Us Antitrust Law: Central, but Unique

Author(s):  
David J. Gerber

US antitrust law has long influenced all who deal with competition law—sometimes as a model, sometimes as a source of experience and insights, and sometimes as a surrogate for an “international standard.” It also has great practical importance in international business. This chapter provides information and insights necessary for understanding its roles and engaging with its rules and procedures. The chapter explains its institutional structures, basic principles of substantive law, and the central role of economic analysis in deciding cases. In particular, it throws light on the unique way in which judicial decisions (case law) guide decisions in all institutions and on the central significance of the categories of “rule of reason” and “per se treatment.” It also provides insights into the dynamics of the regime—the factors that drive antitrust decisions. It also sketches the ways in which it exercises influence on other competition law regimes.

2005 ◽  
pp. 100-116
Author(s):  
S. Avdasheva ◽  
A. Shastitko

The article is devoted to the analysis of the draft law "On Protection of Competition", which must substitute the laws "On Competition and Limitation of Monopolistic Activity on Commodity Markets" and "On Protection of Competition on the Financial Services Market". The innovations enhancing the quality of Russian competition law and new norms providing at least ambiguous effects on antimonopoly regulation are considered. The first group of positive measures includes unification of competition norms for commodity and financial markets, changes of criteria and the scale of control of economic concentrations, specification of conditions, where norms are applied "per se" and according to the "rule of reason", introduction of rules that can prevent the restriction of competition by the executive power. The interpretation of the "collective dominance" concept and certain rules devoted to antimonopoly control of state aid are in the second group of questionable steps.


Author(s):  
David J. Gerber

European competition law is the other central player in the competition law world, so an entire chapter is devoted to understanding how it works and how to deal with it. Virtually all firms operating beyond their own national boundaries need to pay attention to it, many regimes use it as a model and reference point, and its institutions have broad and often deep influence on many others. Some aspects of the substantive law are similar to US antitrust, but the similarities are sometimes misleading. For example, EU law uses economic analysis in ways that often differ from how it is used in the US. Procedural and institutional arrangements are often complicated. They represent multiple voices, as national and EU institutions function together to create, apply, and enforce competition law. The chapter reveals how this system functions and what factors guide decisions in it. It looks, in particular, at the institutional arrangements between the EU and its member states, including the role of the European Competition Network.


2016 ◽  
Vol 2016 (1) ◽  
pp. 84-107
Author(s):  
Andrey Makarov

This article analyzes the antitrust enforcement practice in Russia (2008–2010) in the area of competition restricting agreements (horizontal and vertical). The analysis is based on courts decisions database (litigations with the Russian competition authority - FAS). Database contains 242 cases, including 139 horizontal agreements, 103 vertical and mixed agreements. On the basis of this database we have analyzed important features of the interpretation and implementation of the competition law in Russian practice, priority areas of the enforcement. We considered the antitrust policy taking into account the risks of errors of 1 and 2 types, including the problem of the flexibility of prohibitions (PER SE vs RULE OF REASON), standards of proof, consistency of enforcement, etc.


2017 ◽  
Vol 13 (4) ◽  
pp. 154
Author(s):  
Jonida Lamaj

This Article analyzes the evolution of Antitrust Law (known as Competition Law in Europe) in United States of America. It is important to study the history of Antitrust Law in USA, because the roots and the origin of this important law and regulation that guarantee the economic rights and freedoms of persons and companies has started in USA, inherited from the Common Law system. This Article is composed by 4 main components, such as: Introduction of Antitrust Law, History of Sherman Act, History of Clayton Act and The enforcement of Competition Law in USA. A greater attention is given to the Sherman Antitrust Act. To better understand the Sherman Act, it is described the history path of the legalization of the act, reason why this act was implemented in USA, which were some challenges of the system at that time, how it is enforced, etc.? The same analogy is done with the Clayton Act and other amendments of Antitrust Acts. At the end of the paper it is introduced the main tools that helps to function the Antitrust law in USA, by analyzing the role of Department of Justice Antitrust Division, the Federal Trade Commission and Exemptions and Immunities.


Author(s):  
Bui Thi-Hang Nga

With the nature of practically irreplaceable and the monopoly of the protection documents, the law has given the intellectual property rights (IPRs) owner a competitive advantage, as well as a market power. As a result, to extent the market power and create a monopoly position to maximize profitability, IPRs owners tend to abuse IPRs to limit competition. Although the exclusive right to IPRs is a legal monopoly comes from protection documents, it does not mean that the owner has the right to abuse this monopoly to limit competition. This is because such behavior is not considered an exception under the Competition Law and shall be prohibited in case the satisfaction of provision violating conditions of the Competition Law. However, in order to balance the interests of related subjects, in assessment of the Competition Law violations of IPRs abuses, the laws of countries fully recognized and applied the rule of reason instead of per ser as Competition Law violations in general. The article aims to analyze and explain the purpose of the application of the rule of reason when assessing the violation of the Competition Law of IPRs owner and when using the per se, in respect of the legal monopoly of the IPRs subjects. The paper then provides proposals to complete the Vietnamese Competition Law which governs the abuse of IPRs owners.


2018 ◽  
Vol 20 ◽  
pp. 233-251
Author(s):  
Joe TOMLINSON ◽  
Liza LOVDAHL GORMSEN

AbstractWhile there has been much talk of the role of parliaments and courts in the Brexit process, far less—indeed very little—has been said about the challenges facing the largest part of the UK government: the administrative branch. Whatever results from the UK’s negotiations with the EU, Brexit will likely necessitate wide-ranging and fast-paced administrative reform in the UK. In this article, we use a detailed case study of a particular part of administration—the Competition and Markets Authority (‘CMA’)—to highlight the nature and extent of the challenges facing administrative agencies. This case study is demonstrative as, while there is an extant UK competition administration structure, competition law and its enforcement are highly Europeanised. We propose that the challenges facing administrative bodies in the UK—including the CMA—can be understood as possessing three key dimensions: internal organisation issues; external coordination issues; and substantive legal issues. We argue that, in many instances, these three dimensions will be in tension which each other. That is to say, the reality of reforming administration post-Brexit will involve trade-offs between questions of internal organisation, external coordination, and substantive law.


2016 ◽  
Author(s):  
Mark Lemley

The overwhelming majority of intellectual property lawsuits settle beforetrial. These settlements involve agreements between the patentee and theaccused infringer, parties who are often competitors before the lawsuit.Because these competitors may agree to stop competing, to regulate theprice each charges, and to exchange information about products and prices,settlements of intellectual property disputes naturally raise antitrustconcerns. In this paper, we suggest a way to reconcile the interests ofintellectual property law and antitrust law in evaluating intellectualproperty settlements. In Part I, we provide background on the issue. PartII argues that in most cases courts can determine the legality of asettlement agreement without inquiring into the merits of the intellectualproperty dispute being settled, either because the settlement would belegal even if the patent were invalid or not infringed, or because thesettlement would be illegal even if the patent were valid and infringed.Only in a narrow class of cases will the merits of the intellectualproperty dispute matter. In Part III, we argue that in that narrow middleset of cases antitrust's rule of reason is unlikely to be helpful. Rather,courts must inquire into the validity, enforceability, and infringementissues in the underlying case, with particular sensitivity to both the typeof intellectual property right at issue and the industrial context of thedispute. In Part IV, we apply our framework to a number of commonsettlement terms, most notably the use of exclusion payments to settlepharmaceutical patent disputes. We argue that exclusion payments thatexceed litigation costs should be deemed illegal per se. There is nolegitimate reason for such payments, and the most likely reason - to permitthe patentee to exclude competition that would likely have occurred absentthe payment - is anticompetitive. Further, legitimate patent disputes canbe settled in other ways than with an exclusion payment - for example, bylicensing the defendant or by agreeing to delay entry.


Author(s):  
Nga Hang Bui Thi

Article: Applying the rule of per se and rule of reason to assess the violation of the Competition Law by the IPRs owners (DOI: https://doi.org/10.32508/stdjelm.v4i2.627) by Bui Thi Hang Nga is added new section as below: Acknowledgement This study is funded by University of Economic and Law, VNU-HCM, Vietnam under grant number CS/2019-15.


2018 ◽  
Vol 2018 (1) ◽  
pp. 65-81
Author(s):  
Andrej Makarov

This article discusses the rapid formation of the Rule of Reason (ROR) approach in antitrust policy in the field of anti — competitive agreements. In many countries (the US, EU) there was a significant reduction of the use of per se approach (prohibition on the base of formal characteristics) in favor of the ROR approach, nowadays agreements are usually permitted or prohibited on the basis of the analysis of positive and negative effects. The article analyzes and summarizes the experience of these jurisdictions in the development of the ROR approach, the chronology for agreements of various types (horizontal, vertical agreements). The role of discussions in economic theory in this process was provided the argumentation for the expansion of effects evaluation. At the same time, the article examines the problems of this transformation, taking into account the problems of legal uncertainty, growing risks of type 2 errors.


2016 ◽  
Author(s):  
Mark Lemley

Legal doctrines vary in the extent to which they apply either detailed,categorical rules or broad, open-ended standards that allow forcase-specific adjudication. Antitrust law is generally thought of asinhabiting the standards end of this spectrum. In fact, however, despitethe generality of the enabling statutes antitrust law is rife withcategorical distinctions.In Part I, we explore not only the well-known distinction between conductthat is per se illegal and conduct judged under the rule of reason, butalso a number of categorical distinctions the courts draw, either to helpdelineate the scope of the per se rule or to create distinctions within thescope of the rule of reason itself. By and large these rules don't comefrom the antitrust statutes. They are created by courts, who are in effectconverting case-specific standards en masse into categorical rules.In Part II, we identify a number of problems with these distinctions. Oneproblem is administrative: courts spend a great deal of time trying toparse conduct in order to put it on one side or another of the lines theyhave created. Indeed, in many cases courts spend more time oncategorization than they do on actual economic analysis of the case itself.Second, judicial antitrust categories are subject to manipulation. Partiesgo to great lengths to fit into a box that will give them more favorabletreatment, sometimes by legal argument, sometimes by restructuring atransaction, and sometimes by concealing or misrepresenting the facts ofthat transaction. Third, a number of the categories the courts have createdmake no sense, whether because they have lost their meaning over time,because their boundaries have eroded, because they actually tell us verylittle of relevance to the competitive effects of the transaction, orbecause they are simply dumb. The net result is a mess. Categories havebecome conclusions, displacing the fact-specific economic analysis in whichantitrust law is supposed to be engaging.In Part III, we argue that there is a better way. We evaluate the costs andbenefits of the judicial creation of categories, and contend that thecomplex of antitrust boxes the courts have created today does more harmthan good. We don't mean to suggest there is no value to categories, andthat everything must be thrown into a pure cost-benefit analysis. Somerules (the per se rule against price fixing, for instance) make sense.Rather, the important thing is to make sure that the categories we use haveempirical support, and that they are communicating valuable information tocourts about the competitive effects of a general practice. We think thecourts have gone too far in the creation of rules in a variety of cases.Finally, we suggest that courts make more use than they do of certain tools- the doctrine of direct economic effect and empirical evidence - aspowerful filters for distinguishing good from bad antitrust claims.


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