Archive for the 'Competition Bureau' Category
March is Fraud Prevention Month. On March 5, 2012, the Competition Bureau issued the following tips for consumers to protect themselves against fraud:
Be vigilant when evaluating ads, whether for a job, a product or service offered online, over the phone or in print.
Before sending money or giving credit card or account details, be sure you understand what you are agreeing to. Do not feel pressured into paying for a product or service because of threats that your credit rating will be damaged.
Know who you are dealing with. Be wary of any unsolicited phone calls, emails, text messages or letters from unknown sources.
Search for the company, the individuals, the product or the offer on the Internet, and verify any contact and company details.
A few days ago we posted a short note describing the Royal Bank of Scotland N.V. (Canada) Branch (“RBS”) obtaining a stay in Ontario Superior Court to produce documents under section 11 orders obtained by the federal Competition Bureau (the “Bureau”) (see: RBS Wins Stay in LIBOR-TIBOR Price-fixing Case).
The Competition Bureau announced earlier today that five companies and three individuals were found by the Ontario Superior Court of Justice to have violated the Competition Act in relation to a deceptive marketing operation (see: Competition Bureau Secures Over $9 Million and Money Back to Victims for Business Scam).
As our new competition law handbook for associations is now out, The Competition Law Guide for Trade Associations in Canada, we thought we would post a few of the more interesting competition/antitrust association cases from 1905 to 2012.
Our small tiptoe through the history of associations and competition law will include cases involving ambulance operators, banks, building contractors, business forms suppliers, coal dealers, corrugated box manufacturers, corrugated metal pipe manufacturers, electrical contractors, fruit growers, gypsum dealers and manufacturers, insurance salespersons, lawyers, mandarin orange importers, notaries, pharmacists, paper mills, plumbing contractors and suppliers, real estate agents, softwood lumber dealers, surveyors and wholesale grocers, among others.
We’ll wrap up with the ongoing TREB case, the CREA case (settled in the fall of 2010) and a few of the more interesting recent international association cases over the past decade. The following are a couple more golden oldies from the “trusts” era:
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The King v. Clarke (1907)
In The King v. Clarke, the president of the Alberta Retail Lumber Dealers’ Association was accused of conspiracy under section 498 of the Criminal Code. This case involved an agreement among the members of the association to fix the price of lumber in various parts of Alberta, including penalties for non-compliance and pressure on lumber manufacturers to refuse to supply to non-members. The association’s by-laws expressly provided for association price lists, the regulation of price in different geographic regions and penalties for non-compliance by members. The accused was convicted at trial, which was affirmed on appeal.
R. v. McMichael (1907)
In R. v. McMichael, the manager of the Dominion Radiator Company was accused of conspiracy under section 520 of the Criminal Code. This case involved agreements between the Master Plumbers Association and the Central Supply Association, including the Dominion Radiator Company, whereby plumber members would buy all of their goods from suppliers that agreed to only supply to the general public and non-member plumbers at higher prices. The accused was found guilty and ordered to pay a fine and serve three months in prison.
The Competition Bureau announced earlier today that it was kicking off Fraud Prevention Month with a series of panel discussions on fraud prevention across Canada that will assemble experts from law enforcement agencies, academics and business and consumer groups.
In making the announcement, the Bureau said:
“The Competition Bureau is organizing a series of panel discussions on fraud prevention across Canada that will bring together experts from law enforcement agencies, academia, as well as businesses and consumer groups. The focus of these discussions will be on practical strategies for fighting fraud and raising awareness so that Canadians can protect themselves in the marketplace, particularly in the online and mobile environments. These events will take place at the University of Ottawa on March 6, at the University of Alberta in Edmonton on March 8, and at Concordia University in Montreal on March 13.
Fraud is a crime that affects individuals, businesses and the economy as a whole. ‘It’s a matter of confidence,’ said Melanie Aitken, Commissioner of Competition. ‘Consumers need to know enough to make informed purchasing choices, based on advertising that is truthful and complete.’
The Competition Bureau, along with the Fraud Prevention Forum, plays an important role in helping Canadians get the information they need to be informed and confident consumers. Consumers also have a role to play in stopping fraud by arming themselves with the facts and reporting fraud when they encounter it.
The Fraud Prevention Forum, chaired by the Competition Bureau, is comprised of more than 125 private sector firms, consumer and volunteer groups, government agencies, and law enforcement organizations that have come together to help combat fraud and raise awareness. During Fraud Prevention Month, Forum members will participate in a number of targeted activities across the country, designed to raise awareness among consumers and businesses about the dangers of fraud.”
Recent fraud related cases that the Bureau has been involved in include bid-rigging (see: here and here), price-fixing (see: here, here, here, here, here and here), market division (see: here), deceptive telemarketing (see: here and here) and deceptive marketing cases (see: here and here).
The Competition Bureau has published its February edition of CB In Brief (see: CB In Brief – February 2012).
This edition includes announcements relating to the Chicoutimi Hospital bid-rigging case, 2012 increase of the size of transaction merger threshold and the Bureau’s new monthly reports of concluded merger reviews.
On February 27, 2012, the Commissioner of Competition brought a motion for the production of nine years of MLS data from The Toronto Real Estate Board in this ongoing abuse of dominance case. According to the Commissioner’s motion, the Bureau has unsuccessfully requested this presumably vast volume of MLS data from TREB and now seeks to compel TREB to produce the data, which is, according to the Bureau, “at the very heart of [the] proceeding”.
In particular, the Bureau asserts that TREB’s MLS data is relevant to its assessment of geographic market, market shares of individual brokerages and agents, the ability of real estate brokers that wish to use “virtual office websites” or “VOWs” effectively against incumbent real estate brokers and issues relating to commissions.
The Bureau’s theory in this case is essentially that TREB has abused its dominant position in the residential real estate services market in the Greater Toronto Area through membership rules that restrict its members’ ability to operate “virtual office websites” or “VOWs”.
Real estate board MLS systems in Canada, which are operated by local real estate boards, typically include a range of information relating to both property listings (e.g., price, dimensions and other relevant property characteristics, such as number of rooms, bedrooms, zoning, etc.) and “sold” information once a property is sold (e.g., sale price, number of days a property was on the market, agents involved in the sale, etc.).
While TREB has asserted privacy law concerns regarding the disclosure of its MLS data, the Bureau asserts privacy law exceptions in its pleading. The Bureau also pleads the Tribunal’s discovery rules for the right to obtain production of documents (see: notice of motion, Competition Tribunal Rules).
Hearing dates have been scheduled in this case for September, 2012 (see: Revised Scheduling Order).
We are pleased to announce that we will be facilitating a compliance course at the Real Estate Board of Greater Vancouver on February 29, 2012 entitled “Competition Law and REALTORS®: What You Say and Do Matters”.
About this course:
Competition Law and REALTORS®: What You Say and Do Matters was designed by ACRE with the assistance of CREA to help Canadian REALTORS® understand and comply with Canadian competition law. While Canadian competition law applies to all real estate professionals, this course was designed specifically for REALTORS®. This course provides an overview in plain language of Canadian competition law and practical compliance guidelines to assist REALTORS® in complying with Canadian competition law and a number of illustrative case studies. This national competition law course is available to members of Canadian real estate boards and associations. Read the rest of this entry »