonment for a term not exceeding three years or shall be liable to a fine which may extend up to rupees two lakh or both.

 

(2)     Nothing  contained  in  sub-section  (1)  shall  render  any  such  person  liable  to  any punishment provided under this section, if she proves that

 

(a)     the personal data belongs to the person charged with the offence under sub-section

(1); or

(b)     the data principal whose personal data is in question has explicitly consented to such re-identification or processing as per the provisions of this Act.

 

 

  1. Offences to be cognizable and non-bailable.—

 

Notwithstanding anything contained in the Code of Criminal Procedure, 1973 (2 of 1974), an offence punishable under this Act shall be cognizable and non-bailable.

 

 

  1. Power to investigate offences.—

 

Notwithstanding anything contained in the Code of Criminal Procedure, 1973 (2 of 1974), a police officer not below the rank of Inspector shall investigate any offence under this Act.

 

 

 

  1. Offences by companies.—

 

(1)     Where an offence under this Act has been committed by a company, every person who, at the  time  the  offence  was  committed  was  in  charge  of,  and  was  responsible  to,  the company for the conduct of the business of the company, as well as the company, shall be deemed to be guilty of the offence and shall be liable to be proceeded against and punished accordingly.

 

(2)     Nothing  contained  in  sub-section  (1)  shall  render  any  such  person  liable  to  any punishment provided in this Act, if she proves that the offence was committed without

 

her knowledge or that she had exercised all due diligence to prevent the commission of such offence.

 

(3)     Notwithstanding anything contained in sub-section (1), where an offence under this Act has been committed by a company and it is proved that the offence has been committed with the consent or connivance of, or is attributable to any neglect on the part of, any director, manager, secretary or other officer of the company, such director, manager, secretary or other officer shall also be deemed to be guilty of the offence and shall be liable to be proceeded against and punished accordingly.

 

Explanation.- For the purpose of this section

 

(a)     “company” means any body corporate, and includes

(i)      a firm; and

(ii)     an association of persons or a body of individuals whether incorporated or not.

 

(b)     “director” in relation to

(i)      a firm, means a partner in the firm;

(ii)     an  association  of  persons  or  a  body  of  individuals,  means  any  member controlling affairs thereof.

 

 

  1. Offences by Central or State Government departments. —

 

(1)     Where an offence under this Act has been committed by any department of the Central or State Government,or any authority of the State, the head of the department or authority shall be deemed to be guilty of the offence and shall be liable to be proceeded against and punished accordingly.

 

(2)     Nothing  contained  in  sub-section  (1)  shall  render  any  such  person  liable  to  any punishment provided in this Act, if she proves that the offence was committed without her knowledge or that she had exercised all due diligence to prevent the commission of such offence.

 

(3)     Notwithstanding anything contained in sub-section (1), where an offence under this Act has been committed by a department of the Central or State Government, or any authority of the State and it is proved that the offence has been committed with the consent or connivance of, or is attributable to any neglect on the part of, any officer, other than the head of the department or authority, such officer shall also be deemed to be guilty of the offence and shall be liable to be proceeded against and punished accordingly.

 

CHAPTER XIV TRANSITIONAL PROVISIONS

 

 

  1. Transitional provisions and commencement. —

 

(1)     For the purposes of this Chapter, the term „notified date‟ refers to the date notified by the

Central Government under sub-section (3) of section 1.

 

(2)     The notified date shall be any date within twelve months from the date of enactment of this Act.

 

(3)     The following provisions shall come into force on the notified date—

 

(a)     Chapter X;

(b)     Section 107; and

(c)     Section 108.

 

(4)     The Central Government shall, no later than threemonths from the notified date establish the Authority.

 

(5)     The Authority, shall, no later than twelve months from the notified date, notify the grounds of processing personal data in respect of the activities listed in sub-section (2) of section 17.

 

(6)     The Authority, shall, no later than twelve months from the notified date issue codes of practice on the following matters

 

(a)     notice under section 8;

(b)     data quality under section 9;

(c)     storage limitation under section 10;

(d)     processing of personal data under Chapter III;

(e)     processing of sensitive personal data under Chapter IV; (f)      security safeguards under section 31;

(g)     research purposes under section 45;

(h)     exercise of data principal rights under Chapter VI;

(i)      methods of de-identification and anonymisation; and

(j)      transparency and accountability measures under chapter VII.

 

(7)     Section 40 shall come into force on such date as is notified by the Central Government for the purpose of that section.

 

(8)     The remaining provisions of the Act shall come into force eighteen months from the notified date.

 

CHAPTER XV MISCELLANEOUS

 

 

  1. Power of Central Government to issue directions in certain circumstances. —

 

(1)     The Central Government may, from time to time, issue to the Authority such directions as it may think necessary in the interest of the sovereignty and integrity of India, the security of the State, friendly relations with foreign States or public order.

 

(2)     Without prejudice to the foregoing provisions of this Act, the Authority shall, in exercise of its powers or the performance of its functions under this Act, be bound by such directions on questions of policy as the Central Government may give in writing to it from time to time:

 

(3)     Any direction issued by the Central Government shall, as far as practicable, be given, after providing an opportunity to the Authority to express its views in this regard.

 

(4)     The decision of the Central Government on whether a question is one of policy or not, shall be final.

 

 

  1. Members, etc., to be public servants. —

 

The chairperson, members, officers and employees of the Authority and the Appellate Tribunal shall be deemed, when acting or purporting to act in pursuance of any of the provisions of this Act, to be public servants within the meaning of section 21 of the Indian Penal Code, 1860 (45 of 1860).

 

 

  1. Protection of action taken in good faith. —

 

No suit, prosecution or other legal proceedings shall lie against the Authority or its chairperson, member, employee or officer for anything which is done in good faith or intended to be done under this Act, or the rules prescribed, or the regulations specified thereunder.

 

 

  1. Exemption from tax on income. —

 

Notwithstanding anything contained in the Income Tax Act, 1961 (43 of 1961) or any other enactment for the time being in force relating to tax on income, profits or gains, as the case may be, the Authority shall not be liable to pay income tax or any other tax in respect of its income, profits or gains derived.

 

 

  1. Delegation. —

 

The chairperson of the Authority may, by general or special order in writing delegate to any member or officer of the Authority subject to such conditions, if any, as may be specified in the order, such of its powers and functions under this Act except the powers under section 108 as it may deem necessary.

 

  1. Power to remove difficulties. —

 

(1)     If  any  difficulty  arises  in  giving  effect  to  the  provisions  of  this  Act,  the  Central Government may, by order, published in the Official Gazette, make such provisions not inconsistent with the provisions of this Act as may appear to be necessary or expedient for removing the difficulty.

 

(2)     No such order shall be made under this section after the expiry of five years from the commencement of this Act.

 

(3)     Every order made under this section shall be laid, as soon as may be after it is made, before each House of Parliament.

 

 

  1. Power to exempt certain data processors.—

 

The Central Government may, by notification, exempt from the application of this Act or any provisions of this Act, processing of personal data of data principals not within the territory of India,  pursuant  to  any  contract  entered  into  with  any  person  outside  the  territory  of  India, including any company incorporated outside the territory of India, by any data processor or any class of data processors incorporated under Indian law.

 

 

  1. No application to non-personal data

 

Nothing contained in this Act shall affect the power of the Central Government to formulate appropriate policies for the digital economy, including measures for its growth, security, integrity, prevention of misuse,insofar as such policies do not govern personal data.

 

  1. Bar on processing certain forms of biometric data

 

No  data  fiduciary  shall  process  such  biometric  data  as  may  be  notified  by  the  Central

Government, unless such processing is permitted by law.

 

  1. Power to make rules. —

 

(1)     The Central Government may, by notification, make rules to carry out the purposes of this Act.

 

(2)     In particular, and without prejudice to the generality of the foregoing power, such rules may provide for all or any of the following matters, namely

 

(a)     the form and manner in which an application to exercise the right under sub-section

(4) of Section 27;

(b)     the manner of review of the order passed by the Adjudicating Officer under sub- section (5) of section 27;

(c)     the manner in which a complaint with the adjudication wing may be filed under sub-section (4) of section 39;

 

(d)     the countries, sectors within a country,  or international organisations to which transfers may be permitted under clause (b) of sub-section (1) of section 41;

(e)     the time period of notification to the Authority under sub-section (4) of section 41 of the transfer of personal data to a particular country as permitted under clause (b)

of sub-section (3) of section 41;

(f)     the amount of turnover for a data fiduciary to qualify as a small entity under clause

(a) of sub-section (2) of section 48;

(g)     the place of establishment and incorporation of the head office of the Authority as under sub-section (3) of section 49;

(h)     procedure  to  be  followed  by  the  selection  committeeunder  sub-section  (3)  of section 50;

(i)      the salaries and allowances payable to, and other terms and conditions of service of

the chairperson and the members of the Authority under sub-section (2) of section

51;

(j)      the times and places for, and the rules and procedures in regard to, transaction of business at the meetings of the Authority under sub-section (1) of section 54;

(k)     the form of accounts, other relevant records and annual statement of accounts under sub-section (1) of section 58;

(l)      the intervals at which the accounts of the Authority will be audited under sub-

section (2) of section 58;

(m)    the time in which, and the form and manner in whichthe returns, statements, and particulars are to be furnished to the Central Government under sub-section (1) of

section 59;

(n)     the time in which, and the form in which an annual report is to be prepared by the

Authority  and  forwarded  to  the  Central  Government  under  sub-section  (2)  of section 59;

(o)     other functions of the Authority under clause (x) of sub-section (2) of section 60;

(p)     other matters under clause (e) of sub-section (3) of section 60 in respect of which the Authority shall have powers under the Code of Civil Procedure, 1908 (5 of

1908) that are vested in a civil court while trying a suit;

(q)     the procedure of issuance of a code of practice under sub-section (4) of section 61; (r)     the manner in which the Authority may review, modify or revoke a code of practice

under sub-section (9) of section 61;

(s)     the manner in which the Authority shall maintain a register containing details of the codes of practice under sub-section (10) of section 61;

(t)      the process for search and seizure under sub-section (11) of section 66;

(u)     the number of Adjudicating Officers that the adjudication wing will consist of under sub-section (2) of section 68;

(v)     the   qualification,   manner   and   terms   of   appointment,   and   jurisdiction   of

Adjudicating Officers to ensure their independence, and the procedure for carrying out adjudication under this Act and other such requirements as deemed fit by the Central Government under sub-section (2) of section 68;

(w)    the manner in which the Adjudicating Officer will conduct an inquiry under sub- section (1) of section 74;

(x)     the form and manner of instituting a complaint under sub-section (2) of section 75;

(y)     the  procedure  for  hearing  of  a  complaint  and  the  limit  on  the  amount  of compensation under sub-section (8) of section 75;

 

(z)     the qualifications, appointment, term of office, salaries and allowances, resignation, removal and the other terms and conditions of service of the chairperson and any member of the Appellate Tribunal under sub-section (1) of section 80;

(aa)    the procedure of filling of vacancies in the Appellate Tribunal under section 81;

(bb)  the salaries and allowances and other conditions of service of the officers and employees of the Appellate Tribunal under sub-section (3) of section 82;

(cc)    the form, manner and fee for filing an appeal or application, as the case may be,

with the Appellate Tribunal under sub-section (1) of section 84; and

(dd)   other matters under clause (i) of sub-section (2) of section 85 in respect of which the Appellate Tribunal shall have powers under the Code of Civil Procedure, 1908

(5 of 1908) that are vested in a civil court while trying a suit.

 

 

 

  1. Power to make regulations. —

 

(1)     The Authority may, by notification, make regulations consistent with this Act and the rules prescribed thereunder to carry out the purposes of this Act.

 

(2)     In  particular  and  without  prejudice  to  the  generality  of  the  foregoing  power,  such regulations may provide for all or any of the following matters, namely:

 

(a)     information required to be provided by the data fiduciary to the data principal in its notice under clause (n) of sub-section (1) of section 8;

(b)     manner in which the personal data retained by the data fiduciary must be deleted under sub-section (4) of section 10;

(c)     reasonable purposes for which personal data may be processed in accordance with

sub-section (2) of section17;

(d)     safeguards as may be appropriate for protecting the rights of data principals under sub-section (3) of section17;

(e)     any further categories of sensitive personal data and further grounds on which such

data may be processed under sub-section (1) of section 22;

(f)      such  additional  safeguards  or  restrictions  applicable  to  processing  of  sensitive personal data and any further categories of personal data where there is repeated, continuous, systematic collection for the purposes of profiling and such additional safeguards required under sub-section (3) of section 22;

(g)     theadditional   factors  necessary  for  determining  the   appropriateness   of  age verification mechanisms  to  be incorporated by a  data fiduciary processing the

personal  data  and  sensitive  personal  data  of children  under sub-section  (3)  of

section 23;

(h)     practices that may be undertaken by data fiduciaries offering counseling or child protection services under sub-section (6) of section 23;

(i)      the time period within which a data fiduciary must comply with a request made under sub-section (3) of section 28;

(j)      the time period within which a data principal may file a complaint under sub- section (4) of section 28;

(k)     the form in which the data fiduciary is required to make available to the data principal information under sub-section (1) of section 30;

 

(l)      the manner by which a data fiduciary shall notify the data principal regarding important operations in the processing of personal data under sub-section (2) of section 30;

(m)    the manner of periodic review of security safeguards to be undertaken by the data fiduciary and the data processor under sub-section (2) of section 31;

(n)     the circumstances or classes of data fiduciaries or processing operations where it is

mandatory to carry out data protection impact assessments under sub-section (2) of section 33;

(o)     the instances where a data auditor under this Act shall be engaged by the data

fiduciary to undertake a data protection impact assessment under sub-section (2) of section 33;

(p)     the manner in which the data fiduciary shall submit the data protection impact

assessment to the Authority under sub-section (4) of section 33;

(q)     any aspect of processing for which records shall be maintained under clause (d) of sub-section (1) of section 34;

(r)      the form in which records shall be maintained under sub-section (2) of section 34;

(s)      the factors to be taken into consideration while evaluating the compliance of data fiduciaries with the provisions of this Act under sub-section (2) of section 35;

(t)      the form, manner and procedure by which data audits shall be conducted under

sub-section (3) of section 35;

(u)     criteria on the basis of which rating in the form of a data trust score may be assigned to a data fiduciary under sub-section (6) of section 35;

(v)     theeligibility, qualifications and functions to be performed by data auditors under

sub-section (4) of section 35;

(w)    the eligibility and qualification of a data protection officer under sub-section (3) of section 36;

(x)     the registration requirements of significant data fiduciaries under sub-section (2) of section 38;

(y)     themanner of certification and time period within which transfer of personal data

shall be notified to the Authority under sub-section (6) of section 41;

(z)     the  provisions  of  the  Act  which  may  be  exempted  for  different  categories  of research, archival or statistical purposes under sub-section (1) of section 45;

(aa)   the remuneration, salary or allowances and other terms and conditions of service of

such officers, employees, consultants and experts under sub-section (2) of section

56;

(bb)   any other fees and charges for carrying out purposes of this Act under clause (t) of sub-section (2) of Section 60;

(cc)   the manner in which information shall be provided to the authority by the data

fiduciary under sub-section (3) of Section 63; and

(dd)   any other matter which is required to be, or may be specified,or in respect of which provision is to be or may be made by regulations.

 

 

  1. Rules and Regulations to be laid before Parliament.—

 

Every rule and regulation made under this Act shall be laid, as soon as may be after it is made, before each House of Parliament, while it is in session, for a total period of thirty days which may be comprised in one session or in two or more successive sessions, and if, before the expiry of the session immediately

 

following the session or the successive sessions aforesaid, both Houses agree in making any modification in the rule or regulation or, both Houses agree that the rule or regulation should not be made, the rule or regulation shall thereafter have effect only in such modified form or be of no effect, as the case may be;so, however, that any such modification or annulment shall be without prejudice to the validity of anything previously done under that rule or regulation.

 

 

  1. Overriding effect of this Act. —

 

Save as otherwise expressly provided under this Act, the provisions of this Act shall have an overriding effect to the extent that such provisions are inconsistent with any other law for the time being in force or any instrument having effect by virtue of any such law.

 

 

  1. Amendment of Act 21 of 2000. —

 

The Information Technology Act, 2000 (21 of 2000) shall be amended in the manner set out in the

FirstSchedule to this Act.

 

 

  1. Amendment of Act 22 of 2005. —

 

The Right to Information Act, 2005 (22 of 2005) shall be in the manner set out in the SecondSchedule to this Act.

 

THE FIRST SCHEDULE

(See Section 111)

AMENDMENT TO THE INFORMATION TECHNOLOGY ACT, 2000 (21 of 2000)

 

 

 

  1. Deletion of section 43A. — Section 43A of the Information Technology Act, 2000 (hereinafter referred to as the principal Act) shall be omitted.
  2. Amendment of section 87. — In section 87 of the principal Act, in sub-section (2), clause (ob)

shall be omitted.

 

THE SECONDSCHEDULE

(SEE SECTION 112)

AMENDMENT TO THE RIGHT TO INFORMATION ACT, 2005 (22 OF 2005)

 

  1. Amendment of section 8. — In place of the current clause (j) of sub-section (1) of section 8 of the Right to Information Act, 2005 the following clause (j) of sub-section (1) of section 8 shall be substituted, namely:—

 

“(j) information which relates to personal data which is likely to cause harm to a data principal, where such harm outweighs the public interest in accessing such information having due regard to the common good of promoting transparency and accountability in the functioning of the public authority;

 

Provided, disclosure  of  information  under  this  clause  shall  be  notwithstanding  anything contained in the Personal Data Protection Act, 2018;

 

Provided further, that the information, which cannot be denied to the Parliament or a State

Legislature shall not be denied to any person.

 

Explanation. —For the purpose of this section, the terms „personal data‟, „data principal‟, and

„harm‟ shall have the meaning assigned to these terms in the Personal Data Protection Act,

2018.”

 

 

 

 

 

Source: THE PERSONAL DATA PROTECTION BILL, 2018

(http://meity.gov.in/content/personal-data-protection-bill-2018)