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M/s Santuka Associate Pvt Ltd Vs AIOCD :
Anti Competitive Agreements
COMPETITION ACT,2002
Bindu Kshtriya
Contents
A. Facts of the Case
B. Issues involved
C. Decisions of CCI
D. Legislative Provisions Referred
Section 3 – ‘Anti-competitive Agreements’
Section 4 – ‘Abuse of dominant position’
Forum:
Competition Commission of India
Parties to the Case:
1.M/s Santuka Pvt. Ltd (Informant)
2.All India Organisation of Chemists and Druggists (AIOCD)
3.Organisation of Pharmaceutical Producer of India (OPPI)
4.Indian Drug Manufacturer’s Association (IDMA)
5.USV ltd. (USV)
Facts of the Case
The Informant was a clearing and forwarding agent (C&FA) in
medicines of various pharmaceutical companies at Cuttack.
As per the information, AIOCD, an all India body registered
under the Societies Registration Act, has full control over the
stockists of drugs and medicines in India.
The informant alleged that AIOCD imposed unfair and
discriminatory conditions against any stockist, distributors
and C &FAs who did not give in to its mandates and dictates,
thereby abusing its dominant position.
CONTINUED…
It was also alleged that threats of boycott were issued
and also new entrants were hindered entry by closing
competition doors in the market by imposing stringent
requirements of No Objection Certificate (NOC),
Product Information Service (PIS) approvals etc. As per
the informant, these practices restricted market
access by limiting and restricting supply of
pharmaceutical drugs in the market and thus violated
the provisions of the Competition Act.
4 Issues of the case
There were four main issues in the case which are as follows:
Issue no.1- Whether AIOCD indulged in anti-competitive practices by
imposing requirements of NOC, PIS approvals and boycott of
products?
Issue no.2- Whether liability u/s 3 also accrues to OPPI and IDMA
along with AIOCD?
Issue no.3- Whether the member of the Executive Committees of
AIOCD, OPPI and IDMA were also liable u/s 3 of the Act?
Issue no.4- Whether conduct of USV ltd. fall u/s 3 of the Act?
Issue 1- Whether AIOCD indulged in anti-competitive
practices by imposing requirements of NOC, PIS approvals
and boycott of products?
Claims by Informant-
The informant claimed that AIOCD influenced the purchase
and sale price of drugs and pharmaceutical products.
Controlled the trade margins and profit margins and
collected PIS of Rs. 2000/- per product from a new stockist
of pharmaceutical companies.
Continued..
Deffences by AIOCD
Claimed that there was no evidence to prove an existing agreement between
members of AIOCD
Their relevant market was not the pharmaceuticals in India or drugs sold to
stockists/distributors, but only the service rendered by it
Also, the fixation and prices of drugs was as per the National Pharmaceutical
Pricing Authority regulations.
NOC requirements and MOUs were as per the recommendations made by the
Mashelkar Committee.
Continued…
Findings of Director General
The DG concluded that the horizontal agreements
between AIOCD with other pharmaceutical companies,
fell within the ambit of Section 3
It was found that the requirement of NOC limited market
supply, boycott of products by delaying or withholding
PIS approval which was a sine qua non of the
agreements, MOU between AIOCD, OPPI and IDMA
Continued..
Findings of CCI
The Commission observed that AIOCD created a restraint on
trade through NOC and MOUs which restricted market supply,
delay/withhold of PIS approval as found by the DG violated
section 3,
The boycott of pharma companies on the basis of MOUs
caused an appreciable adverse effect on competition for the
pharma companies and controlled availability to the
consumers.
2. Whether liability u/s 3 also accrues to OPPI and
IDMA along with AIOCD?
Defences by IDMA & OPPI
IDMA submitted that it had already terminated the MOUs
with AIOCD and had issued a circular to all its members
informing them of the same.
OPPI emphasized that it would not restrict supply of its
own products. Secondly, all MOUs stood terminated as
claimed by it.
Continued…
Findings of CCI
The CCI observed that AIOCD, OPPI and IDMA were not
engaged in identical or similar trades or provision of
services and therefore could not be said to be association
of enterprises.
They were only victims of the anticompetitive practices of
AIOCD as no association would deter its own interests by
restricting supply of its own products.
3. Whether the member of the Executive Committees
of AIOCD, OPPI and IDMA were also liable u/s 3 of
the Act?
Observations by DG- The DG concluded that the agreements
between members of the AIOCD, OPPI and IDMA and the decisions
taken therein were anti-competitive u/s 3 of the Act.
Observations by CCI- it was observed that since AIOCD, OPPI
and IDMA had not submitted the names and addresses of its
office bearers and its annual turnover as requested by the
Commission, the issue would be dealt separately when the
information would be furnished by AIOCD.
4.Whether conduct of USV ltd. fall u/s 3 of the
Act?
Claims by Informant- The informant claimed that USV
accepted NOC from AIOCD before appointing stockists/
distributors, paid PIS charges to it and also paid some
sum of money to the President of AIOCD to settle issues
with it.
The sales chart of USV from January 2011- August 2011
showed a clear boycott of its goods.
Continued..
Defences by USV- It said that since the DG did not find
any evidence against it, USV should not be indicted for
any wrongdoing.
Continued..
Findings of CCI- The CCI did not pass any specific order
and restrained AIOCD to issue threat to USV for
terminating its C & F agency with the Informant. USV
was not penalised
Decisions of CCI
The CCI observed that AIOCD was the apex body and
due to its position it was able to control and restrict the
supply of pharmaceutical products in the market.
It was also able to influence the level of prices of drugs
and pharmaceutical products through its mandates
and directions which were anticompetitive in nature .
CCI directed AIOCD to issue letter to OPPI and IDMA
informing that there was no requirement of obtaining
an NOC for appointment of stockists and the
pharmaceutical companies.
Decisions of CCI
CCI further directed AIOCD to inform all Chemists &
Druggists and all its members and associations that
PIS charges were not mandatory and PIS services could
be availed by manufacturers/pharmaceuticals firms on
voluntary basis and that they were free to give
discounts to the customers.
Decisions of CCI
Considering the facts and circumstances, the CCI
imposed a penalty of 10% of the annual turnover of the
financial years 2008-2009, 2009-2010 and 2010-2011.
A cease and desist order was passed against AIOCD
from indulging in the above discussed anticompetitive
practices.
Legislative Provisions
Referred
Section 3 – ‘Anti-competitive Agreements’
Section 4 – ‘Abuse of dominant position’
Of Competition Act, 2002
Section 3- Prohibits Anti Competitive
Agreements
Prohibits agreement amongst competitors
(horizontal agreements), including cartels,
Fix pricing, market sharing, limiting production,
supply etc.bid rigging, and collusive bidding.
Section 4- Prohibits abuse Dominant
positions
Acts deemed to be abuse are (Sec 4):
Unfair or discriminatory pricing (including predatory pricing).
Limiting production or technical development.
Denial of market access
Conclusion of contract s subject to supplementary
obligations.
Use of dominant position in one market enter in to or protect
other market.
Thank You
Bindu Kshtriya

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M/s santuka associate pvt ltd vs AIOCD & ors

  • 1. M/s Santuka Associate Pvt Ltd Vs AIOCD : Anti Competitive Agreements COMPETITION ACT,2002 Bindu Kshtriya
  • 2. Contents A. Facts of the Case B. Issues involved C. Decisions of CCI D. Legislative Provisions Referred Section 3 – ‘Anti-competitive Agreements’ Section 4 – ‘Abuse of dominant position’
  • 3. Forum: Competition Commission of India Parties to the Case: 1.M/s Santuka Pvt. Ltd (Informant) 2.All India Organisation of Chemists and Druggists (AIOCD) 3.Organisation of Pharmaceutical Producer of India (OPPI) 4.Indian Drug Manufacturer’s Association (IDMA) 5.USV ltd. (USV)
  • 4. Facts of the Case The Informant was a clearing and forwarding agent (C&FA) in medicines of various pharmaceutical companies at Cuttack. As per the information, AIOCD, an all India body registered under the Societies Registration Act, has full control over the stockists of drugs and medicines in India. The informant alleged that AIOCD imposed unfair and discriminatory conditions against any stockist, distributors and C &FAs who did not give in to its mandates and dictates, thereby abusing its dominant position.
  • 5. CONTINUED… It was also alleged that threats of boycott were issued and also new entrants were hindered entry by closing competition doors in the market by imposing stringent requirements of No Objection Certificate (NOC), Product Information Service (PIS) approvals etc. As per the informant, these practices restricted market access by limiting and restricting supply of pharmaceutical drugs in the market and thus violated the provisions of the Competition Act.
  • 6. 4 Issues of the case There were four main issues in the case which are as follows: Issue no.1- Whether AIOCD indulged in anti-competitive practices by imposing requirements of NOC, PIS approvals and boycott of products? Issue no.2- Whether liability u/s 3 also accrues to OPPI and IDMA along with AIOCD? Issue no.3- Whether the member of the Executive Committees of AIOCD, OPPI and IDMA were also liable u/s 3 of the Act? Issue no.4- Whether conduct of USV ltd. fall u/s 3 of the Act?
  • 7. Issue 1- Whether AIOCD indulged in anti-competitive practices by imposing requirements of NOC, PIS approvals and boycott of products? Claims by Informant- The informant claimed that AIOCD influenced the purchase and sale price of drugs and pharmaceutical products. Controlled the trade margins and profit margins and collected PIS of Rs. 2000/- per product from a new stockist of pharmaceutical companies.
  • 8. Continued.. Deffences by AIOCD Claimed that there was no evidence to prove an existing agreement between members of AIOCD Their relevant market was not the pharmaceuticals in India or drugs sold to stockists/distributors, but only the service rendered by it Also, the fixation and prices of drugs was as per the National Pharmaceutical Pricing Authority regulations. NOC requirements and MOUs were as per the recommendations made by the Mashelkar Committee.
  • 9. Continued… Findings of Director General The DG concluded that the horizontal agreements between AIOCD with other pharmaceutical companies, fell within the ambit of Section 3 It was found that the requirement of NOC limited market supply, boycott of products by delaying or withholding PIS approval which was a sine qua non of the agreements, MOU between AIOCD, OPPI and IDMA
  • 10. Continued.. Findings of CCI The Commission observed that AIOCD created a restraint on trade through NOC and MOUs which restricted market supply, delay/withhold of PIS approval as found by the DG violated section 3, The boycott of pharma companies on the basis of MOUs caused an appreciable adverse effect on competition for the pharma companies and controlled availability to the consumers.
  • 11. 2. Whether liability u/s 3 also accrues to OPPI and IDMA along with AIOCD? Defences by IDMA & OPPI IDMA submitted that it had already terminated the MOUs with AIOCD and had issued a circular to all its members informing them of the same. OPPI emphasized that it would not restrict supply of its own products. Secondly, all MOUs stood terminated as claimed by it.
  • 12. Continued… Findings of CCI The CCI observed that AIOCD, OPPI and IDMA were not engaged in identical or similar trades or provision of services and therefore could not be said to be association of enterprises. They were only victims of the anticompetitive practices of AIOCD as no association would deter its own interests by restricting supply of its own products.
  • 13. 3. Whether the member of the Executive Committees of AIOCD, OPPI and IDMA were also liable u/s 3 of the Act? Observations by DG- The DG concluded that the agreements between members of the AIOCD, OPPI and IDMA and the decisions taken therein were anti-competitive u/s 3 of the Act. Observations by CCI- it was observed that since AIOCD, OPPI and IDMA had not submitted the names and addresses of its office bearers and its annual turnover as requested by the Commission, the issue would be dealt separately when the information would be furnished by AIOCD.
  • 14. 4.Whether conduct of USV ltd. fall u/s 3 of the Act? Claims by Informant- The informant claimed that USV accepted NOC from AIOCD before appointing stockists/ distributors, paid PIS charges to it and also paid some sum of money to the President of AIOCD to settle issues with it. The sales chart of USV from January 2011- August 2011 showed a clear boycott of its goods.
  • 15. Continued.. Defences by USV- It said that since the DG did not find any evidence against it, USV should not be indicted for any wrongdoing.
  • 16. Continued.. Findings of CCI- The CCI did not pass any specific order and restrained AIOCD to issue threat to USV for terminating its C & F agency with the Informant. USV was not penalised
  • 17. Decisions of CCI The CCI observed that AIOCD was the apex body and due to its position it was able to control and restrict the supply of pharmaceutical products in the market. It was also able to influence the level of prices of drugs and pharmaceutical products through its mandates and directions which were anticompetitive in nature . CCI directed AIOCD to issue letter to OPPI and IDMA informing that there was no requirement of obtaining an NOC for appointment of stockists and the pharmaceutical companies.
  • 18. Decisions of CCI CCI further directed AIOCD to inform all Chemists & Druggists and all its members and associations that PIS charges were not mandatory and PIS services could be availed by manufacturers/pharmaceuticals firms on voluntary basis and that they were free to give discounts to the customers.
  • 19. Decisions of CCI Considering the facts and circumstances, the CCI imposed a penalty of 10% of the annual turnover of the financial years 2008-2009, 2009-2010 and 2010-2011. A cease and desist order was passed against AIOCD from indulging in the above discussed anticompetitive practices.
  • 20. Legislative Provisions Referred Section 3 – ‘Anti-competitive Agreements’ Section 4 – ‘Abuse of dominant position’ Of Competition Act, 2002
  • 21. Section 3- Prohibits Anti Competitive Agreements Prohibits agreement amongst competitors (horizontal agreements), including cartels, Fix pricing, market sharing, limiting production, supply etc.bid rigging, and collusive bidding.
  • 22. Section 4- Prohibits abuse Dominant positions Acts deemed to be abuse are (Sec 4): Unfair or discriminatory pricing (including predatory pricing). Limiting production or technical development. Denial of market access Conclusion of contract s subject to supplementary obligations. Use of dominant position in one market enter in to or protect other market.