
Archive for March, 2012
Anti-corruption: Anti-Corruption Regulation 2012 (including Canada) – GCR (March 2012)
From GCR:
“Getting the Deal Through is delighted to publish the fully revised and updated sixth edition of Anti-Corruption Regulation, a volume in our series of annual reports, which provide international analysis in key areas of law and policy for corporate counsel, cross-border legal practitioners and business people.
Following the format adopted throughout the series, the same key questions are answered by leading practitioners in each of the 54 jurisdictions featured. New jurisdictions this year include Argentina, Croatia, Cyprus, Ireland and Turkey.”
For more information see:
Anti-Corruption Regulation 2012
Competition: Cartel Regulation 2012 (including Canada) – GCR (February 2012)
From GCR:
“Global Competition Review is delighted to publish the fully revised and updated twelfth edition of Cartel Regulation, a volume in the Getting the Deal Through series of annual special reports providing international analysis in key areas of law and policy for corporate counsel, cross-border legal practitioners and business people.
The globalisation of the world’s economy means that cartel investigations are increasingly likely to be faced simultaneously in multiple jurisdictions. In the format adopted throughout the series, the same key questions are answered by leading practitioners in 46 jurisdictions worldwide. New jurisdictions this year include Belgium, Ecuador, Hungary, Indonesia, Slovakia and Zambia.”
For more information see:
On March 23, 2012, the Competition Bureau issued two new draft merger interpretation guidelines for public consultation:
These new interpretation guidelines provide additional guidance to merging parties as to whether a new pre-merger notification filing (or Advance Ruling Certificate application) is required where a transaction has been amended and calculation of revenues for the pre-merger notification thresholds to account for transactions between affiliates.
On March 22, 2012, the Competition Bureau issued revised draft Abuse of Dominance Guidelines for public comment. The Bureau had previously issued updated draft Abuse Guidelines in January, 2009 (the Bureau’s Abuse of Dominance Guidelines have not been updated since 2001).
Generally speaking, under section 79 of the federal Competition Act, abuse of dominance occurs when a dominant firm (or firms) engages in a practice of anti-competitive acts that results in a prevention or substantial lessening of competition. Canada’s modern abuse of dominance provisions were added to the Act following significant amendments in 1986.
Like other major jurisdictions, in Canada it is not dominance per se that is prohibited, but rather the abuse of a dominant position (Canada does not, unlike the United States, recognize attempted monopolization).
To establish abuse of dominance, the Commissioner of Competition must establish the following elements on an application to the federal Competition Tribunal:
1. A firm (or firms) is dominant in a relevant market (dominance);
2. The firm has engaged in a practice of anti-competitive acts; and
3. The firm’s conduct has resulted in (or is or is likely to result in) a prevention or substantial lessening of competition.
Some of the highlights of the Bureau’s revised draft Abuse Guidelines, which are markedly shorter and more concise that than its previous guidelines, include:
Affirming that market power alone (or high prices) is insufficient to warrant intervention under the abuse of dominance provisions of the Act.
Confirming existing Competition Tribunal jurisprudence in relation to the elements of abuse of dominance (market power, a practice of anti-competitive acts and prevention or substantial lessening of competition). The Bureau also emphasizes that market power is a necessary prerequisite to abuse of dominance inquiries.
Taking the position that, during abuse of dominance inquiries, the Bureau will “generally afford parties the opportunity to respond to [its] concerns regarding alleged contraventions of section 79 and propose an appropriate resolution to address them.”
Indicating a general preference by the Bureau for settlements by way of registered consent agreements (consistent generally with the Bureau’s departure in recent years away from more informal resolutions, such as undertakings).
Articulating the Bureau’s general use of the hypothetical monopolist test for product and geographic market definition.
Setting out more clearly and concisely than previous guidelines the Bureau’s approach to quantitative and qualitative factors for product and geographic market definition. This is one of the most appealing refinements in the Bureau’s new draft Abuse Guidelines.
Increasing the previous “bright line” share thresholds for single firm dominance, with the Bureau now taking the position that a market share of less than 35% will generally not prompt further examination (unchanged), that a market share between 35% and 50% may be examined by the Bureau (a stricter standard for complainants than in the previous guidelines, where a market share of 35% or more would have “generally [prompted] further examination”) and that a market share of 50% or more will generally prompt further examination (increased from the previous 35%).
The Canadian Law and Economics Association has announced a call for papers for its next Annual Meeting on September 28 and 29, 2012. The deadline for submission of papers is July 1, 2012.
From the Canadian Law and Economics Association:
“You are invited to submit a paper for presentation at the next Annual Meeting of the Canadian Law and Economics Association to be held on Friday and Saturday, September 28 and 29, at the Faculty of Law, University of Toronto. Professor Richard A. Epstein, the Laurence A. Tisch Professor of Law at NYU School of Law and the James Parker Hall Distinguished Service Professor Emeritus of Law at the University of Chicago Law School, will deliver the Jim Tory Law and Economics Public Lecture on, “Rate Regulation and Network Industries,” as well a keynote address at dinner on the same topic. As in past years, we are soliciting papers in all areas of law and economics.”
On March 22, 2012, the Competition Bureau announced that as part of its March Fraud Prevention Month efforts, it was joining forces with Citizenship and Immigration Canada (“CIC”) to “warn potential immigrants to be wary of websites claiming to be, or to be affiliated with, official Government of Canada websites.”
In making the announcement, the Bureau said:
“These websites, which sometimes use the Canada wordmark or CIC logo without permission to target individuals wishing to live in Canada, purport to offer special immigration deals or guaranteed high-paying jobs for a fee. Unfortunately, these claims are fraudulent and the victim loses his or her money with no tangible results.
The only people who may charge a fee to represent or advise people in connection with a Canadian immigration proceeding or application are authorized immigration consultants, lawyers, Quebec notaries, and paralegals regulated by a law society. Under Canada’s immigration programs, all people are treated equally, whether they hire someone to represent them or not.”
As part of this new joint effort, the Bureau and CIC are offering tips to potential new citizens to avoid falling victim to fraud – see: here.
The National Competition Law Section of the Canadian Bar Association has announced a call for submissions for its annual James H. Bocking Memorial Award.
From the CBA:
“The CBA National Competition Law Section James H. Bocking Award was established by the National Competition Law Section of the Canadian Bar Association to honour annually the best scholarly paper submitted to the Section on a subject relating directly to Canadian competition law or policy.”
The Antitrust Law Section of the American Bar Association has announced an interesting upcoming teleconference on APEC’s new Cross Border Privacy Rules System entitled “Asia Pacific Economic Cooperation: Cross Border Privacy Rules Introduction and Spotlight on Canada”. The ABA’s teleconference will be held on April 16, 2012.
Speakers will include Daniele Chatelois from Industry Canada (Chair of the APEC Data Privacy Subgroup) and Josh Harris from the U.S. Department of Commerce (Vice-Chair of the APEC Data Privacy Subgroup).
On March 21, 2012, the Competition Bureau announced that it had launched a new publication entitled: The Little Black Book of Scams.
In making the announcement, as part of its March Fraud Prevention Month efforts, the Bureau said:
“As part of Fraud Prevention Month, the Competition Bureau is launching The Little Black Book of Scams, a compact and easy to use reference guide filled with information Canadians can use to protect themselves against a variety of common scams.
While Fraud Prevention Month is nearing its end, consumers and businesses can consult The Little Black Book of Scams year-round to avoid falling victim to Internet scams, fake lotteries, romance scams, and many other schemes used to defraud Canadians of their money or personal information.
The booklet offers information on how these scams work, how to recognize them, as well as practical tips on how consumers can protect themselves. It also debunks common myths about scams, provides contact information for reporting a scam to the correct authority, and offers a step-by-step guide for scam victims to reduce their losses and avoid becoming repeat victims.”