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February 1, 2011

We are pleased to provide this global competition law update from our friends at the leading Singapore firm Rajah & Tann.

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January 26, 2011

The Competition Bureau (the “Bureau”) has announced today that it has applied to the federal Competition Tribunal (the “Tribunal”) for a Tribunal order to dissolve (i.e., unwind) CCS Corporation’s acquisition of Complete Environmental Inc., owner of the proposed Babkirk Secure Landfill in Northeastern British Columbia (see: Competition Bureau Challenges BC Landfill Merger).

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January 26, 2011

The U.K. Office of Fair Trading (OFT) has announced that it has launched an investigation into suspected cartel (conspiracy) activity among commercial vehicle manufacturers in the U.K.  According to the OFT, the potential cartel may involve price-fixing, market sharing and/or other types of anti-competitive coordination between competing vehicle manufacturers under the Enterprise Act 2002 and the Competition Act 1998 (see: OFT Request for Information on Suspected Cartel Activity Involving Manufacturers of Commercial Vehicles).  In connection with its investigation, the OFT is also requesting information that may be relevant to its investigation.

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The U.K. Office of Fair Trading has issued a decision that the Royal Bank of Scotland and Barclays participated in anti-competitive practices relating to loan products provided to professional services firms, imposing a fine of £28.59 against RBS (see: OFT Issues Decision in Loan Pricing Case).

In announcing the decision, the OFT said:

“This brings the OFT’s investigation to a conclusion. The fine was the subject of an earlier agreement between the OFT and RBS, under which RBS admitted to certain breaches of competition law between October 2007 and February or March 2008 and agreed to co-operate with the OFT.  Barclays brought the matter to the OFT’s attention and, under the OFT’s leniency policy, has not been fined.

The OFT has concluded that between October 2007 and February or March 2008 individuals in RBS’s Professional Practices Coverage Team disclosed generic as well as specific confidential and commercially sensitive future pricing information to their counterparts at Barclays. The disclosures by RBS took place through a number of contacts on the fringes of social, client or industry events or through telephone conversations.”

The OFT’s Senior Director of Cartels and Criminal Enforcement also said:

“The disclosure of confidential future pricing information to competitors is unlawful. This decision sends out a strong message that such practices, even where they arise in the context of informal contacts between competitors, can result in substantial penalties for the companies involved. It is therefore important that companies take steps to ensure an effective compliance culture that is understood by individuals throughout their organization.”

Like Canada, the U.K. Competition Act 1998 prohibits certain types of agreements that may have a damaging effect on competition (in Canada, some types of agreements between competitors, including price-fixing and market allocation/division agreements, are “per se” illegal without any requirement to show any anti-competitive effects, while others are potentially subject to civil review where they prevent or lessen competition substantially in a relevant market).

Unlike Canada, however, where an agreement or arrangement must be proven, U.K. and EU competition rules prohibit not only certain types of anti-competitive agreements, but also certain “concerted practices” that have the object or effect of preventing, restricting or distorting competition, which can include the exchange of pricing information between competitors.

As such, the potential risk associated with the exchange of competitively sensitive information between competitors, including through third parties such as customers or suppliers, is considered to be higher in the U.K. and Europe than in Canada (though is still considered to be a high risk area under both Canadian and American competition/antitrust law).  In this regard, courts and competition/antitrust enforcement agencies are inherently suspicious when direct competitors exchange commercially sensitive information or engage in discussions regarding confidential aspects of their businesses.

Some of the types of competitively sensitive information that can raise issues when exchanged among direct competitors, without adequate precautions, include information relating to individual pricing (e.g., current or future pricing, pricing formulas and discounts), costs, sales and terms of sale, territories, markets, market shares, capacity and production data, output, customers and business and strategic plans.

The principal risk of exchanges of competitively sensitive information between competitors is that they can lead to agreements that violate the criminal conspiracy provisions under section 45 of the Competition Act.  In addition, even where an express agreement does not exist, such exchanges can allow the federal Competition Bureau or a court to more easily infer the existence of an agreement.  For example, in its recently issued Competitor Collaboration Guidelines, the Competition Bureau has highlighted the potential risk that an information exchange between competitors can lead to the inference of an agreement that contravenes the Competition Act.

Common precautions taken in the context of legitimate information gathering exercises, such as trade association research or benchmarking exercises, include aggregating the information collected (so that individual competitors are not identified), restricting information to historical information and using independent third parties to collect and distribute research or benchmarking results to reduce the likelihood of actual or tacit coordination among competitors.

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January 18, 2011

The Competition Bureau has announced that it has reached a settlement with two spa retailers in relation to allegedly false energy savings claims (see: Spa Retailers Required to Stop Making False ENERGY Star Claims).  According to the Bureau, the retailers had made misleading representations incorrectly conveying the impression that their hot tubs or insulation met the criteria of the ENERGY STAR Program.

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January 16, 2011

The U.S. Department of Justice has announced that another executive has been indicted for his role in the global LCD price-fixing conspiracy.  According to the U.S. DoJ, a federal grand jury in San Francisco returned an indictment against the current president of HannStar Display Corporation for participating in a global conspiracy to fix the prices of thin-film transistor liquid crystal display (TFT-LCD) panels.

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January 14, 2011

The U.K. Office of Fair Trading has announced that seven insurance companies and two IT software and service providers have offered formal commitments to resolve the OFT’s concerns in relation to an information exchange system implemented by the companies. For a copy of the OFT’s Press Release, see: Motor insurers agree to limit data exchange after OFT investigation.

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January 14, 2011

By G.R. Bhatia of Luthra & Luthra (India)

‘Dawn Raids’ colloquially known as ‘unannounced search & seizure’ is a common tool that may be used by the investigating arm of a competition law agency to gather documentary evidence in an anti-trust probe. Such visits by officials of the competition law agency are increasingly becoming a global phenomenon.  The competition law jurisprudence also suggests a higher rate of detection of anti- trust infringements in cases where raids are undertaken.

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    buy-contest-form Templates/precedents and checklists to run promotional contests in Canada

    buy-contest-form Templates/precedents and checklists to comply with Canadian anti-spam law (CASL)

    WELCOME TO CANADIAN COMPETITION LAW! - OUR COMPETITION BLOG

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    We offer business, association, government and other clients in Toronto, Canada and internationally efficient and strategic advice in relation to Canadian competition, advertising, regulatory and new media laws. We also offer compliance, education and policy services.

    Our experience includes more than 20 years advising companies, trade and professional associations, governments and other clients in relation to competition, advertising and marketing, promotional contest, cartel, abuse of dominance, competition compliance, refusal to deal and pricing and distribution law matters.

    Our representative work includes filing and defending against Competition Bureau complaints, legal opinions and advice, competition, CASL and advertising compliance programs and strategy in competition and regulatory law matters.

    We have also written and helped develop many competition and advertising law related industry resources including compliance programs, acting as subject matter experts for online and in-person industry compliance courses and Steve Szentesi as Lawyer Editor for Practical Law Canada Competition.

    For more about us, visit our website: here.