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International Antitrust Law & Policy: Fordham Corporate Law 2003
Barry Hawk, Editor
Price: $125.00 750 pages. 1 Hardcover Volume.
ISBN-13: 978-1-57823-184-3 / ISBN-10: 1-57823-184-1
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| International Antitrust Law & Policy : Fordham Corporate Law 2003 $125.00 |
Book Overview
Chapter 1 ENFORCEMENT OF CARTEL LAW IN IRELAND
Terry Calvani
Chapter 2 THE ROAD TO CONVICTION – THE CRIMINALISATION OF CARTEL LAW Nicholas Green QC
I. Introduction II. Roman Antitrust III. The Dark Ages IV. The Norman Conquest V. And Elsewhere In Europe VI. Export Cartels: Early Webb Pomerene Act Precursers VII. Following Magna Carta VIII. Queen Elizabeth I and the "Great Case of Monopolies" XI. The 18th and 19th Centuries X. And So To The Sherman Act XI. And Back Across the Atlantic to the United Kingdom in the 21st Century XII. "Dishonesty" XIII. Prognosis: The Road To Conviction XIX. Conclusion
Chapter 3 AN OVERVIEW OF RECENT DEVELOPMENTS IN THE ANTITRUST DIVISION'S CRIMINAL ENFORCEMENT PROGRAM James M. Griffin
I. Introduction II. International Cartel Enforcement
A. Investigations B. Cartels Prosecuted C. Fines Imposed D. Percentage of Foreign Corporate Defendants
III. Prosecution of Individuals
A. Jail Sentences Have Increased B. Increasing Length of Jail Sentences C. Conviction of Foreign Executives D. Tracking Down International Fugitives
IV. Increased Cooperation With Foreign Antitrust Authorities
A. International Anti-Cartel Enforcement Workshops B. Assistance in Obtaining Foreign Located Evidence C. Cooperation and Coordination of Investigations D. Adoption of Legislation and Agreements to Foster Cooperation E. Increased Foreign Enforcement
V. Criminal Fines
A. Corporate Fines Have Increased Dramatically B. Year-End Total Fines C. High Top-End Fines
VI. Corporate Leniency Program
A. Application Rate B. Case Generator C. Foreign Authorities Following the U.S. Model D. Amnesty Rewards E. Amnesty Plus F. Penalty Plus G. Confidentiality Policy
Chapter 4 THE FIGHT AGAINST SECRET HORIZONTAL AGREEMENT IN THE EC COMPETITION POLICY Olivier Guersent
Chapter 5 YOU CAN’T LEGISLATE PERFECTION: THE VIRTUES OF EXPERIMENTATION IN THE DESIGN OF ANTITRUST ENFORCEMENT REGIMES D. Stuart Meiklejohn
I. Introduction II. Substantive Uniformity III. Procedural Uniformity IV. The Fugitive V. Conclusion
Chapter 6 U.S. ANTITRUST ENFORCEMENT AGAINST INTERNATIONAL CARTELS: TRENDS AND PRACTICAL CONSIDERATIONS A. Paul Victor
I. Introduction II. Considerations Relevant To Advising Clients In International Cartel Matters
A. Criminal Enforcement Policy B. Criminal Antitrust Investigations
III. Joint Investigations IV. Avoiding Potential Conflicts With Employees V. Plea Agreements VI. Conclusion
Chapter 7 INTERNATIONAL CARTELS ROUNDTABLE A. Paul Victor, Presider Terry Calvani Nicholas Green, Q.C. James M. Griffin Olivier Guersent D. Stuart Meiklejohn Karen L. Morris Panel Discussion
Chapter 8 DOMINANT FIRM BEHAVIOR UNDER GERMAN COMPETITION LAW Dr. Ulf Böge
I. Introduction II. Market Dominance And Restrictive Practices Under German Competition Law – An Overview
A. Discrimination and Hindrance
1. Abusive behavior by firms with relative market power 2. Obligation to deal 3. Offer/sale below cost price
B. Section 19 of the ARC: Abuse of Dominance
1. Pricing 2. Essential facilities
III. Access To Essential Facilities: A Case Example IV. Conclusion
Appendix
Chapter 9 MONOPOLIZATION VERSUS ABUSE OF DOMINANT POSITION: AN ECONOMIST’S VIEW Franklin M. Fisher
I. Introduction II. Testing For Power or Dominance III. Abuse and Anticompetitive Acts IV. Conclusion
Chapter 10 DG COMPETITION'S REVIEW OF THE POLICY ON ABUSE OF DOMINANCE Philip Lowe
I. Introduction II. Context of the Policy Review
A. Reasons For Launching A Review B. Limits of the Review C. Approach
III. Selected Substantive Issues
A. Issues of Market Definition B. The Concept of Dominance C. The Concept of Abuse D. Objective Justifications as a Defence E. Issues Relating To Certain Specific Abuses
IV. Conclusion
Chapter 11 DOMINANT FIRM BEHAVIOUR UNDER UK COMPETITION LAW Sir Derek Morris
I. Introduction II. The New Competition Regime In The UK
A. The UK Regime Prior To 1998 B. The New Regime: The 1998 Competition Act C. The New Regime: The 2002 Enterprise Act
III. Procedural Issues
A. Institutional Arrangements B. Inquiry Procedures
IV. Economics
A. Competition Versus Consumer Welfare B. Co-ordinated Effects C. Assessment of Profitability D. Treatment of Efficiency
V. Conclusions
Chapter 12 THE COMMON LAW APPROACH AND IMPROVING STANDARDS FOR ANALYZING SINGLE FIRM CONDUCT R. Hewitt Pate
I. Introduction II. Single Firm Conduct On The Competitive Continuum III. The U.S. Evolution Toward An Objective Standard For Single Firm Conduct IV. U.S. And EU Enforcement In The Single Firm Arena
A. Duties To Assist Competitors B. Monopoly Leveraging C. Predation D. Bundle Pricing and Fidelity Discounts
V. Conclusion
Chapter 13 MONOPILIZATION AND SHORT-TERM PROFITS Mark R. Patterson
I. Introduction II. Exclusion and Multiple Markets III. The Sacrifice of Profits In The EC IV. Typologies of Market Relationships V. Justifications For The Sacrifice Of Profits
A. The Conduct Produces Cost Savings B. The Profits Were Merely Transferred, Not Sacrificed C. The Downstream Market Is Not Monopolized D. The Conduct Is Profitable E. There Was No Previous Dealing F. There Is Only Involuntary Dealing
Chapter 14 ANTICOMPETITIVE NON-PRICING ABUSES UNDER EUROPEAN AND NATIONAL ANTITRUST LAW John Temple Lang
I. Introduction II. Summary III. Part One
A. The Main Reasons Why EU Law Under Article 82 Is Not Clear
IV. Part Two
A. Foreclosure Under Article 82(B): Limitation of Production, Markets or Technical Development of Competitors of The Dominant Enterprise B. The Extent of The Limitation of Rivals’ Possibilities C. "Limitation" of Rivals’ Possibilities – The Key To Defining Legitimate Competition D. Harm To Consumers
V. Part Three
A. The Only Non-Discrimination Principle: Article 82(C) B. "Equivalent Transactions" C. "Competitive Disadvantage" D. Arbitrage E. Should Article 82(B) or Article 82(C) Apply To Foreclosure? F. Is Harm To Consumers Necessary Under Article 82(C)? G. Different Treatment of Contracting Parties H. Discrimination Linked With Other Anticompetitive Conduct I. Refusals To Make Second Or Subsequent Contracts J. How Many Intellectual Property Licences Under Article 82(A)? K. Justifications For Refusing Second or Subsequent Contracts on Mon-Discriminatory Terms L. Are There Kinds of Unlawful Abuse Not Mentioned In Article 82?
VI. Part Four
A. Essential Facilities Under Article 82(B): The Basic Rules B. When Is A Facility "Essential?" C. The Two Markets D. The Effect of The Refusal on Competition In The Downstream Market E. The Scope For Non-Price Competition In The Downstream Market: More Competition Must Be Promoted Than Is Discouraged F. Acquiring Technology, Cutting Off Existing Buyers, And Refusing To Contract For The First Time G. For A Duty To Contract, The Dominant Company Must Be Present On The Downstream Market H. Justifications For Refusing Access To Essential Facilities I. Reprisal Abuses Under Article 82(B) – Duty To Contract As A Remedy J. Should The Essential Facility Principle Apply In A Special Way To Former Statutory Monopolies? K. Price Squeezes L. "Equally Efficient Competitors" M. Prices For Access To Essential Facilities N. Antitrust Risks of A Duty To Contract In Essential Facility Cases O. If There Is No Duty To Contract, Can There Be A Duty To Contract Only On Reasonable Terms?
VII. Part Five
A. Intellectual Property Rights – The Background B. Compulsory Licensing Of Intellectual Property Rights — The EC Cases C. Compulsory First Licences of Intellectual Property Rights Under Article 82(B) D. The Magill Conditions E. The "Existence" And "Exercise" of Intellectual Property Rights F. The Need For Additional Conduct G. What Is "Additional Abusive Conduct"? H. "Standards" And Compulsory Licences I. Two Single Market Situations: Compulsory Licences As A Remedy J. Compulsory Licences Only As Remedies? K. Proportionality L. The Unsolved Problem of The Rate Of Royalty For A First Licence of Intellectual Property Rights M. Article 82(B): How Many Licensees? N. The IMS Health Case
VIII. Part Six
A. Foreclosure, "Leverage" And Overreactions Under Article 82(B) B. Tying C. Tying Under Article 82(B) and 82(D) D. Prices In Tying and Bundling Cases E. Tying, Capital Gods, Aftermarkets, and "Consumables" Under Article 82 F. Horizontally Integrated Companies: When An Interface Is An Essential Facility G. Horizontally Integrated Companies: Duties Arising From Integration of Products H. Article 82 Cases: The Commission’s Report On The Technology Transfer Regulation I. Efficiency Defences J. Overreaction By Dominant Companies As An Anticompetitive Abuse Under Article 82(B)
IX. Part Seven
A. Simultaneous Application of EU and National Rules on Abuse of Dominance B. Why Are Separate National Laws On Abuse Needed? C. The Risks of Separate National Laws On Abuse D. National Authorities’ Powers and Procedures E. Interim Measures Decisions By National Antitrust Authorities F. National Antitrust Powers and Guidelines G. National Regulatory Authorities
X. Legal Certainty XI. Conclusions
Chapter 15 MONOPILIZATION VERSUS ABUSE OF DOMINANT POSITION Professor Mark R. Patterson, Presider Ulf Böge Professor Franklin M. Fisher Philip Lowe Sir Derek Morris R. Hewitt Pate Dr. John Temple Lang Panel Discussion
Chapter 16 EU COMPETITION POLICY AFTER MAY 2004 Mario Monti
I. Introduction II. Focused Enforcement of EU Competition Rules III. Legal Certainty and Enhanced Economic Approach IV. Co-Operation Between The Commission And The National Competition Authorities and Courts V. Internal Reforms VI. International Co-operation VII. Conclusion
Chapter 17 THE APPLICATION OF ARTICLE 81 IN THE NEW EUROPE Gerwin Van Gerven
I. Introduction II. The Old Vs. New Europe — An Example of "Regime Change"
A. The Regulation No. 17/62 Regime B. The Regulation No. 1/2003Regime
III. The Guidance On Article 81(1) In The Notice
A. The Goal of Consumer Welfare B. No Rule of Reason under Article 81(1)
IV. The Guidance on Article 81(3) In The Notice
A. Which Benefits Count? B. The Restriction Must be Indispensable to Achieving the Benefit C. Fair Share for Consumers D. No Elimination of Competition
V. What Does This Mean?
A. Is the Notice Not a Bit too Abstract and Theoretical? B. Convergence of the Merger Regulation and Article 81 Analytical Frameworks C. Comparison with the Treatment of Efficiencies under the Merger Regulation D. Lessons from the U.S.
Chapter 18 EUROPEAN COMMISSION COMPETITION POLICY William T. Lifland, Presider Mario Monti Professor Dimitris N. Tzouganatos Gerwin Van Gerven Panel Discussion
Chapter 19 STATE ACTION IN COMPARATIVE CONTEXT: WHAT IF PARKER v. BROWN WERE ITALIAN? Professor Eleanor M. Fox
I. Introduction II. United States: Parker v. Brown and The Rights of States III. The European Union: Italian Matches and The Responsibilities of States
A. Consorzio Industrie Fiammiferi
IV. A Comparison V. Conclusion
Chapter 20 COURTS AS ECONOMIC EXPERTS IN EUROPEAN MERGER LAW Professor David J. Gerber
I. Introduction II. Economic Expertise and The European Courts
A. Components of Economic Analysis B. From Analysis To Expertise C. Economicanalysis and General Fact-Finding
III. The Merger Trio Decisions: The Court As Economic Expert?
A. Stated Roles and Standards B. Implicit Roles and Standards
IV. Judicial Roles and The Development of Community Competition Law
A. The Courts’ Role In The Competition Law System B. The Impact of Judicial Roles C. Evolutionary Change
V. Implications For Competition Law Decisions
A. The Institutional Context B. Analytical Capacity and Knowledge C. Potential Distorting Factors
VI. Implications For The Development 0f Competition Law VII. Conclusion
Chapter 21 STATE INTERVENTION/STATE ACTION – A U.S. AND EC PERSPECTIVE FROM CASSIS DE DIJON TO ALTMARK TRANS AND BEYOND: TRENDS IN THE ASSESSMENT OF STATE INTERVENTION THE EUROPEAN COURTS Mário Marques Mendes
I. Introduction II. The Altmark Trans Case: The Revolution In The Application of Article 86(2) [Formerly Article 90(2)] In Conjunction With Article 87(1) [Formerly Article 92(1)] Of The EC Treaty III. Merger Regulation / Powers of The Commission v. Powers of Member States
Chapter 22 STSTE INTERVENTION/STATE ACTION - A U.S. PERSPECTIVE Timothy J. Muris
I. Introduction II. The Problem of Public Restraints III. Strategies For Addressing The Problem
A. U.S. History B. European History C. Combating Public Restraints Through Competition Advocacy
1. Advocacy Addressing Professional Licensing 2. Advocacy Addressing Advertising Restrictions 3. Advocacy Addressing Restraints on E-Commerce 4. Importance of Intergovernmental Cooperation
IV. Combating Public Restraints Through Antitrust Enforcement
A. The State Action Doctrine B. The FTC’s State Action Task Force
1. Problems The Task Force Identified 2. Clarifications The Task Force Recommended
C. Recent FTC Cases Raising State Action Issues
1. South Carolina Board of Dentistry 2. Household Goods Movers Cases
V. Conclusion
Chapter 23 STATE INTERVENTION AND ACTION IN EC COMPETITION LAW Richard Wainwright and André Bouquet
I. Introduction II. General Obligation of Co-Operation of The Member States
A. Article 10 EC and The Inno Doctrine B. The Restatement of The Inno Doctrine In Van Eycke C. Confusing Case Law and The ‘November Revolution’ of Meng, Ohra And Reiff D. Conclusion on The General Co-operation Obligation: A Fossil of The Inno Doctrine?
III. Effects of State Intervention For Undertakings
A. State Compulsion Defence B. State Ecouragement C. Right To Approach Government
IV. Member State Obligations With Regard To Public Undertakings or Undertakings With Special or Exclusive Rights
A. Obligation To Refrain From Measures Contrary To Treaty Rules
1. Combined Application of Articles 86 (1) And 82 EC 2. Combined Application of Articles 86 (1) And 81 EC
B. Balancing Public Service Obligations C. Enforcement
1. Directives 2. Decisions Addressed To Individual States 3. Private and Public Enforcement
V. Member State Obligation To Adjust Existing Monopolies VI. Mergers VII. State Aid VIII. Conclusion
Chapter 24 STETE INTERVENTION/STATE ACTION Professor David J. Gerber, Presider Professor Eleanor M. Fox Dr. Mario Marques Mendes Hon. Timothy J. Muris Richard Wainwright Panel Discussion
Chapter 25 "EAST IS EAST AND WEST IS WEST "AND THE TWAIN SHALL NEVER MEET" OR SHALL THEY? Stefan D. Amarasinha
I. Introduction II. Function and Purpose of Core Principles III. Core Principles In The Trade And Competition Context IV. Trade and Competition Core Principles — Fools Rushing In Where Angels Fear To Tread? V. Misgivings About The WTO As An Institution — Black Elicopters Next? VI. Quo Vadis - If Not The WTO, Where Then?
Annex 1 Annex 2 Annex 3 Annex 4 Annex 5
Chapter 26 COMPETITION, TRADE AND DEVELOPMENT BEFORE AND AFTER CANCUN Frederic Jenny
I. Introduction II Cases of International Cartels
A. Cement In Egypt B. The Aluminium Cartel C. The Heavy Electrical Equipment Cartel D. How Can Egypt Deal With These Cases
III. The Importance of Trans-National Anticompetitive Practices For Developing Countries IV. Two Approaches To The Problem Of Externalities Due To International Anti-Competitive Practices V. Possible Remedies VII. The State of Play Before Cancun| VIII. The Cancun Ministerial Conference IX. Conclusion
Chapter 27 COMPETITION AND THE WTO: BEYOND CANCUN Abbott B. Lipsky, Jr
Chapter 28 WTO CORE PRINCIPLES AND TRADE/COMPETITION ROUNDTABLE Prof. Dr. Ernst-Ulrich Petersmann
I. Introduction
II. The Lack of A "Competition Culture" Undermines The Welfare Effects and Legitimacy of The World Trading System: Need For Transatlantic Leadership
III. Policy Lessons of The Cancun Ministerial Conference: Optional "Plurilateral WTO Competition Rules" Appear Politically More Acceptable Than Mandatory General WTO Competition Rules
IV. Increasing Importance of WTO Competition Rules In WTO Dispute Settlement Practice
Annex 1 Annex 2
Chapter 29 INTERNATIONAL COOPERATION BETWEEN DEVELOPED AND DEVELOPING COUNTRIES Pamela Sittenfeld
I. Introduction II. International Experience
A. World Trade Organization B. Main Challenges
III. Differences and Limitations Between Developed and Developing Countries
A. Legal Differences
1. Agency Design and Procedures 2. Investigative Powers and Access To Information 3. Punitive Powers 4. Prohibited Practices and Rules of Analysis 5. Exception and Exemptions 6. International Regulation
B. Institutional Development
1. Competition Culture and Market Development 2. Resources
IV. Analysis of Proposals For Cooperation Agreements
A. Legislative Harmonization B. Multilateral, Plurilateral, Regional or Bilateral C. General Principles of Trade And Competition
1. Trade Principles
a. Non-Discrimination Principle b. Pocedural Equity c. Transparency
2. Competition Principles
a. Anticompetitive Practices b. Exception And Exemptions
3. Mechanisms of Cooperation
V. Conclusions
Chapter 30 WTO CORE PRINCIPLES AND TRADE/COMPETITION POLICIES Frédéric Jenny, Presider Stefan D. Amarasinha Jacques Bourgeois Abbott B. Lipsky, Jr. Pamela Sittenfeld Debra Valentine Panel Discussion
Appendix to Chapter 30
Book Overview
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