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Tytuł:
Стосунки уряду та опозиції в Чехословаччині в кінці 80-х – на початку 90-х років XX ст.
Relationship between the Government and the Opposition of Czechoslovakia at the End of 80th Beginning of 90th of XX century
Autorzy:
Бусленко, Василь
Powiązania:
https://bibliotekanauki.pl/articles/489347.pdf
Data publikacji:
2016
Wydawca:
Polskie Towarzystwo Naukowe w Żytomierzu
Tematy:
political opposition
Czechoslovakia
government
authority
competition
Opis:
The study aims to identify of the specific models of cooperation between government and opposition in Czechoslovakia in transition period. In the article the prerequisites of confrontational relationships and their projection on the level of political competition and the formation of new political institutions in terms of democratization are determined. Was proved that the character of the relationship between government and opposition in Czechoslovakia was largely determined by degree of democratization of the regime and the opposition force, it`s goals and strategies. In the late 80th under pressure of the opposition, parties have moved from confrontation to cooperation, what reflected on co-option of the opposition members to the government. However, at the coalition government in fact was no division on pro-government and opposition forces, which made adaptation of opposition to the new socio-political conditions more complicated. A fundamental difference between the relationship of government and opposition in West European countries and Czechoslovakia was noted. In West European countries, the relationship found expression in both legal and political norms. They were characterized by the fact that they are in mutual consent of the parties to act before all in the public interest without going beyond existing law. In Czechoslovakia the main opponents of the ruling forces were communists who had radically different understanding of the main goals of social development. As for the anti-communist opposition, which operated until 1989, its isolation and the virtual disappearance were observed. The elections did not lead to authority post-communist forces, as it were observed in Poland and Hungary. The weakness of the opposition until 1989 gave her little chances at a new political conditions. It was weakened by internal divisions. Against the background of a weak opposition increased level of competition between pro-government parties. This, to some extent, contributed the establishment of new informal rules of electing of the president and prime minister of the federal government. After the first free parliamentary elections, relations between the government and the opposition have changed to a more confrontational with minimal consensus. In Czechoslovakia, in contradistinction to Poland and Hungary, there was no opposition repositioning, i.e. its transformation from outsider of changes of political order to an active participant in the parliament. Post-opposition forces remained weak and separated political entities. In 1991-1992 clear division between progovernment and opposition forces cannot be traced. Blurred boundaries between political opponents were intensified duality of political regime, that combines the features of the previous and democratic, centrifugal tendencies, regionalization of political parties. The competition took the form of real competition within the ruling group, formally differentiated by geographic criteria into two political parties. All this weakens the inter-party competition at the level of «government-parliamentary opposition» at the national level and put the problems of democratization to the second plan, giving priority to processes of formation of independent states of Czech Republic and Slovakia.
Źródło:
Studia Politologica Ucraino-Polona; 2016, 6; 162-168
2312-8933
Pojawia się w:
Studia Politologica Ucraino-Polona
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
Competition Law Enforcement in Italy after the ECN+ Directive: the Difficult Balance between Effectiveness and Over-enforcement
Autorzy:
Valentina, Giacomo Dalla
Powiązania:
https://bibliotekanauki.pl/articles/2159122.pdf
Data publikacji:
2019-12-12
Wydawca:
Uniwersytet Warszawski. Wydawnictwo Naukowe Wydziału Zarządzania
Tematy:
Competition Law
Public Antitrust Enforcement
Italian Competition
Authority
ECN+ Directive
Opis:
Almost fifteen years after its adoption, the system of decentralized enforcement laid down in Regulation 1/2003 has shaped competition law in a way that could hardly be predicted, in terms of both magnitude and quality of the activities of National Competition Authorities. More recently, the so-called ‘ECN+ Directive’ was adopted to address the shortcoming of such system, namely a perceived lack of independence and accountability of several NCAs and a certain degree of divergence within the European Competition Network. In this scenario, the Italian Competition Authority has frequently been depicted as a well-equipped, independent and effective enforcer and – with a few notable exceptions – the international debate concerning such reform has mostly overlooked its possible impact within the Italian legal system. This paper aims to assess whether, and to what an extent, the ECN+ Directive should affect the enforcement of competition law in Italy and, in particular, those fundamental guarantees of independence and effectiveness that form the core of the rule of law in the field of EU competition law. independent and effective enforcer and – with a few notable exceptions – the international debate concerning such reform has mostly overlooked its possible impact within the Italian legal system. This paper aims to assess whether, and to what an extent, the ECN+ Directive should affect the enforcement of competition law in Italy and, in particular, those fundamental guarantees of independence and effectiveness that form the core of the rule of law in the field of EU competition law.
Presque quinze ans après son adoption, le système d’application décentralisée prévu par le règlement n° 1/2003 a influencé le droit de la concurrence d’une manière difficilement prévisible, tant en termes d’ampleur que de qualité des activités des autorités nationales de concurrence. Plus récemment, la directive dite «ECN+» a été adoptée pour remédier aux lacunes de ce système, à savoir le défaut d’indépendance et de responsabilité de plusieurs autorités nationales de concurrence et un certain degré de divergence au sein du réseau européen de la concurrence. Dans ce scénario, l’autorité italienne de la concurrence a souvent été présentée comme une autorité bien équipée, indépendante et efficace, et – à moins de quelques exceptions – le débat international concernant cette réforme a pour la plupart négligé son impact possible dans le système juridique italien. Le present article vise à établir si, et dans quelle mesure, la directive ECN+ doit affecter l’application du droit de la concurrence en Italie et, en particulier, les guaranties fondamentales d’indépendance et d’efficacité qui constituent le fondement de l’État de droit dans le domaine du droit communautaire de la concurrence.
Źródło:
Yearbook of Antitrust and Regulatory Studies; 2019, 12, 20; 91-110
1689-9024
2545-0115
Pojawia się w:
Yearbook of Antitrust and Regulatory Studies
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
Ogólne prawne warunki konkurencji w Albanii
The overall albanian legal framework of competition
Autorzy:
Tozaj, Loreta
Powiązania:
https://bibliotekanauki.pl/articles/1826566.pdf
Data publikacji:
2019-05-12
Wydawca:
Uniwersytet Przyrodniczo-Humanistyczny w Siedlcach
Tematy:
Competition Authority
Competitive Intelligence (CI)
European Union
Law
Albania
Analiza konkurencyjności
Urząd ds. konkurencji
Prawo
Unia Europejska
Opis:
Niniejszy artykuł ma na celu odzwierciedlenie i analizę zmian prawnych i instytu-cjonalnych warunków konkurencji w Albanii, prezentując punkt widzenia autora na podstawie różnych dokumentów, aktów prawnych i artykułów różnych autorów. Albania jest małym krajem europejskim, który od wejścia w życie Układu o Stabilizacji i Stowarzyszeniu był prawnie zobowiązany do spełnienia tzw. “kryteriów kopenhaskich", a mianowicie: kryteriów politycznych (demokracja, praworządność, prawa człowieka, ochrona mniejszości) oraz kryteriów ekonomicznych (funkcjonująca gospodarka rynkowa i zdolność do radzenia sobie z presją konkurencji na rynku wewnętrznym Unii Europejskiej). W tym kontekście Albania poczyniła znaczne postępy w rozwijaniu stabilnej i funkcjonującej gospodarki rynkowej, jednak istnieje wiele możliwości dalszej poprawy w wielu aspektach. Wydaje się, że gospodarka albańska ma większość podstawowych elementów funkcjonalnej polityki konkurencji, chociaż istnieją pewne luki, a zapisy dotyczące egzekwowania przepisów wydają się ograniczone. Dążąc do rynku UE, Albania jest spóźniona i przede wszystkim wchodzi na rynek, który jest wysoce konkurencyjny i bardzo wymagający pod względem jakości, niezawodności i wydajności dostaw.
This paper aims to reflect and analyze developments in the legal and institutional frame-work of competition in Albania bringing the author's point of view based on various documents, legal acts and numerous papers of different authors. This paper also seeks to identify, the results achieved by the implementation of the new legal and institutional Albanian framework, regarding the fact that since 2004 Albania has been applying competition law/policy as an economic regulation that affects both the structure of markets and the conduct of market participants. Albania is a small European country, which since the entry into force of the SAA, has been legally obliged to fulfill the so-called “Copenhagen criteria”, namely: political criteria (democracy, rule of law, human rights, protection of minorities) and economic criteria (functioning market economy and capacity to cope with competition pressure within the internal market of the European Union). In this context Albania has made some good progress in developing a stable and functioning market economy, however, there is significant room for further improvement in many aspects. The Albanian economy appears to have most of the basic building blocks of a functional competition policy regime, though some gaps persist and enforcement records appear limited. Aiming at the EU market, Albania is a latecomer and, above all, enters a market that is highly competitive and very demanding with regard to quality, reliability and efficiency of supply
Źródło:
Zeszyty Naukowe Uniwersytetu Przyrodniczo-Humanistycznego w Siedlcach; 2018, 44, 117; 65-70
2082-5501
Pojawia się w:
Zeszyty Naukowe Uniwersytetu Przyrodniczo-Humanistycznego w Siedlcach
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
Life after Menarini: The Conformity of the Hungarian ompetition Law Enforcement System with Human Rights Principles
Autorzy:
Tóth, Tihamér
Powiązania:
https://bibliotekanauki.pl/articles/530143.pdf
Data publikacji:
2018-12-30
Wydawca:
Uniwersytet Warszawski. Wydawnictwo Naukowe Wydziału Zarządzania
Tematy:
human rights
competition law enforcement at national level
the Hungarian Competition Authority
judicial deference
administrative judicial review
fines
Opis:
The corporate human rights development was fueled by the increasing amount of fines imposed on both European and national level. For many years, the jurisprudence of the ECtHR has classified administrative, including competition law enforcement as a quasi-criminal process during which human rights shall be respected to a certain extent. This paper strives to explain the evolution of competition law enforcement in Hungary, with procedural safeguards protecting undertakings having come close to the level of protection provided under criminal law. Of the numerous human rights relevant in competition law enforcement the paper will focus on institutional check-and-balances, and the appropriate level of judicial review. The thoroughness of the judicial review of administrative decisions resulting in fines is critical to the analysis of whether the traditional continental European structure of administrative law enforcement is in conformity with the principles of the ECHR. The narrow interpretation of the prohibition of judicial re-evaluation and judicial deference to competition authorities exhibiting significant expert knowledge is of central importance in this debate.
Le développement des droits de l’homme liés aux entreprises a été alimenté par le nombre croissant d’amendes imposées aux niveaux européen et national. Pendant de nombreuses années, la jurisprudence de la Cour européenne des droits de l’homme a classé le processus administratif, y compris l’application du droit de la concurrence, parmi les procédures quasi pénales au cours desquelles les droits de l’homme doivent être respectés dans une certaine mesure. Cet article vise à expliquer l’évolution de l’application des lois de la concurrence en Hongrie, considérant que les garanties procédurales protégeant les entreprises se rapprochent du niveau de protection prévu par le droit pénal. Parmi les nombreux droits de l’homme pertinents dans le domaine de l’application du droit de la concurrence, le document se concentrera sur les aspects institutionnels et sur le niveau approprié de contrôle juridictionnel. La minutie du contrôle juridictionnel des décisions administratives entraînant des amendes est essentielle pour analyser la conformité de la structure traditionnelle de l’application de la loi administrative de l’Europe continentale aux principes de la Cour européenne des droits de l’homme. L’interprétation restrictive de l’interdiction de la réévaluation judiciaire et de la retenue judiciaire à l’égard des autorités de la concurrence faisant preuve de connaissances approfondies revêt une grande importance dans ce débat
Źródło:
Yearbook of Antitrust and Regulatory Studies; 2018, 11(18); 35-60
1689-9024
2545-0115
Pojawia się w:
Yearbook of Antitrust and Regulatory Studies
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
Entia non sunt multiplicanda praeter necessitatem, czyli o potrzebie uchwalenia ustawy o przeciwdziałaniu nieuczciwemu wykorzystywaniu przewagi kontraktowej w obrocie produktami rolnymi i spożywczym
Entia non sunt multiplicanda praeter necessitate – on the necessity of the enactment of the Act on counteracting unfair use of superior bargaining power in the trade in agricultural and food products
Autorzy:
Szwedziak-Bork, Ilona
Powiązania:
https://bibliotekanauki.pl/articles/507830.pdf
Data publikacji:
2017-12-31
Wydawca:
Uniwersytet Warszawski. Wydawnictwo Naukowe Wydziału Zarządzania
Tematy:
przewaga kontraktowa
produkty rolne i spożywcze
istotny interes drugiej strony
organ ochrony konkurencji
bargaining power
agricultural and food
counterparty’s fundamental interest
competition authority
Opis:
Celem artykułu jest zaakcentowanie kilku podstawowych wątpliwości związanych z wejściem w życie ustawy z dnia 15 grudnia 2016 r. o przeciwdziałaniu nieuczciwemu wykorzystywaniu przewagi kontraktowej w obrocie produktami rolnymi i spożywczymi, a zaakcentowanych już w doktrynie w trakcie krótkiego czasu obowiązywania ustawy. Ustawa, pomimo ambitnych celów ochrony interesu publicznego oraz słabszej strony relacji handlowych w istotnym dla wszystkich konsumentów sektorze rolno-spożywczym, budzi szereg problemów interpretacyjnych, zwłaszcza dla przedsiębiorców będących adresatami ustawy oraz wprowadzonych w niej rozwiązań.
The aim of this paper is to underline some essential doubts indicated by some authors and related to the Act on counteracting unfair use of superior bargaining power in the trade in agricultural and food products. Despite ambitious goals concerning protection of public interest and weaker parts in trade relations in agricultural and food sector the Act is considered as a source of interpretative problems, especially for entities to which it is addressed.
Źródło:
internetowy Kwartalnik Antymonopolowy i Regulacyjny; 2017, 6, 8; 108-114
2299-5749
Pojawia się w:
internetowy Kwartalnik Antymonopolowy i Regulacyjny
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
Enforcement of EU Competition Rules in Estonia: Substantive Convergence and Procedural Divergence
Autorzy:
Svetlicinii, Alexandr
Powiązania:
https://bibliotekanauki.pl/articles/530268.pdf
Data publikacji:
2014
Wydawca:
Uniwersytet Warszawski. Wydawnictwo Naukowe Wydziału Zarządzania
Tematy:
antitrust enforcement
Estonia
Estonian Competition Authority
EU competition rules
national courts
Regulation 1/2003
Opis:
A decade of decentralized enforcement of EU competition rules under the procedural framework of Regulation 1/2003 has produced a diverse enforcement record that varies among Member States. While the numbers of notified investigations and infringement decisions based on Articles 101 & 102 TFEU are impressive, some EU jurisdictions have demonstrated an only negligible participation in the direct enforcement of EU competition rules. After joining the EU in 2004, Estonia has harmonized its competition legislation with EU standards and pursued active criminal enforcement of antitrust rules. At the same time, EU competition rules are absent from the enforcement practice of the Estonian competition authority and national courts. The present paper provides an overview of the specifics of the Estonian legal system including its substantive, procedural and institutional components. This overview demonstrates how the diversity and complexity of the procedural framework for the enforcement of competition rules (administrative, misdemeanour and criminal proceedings) effectively prevented EU competition rules from penetrating the national legal system.
La décennie de l'application décentralisée des règles de concurrence de l'UE dans le cadre procédural introduit par le règlement 1/2003 a produit un bilan d'application diversifiée qui varie entre les États membres. Bien que les nombres d’enquêtes notifiées et de décisions d'infraction prises à la base des articles 101 et 102 du TFUE sont impressionnants, les juridictions de certains pays de l'UE n’ont démontré que la participation minime dans l'application directe des règles de concurrence de l'UE. Après avoir rejoint l'UE en 2004, l'Estonie a harmonisé sa législation sur la concurrence avec les normes de l'UE et poursuivi la répression pénale active des règles d’antitrust. En même temps, les règles de concurrence de l'UE sont absentes de la pratique de l'application par des autorités de la concurrence et les tribunaux estoniens. Cet article fournit un aperçu général des spécificités du système juridique estonien, y compris ses éléments de fond, procéduraux et institutionnels. Cet aperçu montre la manière dans laquelle la diversité et la complexité des cadres de la procédure nationale relatifs à l'application des règles de concurrence (administratives, pénales et criminelles) ont effectivement empêché les règles de concurrence de l'UE de pénétrer dans le système juridique national.
Źródło:
Yearbook of Antitrust and Regulatory Studies; 2014, 7(9); 67-85
1689-9024
2545-0115
Pojawia się w:
Yearbook of Antitrust and Regulatory Studies
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
State-Controlled Entities in the EU Merger Control: the Case of PKN Orlen and Lotos Group
Autorzy:
Svetlicinii, Alexandr
Powiązania:
https://bibliotekanauki.pl/articles/2159069.pdf
Data publikacji:
2020-12-18
Wydawca:
Uniwersytet Warszawski. Wydawnictwo Naukowe Wydziału Zarządzania
Tematy:
state owned enterprise
merger control
single economic unit
competitive neutrality
Polska
national competition authority
Opis:
The economic downturn caused by the coronavirus pandemics is expected to result in the increased participation of the state in the functioning of markets. One of the forms of this participation is the recapitalization and state shareholding in commercial enterprises, which could lead to anti-competitive effects to the detriment of competitors and consumers. In this regard, the effective enforcement of merger control rules at the EU and national levels gains in importance. The present paper questions the adequacy of the available merger control standards and assessment tools for taking into account potential anti-competitive effects stemming from ownership and non-ownership forms of state control over undertakings. The analysis is focused on the experiences of Polish state owned enterprises under the EU and national merger control assessment. It was prompted by the notification of the PKN Orlen/Lotos merger that received conditional clearance from the EU Commission.
Le ralentissement économique provoqué par la pandémie de coronavirus est suppose se traduire par une participation accrue de l’État au fonctionnement des marchés. L’une des formes de cette participation est la recapitalisation et la participation de l’État dans les entreprises commerciales, ce qui pourrait produire des effets anticoncurrentiels au détriment des concurrents et des consommateurs. À cet égard, l’application effective des règles de contrôle des concentrations au niveau de l’UE et national gagne en importance. Le présent article s’interroge sur l’adéquation des normes de contrôle des concentrations et des moyens d’évaluation disponibles pour tenir en compte les effets anticoncurrentiels potentiels découlant des formes de contrôle public sur les entreprises. L’analyse se concentre sur les expériences des entreprises publiques polonaises dans le cadre de l’évaluation du contrôle des concentrations au niveau de l’UE et national. Cette analyse est le résultat de la notification de la fusion PKN Orlen/Lotos qui a reçu l’autorisation conditionnelle de la Commission européenne.
Źródło:
Yearbook of Antitrust and Regulatory Studies; 2020, 13, 22; 189-210
1689-9024
2545-0115
Pojawia się w:
Yearbook of Antitrust and Regulatory Studies
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
Competence of Common Courts in Poland in Competition Matters
Autorzy:
Stawicki, Aleksander
Powiązania:
https://bibliotekanauki.pl/articles/530071.pdf
Data publikacji:
2012-03-30
Wydawca:
Uniwersytet Warszawski. Wydawnictwo Naukowe Wydziału Zarządzania
Tematy:
antitrust proceedings
competition
judicial review
National Competition Authority
fines
due course of law
procedural safeguards
procedural infringements
Opis:
The main aim of this article is to present current judicial practice, concerning hearing cases stemming from appeals of Polish Competition Authority decisions. The relevant court tends to review the cases only on merits, omitting to address procedural infringements, clearly stated by the parties in appeals. In author’s opinion this common practice does not have a legal leg to stand on. Author analyses relevant laws and precedents pointing out, that full review of the decision is Court’s duty, which could not be neglected. Furthermore, according to ECHR rulings procedural guaranties should be assured on high level, especially in matters, where quasi-criminal fines are concerned. As a legal practitioner Author perceives possible crippling effect on effectiveness, assuming that the Court would have to review all steps of the proceedings before Competition Authority. So in conclusion Author proposes a compromise solution asserting, that the Court should at least address all procedural infringement counts stated in appeal.
Cet article vise essentiellement à présenter la pratique judiciaire actuelle pour ce qui est de connaître les affaires résultant d’un recours contre les décisions de l’autorité polonaise de concurrence. Le juge compétent pour ces affaires fait preuve d’une tendance à en connaître exclusivement le fond sans considérer les violations de procédure soulevées expressément dans les recours des parties. L’auteur est d’avis que cette pratique juridictionnelle est dépourvue de fondements juridiques. Il analyse les textes appropriés et l’acquis de la jurisprudence pour montrer qu’un contrôle complet de la décision est une obligation du juge, qui ne saurait être négligée. En plus de cela, conformément à la jurisprudence de la Cour européenne des droits de l’homme, un niveau élevé de garanties procédurales doit être assuré, notamment dans les affaires susceptibles de sanctions quasi-pénales. L’auteur, qui est un praticien, y voit le risque potentiel de compromettre l’efficience de la procédure, en admettant que le juge soit amené à contrôler toutes les étapes de la procédure avant l’autorité de concurrence. Pour conclure, l’auteur propose une solution de compromis qui admettrait que le juge devrait au moins se prononcer sur les exceptions procédurales soulevées dans le recours.
Źródło:
Yearbook of Antitrust and Regulatory Studies; 2012, 5(6); 57-71
1689-9024
2545-0115
Pojawia się w:
Yearbook of Antitrust and Regulatory Studies
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
Substantive and Procedural Issues of Cement Sector Investigations in Turkey
Autorzy:
Stakheyeva, Hanna
Canbolat, Ertugrul
Powiązania:
https://bibliotekanauki.pl/articles/530312.pdf
Data publikacji:
2017-12-31
Wydawca:
Uniwersytet Warszawski. Wydawnictwo Naukowe Wydziału Zarządzania
Tematy:
antiturst decisions
anticompetitive practice
cement
information requests
obligation to provide information
sector inquiry
Turkey
Turkish Competition Authority
Opis:
In 2016, the Turkish Competition Authority (hereinafter, TCA) published the Cement Sector Inquiry Report (hereinafter, Cement Sector Report) following more than two years of market analysis. One of the reasons for conducting such a market inquiry was the fact that the implementation of competition rules and accuracy of the economic analysis by the TCA in cement cases were frequently criticized. In order to provide some guidance and have better understanding about the competitive dynamics of the cement market, the TCA initiated the inquiry in 2014. Another reason for the inquiry was the importance of the cement industry for the construction sector and the economy of Turkey, as well as numerous competition law concerns in this sector. The article provides an analysis of the substantive and procedural issues in the TCA activity in the cement sector in Turkey. Particular emphasis is placed on the assessment of the Cement Sector Report and common competition law violations in the sector in Turkey based on a review of the decisions of the TCA. Additionally, legal grounds for conducting sector inquiries in Turkey, as well as limits to and potential impact on the TCA’s powers to issue extensive compulsory information requests (in the light of the recent CJEU’s judgements in cement cartel cases) are discussed. Overall, the article provides the reader with a better understanding of the Turkish cement sector dynamics and most common anticompetitive practices there. In conclusion, it is argued that inspite of having a reputation of a “problematic sector”, the behaviour of cement producers and developments in the cement market in Turkey may be justified by economic reasons and the oligopolistic nature of this market.
Źródło:
Yearbook of Antitrust and Regulatory Studies; 2017, 10(16); 205-226
1689-9024
2545-0115
Pojawia się w:
Yearbook of Antitrust and Regulatory Studies
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
Gas Insulated Switchgear Cartel in the Slovak Republic
Autorzy:
Sramelova, Silvia
Powiązania:
https://bibliotekanauki.pl/articles/529887.pdf
Data publikacji:
2016-06-30
Wydawca:
Uniwersytet Warszawski. Wydawnictwo Naukowe Wydziału Zarządzania
Tematy:
cartel
parallel competences
parental liability
reformatio in peius
Slovak competition authority
Źródło:
Yearbook of Antitrust and Regulatory Studies; 2016, 9(13); 179-190
1689-9024
2545-0115
Pojawia się w:
Yearbook of Antitrust and Regulatory Studies
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
The EU 2018 Draft Directive on UTPs in B2b Food Supply Chains and the Polish 2016 Act on Combating the Unfair Use of Superior Bargaining Power in the Trade in Agricultural and Food Products
Autorzy:
Piszcz, Anna
Powiązania:
https://bibliotekanauki.pl/articles/530328.pdf
Data publikacji:
2018-08-30
Wydawca:
Uniwersytet Warszawski. Wydawnictwo Naukowe Wydziału Zarządzania
Tematy:
superior bargaining power
unfair use of superior bargaining power
trade in agricultural and food products
agricultural and food sector
public enforcement
private enforcement
enforcement authority
national competition authority
unfair trading practices
UTPs
business-to-business relationships
food supply chain
B2b food supply chain
small and medium-sized entrepreneurs
small and medium-sized enterprises
SMEs
suppliers
producers
producer organisations
associations of producer organisations
non-SMEs
buyers
‘one-sided’ protection
Opis:
The Polish Act on Counteracting the Unfair Use of Superior Bargaining Power in the Trade in Agricultural and Food Products was adopted on 15 December 2016 and entered into force on 12 July 2017. The new legal framework resembles, in some places, the legal rules contained in the 2007 Act on Competition and Consumer Protection, elsewhere resembles the 1993 Act on Combating Unfair Competition. Therefore, the article reviews the new Polish provisions taking into account the previous system including the prohibition of the abuse of a dominant position and the prohibition of unfair competition. This publication is intended to point out the peculiarities that characterize the new provisions. Readers will find here an assessment of recent Polish developments and suggestions for further development of the Polish legal framework in the EU context. In particular, the review critically analyses some solutions of the 2018 EU draft Directive on unfair trading practices in business-to-business relationships in the food supply chain and shows what amendments to the Polish legal framework will be needed, if the Directive is adopted in the current version.
La loi polonaise sur la lutte contre l’utilisation déloyale du pouvoir de négociation supérieure dans le commerce des produits agricoles et alimentaires a été adoptée le 15 décembre 2016 et est entrée en vigueur le 12 juillet 2017. Le nouveau cadre juridique ressemble, à certains endroits, aux règles juridiques contenues dans la loi de 2007 sur la concurrence et la protection des consommateurs, qui ressemble d’ailleurs à la loi de 1993 sur la lutte contre la concurrence déloyale. Par conséquent, l’article examine les nouvelles dispositions polonaises en tenant compte du système précédent, notamment l’interdiction de l’abus de position dominante et l’interdiction de la concurrence déloyale. Cette publication est censée mettre en évidence les particularités qui caractérisent les nouvelles dispositions. Les lecteurs trouveront ici une évaluation des développements récents en Pologne et des suggestions pour le développement du cadre juridique polonais dans le contexte de l’UE. En particulier l’article analyse de manière critique certaines solutions du projet de directive de l’UE de 2018 sur les pratiques commerciales déloyales dans les relations interentreprises au sein de la chaîne d’approvisionnement alimentaire et indique quelles modifications dans le cadre juridique polonais seront nécessaires si la directive soit adoptée dans la version actuelle.
Źródło:
Yearbook of Antitrust and Regulatory Studies; 2018, 11(17); 143-167
1689-9024
2545-0115
Pojawia się w:
Yearbook of Antitrust and Regulatory Studies
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
Review of Ten Years of Albanian Competition Law Developments
Autorzy:
Nazifi, Ermal
Broka, Petrina
Powiązania:
https://bibliotekanauki.pl/articles/530324.pdf
Data publikacji:
2015-06-30
Wydawca:
Uniwersytet Warszawski. Wydawnictwo Naukowe Wydziału Zarządzania
Tematy:
abuse of dominance
Albania
Albanian competition authority
anticompetitive agreements
competition law and policy
merger review
private enforcement
Opis:
Albania was one of the last countries in Europe to adopt a free market economy after suffering from one of the worst dictatorial communist regimes in the world. In order to succeed in its efforts to establish a free market economy, Albania needed to undertake a set of reforms to modernize its economy in order to cope with the new reality of global markets and Euro-Atlantic integration. An important aspect of these reforms is also the implementation of a competition law in line with the acquis an its effective implementation. A lot has been achieved in the last ten years but there is a lot to be done still in order to facilitate a competitive economy able to cope with Albania’s EU integration. The work of the ACA is only one aspect of this process, but it is of utmost importance for the development of the national economy and successful EU membership.
Źródło:
Yearbook of Antitrust and Regulatory Studies; 2015, 8(11); 129-148
1689-9024
2545-0115
Pojawia się w:
Yearbook of Antitrust and Regulatory Studies
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
Nieskuteczny nadzór nad GetBack S.A. : Działania państwa wobec spółki zarządzającej wierzytelnościami
Ineffective Supervision of GetBack S.A. – State’s Measures with Regard to the Liability Managing Company
Autorzy:
Moser, Kamil
Powiązania:
https://bibliotekanauki.pl/articles/2041383.pdf
Data publikacji:
2020-08
Wydawca:
Najwyższa Izba Kontroli
Tematy:
GetBack
obligacje korporacyjne
fundusze inwestycyjne
rynek wierzytelności
KNF
GPW
UOKiK
Ministerstwo Finansów
corporate bonds
investment funds
debt market
Polish Financial Supervision Authority
Warsaw Stock Exchange
Office of Competition and Consumer Protection
Ministry of Finance
Opis:
Najwyższa Izba Kontroli zbadała na wniosek Prezesa Rady Ministrów działania organów i instytucji państwowych wobec zarządzającej wierzytelnościami spółki GetBack S.A., której funkcjonowanie doprowadziło inwestorów do ogromnych strat finansowych. W artykule skupiono się na wydarzeniach poprzedzających moment ujawnienia jej problemów. Ułatwia to odpowiedź na pytanie, czy było możliwe uniknięcie lub ograniczenie strat nabywców obligacji spółki.
Once the financial problems of GetBack S.A. were disclosed, the value of its corpo rate bonds that had been issued and unsold exceeded PLN 2.5 billion. The company’s shareholders lost money, as they did not have reliable information on the company when they decided to invest. State institutions and bodies promptly launched nume rous checks, which disclosed various irregularities in the company’s activity. It was too late, though, to prevent the investors who acquired corporate bonds from making loses. The main objective of the NIK audit was to verify whether state bodies and in stitutions’ activities towards GetBack S.A. were legal, appropriate, effective and suf ficient to provide protection for non-experts in the finance market. Due to the broad scope of the audit, in the article some selected findings have been presented only. The activities of state bodies and institutions towards the company have been discus sed in chronological order, focusing, in the first place, on the events that preceded the time when its financial problems were disclosed. Such a presentation brings the reader closer to answer the question whether it was possible to prevent the investors who had purchased corporate bonds from loses, or to reduce those loses. In his ar ticle, the author also discusses the most important information about GetBack S.A.
Źródło:
Kontrola Państwowa; 2020, 65, 4 (393); 53-67
0452-5027
Pojawia się w:
Kontrola Państwowa
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
Exploitative Abuse of a Dominant Position in the Bulgarian Energy Markets
Autorzy:
Marinova, Miroslava
Yaneva-Ivanova, Kremena
Powiązania:
https://bibliotekanauki.pl/articles/529893.pdf
Data publikacji:
2017-12-31
Wydawca:
Uniwersytet Warszawski. Wydawnictwo Naukowe Wydziału Zarządzania
Tematy:
abuse of a dominant position
Bulgarian competition authority
exploitative abuses
energy sector
sector specific regulation
Opis:
In the last few years the behavior of undertakings operating in the regulated utility markets, such as energy, water and communications, has been in the focus of the Bulgarian Competition Authority (hereinafter, BCA). Typically, these companies are dominant due to their exclusive licenses to operate in a certain territory and thus the contents of their contractual relationships with customers are often defined in general terms and conditions (hereinafter, GTCs) adopted or approved by the respective sector regulator. Most or all aspects of their pricing policy is also subject to sector regulation. By analysing critically two landmark decisions of the BCA concerning abuses of companies active in the energy markets, this paper raises the following questions: (1) to what extent the BCA is competent to intervene and sanction those undertakings for conduct which is subject of regulatory control by the sector regulator (the Energy and Water Regulation Commission (hereinafter, EWRC)) and (2) whether in its enforcement practice against those undertakings, the BCA is following the legal standards adopted by the EU courts.
Źródło:
Yearbook of Antitrust and Regulatory Studies; 2017, 10(16); 33-56
1689-9024
2545-0115
Pojawia się w:
Yearbook of Antitrust and Regulatory Studies
Dostawca treści:
Biblioteka Nauki
Artykuł
Tytuł:
Does the ‘more appropriate’ authority need to be independent? Rule of law implications for case referrals with respect of concentrations
Autorzy:
Malaga, Miłosz
Powiązania:
https://bibliotekanauki.pl/articles/2158408.pdf
Data publikacji:
2022-09-12
Wydawca:
Uniwersytet Warszawski. Wydawnictwo Naukowe Wydziału Zarządzania
Tematy:
referrals of concentrations
national competition authority
regulator’s
independence
rule of law
EU merger regulation
control of concentrations
European Competition Network
effective judicial protection
internal market
Opis:
In the recent Sped-Pro judgment, the General Court ruled that in order to guarantee effective judicial protection of the complainant, the Commission is obliged to examine the given national competition authority’s independence, and overall rule of law concerns, when it rejects complaints regarding Article 102 TFEU and concludes that such an authority is ‘best placed’ to hear the case. This contribution aims to discuss whether such obligation applies to case referrals from the Commission to Member States with respect of concentrations. On one hand, these are the same national competition authorities and the same standards should apply. On the other – the case referral system differs from the characteristics of the Articles 101–102 TFEU framework. Thus, this paper contains a discussion on the General Court’s judgment in Sped-Pro, the legal framework and practice regarding merger referrals, and, finally, the consequences of the judgment for the future approach of the Commission in the discussed matter.
Dans le récent arrêt Sped-Pro, le Tribunal a jugé qu’afin de garantir une protection juridictionnelle efficace du plaignant, la Commission est tenue d’examiner l’indépendance de l’autorité nationale de la concurrence concernée, ainsi que les préoccupations générales en matière d’État de droit, lorsqu’elle rejette des plaintes au titre de l’article 102 du TFUE et conclut qu’une telle autorité est «mieux placée» pour connaître de l’affaire. Cette contribution vise à discuter si une telle obligation s’applique aux renvois d’affaires de la Commission aux États membres en matière de concentrations. D’une part, il s’agit des mêmes autorités nationales de concurrence et les mêmes standards devraient s’appliquer. D’autre part, le système de renvoi des affaires diffère des caractéristiques du cadre des articles 101 et 102 du TFUE. Ainsi, cet article discute de l’arrêt du Tribunal dans l’affaire Sped-Pro, du cadre juridique et de la pratique concernant les renvois en matière de concentrations et, enfin, des conséquences de l’arrêt pour l’approche future de la Commission dans la matière discutée.
Źródło:
Yearbook of Antitrust and Regulatory Studies; 2022, 15, 25; 109 - 136
1689-9024
2545-0115
Pojawia się w:
Yearbook of Antitrust and Regulatory Studies
Dostawca treści:
Biblioteka Nauki
Artykuł

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