This document summarizes a research paper analyzing antitrust enforcement in Russia. It finds that while Russia conducts a large number of antitrust investigations, the quality of decisions is low. Many cases investigated would not be considered antitrust issues in other jurisdictions. The incentives of competition authorities in Russia favor quick, easy cases over complex cases that truly impact competition. Procedural rules that emphasize responding to complaints contribute to this issue. The research aims to understand how legal framework and authority incentives shape enforcement outcomes using a dataset of appealed antitrust decisions from 2008-2012.
Judicial Corruption in Russia is widespread. For many years neither the Russian government or donor organizations were willing to candidly discuss this topic. This era has ended.
Data Localisation in Russia - A Self-imposed SanctionArtem Kozlyuk
Подробнее: http://rublacklist.net/11793/
Европейский центр по международной политической экономии (ECIPE): 286 млрд руб. потеряет Россия от правоприменения закона о переносе персональных данных
http://www.ecipe.org/publications/dataloc/
Effects of unionization on workplace safety enforcementTaxScout Inc.
We study how unionization affects the enforcement of workplace safety laws. To generate credible causal estimates, we use a regression discontinuity design comparing
outcomes in establishments where unions just won representation elections to outcomes in establishments where union just lost such elections.
Judicial Corruption in Russia is widespread. For many years neither the Russian government or donor organizations were willing to candidly discuss this topic. This era has ended.
Data Localisation in Russia - A Self-imposed SanctionArtem Kozlyuk
Подробнее: http://rublacklist.net/11793/
Европейский центр по международной политической экономии (ECIPE): 286 млрд руб. потеряет Россия от правоприменения закона о переносе персональных данных
http://www.ecipe.org/publications/dataloc/
Effects of unionization on workplace safety enforcementTaxScout Inc.
We study how unionization affects the enforcement of workplace safety laws. To generate credible causal estimates, we use a regression discontinuity design comparing
outcomes in establishments where unions just won representation elections to outcomes in establishments where union just lost such elections.
2011 FDA Electoral Fairness Audit of the Syria federal electoral system.
FDA auditors gave Russia an overall electoral score of 35%. (50% is the minimum passing grade.)
2011 FDA Global Electoral Fairness Report on the United States Federal Electoral System.
FDA auditors gave the US an overall grade of 30%. (50% minimum passing grade.)
2011 FDA Global Electoral Fairness Audit of Spain's federal electoral system
FDA auditors gave Spain an overall electoral fairness score of 42.25%. (50% is the minimum passing grade; 100% is the maximum grade.)
2011 FDA Electoral Fairness Audit of Iraq's federal electoral system
FDA auditors gave Iraq an overall electoral score of 35.25%. (50% is the minimum passing grade; 100% is the maximum grade.)
U.S. Electoral Fairness Report revised as of April 11, 2013
Executive Summary
The American federal electoral system borders a failed state as determined by the overall unsatisfactory audit score of 54.5 percent (out of 100 percent). The FDA auditors measured
1) two failing scores for legislation pertaining to electoral finance (48.25 percent) and media election content (42.5 percent);
2) one unsatisfactory score for legislation pertaining to candidates and parties
(57 percent);
3) one satisfactory score for legislation pertaining to voters (70.25 percent).
The FDA auditors factored in 52 independent variables and used matrices and financial spreadsheets in its calculations and determinations. Based on its measurements, the FDA believes that the American federal election outcomes may not reflect the voice of Americans from electoral districts. The significant legislated unfair competition between American candidates and parties coupled with electoral finance legislation favoring wealthy money interests and media legislation favoring large corporate media and imbalanced election coverage creates a system tilted heavily to special and minority interests, rather than the American people. The FDA believes that reforms are necessary in electoral finance and election coverage in order to help realign the American federal electoral process with Americans as a whole. The FDA recommends, for examples, expenditure limits on congressional candidates and privately funded presidential candidates, caps on independent third-party expenditure, caps on media ownership concentration, and a voluntary media code of conduct during the 60 day campaign period which supports impartial and balanced campaign coverage of all registered candidates and parties.
The FDA recommends that the public get involved with the government legislative process and implementation if they want to protect and advance their democratic voice, and create a society of their choosing.
“If liberty and equality, as is thought by some, are chiefly to be found in democracy, they will be best attained when all persons alike share in government to the utmost.”
- Aristotle
Implementation of the Quota System in the Regional Assembly Elections: the An...Przegląd Politologiczny
The following article concerns selected aspects of the implementation of the quota system in
elections to the regional assemblies (Sejmik wojewódzki) in Poland. This comparative analysis concerns
two elections: in 2010 (before the quota system was introduced) and in 2014 (after its introduction). The
key questions the authors would like to address involve the number of women represented on the electoral lists in 2010 and 2014 respectively, and the number of mandates in regional assemblies awarded
to women before and after the quota system was introduced, as well as the relationship between the
position on the electoral list and mandates awarded to female candidates. The authors also focus on
the personnel policies of political parties. Out of all regional elections, the regional assembly elections
were characterized by the highest level of party dependency.
Introducing the quota system resulted in an increase in the number of women represented on electoral
lists, yet it did not help increase the number of mandates awarded to female candidates. One of the reasons for this situation was the strategy adopted when the positions on the electoral lists were awarded
by the parties with the largest political support. The representation of women on the upper positions of
the electoral lists is smaller than the quota of female representatives imposed by the electoral law, and
the larger number of women on the positions further below on the electoral lists translates into smaller
chances of these candidates gaining a mandate. The source data for this research analysis comes from
the National Electoral Commission.
Baby Steps of Competition Law Jurisprudence in Pharmaceutical Sector - K.K. S...KK SHARMA LAW OFFICES
November and December 2016 have seen a good number of orders by COMPAT. It was a culmination of a large number of hearings in the preceding months. One of the orders passed by COMPAT in concluding month of preceding year was in
pharmaceutical sector. Although only one order but it disposed of more than one appeals pending before COMPAT. Despite being voluminous, this order barely goes into the details of the issues. Only two aspects- poor investigation and
mechanical acceptance of the report by the Commission-proved to be the nemesis of all the labour and deliberations of the lower authorities for more than four years.
The order, once again (as if it was needed ), etches in bold relief the basic dictum that ‘principles of natural justice’ are inviolable. What this COMPAT order says is that unless investigation is up to the mark and if the investigation which is not up to the mark is not made up to the mark by the Commission by using is authority, there is hardly any future for any outcome arising from such deliberations.
The author who not only was closely involved in drafting of regulations for the functioning of the Commission but also developed the Antitrust Division of CCI to successfully deal with the reports of DG and take it to logical conclusion discusses the order passed by COMPAT.
2011 FDA Electoral Fairness Audit of the Congolese presidential and parliamentary electoral system.
FDA auditors gave the DRC an overall electoral score of 3.75%. (0% is the lowest score attainable; 50% is the minimum passing grade; 100% is the maximum score attainable.)
2011 FDA Electoral Fairness Audit of the Sweden's republic electoral system
FDA auditors gave Sweden an overall electoral score of 34.5%. (50% is the minimum passing grade.)
2011 FDA Electoral Fairness Audit of the France's republic electoral system
FDA auditors gave France an overall electoral score of 91.75%. (50% is the minimum passing grade; 100% is the highest grade attainable.)
2011 FDA Electoral Fairness Audit of Afghan's Islamic Republic electoral system
FDA auditors gave Afghanistan an overall electoral score of 23.75%. (50% is the minimum passing grade; 100% is the maximum grade.)
2011 FDA Electoral Fairness Audit of Bolivia's presidential and parliamentary electoral system
FDA auditors gave Bolivia an overall electoral score of 78.75%. (50% is the minimum passing grade; 100% is maximum grade.)
This presentation by the OECD Competition Division was made during a roundtable discussion on Public interest considerations in merger control held at the 123rd meeting of the Working Party No. 3 on Co-operation and Enforcement on 14 June 2014. More papers, presentations and contributions from delegations on the topic can be found out at www.oecd.org/daf/competition/public-interest-considerations-in-merger-control.htm
2011 FDA Electoral Fairness Audit of the Syria federal electoral system.
FDA auditors gave Russia an overall electoral score of 35%. (50% is the minimum passing grade.)
2011 FDA Global Electoral Fairness Report on the United States Federal Electoral System.
FDA auditors gave the US an overall grade of 30%. (50% minimum passing grade.)
2011 FDA Global Electoral Fairness Audit of Spain's federal electoral system
FDA auditors gave Spain an overall electoral fairness score of 42.25%. (50% is the minimum passing grade; 100% is the maximum grade.)
2011 FDA Electoral Fairness Audit of Iraq's federal electoral system
FDA auditors gave Iraq an overall electoral score of 35.25%. (50% is the minimum passing grade; 100% is the maximum grade.)
U.S. Electoral Fairness Report revised as of April 11, 2013
Executive Summary
The American federal electoral system borders a failed state as determined by the overall unsatisfactory audit score of 54.5 percent (out of 100 percent). The FDA auditors measured
1) two failing scores for legislation pertaining to electoral finance (48.25 percent) and media election content (42.5 percent);
2) one unsatisfactory score for legislation pertaining to candidates and parties
(57 percent);
3) one satisfactory score for legislation pertaining to voters (70.25 percent).
The FDA auditors factored in 52 independent variables and used matrices and financial spreadsheets in its calculations and determinations. Based on its measurements, the FDA believes that the American federal election outcomes may not reflect the voice of Americans from electoral districts. The significant legislated unfair competition between American candidates and parties coupled with electoral finance legislation favoring wealthy money interests and media legislation favoring large corporate media and imbalanced election coverage creates a system tilted heavily to special and minority interests, rather than the American people. The FDA believes that reforms are necessary in electoral finance and election coverage in order to help realign the American federal electoral process with Americans as a whole. The FDA recommends, for examples, expenditure limits on congressional candidates and privately funded presidential candidates, caps on independent third-party expenditure, caps on media ownership concentration, and a voluntary media code of conduct during the 60 day campaign period which supports impartial and balanced campaign coverage of all registered candidates and parties.
The FDA recommends that the public get involved with the government legislative process and implementation if they want to protect and advance their democratic voice, and create a society of their choosing.
“If liberty and equality, as is thought by some, are chiefly to be found in democracy, they will be best attained when all persons alike share in government to the utmost.”
- Aristotle
Implementation of the Quota System in the Regional Assembly Elections: the An...Przegląd Politologiczny
The following article concerns selected aspects of the implementation of the quota system in
elections to the regional assemblies (Sejmik wojewódzki) in Poland. This comparative analysis concerns
two elections: in 2010 (before the quota system was introduced) and in 2014 (after its introduction). The
key questions the authors would like to address involve the number of women represented on the electoral lists in 2010 and 2014 respectively, and the number of mandates in regional assemblies awarded
to women before and after the quota system was introduced, as well as the relationship between the
position on the electoral list and mandates awarded to female candidates. The authors also focus on
the personnel policies of political parties. Out of all regional elections, the regional assembly elections
were characterized by the highest level of party dependency.
Introducing the quota system resulted in an increase in the number of women represented on electoral
lists, yet it did not help increase the number of mandates awarded to female candidates. One of the reasons for this situation was the strategy adopted when the positions on the electoral lists were awarded
by the parties with the largest political support. The representation of women on the upper positions of
the electoral lists is smaller than the quota of female representatives imposed by the electoral law, and
the larger number of women on the positions further below on the electoral lists translates into smaller
chances of these candidates gaining a mandate. The source data for this research analysis comes from
the National Electoral Commission.
Baby Steps of Competition Law Jurisprudence in Pharmaceutical Sector - K.K. S...KK SHARMA LAW OFFICES
November and December 2016 have seen a good number of orders by COMPAT. It was a culmination of a large number of hearings in the preceding months. One of the orders passed by COMPAT in concluding month of preceding year was in
pharmaceutical sector. Although only one order but it disposed of more than one appeals pending before COMPAT. Despite being voluminous, this order barely goes into the details of the issues. Only two aspects- poor investigation and
mechanical acceptance of the report by the Commission-proved to be the nemesis of all the labour and deliberations of the lower authorities for more than four years.
The order, once again (as if it was needed ), etches in bold relief the basic dictum that ‘principles of natural justice’ are inviolable. What this COMPAT order says is that unless investigation is up to the mark and if the investigation which is not up to the mark is not made up to the mark by the Commission by using is authority, there is hardly any future for any outcome arising from such deliberations.
The author who not only was closely involved in drafting of regulations for the functioning of the Commission but also developed the Antitrust Division of CCI to successfully deal with the reports of DG and take it to logical conclusion discusses the order passed by COMPAT.
2011 FDA Electoral Fairness Audit of the Congolese presidential and parliamentary electoral system.
FDA auditors gave the DRC an overall electoral score of 3.75%. (0% is the lowest score attainable; 50% is the minimum passing grade; 100% is the maximum score attainable.)
2011 FDA Electoral Fairness Audit of the Sweden's republic electoral system
FDA auditors gave Sweden an overall electoral score of 34.5%. (50% is the minimum passing grade.)
2011 FDA Electoral Fairness Audit of the France's republic electoral system
FDA auditors gave France an overall electoral score of 91.75%. (50% is the minimum passing grade; 100% is the highest grade attainable.)
2011 FDA Electoral Fairness Audit of Afghan's Islamic Republic electoral system
FDA auditors gave Afghanistan an overall electoral score of 23.75%. (50% is the minimum passing grade; 100% is the maximum grade.)
2011 FDA Electoral Fairness Audit of Bolivia's presidential and parliamentary electoral system
FDA auditors gave Bolivia an overall electoral score of 78.75%. (50% is the minimum passing grade; 100% is maximum grade.)
This presentation by the OECD Competition Division was made during a roundtable discussion on Public interest considerations in merger control held at the 123rd meeting of the Working Party No. 3 on Co-operation and Enforcement on 14 June 2014. More papers, presentations and contributions from delegations on the topic can be found out at www.oecd.org/daf/competition/public-interest-considerations-in-merger-control.htm
Is competition policy useful for emerging countries? An empirical analysisDr Danilo Samà
Is competition policy useful for emerging countries? An empirical analysis
Authors:
Prof. Emeritus Roberto Pardolesi (LUISS “Guido Carli” University of Rome, Law & Economics LAB)
Dr Danilo Samà (CDC Cartel Damage Claims, Law & Economics LAB)
Abstract:
The ultimate objective of the paper is to empirically investigate the effectiveness of competition policy in emerging countries, focusing on broader indicators of market performance in order to understand whether the presence of an antitrust authority has a significant impact, hence an effective utility, on the level of competition of a developing country. From a policy perspective, the aim of the paper is also to assess whether the enforcement of a competition policy regime in a developing country has the same beneficial effects on the intensity of competition usually claimed to take place in the most developed countries. Relying upon a dataset and the connected econometric model developed by one of the authors, we provisionally conclude that in developing countries the institutional quality of the competition authorities matters more than the mere existence or the degree of competence for the effectiveness of a competition policy regime.
Keywords:
competition authorities, competition policy, developing countries, economic development, economic growth, law & economics, market concentration, market efficiency, market performance, new institutional economics, political economy
JEL classification:
C21; C26; K21; L40
Year:
2015
Pages:
25-38
Citation:
Pardolesi, Roberto, Samà, Danilo (2015), Is competition policy useful for emerging countries? An empirical analysis, in Bellantuomo, Giuseppe, de Rezende Lara, Fabiano Teodoro (eds.), Law, development and innovation, SxI - Springer for Innovation \ SxI - Springer per l’Innovazione, Vol. 13, Springer International Publishing, Geneva, Switzerland, pp. 25-38.
D.O.I.:
10.1007/978-3-319-13311-9_3
Book title:
Law, development and innovation
Editors:
Prof. Dr Giuseppe Bellantuono (University of Trento, Italy)
Prof. Fabiano Teodoro de Rezende Lara (Universidade Federal de Minas Gerais, Brazil)
Year:
2015
Series title:
SxI - Springer for Innovation \ SxI - Springer per l’Innovazione
Series volume:
13
Edition:
1st
Publisher:
Springer International Publishing
Copyright holder:
Springer International Publishing Switzerland
Pages:
222
ISSN (series):
2239-2688
D.O.I.:
10.1007/978-3-319-13311-9
ISBN (print):
978-3-319-13310-2
ISBN (electronic):
978-3-319-13311-9
Essays on economic analysis of competition law: theory and practice (Ph.D. di...Dr Danilo Samà
Essays on economic analysis of competition law: theory and practice
Author:
Dr Danilo Samà (LUISS “Guido Carli” University, Law & Economics LAB)
Abstract:
The Ph.D. dissertation, submitted to LUISS “Guido Carli” University of Rome in fulfillment of the requirements for the Degree of Doctor of Philosophy in Economic Analysis of Competition Law (XXV cicle), is the result of a scientific research in the field of the economic analysis of competition law developed through academic experiences at the Erasmus Rotterdam University in the Netherlands, the Ghent University in Belgium, the University of Hamburg in Germany and the Toulouse School of Economics in France, as well as through professional experiences as competition economist at the Antitrust Department of Pavia & Ansaldo and the Directorate-General for Competition (DG COMP) of the European Commission.
Keywords:
antitrust, competition economics, competition law, competition policy
JEL classification:
B21; C01; K21; L00; L4
Year:
2014
Pages:
1-40
Citation:
Samà, Danilo (2014), Essays on economic analysis of competition law: theory and practice, Law & Economics LAB, LUISS “Guido Carli” University, Rome, Italy, pp. 1-40.
The effectiveness of competition policy: an econometric assessment in develop...Dr Danilo Samà
The effectiveness of competition policy: an econometric assessment in developed and developing countries
Author:
Dr Danilo Samà (LUISS “Guido Carli” University, Law & Economics LAB)
Abstract:
The ultimate objective of the present paper is to empirically investigate the effectiveness of competition policy in developed and developing countries. Although its importance is continuously increasing, the effectiveness of competition policy still seems to lack the attention that it would deserve. At the present state of art, the number of academic contributions that attempts to estimate its impact on relevant economic variables appears very limited, in particular for the less developed countries. However, an empirical literature aimed at measuring in objective terms the effect of competition policy on economic growth is emerging, starting from narrow variables of interest, such as Gross Domestic Product and Total Factor Productivity. As a result, the principal aim of the current work is to contribute to this branch of research, focusing on broader indicators of market performance, in order to understand whether the presence of an antitrust authority has a significant impact, thus an effective utility, on the level of competition of a country.
Keywords:
competition authorities, competition policy, developed countries, developing countries, economic development, economic growth, law & economics, market concentration, market efficiency, market performance, new institutional economics, political economy
JEL classification:
C21; C26; K21; L40
Year:
2013
Pages:
1-50
Citation:
Samà, Danilo (2013), The effectiveness of competition policy: an econometric assessment in developed and developing countries, Law & Economics LAB, LUISS “Guido Carli” University, Rome, Italy, pp. 1-50.
The rule of law, by securing civil and economic rights, directly contributes to social prosperity and is one of our societies’ greatest achievements. In the European Union (EU), the rule of law is enshrined in the Treaties of its founding and is recognised not just as a necessary condition of a liberal democratic society, but also as an important requirement for a stable, effective, and sustainable market economy. In fact, it was the stability and equality of opportunity provided by the rule of law that enabled the post-war Wirtschaftswunder in Germany and the post-Communist resuscitation of the economy in Poland.
But the rule of law is a living concept that is constantly evolving – both in its formal, de jure dimension, embodied in legislation, and its de facto dimension, or its reception by society. In Poland, in particular, according to the EU, the rule of law has been heavily challenged by government since 2015 and has evolved amid continued pressure exerted on the institutions which execute laws. More recently, the outbreak of the COVID-19 pandemic transformed the perception of the rule of law and its boundaries throughout the EU and beyond (Marzocchi, 2020).
01 Bank and Policy Journal ISSN 2790-1041.pdfPublisherNasir
ISSN - 2790 – 1041
E-ISSN - 2790 – 2366
Bank and Policy
Vol.2, Issue 2, 2022
Kuban, Russia - Baku, Azerbaijan
Published (Founder) by: International Meetings and Conferences Re-search Association – IMCRA
It was established 2021. VOEN:
Published regularly, this newsletter reports on the activities of the OECD/GVH Regional Centre for Competition. It provides information about recent cases and developments in the participating economies in Eastern and South-Eastern Europe. News, case studies and articles from this region are welcome. If you have material that you wish to be considered for publication, please contact Renato Ferrandi (Renato.Ferrandi@oecd.org) and Andrea Dalmay (Dalmay.Andrea@gvh.hu). Also available in Russian. Past issues can be accessed at: http://oe.cd/comp-rcc-news
Explanations for Dierences in Levels of Investor ProtectioScott Tominaga
Although, La Porta and colleagues pointed out the importance of legal foundation for investor protection, other theories argue that legal determinants are complex. These theories suggest that the differences in the investor protection level around the world are determined by other variables, particularly important exogenous variables are those related to political economy considerations
The Impact of Corruption on Firm Performance: Evidence from PakistanMuhammad Arslan
The purpose of this study is to investigate the impact of bribery on firm performance and provides quantitative
estimates of the impact of corruption on the performance of the firm. Impact of bribery is checked through the
questionnaire which is distributed among 100 respondents. In theoretical framework, firm performance is
dependent variable and bribery is independent variable. The correlation between firm performance and bribery
which is measure in obtaining more government contracts in questioner and bribery which is measure as cost of
obtaining the contracts is (r = -0.8012) having negative association between them. The size value of correlation
is (r = -0.0074 & -0.0056) showing that the size is not important in bribery and have subsequently have no affect
on firm performance. The value of R-Square in table 2 is close to 0.649 which indicate very well fit to data. It
means that almost 65 % change is due to the response variable (bribery). F-test value is very significant in both
table showing that the model is best fitted with the data. Sample size is one of the study limitation which could
be removed in future research by enlarging sample size.
In most jurisdictions, antitrust fines are based on affected commerce rather than on collusive profits, and in some others, caps on fines are introduced based on total firm sales rather than on affected commerce. We uncover a number of distortions that these policies generate, propose simple models to characterize their comparative static properties, and quantify them with simulations based on market data. We conclude by discussing the obvious need to depart from these distortive rules-of-thumb that appear to have the potential to substantially reduce social welfare.
This presentation by L. Pinheiro, A.C. Faye, M. Ginn, J. Lehmann and J. Posch (Analysis Group) summarises the key findings of their research paper on the Analysis of Market Definition and Competitive Effects submitted to the OECD project on Gender inclusive competition policy. It was delivered during a workshop held virtually on 7 October 2021.
More materials on the topic can be found at http://oe.cd/gicp.
This presentation was uploaded with the authors’ consent.
Advantage series regulatory convergence studyGrayling
The gradual demise of divergent national regulations is inevitable as our economies, markets and societies globalize with exponential speed, and every day we see examples of regulatory convergence, whereby standards, policies and laws align across different geographies.
This convergence is occurring both bilaterally between countries, and at a regional/international and global level.
What does this mean for international organizations? How can they maximize the benefits and mitigate the risks associated with regulatory convergence?
This study examines this phenomenon in detail and provides some signposts to creating advantage.
Legal Factors affecting Business Law in KurdistanAI Publications
The main purpose of this study is to examine the relationship between legal factors and business law in Kurdistan. The Business's involvement in financing legitimate change, however still constrained, has just yielded some valuable exercises. The researcher employed quantitative technique to analyze the association between factors affecting business law in Kurdistan. For this reason, the researcher used four different legal factors such us (company law, contract law, employment law and competition law) as independent factors to measure the dependent factor which is business law. I distributed 115 questionnaires, but only 102 questionnaires. The results of multiple regression analysis, Company law, contract law, employment law, and competition law as a legal factors influence positively and significantly business law in Kurdistan.
Первый выпуск PwC Индекса противодействия коррупцииPwC Russia
PwC публикует свой первый выпуск Индекса противодействия коррупции (далее – «ABCI», anti-bribery and corruption index), измеряющего уровень соответствия российских компаний требованиям антикоррупционного законодательства.
Соблюдение требований антикоррупционного законодательства приобретает все большее значение в России и за рубежом. Результаты проведенного PwC исследования показывают, в какой степени предпринятые крупнейшими российскими компаниями действия отвечают этим требованиям. Для целей данного исследования было выполнено сравнение общедоступной информации по российским компаниям, относящейся к сфере соблюдения антикоррупционного законодательства, с передовой практикой в данной области.
Trade, Antitrust and Other Regulatory Matters in BRICSIlya Nikiforov
Investments in BRICS: Business Perspectives and Legal Frameworks. IBA: Investments in BRICS. February 2013. Session: Trade, Antitrust and Other Regulatory Matters in BRICS. Ilya Nikiforov
Similar to DISCOVERING THE MIRACLE OF LARGE NUMBERS OF ANTITRUST INVESTIGATIONS IN RUSSIA: THE ROLE OF COMPETITION AUTHORITY INCENTIVES (20)
Примеры хозяйствующих субъектов, которые решениями ФАС России признаны субъектами естественной монополии, и соответственно обязанные провести антимонопольный комплаенс согласно Законопроекту
Premium MEAN Stack Development Solutions for Modern BusinessesSynapseIndia
Stay ahead of the curve with our premium MEAN Stack Development Solutions. Our expert developers utilize MongoDB, Express.js, AngularJS, and Node.js to create modern and responsive web applications. Trust us for cutting-edge solutions that drive your business growth and success.
Know more: https://www.synapseindia.com/technology/mean-stack-development-company.html
Enterprise Excellence is Inclusive Excellence.pdfKaiNexus
Enterprise excellence and inclusive excellence are closely linked, and real-world challenges have shown that both are essential to the success of any organization. To achieve enterprise excellence, organizations must focus on improving their operations and processes while creating an inclusive environment that engages everyone. In this interactive session, the facilitator will highlight commonly established business practices and how they limit our ability to engage everyone every day. More importantly, though, participants will likely gain increased awareness of what we can do differently to maximize enterprise excellence through deliberate inclusion.
What is Enterprise Excellence?
Enterprise Excellence is a holistic approach that's aimed at achieving world-class performance across all aspects of the organization.
What might I learn?
A way to engage all in creating Inclusive Excellence. Lessons from the US military and their parallels to the story of Harry Potter. How belt systems and CI teams can destroy inclusive practices. How leadership language invites people to the party. There are three things leaders can do to engage everyone every day: maximizing psychological safety to create environments where folks learn, contribute, and challenge the status quo.
Who might benefit? Anyone and everyone leading folks from the shop floor to top floor.
Dr. William Harvey is a seasoned Operations Leader with extensive experience in chemical processing, manufacturing, and operations management. At Michelman, he currently oversees multiple sites, leading teams in strategic planning and coaching/practicing continuous improvement. William is set to start his eighth year of teaching at the University of Cincinnati where he teaches marketing, finance, and management. William holds various certifications in change management, quality, leadership, operational excellence, team building, and DiSC, among others.
Unveiling the Secrets How Does Generative AI Work.pdfSam H
At its core, generative artificial intelligence relies on the concept of generative models, which serve as engines that churn out entirely new data resembling their training data. It is like a sculptor who has studied so many forms found in nature and then uses this knowledge to create sculptures from his imagination that have never been seen before anywhere else. If taken to cyberspace, gans work almost the same way.
The world of search engine optimization (SEO) is buzzing with discussions after Google confirmed that around 2,500 leaked internal documents related to its Search feature are indeed authentic. The revelation has sparked significant concerns within the SEO community. The leaked documents were initially reported by SEO experts Rand Fishkin and Mike King, igniting widespread analysis and discourse. For More Info:- https://news.arihantwebtech.com/search-disrupted-googles-leaked-documents-rock-the-seo-world/
Memorandum Of Association Constitution of Company.pptseri bangash
www.seribangash.com
A Memorandum of Association (MOA) is a legal document that outlines the fundamental principles and objectives upon which a company operates. It serves as the company's charter or constitution and defines the scope of its activities. Here's a detailed note on the MOA:
Contents of Memorandum of Association:
Name Clause: This clause states the name of the company, which should end with words like "Limited" or "Ltd." for a public limited company and "Private Limited" or "Pvt. Ltd." for a private limited company.
https://seribangash.com/article-of-association-is-legal-doc-of-company/
Registered Office Clause: It specifies the location where the company's registered office is situated. This office is where all official communications and notices are sent.
Objective Clause: This clause delineates the main objectives for which the company is formed. It's important to define these objectives clearly, as the company cannot undertake activities beyond those mentioned in this clause.
www.seribangash.com
Liability Clause: It outlines the extent of liability of the company's members. In the case of companies limited by shares, the liability of members is limited to the amount unpaid on their shares. For companies limited by guarantee, members' liability is limited to the amount they undertake to contribute if the company is wound up.
https://seribangash.com/promotors-is-person-conceived-formation-company/
Capital Clause: This clause specifies the authorized capital of the company, i.e., the maximum amount of share capital the company is authorized to issue. It also mentions the division of this capital into shares and their respective nominal value.
Association Clause: It simply states that the subscribers wish to form a company and agree to become members of it, in accordance with the terms of the MOA.
Importance of Memorandum of Association:
Legal Requirement: The MOA is a legal requirement for the formation of a company. It must be filed with the Registrar of Companies during the incorporation process.
Constitutional Document: It serves as the company's constitutional document, defining its scope, powers, and limitations.
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While the MOA lays down the company's fundamental principles, it is not entirely immutable. It can be amended, but only under specific circumstances and in compliance with legal procedures. Amendments typically require shareholder
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Sustainability has become an increasingly critical topic as the world recognizes the need to protect our planet and its resources for future generations. Sustainability means meeting our current needs without compromising the ability of future generations to meet theirs. It involves long-term planning and consideration of the consequences of our actions. The goal is to create strategies that ensure the long-term viability of People, Planet, and Profit.
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1. Introduction and Key Concepts of Sustainability
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DISCOVERING THE MIRACLE OF LARGE NUMBERS OF ANTITRUST INVESTIGATIONS IN RUSSIA: THE ROLE OF COMPETITION AUTHORITY INCENTIVES
1. Svetlana Avdasheva, Dina Tsytsulina,
Svetlana Golovanova, Yelena Sidorova
DISCOVERING THE MIRACLE OF
LARGE NUMBERS OF ANTITRUST
INVESTIGATIONS IN RUSSIA: THE
ROLE OF COMPETITION
AUTHORITY INCENTIVES
BASIC RESEARCH PROGRAM
WORKING PAPERS
SERIES: PUBLIC ADMINISTRATION
WP BRP 26/PA/2015
This Working Paper is an output of a research project implemented within NRU HSE’s Annual Thematic
Plan for Basic and Applied Research. Any opinions or claims contained in this Working Paper do not
necessarily reflect the views of HSE.
2. Svetlana Avdasheva1
, Dina Tsytsulina2
,
Svetlana Golovanova3
, Yelena Sidorova4
DISCOVERING THE MIRACLE OF LARGE NUMBERS OF
ANTITRUST INVESTIGATIONS IN RUSSIA: THE ROLE OF
COMPETITION AUTHORITY INCENTIVES5
Many antitrust investigations in Russia continue to present a challenge for the
assessment of competition policy and international enforcement ratings. On the one hand,
many infringement decisions may be interpreted as an indicator of high enforcement efforts in
the context of rigid competition restrictions and the significant related harm to social welfare.
On the other hand, many investigations proceed under poor legal and economic standards;
therefore, the impact of decisions and remedies on competition is questionable. In fact, large
number of investigations may indicate the ineffectiveness of antitrust enforcement.
The article explains the possible effects of antitrust enforcement in Russia. Using a
unique dataset of the appeals of infringement decisions from 2008-2012, we classify the
investigated cases according to their potential impact on competition. A case-level analysis
reveals that the majority of cases would never be investigated under an appropriate
understanding of the goals of antitrust enforcement, restrictions on competition and basic
cost-benefit assessments of agency activity. There are diverse explanations for the distorted
structure of enforcement, including the incompleteness and imperfection of sector-specific
regulations, rules concerning citizen complaints against the executive authorities and the
incentives of competition authorities. Our analysis shows that competition agencies tend to
pay more attention to the investigation of cases, which requires less input and, at the same
time, results in infringement decisions with a lower probability of being annulled.
Key words: antitrust enforcement, authorities’ incentives, harm, Russia
JEL Classification: K21, K42
1
National Research University Higher School of Economics. Institute for Industrial and Market
Studies (IIMS). Deputy Director; e-mail: avdash@hse.ru
2
National Research University Higher School of Economics. IIMS. Junior Research fellow; e-
mail: dtsytsulina@hse.ru
3
National Research University Higher School of Economics. IIMS. Leading Research fellow; e-
mail: svgolovanova@hse.ru
4
National Research University Higher School of Economics. IIMS. Research assistant; e-mail:
eesidorova@edu.hse.ru
5
The paper is a result of the Basic Research Program Project of the Higher School of Economics, National Research University.
The authors cordially thank Yoannis Katsoulacos for his outstanding advice on the collection and design of the dataset, the
strategy for data analysis development, discussion of conceptual framework and policy recommendations, Vadim Novikov for
providing the initial dataset, and discussing the conclusions, Polina Kruchkova, Maxim Markin, Andrey Tzyganov, Vitaliy
Dianov, Alla Varlamova for helpful comments on legal issues in enforcement of Russian antitrust legislation, Marina
Kolosnitsyna for helpful comments and suggestions on the organization of results’ presentation, and Marina Lopatina, Karina
Fayzullina, and Yulia Modina for ideal research assistance in collecting the database. The usual disclaimers are applied.
3. 3
Introduction
Antitrust is an important part of the legal structure of most countries around the world. It
is aimed to prevent anticompetitive behavior, thus restricting its negative effects on welfare. The
distinctive feature of antitrust legislation is that being welfarist it is also process-oriented [Farrell
and Katz, 2006]. It means that only actions that reduce social welfare through restrictions of
competition are prosecuted. In this respect antitrust legislation differs from other legislations
which have similar purposes to protect one group of economic agents from harmful actions of
another group such as consumer protection legislation and legislation relating to the regulation of
natural monopoly activities where liability rests on just a finding of harm to others. That is why
in most countries the policies are usually governed by different and independent institutions or at
least by independent structural divisions of the same institution with well-defined and distinct
sets of responsibilities.
In Russia the legal backgrounds are the same. The fundamental objective of antitrust or
more broadly of competition policy - to protect competition rather than competitors - can be
found in Article 3 of the Law ‘On protection of competition’ in Russia (the ‘Law on
competition’ hereafter). However outcomes are different at the end, and that is what we plan to
discuss in this paper.
The Federal Antimonopoly Service (the FAS, hereafter) is the authority that controls the
execution of the antitrust legislation in Russia. The FAS is responsible for regulating and
controlling compliance with antitrust law, as well as with regulations of natural monopolies6
,
advertising, procurement for the federal government and foreign investment in strategically
important sectors. Thus its functions are defined wider than in other countries.
At first glance the antitrust authority and its responsibilities are clearly defined and
delineated from other government bodies in Russia. Consumer complaints about violations of the
Law on protection of consumer rights are considered by the Russian Federal Service for
Surveillance on Consumer Rights Protection and Human Wellbeing (Rospotrebnadzor). Tariffs
of natural monopolies are established by the Federal tariff service and regional energy
commissions. However regulation of access of customers to goods which are made
by natural monopolies is not an area of responsibility of the bodies. It is done by the FAS.
Yet at the second glance it reveals that the delineation of responsibilities between the
authorities is not clear enough. Analyzing the texts of thousands of FAS decisions carefully we
find that it often considers “not genuine” antitrust cases. For example, commercial conflicts
causing damage to one of the parties or failure to comply with natural monopoly regulations are
6
That is the official translation of the name of the service mentioned on its web-site. However it seems to be more correct to
translate it as “Federal Antitrust Service” as antitrust is the core of the powers of the authority.
4. 4
frequent targets of antitrust investigations. On the one hand, having the ability to appeal to a
specialized authority the victims tend to appeal to the FAS. On the other hand the FAS prefers
not to refuse to open the investigation and to follow all the required guidelines as if it was an
antitrust case. Thus despite the existence of separate authorities responsible for conducting
different types of policies, the distinction between them is not clearly held.
This gives us an alternative vision of the fact that according to the Rating Enforcement,
Global Competition Review, in 2013, Russia led the number of investigations in the rating of
competition authorities all over the world. Specifically, the FAS investigates more abuse of
dominance cases than all other competition authorities in the world; in 2013 alone, 2,635
investigations were opened, and 2,212 were cleared. The number of abuse of dominance cases is
the most impressive example; however, the FAS also leads in other quantitative dimensions, for
example, by the number of down raids7
. However taking into consideration the unclear
delineation of antitrust and non-antitrust cases in Russia mentioned above the number of
decisions made by Russian antitrust authority may not seem so excessive as it has to be
compared with the aggregate number of antitrust, consumer protection and natural monopoly
infringement decisions taken by the corresponding authorities in the other countries.
The contradiction between the extremely high number of cases under investigation and
consideration, on the one hand, and the complexity of a typical antitrust case that requires the
application of very high standards of economic analysis, on the other hand, has been discussed
many times (Girgenson and Numerova, 2012). The FAS resolves this contradiction by
decreasing the quality of the decisions in terms of the economic analysis undertaken. Even the
data of the Rating Enforcement show that decisions of the FAS are ‘cheap’ in terms of the
resources spent: the average duration of an investigation is only 3 months (it is almost 10 times
longer for cases in the European Commission). The large number of cases is the most important
obstacle to improving the efficiency of Russian competition policy.
Among different explanations for the tendencies of the case law development, there is a
standard reference to the lack of experience of competition law enforcement by competition
agencies and commercial courts that causes the misuse of antitrust legislation. Another
explanation is that there is a significant demand for antitrust enforcement to support specific
target groups, not to protect competition. Antitrust legislation is applied as industrial or even
social policy. Examples of antitrust legislation as social policy are litigation and turnover
penalties on large Russian oil companies for excessive prices of gasoline, diesel and aviation fuel
under circumstances where the prices of all of these products are apparently lowest in Russia
7
Comparing the numbers of down raids in Russia and in EU we have to bear in mind that the “observations” are defined in
different ways. In Russia it as a raid to the particular entity, while in EU raids to all the participants of the alleged collusion
would be considered as the only observation.
5. 5
compared with other countries (Avdasheva et al, 2012). An important complementary
explanation stresses the importance of procedural rules for selecting cases for investigation in
Russian competition policy and other areas of control and monitoring (Avdasheva and
Kryuchkova, 2014). The legal rules of administrative actions in Russia attribute a high
importance to complaints, which makes the absence of a response to complaints expensive for
every official at the FAS. Because of the importance of complaints, antitrust enforcement is
skewed towards cases with large individual effects (where harm to specific market participants is
more important than restrictions on competition). This focus occurs at the expense of cases with
a high negative impact on competition but a limited impact on one certain consumer. Another
group of experts emphasizes the distorted incentives of officers at the FAS that involve a high
importance on quantitative performance indicators (the number of investigations, number of
infringement decisions, etc.).
However, it is still not clear how different factors that explain the combination of large
quantities with the modest quality of decisions. All the mentioned explanations are relevant, but
they cannot provide answers to the questions, i.e., what changes and amendments should be
made to substantive and procedural rules and the motivation of FAS officers and what
combination of measures could improve the effectiveness of antitrust enforcement.
The goal of this paper is to explain the impact of the legal framework and interpret the
legal rules of competition and the incentives of authorities concerning antitrust enforcement in
Russia using case-level evidence. We use the unique dataset of the claims to commercial courts
to annul the infringement decisions of the competition authorities from 2008-2012, which
represents more than one-third of all the FAS decisions (collected by the Laboratory of
competition and antitrust policy, Institution of Industrial and Market Studies, LCAL dataset
hereafter). We also combine quantitative and qualitative analyses to restore the understanding of
the prohibition of antitrust legislation. We discover at least three important drawbacks to the
practices of judges and the public authorities regarding antitrust legislation. The first
shortcoming is the interpretation of the main goal of antitrust enforcement as prevention of the
harm imposed on market participants, irrespective of the size of the harmed group and the
magnitude of harm. The second drawback is the interpretation of any harm imposed by the
dominant seller in the contractual relationship as sufficient evidence of abuse of dominance. The
third weakness is the interpretation of any loss or non-satisfaction of the counterparty to the
dominant supplier as evidence of harm. Important complementary legal factors are the absence
of industry-specific enforcement of the rules of the final service provision by natural monopolies
and transformation of this type of enforcement into antitrust enforcement.
6. 6
The content of the cases shows that harm is sufficient evidence of a competition law
violation and is important not only for complainants competition agencies but also for judges.
The probability of a successful claim to annul the infringement decision of the FAS is
significantly lower for cases where the harm imposed is independent evidence of a competition
law violation. In turn, it is an important advantage for competition officers to consider these
cases because they are incentivized by the large number of rapid decisions with a low likelihood
of reversal by the courts. Emerging standards of evidence in antitrust cases concentrate attention
on structural features (dominance) and then directly on harm, which is defined in such a broad
way and does not sufficiently consider the restrictions of competition. Significant efforts and
complex changes are necessary to correct the distortions in Russian antitrust enforcement.
We consider the lessons of Russian competition policy to be important to many countries
with newly established antitrust legislation. The Russian experience shows the danger of
emphasizing harm, irrespective of competition restriction, as evidence of a competition law
violation. Another important lesson is the necessity to carefully consider competition issues and
compliance with sector-specific rules in the regulated industries and the industries under
deregulation.
The paper is structured as follows. Section 1 presents a literature review on approaches to
the analysis of antitrust enforcement. Section 2 briefly describes the development of antitrust
legislation and enforcement in Russia. Section 3 describes research strategy and data. Section 4
analyzes the structure of cases providing the comparison between competition restrictions and
the harm imposed. Section 5 discusses the impact of ‘competition’ and ‘non-competition’ cases
on the cost and performance indicators of competition authorities. Section 6 concludes and
provides policy implications.
1. Positive analysis of antitrust enforcement using case-level evidence
Different approaches to the analysis of antitrust enforcement are based on case-level
evidence. The first approach is the assessment of the use of economic analysis in court decisions.
In particular, it is investigated whether components of economic analysis are more likely to
influence the decision. In advanced court systems, specialized courts increasingly use economic
analysis. This tendency to include economics in antitrust analysis was not sudden (Kaplow,
1987). Posner (2001) emphasizes the increased demand for economic evidence concerning the
competitive effects of business practices. Geradin and Petit (2010) provide quantitative and
qualitative analyses of the functions attributed to judicial review. They find that the General
Court (GC) has applied a demanding standard of review to Commission decisions, including
issues of complex economic appraisals. Empirical data show that, despite Article 102 cases, the
7. 7
GC struck down a significant number of Article 101 and merger control decisions. Moreover, the
qualitative analysis shows that concerning Article 101 and merger decisions, the GC has often
followed an “effects-based approach”. However, in Article 102 decisions, the GC has
implemented conservative treatment that relies on formalistic legal standards without
considering the economic effects.
The second approach to assessing enforcement quality is to analyze the incentives to
appeal decisions. In this approach, some of the literature investigates the influence of decision-
making on its outcomes. A good example is the paper (Baye, Wright, 2011) investigating the
effects of economic complexity or generalist judges’ economic training on judicial decision-
making. Using data on antitrust litigation in the federal district and administrative courts from
1996-2006, these authors examine the influence of economic complexity on antitrust decisions.
A decision is assumed to be “complex” if it includes one or more terms such as econometrics,
economic analysis, expert report, regression, statistics, etc. The authors use two measures of the
quality of an initial court’s decision: the party’s decision to appeal and a reversal by the appellate
court. The authors find that decisions are 10% more frequently appealed in complex cases, and
the decisions of judges who have basic economic training are less likely to be appealed.
Other papers analyze the influence of individual characteristics on the incentives for
appeal and the success rate of appellate proceedings. Huschelrath and Smuda (2014) use data
from 467 firms that participated in 88 cartels convicted by the European Commission between
2000 and 2012. First, they determine that a firm`s financial conditions influence the probability
to appeal because firms in financial trouble are more likely to file an appeal8
. The influence of a
firm`s size is controversial – larger firms have less incentives to appeal a cartel decision by the
EC. Carree et al. (2010) identify determinants of appealing EC decisions on the case and firm
level using a similar dataset. They show that the level of fine, the decision length and the number
of parties to which the decision is addressed are persuasive factors to file an appeal. Based on the
data from European appellate courts from 1995 to 2004, Harding and Gibbs (2005) suggest that
there are two groups of arguments for appeal. The first argument is that the Commission`s
evidence is insufficient to establish the alleged activities; the second argument involves the legal
and/or procedural defects in handling the case.
Concerning the characteristics of successful appellants, Huschelrath and Smuda (2014)
find that ‘substantive reasons’ and ‘errors in the calculation of the basic amount of the fine’ lead
to the largest fine reductions. The level of success increases with the size of the final fine
imposed. Repeat offenders are encouraged to file an appeal because, in the case of success, they
8
Companies that have financial difficulties are more likely to obtain a fine reduction (Geradin, Henry, 2005).
8. 8
can expect larger fine reductions. Günster et al. (2010) empirically investigate all Commission
decisions under Articles 81, 82, and 86 of the European Community Treaty between 1957 and
2004. They find that the length of the Commission decision, the number of accepted complaints,
the number of judges and whether the case is grouped into one case are important factors for the
likelihood of filing an appeal. In our paper, we use a similar approach to combine qualitative and
quantitative analyses of enforcement.
Despite the significant variety of research questions analyzed, we remain aware of no
evidence for the role of case selection for antitrust investigations and the influence of case
structure on the approach of antitrust enforcement. However, it is especially important to the
enforcement of antitrust provisions that the executive authority choose the cases to be
investigated to achieve deterrence and improve the general welfare.
2. Development of antitrust legislation and enforcement in Russia: brief
overview
History of Russian competition legislation and enforcement accounts for quarter century.
The first law, ‘On competition and restrictions of monopolistic actions’ (1991), was adopted by
translating relevant articles from the Rome Treaty (sometimes the relevant guidelines) and
adding definitions of the concepts applied and descriptions of the implementation procedures.
The only country-specific innovation in the law was a set of rules against restrictions on
competition by public authorities. Since 2006 several “antitrust legislative packages” (sets of
changes and amendments in substantive and procedural rules of competition legislation and
enforcement) aimed to implement the best world practiced entered into force. Provisions of the
Law on competition in Russia are similar with TFEU provisions. Article 11 of the law (on
collusion and concerted practice) and Article 10 of the law (on the abuse of dominance) are
actually blueprints of Article 101 and Article 102 TFEU correspondingly. Since 2007 turnover
penalties for restriction of competition together with leniency program for cartel participants are
applied.
From the very beginning institutional structure of competition policy exhibits some
specific features. First, responsibilities of Russian competition agencies are broader than those of
typical antitrust authority in the world. It is possible to say without exaggeration that there is no
area of responsibility of any competition agency in the world that is not responsibility of the
Russian authority, including antitrust, unfair competition, advertising, part of sector-specific
9. 9
regulation of natural monopolies9
(tariffs are set by distinct authority the Federal Tariff Service,
but access and interconnection issues are under responsibility of the FAS). In the 1990-s
authority was also responsible for small business support and consumer protection.
The FAS has the power to inspect compliance with legal requirements either on their own
initiative or on the basis of complaints received. Recent developments in control and monitoring
in Russia attach great importance to responding to complaints. A special law, ‘On the procedure
of considering complaints of citizens of the Russian Federation’ (2006), requires a responsible
authority to consider every complaint and either open an investigation or provide a reasoned
refusal within 30 days. Authorities and public servants are responsible for both decision-making
delays and unjustified refusals to open complaint investigations. Although antitrust authorities
are formally entitled to select among complaints and cannot be compelled to conduct
investigations on every complaint received, they are strongly incentivised to do just that. Citizens
and companies can sue authorities and officials for any harm that is resulted from inaction. The
number of court cases brought against Russian government agencies that have ruled in favour of
the plaintiffs is substantial and growing (Trochev, 2012).
The FAS has a power for both inspection and investigation, and decision on the
infringement, representing a type of ‘inquisitorial’ system typical for administrative law
enforcement in continental model. Violator has a right to appeal the decision of the FAS in a
court system (during the period under analysis – commercial courts concentrated on litigations in
the economic area. Costs of access to court are relatively low in Russia (negligible fees, rule of
cost indemnification, no restrictions of representation).
3. Data and methodology
3.1. Data on commercial court decisions
The following are the two sources of data for the decisions in antitrust cases in the
Russian Federation:
Decisions of the antitrust authorities, including the central office and regional sub-
divisions of the FAS; and
Decisions of the commercial courts (from the first instance onward to the decisions of the
Supreme Commercial Court10
), on the claims to annul the infringement decisions of the FAS.
9
“Natural monopoly” is a special legal status in the Russian legislation, defined using approach to ‘essential facilities’ (economic
or technical reasons not to duplicate). Legal status of natural monopoly implies tariff regulation and the regulation of service
standards. For simplicity, hereafter, any company providing regulated services is referred to as “natural monopoly”.
10
Our analysis covers the period when the Supreme Commercial Court of the Russian Federation was the highest judicial body
for settling economic disputes in Russia. Since the spring of 2014 its functions were transferred to the Supreme Court of the
Russian Federation in the course of court system reform.
10. 10
Both sources of data have their own comparative advantages. On the one hand, the
decisions of the FAS should contain more information regarding the standards of evidence that
are applied during investigations and decision-making. However, an important drawback of the
FAS decisions for statistical analysis and comparison is that they are not uniformly structured in
contrast with court decisions, and this makes processing the information more difficult. In
addition, the compliance of competition authorities to make the decisions publicly available is
still imperfect in contrast with information concerning commercial court decisions. An analysis
of all cases is impossible, and it is difficult to estimate the magnitude of the bias of the sample.
Decisions of the Russian commercial courts are not only publicly available but also presented in
a unified manner.
3.2. Data coverage
Our sample covers apparently all the decisions made by commercial courts in the Russian
Federation. Compared with all the decisions of competition authorities, there is a systemic bias
in the sample of cases collected from commercial court decisions. First, this bias favors
infringement decisions. Second, the sample is skewed in favor of cases where a party whose
infringement is found considers the decision imperfect, and an appeal is potentially successful. In
this respect, the average case in our sample may represent a lower quality than the average FAS
decision because it increases the chances that the infringer will appeal the decision. However,
we can expect that the second type of bias will not be extremely high in magnitude. Because of
the extremely low cost of appeal, the trial cost indemnification rule and the relatively high rate of
successful appeals of the decisions of antitrust authorities, it is reasonable that most decisions are
appealed. Because most decisions are appealed, the coverage of our dataset exceeds one-third of
all the infringement decisions and half of the infringement decisions concerning agreements
(horizontal and vertical) and concerted practice (Table 1).
Table 1. Claims for the annulment of competition authorities’ infringement decisions:
2008-2012
2008 2009 2010 2011 2012
Infringement decisions and appeals in the commercial courts
Infringement decisions made (1)
1045 1731 1979 2625 3216
- on abuse of dominance 862 1438 1539 2310 3029
- on horizontal or vertical agreements,
concerted practice
183 293 440 315 187
Claims for the annulment submitted in the
commercial courts of the first instance
337 648 962 1187 796
11. 11
- on abuse of dominance 285 499 753 959 695
- on horizontal or vertical agreements,
concerted practice
53 150 209 228 101
Structure of the abuse of dominance infringement found
Natural monopolies (companies in regulated
industries), %
79,65 64,93 76,49 49,74 62,16
- cases on interconnection and access of
competitors, %
10,53 4,81 10,49 8,45 8,92
- cases on non-compliance with the rules
of final service provision, %
69,47 60,12 66,80 41,29 53,24
Cases on interconnection with sub-subscribers,
%
11,93 17,64 13,41 9,80 9,93
Role of third parties in litigation
Hearings where third parties appear in person,
%
61,72 55,09 56,55 50,88 43,47
Decisions of the commercial courts of the first instance
Infringement decisions annulled (completely or
partially) in the courts of the first instance (%)
51,34 42,75 41,27 37,91 32,91
Appeals of the decisions of the courts of the
first instance (%)
73,29 78,70 84,20 83,99 82,91
Decisions of the court of the first instance,
reversed by the higher court, from all the
appealed decisions (%)
43,72 39,80 20,12 19,66 17,42
Average time final decision takes (in months,
mean, standard deviation in parentheses)
9,36
(7,05)
9,83
(7,4)
9,78
(6,8)
10,76
(6,85)
10,21
(6,54)
Source: LCAP database, data of the Federal Antitrust Service RF (1)
.
A large number of infringement decisions have a high ratio of claims to annul them in the
commercial courts of the first instance and then to the higher courts (more than ¾ of the
decisions are appealed, Table 1). This size makes the database a relevant source of information
regarding the standards of proof applied by the FAS and the commercial courts. During the
entire period, Russia’s commercial courts provide us with rapid decisions; on average, it takes
less than one year on the case to obtain the final decision of the Supreme commercial court of the
Russian Federation. However, this duration is much longer than the time necessary for the FAS
to decide the case (the average duration of abuse of dominance investigations is only 3 months).
12. 12
Table 1 demonstrates that during even a short period commonly accepted by competition
authorities and judges, standards of proof developed. In 2012, a noticeably lower share of FAS
infringement decisions was annulled by the commercial courts; in turn, the higher courts
reversed the lowest share of decisions of the first instance courts.
3.3. Research strategy
To describe and explain the essential features of the standards of proof of competition
investigations, we combine qualitative and quantitative analyses. Using the decisions of the
commercial court as an observation, we attribute to the observation quantitative characteristics,
including the following:
features of alleged violations (abuse of dominance or agreements and concerted
practice, articles 10 and 11 of the Law on competition, respectively);
features of the alleged violator (has the alleged violator the legal status of a
natural monopoly);
indicators of the court decisions (does the court of first instance satisfy or refuse
the claim, do the parties (claimant or the FAS) appeal, does the higher court reverse the
decision of the first instance);
duration of the litigation as an indicator of the efforts the parties have made11
;
qualitative features of the alleged violation. These features, in turn, are divided
into several groups. One group represents the ‘functional’ features of a violation. For
example, we indicate separately non-compliance with the rules on the final service provision
by natural monopolies, non-compliance with the rules on interconnection of competing
networks, access to the network by vertically disintegrated competitors, and conflicts
between operators of local networks and their sub-subscribers. The second group of
qualitative characteristics is divided into cases where restriction of competition represents the
main evidence of law violation and cases where the harm imposed is independent and the
main evidence of a presumed violation. In cases where the harm imposed is the primary
evidence of violation, we also divide these into cases where the harm to the group is
sufficiently large relative to the overall market demand or supply in contrast with the cases
that consider harm for only a small group (to one physical or legal person in extremis);
indicators of evidence that are applied to prove a law violation. Specifically, we
mention application of the Guidelines for market analysis and competition assessment,
11
The litigation on the annulment of decisions of administrative authorities allows us to consider the duration of litigation as a
relevant indicator of efforts. The Russian commercial courts are limited by rigorous procedural rules of hearings and are
incentivized for minimum backlogs. The only reason to postpone a hearing is on application by either party. In turn, there are
mainly two reasons for an application for postponement: the necessity to become familiar with the evidence presented by the
other party or the necessity to present additional evidence (including specialized expertise requested by the party or judge).
Longer court proceedings mean greater efforts to collect, present, and discuss the evidence.
13. 13
developed and legally approved by the FAS, the calculation of the market share of the
alleged violators, specialized expertise provided to the parties, and the number of economic
experts used by the parties; and
there is additional information in the dataset (for example, the characteristics of
the competition authority and commercial court in a given region), but we do not address this
information because it is not relevant to the purposes of the paper.
We begin with a quantitative description of the structure of infringement decisions to
show a ‘typical’ or ‘average’ decision in Russian commercial court. For every group, we
describe typical examples of the alleged infringements. The combination of qualitative and
quantitative analyses allows us to assess the structure of cases in terms of ‘harm’ and
‘competition restriction’ as a principal component of proof. To explain the structure described,
we compare resources spent by the parties to resolve certain types of cases. The general research
hypothesis (specified for empirical hypotheses further in the text) is that alleged violations that
dominate in the structure of antitrust investigations require less resources from the competition
agency and provide higher performance indicators. Hypotheses of empirical analysis correspond
to the role of harm as independent evidence of antitrust violation in evidence-intensity of cases.
4. Structure of cases: restrictions on competition compared with the harm
imposed
4.1. Abuse of dominance: alleged non-compliance with the rules of service provisions
by natural monopolies
Table 1 shows that the largest portion of cases considered by commercial courts involve
alleged violations by natural monopolies12
. The evidence corresponds well to the data of the
FAS; according to the annual reports ‘On Competition and Competition policy in the Russian
Federation’, cases against natural monopolies represent two-thirds of the activity of the FAS.
This group includes large in absolute, not in relative, terms a group of cases where the alleged
violation is refusal to provide interconnections for competitors on fair contract terms (especially
in telecommunications) or access to networks for competing suppliers (especially in electricity).
However, instead of access and/or interconnection issues for competitors, provisions of
retail services for final consumers represent the largest group of cases in both absolute and
relative terms. Typical examples (decisions based on inspection of compliance to service of
12
The Russian law ‘On natural monopolies’ includes a list of activities with the relevant legal status. However, we also include in
this group cases against the participants of the industries that are subject to direct price (or mark-up) regulations (for example,
wholesale and retail trade of pharmaceuticals). Here, we use the similarity of the alleged violation.
14. 14
natural monopolies – mainly regional utilities - to household and commercial customers)
follow13
.
Case А35-6556/201214
In 2011, an antitrust investigation against company "Samaraenergo" (regional supplier of
electricity) was initiated. The investigation was based on the complaint of G, and the company
was suspected of violating by non-use of the reduction coefficient of 0.7 in calculations of the
price for electric energy consumed by each household. The FAS found the company guilty of
abusing a dominant position (part 1 of article 10 of the Law on competition) by imposing harm
on the consumer.
Case А32-5081/2012
In 2012, an antitrust investigation against "NESK-elektroseti" (operator of electricity
network) was initiated. The investigation was based on the complaint of T, A, H and P for the
company’s delay in providing conditions and specifications for the technological interconnection
of power receivers that belonged to the group of households. In the court decision, it is clearly
mentioned that this delay does not comply with the “Rules of technological connections of
the power receiving devices of electricity consumers” that was approved by Government
Resolution dated December 27, 2004 No 861. The regional subdivision of the FAS found the
company guilty of abusing a dominant position in the form of infringement on personal interests.
The company was ordered to stop the violation, perform actions according to the Rules (to
provide the interconnection) and inform the antitrust authority regarding these actions.
Case № А76-8002/2012 and case № А76-3247/2012
Two antitrust investigations against "Gazprom Mezhregiongas Chelyabinsk" (a regional
supplier of gas and a Gazprom subsidiary) occurred in 2011-2012. The regional subdivision of
the FAS considered it a violation of antitrust law to use the take-or-pay principle that includes
penalties for undertaken (case № А76-8002/2012) and overtaken volumes of gas (case № А76-
3247/2012) in long-term gas supply contracts with industrial customers. The antitrust authority
argued that these terms cause losses to gas consumers and can be classified as a violation of
paragraph 10 of part 1 of article 10 of the Law on competition. In both cases, the company was
ordered to stop the violation of the antitrust law and correct the terms of the contracts. Being
appealed the second case FAS decision was annulled in first instance but then it was reversed.
Interestingly, during the period when the alleged violation occurred, the law ‘On gas’ prescribed
13
The names of the complainants in the following paragraphs are indicated by first letters.
14
This is the identification number of the case in the commercial court of the Russian Federation. This number indicates the
commercial court of the first instance, a two-digit number – subject of the Russian Federation (for example, 35 – Samara) – then,
the number of claims to the commercial court and year.
15. 15
certain penalties for under- and overtake, and there was no information that the regional
supplier’s rates exceeded the tariffs established by the regulator.
The common features of the described example and all similar decisions of the FAS is
that, first, all alleged violators are dominant in the regional market of supply to residential and
small industrial customers. Second, there is no evidence of competition restriction, and all the
hearings are concentrated on the harm imposed on the customer. Third, there is no sign that a
dominant position in the market creates possibilities to impose harm. Fourth, in the cases where
the final customers are involved, the harm in question occurs to a small number of them (in
extremis, on only one customer). Finally, in many cases, there is no evidence that the harm is
intentional. Sometimes the alleged violation may be a technical mistake in a contract term (А35-
6556/2012), and sometimes it may be a sign of a low quality of service (А32-5081/2012).
Sometimes the alleged violation represents contract terms implied by the current law to
discipline consumers (А76-8002/2012, А76-3247/2012) in planning demand.
Consumers complain to the FAS for two reasons. First, in Russia, natural monopolies and
their regional subsidiaries have no specific responsibility for non-compliance with the regulated
terms of a contract. Therefore, consumers should choose between consumer protection and
antitrust legislation to enforce the contract terms. In this context, the advantage of antitrust
legislation is opportunity to impose fairly large penalties15
. High penalties are applied rarely, but
even a low probability makes compliance easy to enforce. Moreover, if the competition authority
prescribes contract terms in the form of a remedy, non-compliance with the remedies would
almost certainly be fined.
4.2. Abuse of dominance: conflicts on interconnections with sub-subscribers
It is a common situation when one organization (A) connects to a network through a
device located at the premises owned by another organization (B). The parties must agree with
one another on the terms of interconnection to the network and their rights and responsibilities.
An outstanding contractual relationship may lead to a conflict that results in the
restriction of network connections. This group of cases (interconnection with sub-subscribers)
represents a sufficient share of claims to annul infringement decisions (more than 10% of all the
cases).
Here, we present several typical cases (decisions based on the investigations of
complaints by sub-subscribers of utility services) where one side of this conflict (A) appeals to
15
More specifically, type of penalty imposed depend on the fact does violation involve restriction of competition or harm on the
counterparty only. Violator without legal status of natural monopoly if it does not restrict competition (but only imposes harm on
counterparty instead) pays fixed penalties from 300 to 1000 thousand RUB (about 6 -20 thousand Euro). For restriction of
competition and for violation by natural monopolies turnover penalties (up to 4% of turnover, generally around 1,5% of turnover
for abuse of dominance) are applied. Even fixed and especially turnover penalties for violation of competition legislation exceed
penalty threshold for the same action classified according another type of legislation.
16. 16
the antitrust law to strengthen its position. The base contains 400 cases of this type, including
interconnection of electric power lines, heating networks, water supplies and sanitation
networks. These cases are considered by the FAS as antitrust cases involving a dominant
position (in the form of a restriction of access to a network, by charging excessive prices, etc.).
The dominant position of the accused organization (B) is usually reached by a narrow definition
of the market. In these cases, it appears that the essential facilities doctrine is applied to non-
antitrust cases.
Case А53-1656/11
The business of M is supplied with electric energy by “Donelektrosbyt” (regional power
supplier). The power receiving devices of the entrepreneur are connected to the electric network
through the transforming substation located on the property of "Azovobuv" (shoe factory) and
with the use of the local power network owned by this company. One day, the company
suddenly disconnected the entrepreneur without any prior notification. In this regard, M initiated
an antitrust investigation against "Azovobuv".
The competition authority concluded that the company "Azovobuv" was the only supplier
of electricity on the market within the boundaries of the area covered by its network. Thus, the
dominant position of the company was recognized. Moreover, the company was considered a
“natural monopoly” on the market. The FAS concluded that "Azovobuv" violated part 1, article
10 of the Law on competition. The company was ordered to restore the connection within five
days from the receipt of the remedy and to resume the supply of electrical energy.
Case А13-3603/2011
This antitrust case was initiated against "Factory "Krasnij tkach" (textile factory). The
facilities of the individual entrepreneur S are connected to heating and electric supply systems
through the local network owned by the Factory. The company and S concluded a contract for
the transit of heat and electricity. The company charged S the costs for transit of thermal and
electrical energy. However, the rates were different from the regulated tariffs established by the
authorized state body for the supply of energy by a local provider, and this difference led to
conflict.
The antitrust authority defined the geographic markets in boundaries within the territory
covered by the networks owned by "Factory "Krasnij tkach" because rates of alternative
suppliers were higher by more than 10% (this difference explains why S continues to use the
intermediation of the factory). The FAS concluded that the Factory had a dominant position on
the market and that it violated part 1 of article 10 of Law on competition. The FAS issued a
remedy and ordered "Factory "Krasnij tkach" to transfer the ‘income received from illegal
17. 17
monopolistic activity’ to the state budget. Therefore, monetary sanctions were applied to the
supply of a sub-subscriber by the rates, which historically were lower than those in the region.
The common feature of this group of cases is that local networks were defined as relevant
antitrust markets. Automatically, the owner of a local network becomes ‘dominant’ with his own
facilities. Then, the approach described in the previous section is applied: any broadly defined
harm is considered an abuse of dominance.
4.3. Concept of harm in the antitrust cases
The discretionary definition and vague evidence of harm are not specific for cases against
owners of local networks or natural monopolies. This imprecision is typical for most of the
infringement decisions of the FAS. Harm is an independent proof of violation (without any
evidence concerning actions that restrict competition) in more than ¾ of the clams submitted
(more precisely, in 77,55%). From this group, in 85,28% of the cases, harm is considered an
alleged loss of one party (one physical or legal person that represents a negligible share of the
market demand). In this respect, the practice of identification and proof of an antitrust violation
is substantially influenced by routines that emerge in the investigation of natural monopolies.
Fig. 1 indicates the assessment of the structure of all the infringement decisions across
different groups regarding different infringement evidence between ‘restriction of competition
issues’ and ‘harm issues’ and also between ‘harm to consumers as a group’ and ‘harm to one
specific consumer’. The typical infringement decision does not correspond to internationally
recognized and accepted understandings of what constitutes a violation of Law on competition.
Figure 1. Structure of decisions by the primary infringement evidence across presumed violations
0
500
1000
1500
2000
2500
3000
3500
Horizontal
agreements (art.
11)
Vertical
agreements (art.
11)
Concerted practice
(art. 11)
Abuse of
dominance (art.
10)
Natural
monopolies: access
and
interconnection of
competitors (art.
10)
Natural
monopolies: (non)
compliance with
the rules of final
service provision
(art. 10)
Interconnection
with sub-
subscribers (art.10)
Other abuse of
dominance cases
(art. 10)
Restriction of competition Harm to the large group of market participants Harm to certain market participants
18. 18
Source: LCAP database
The structure of infringement decisions by the Russian antitrust authority explains the
limited positive effects of enforcement. Most cases have little in common with restrictions of
competition. Without exaggeration, we can say that a large part of the investigations would never
be opened under a conventional understanding of the objectives and methods of antitrust
legislation. The many investigations that are devoted to these cases, which do not concern
competition, create several negative spillovers. First, these standards of proof of violation of
antitrust legislation consider harm to a certain group of market participants as a sine qua non
requirement. As a result, it could be much more difficult to prove a violation of antitrust
legislation in the case where harm cannot be proved with the testimony of a given victim.
Ironically, it makes it much more difficult to prove a violation in the form of collusion if
dispersed consumers do not realize the harm imposed on them. Second, because of the scarce
resources of the competition authorities, a large number of antitrust investigations limits the
depth of economic analysis in each investigation and contributes to the decrease of standards of
evidence not only in the authorities but also in the commercial courts.
To improve the effectiveness of competition enforcement, it is necessary to explain the
incentives for competition authorities to investigate the cases, which evidently have no impact on
competition (in addition, we will refer to ‘non-competition’ cases compared with ‘competition’
cases). One explanation is the importance of complaints in Russian administrative legislation.
The Law ‘On the rules of working with citizens’ complaints’ (2006) makes it obligatory for any
civil servant to react on a complaint (in the form of investigating the alleged infringement or
writing a motivated refusal to investigate). The Law has credible sanctions for non-compliance.
The procedural rules of addressing complaints explain why Russian competition authorities
investigate complaints more often than other competition authorities in the world16
. The
procedural rules explain the large number of complaints because the probability of obtaining an
infringement decision with a remedy that almost guarantees the favorable change of contract
terms is sufficiently high. Therefore, the expected gains from a complaint are high.
Data on the litigation under claims to annul infringement decisions confirm the
importance of complainants. In more than half of the cases, a third party (that is, typically, the
complainant) participates in court hearings in person (despite the fact that procedural rules allow
the consideration of a case without the personal involvement of the third party). Complainants
more often participate in cases when the harm to an individual (in contrast with harm to a group)
16
According to the FAS statistics, from 2008-2012, approximately 96 thousand complaints were submitted to the FAS regional
subdivisions, and 25 thousand investigations were opened. These results mean that every 4th
complaint is investigated in Russia
compared with every 10th
complaint investigated by the European Commission (Gual, Mas, 2011, p.220).
19. 19
is in question (53,5% with participation of the third party in contrast with 39,58% with no
participation of the third party).
A limited number of claims submitted to annul FAS decisions ask to reject complaints;
this small number stresses the importance of this group in enforcement. The refusals to
investigate are motivated by the absence of evidence of antitrust violations according to the
results of the FAS preliminary assessment. After reviewing the texts of the decisions, we find
this position reasonable because in the majority of cases, violations of the terms of contracts or
specific guidelines in regulated industries are claimed. The typical example is case №А60-
783/2011 in which a housing cooperative addressed the FAS with a complaint against a thermal
power generating company that limited its supply of hot water to certain houses. The antitrust
authority refused to investigate and reasonably argued that there was no evidence of any
restrictions of competition and/or imposing harm because of the restrictions of competition in the
case.
Cases of this type are rare in our sample, and the dynamics of their appearance is not
optimistic. There are 88 cases that claim the FAS refused to investigate a complaint. The number
of claims substantially increased from 14 in 2008 to 41 in 2010 and then decreased to 5 in 2011
and 2 in 2012. However, the fact that a complainant can support its complaint by the court
decision increases the importance of complainants and their incentives in antitrust investigations.
The majority of the claims (72 of 88) were rejected in the first instance. However, 40 of these
decisions were appealed, and in 6 cases, the decision of the first instance court was reversed by
the higher court. The rights of complainants are supported by the Russian commercial courts.
5. Impact of ‘competition’ and ‘non-competition’ cases on the cost and
performance indicators of competition authorities
A statement that most of the investigations of infringement in Russian competition policy
would never be initiated under the conventional understanding of the objectives and methods of
competition policy is important but insufficient. The explanation of the role of complainants
(Avdasheva, Kryuchkova, 2014) is also incomplete though important; obligations to respond to
complaints do not limit the ability of competition authorities to initiate investigations and make
decisions ex officio. Scarce resources, which are also limited by the necessity of analyzing
complaints, may explain weak standards of analysis but not the prevalence of cases on harm in
the overall population of investigations. An important part of the explanation lies in the
incentives of the officers in competition agencies.
Many experts mentioned that officers in competition agencies are incentivized by the
quantitative indicators of their activity, more precisely, on the number of decisions made and
20. 20
especially on the amount of decisions that were not challenged by the commercial court
(Paneiakh, Novikov, 2014). Under performance indicators of this type, agencies prefer to take
less ‘evidence-intensive’ cases. A general indicator of ‘evidence-intensity’ is the expenditure on
evidence that a decision requires because it was not annulled by the commercial courts.
Empirically, the lower ‘evidence-intensity’ cases may be compared using two types of
indicators: the probabilities that a decision will take legal effect (that it is not being annulled by
the commercial courts) and the economic evidence actually applied in FAS decisions.
Therefore, we test the following two empirical hypotheses.
H1. Infringement decisions where the harm is independent evidence of the Law on
competition violation are annulled by the courts less frequently; the probability that the decision
from this group will take effect is higher in contrast with infringement decisions that consider
competition restrictions the main evidence of Law on competition violation.
H2. Infringement decisions where harm is independent evidence ofthe Law on
competition violation require less evidence and make it easier to prepare ‘economic analysis
input’.
The evidence confirms H1 fully. We can observe that:
(1) decisions on abuse of dominance (art. 10) are less frequently annulled compared
with the decisions on agreements or concerted practice (art. 11) (fig. 2a);
(2) among the decisions on abuse of dominance (art. 10), those that consider conflicts
with sub-subscribers and non-compliance with the standards of service provision with final
customers are less frequently annulled compared with the decisions on the interconnection of
competitors and other infringement decisions under art. 10 (fig. 2b); and
(3) among other decisions on abuse of dominance, those that consider the harm as
independent evidence of a violation are annulled less frequently (fig. 2c).
21. 21
Figure 2a. Determinants of the probabilities for the infringement decision to take effect: articles
10 and 11 compared
Bold frame indicates significance at the 1% level, double frame indicates significance at the 10%
level (according to χ2)
Source: LCAP database
0,35
0,38
0,84
0,82
0,20
0,32
0,87
0,52
0,46
0,78
0,79
0,24
0,26
0,76
0,00 0,10 0,20 0,30 0,40 0,50 0,60 0,70 0,80 0,90 1,00
Share of the infringement decisions appealed in the aribtration courts
Share of the claims in the arbitration courts satisfied completely or partially
Share of the appealing claims in the higher court in the case of refused claims in
the first instance (by company)
Share of the appealing claims in the higher court in the case of satisfied
(completely or partially) claims in the first instance (by FAS)
Share of the reversed decisions by the higher court(s) in the appealing claims by
company
Share of the reversed decisions by the higher court(s) in the appealing claims by
FAS
Share of FAS infringement decisions came into force
Article 11 Article 10
22. 22
Figure 2b. Determinants of the probabilities of the infringement decision under art. 10 to be
reversed by the commercial courts: content of decisions compared
Bold frame indicates a difference significant at the 1% level (according to χ2)
Source: LCAP database
The difference occurs because of the decisions of companies to appeal (for art. 10 vis-à-
vis art. 11) and the decisions of the commercial courts of the first instance and the higher courts
(for all groups compared). In addition, for infringement decisions on conflicts in sub-subscribers’
cases, companies also less frequently appeal the unfavorable decisions of the first instance. The
explanation for this regularity would not be obvious under a conventional understanding of the
objectives of the Law on competition. The regularity becomes clearer considering the significant
importance of harm as evidence of violation, without causal links between restrictions of
competition and the harm imposed, and with the testimony of the alleged victim as the main
evidence of violation.
0,40
0,92
0,88
0,29
0,29
0,55
0,36
0,85
0,81
0,17
0,34
0,65
0,28
0,73
0,82
0,19
0,32
0,69
0,47
0,84
0,83
0,23
0,28
0,54
0,00 0,20 0,40 0,60 0,80 1,00
Share of the claims in the arbitration courts of the first
instance satisfied completely or partially
Share of the appealing claims in the higher court in the case
of refused claims in the first instance (by company)
Share of the appealing claims in the higher court in the case
of satisfied (completely or partially) claims in the first
instance (by FAS)
Share of the reversed decisions by the higher court(s) in the
appealing claims by company
Share of the reversed decisions by the higher court(s) in the
appealing claims by FAS
Share of FAS infringement decisions not reveresed by
arbitration courts
Other cases under article 10
Cases on interconnection with sub-subscribers
Cases on non-compliance with the rules of final service provision by natural monopolies
Cases on interconnection and access of competitors by natural monopolies
23. 23
Figure 2c. Determinants of the probabilities of the infringement decision under art. 10 (infringers
are not natural monopolies and/or companies in conflict with sub-subscribers) to be reversed by the
commercial courts: content of decisions compared
Bold frame indicates difference at the 1% level, double frame indicates difference at the 10%
level (according to χ2)
Source: LCAP database
For the judge, the concept of competition and protection of competition is less
understandable than the concept of harm. At the next step, a vague concept of harm
paradoxically makes the infringement decision more stable. Even with a weak understanding of
competition and restriction of competition, indicators allow proving or refuting restriction; it is
not so easy with the concept of harm as independent evidence. Judges consider norms of Law on
competition as prohibiting any harm imposed by a dominant company. Under this standard of
proof, it is difficult to refute the accusation of abuse of dominant position, if dominant position is
proven. This difficulty explains the stability of infringement decisions on abuse of dominance in
0,46
0,92
0,84
0,30
0,33
0,52
0,37
0,83
0,82
0,18
0,31
0,63
0,00 0,10 0,20 0,30 0,40 0,50 0,60 0,70 0,80 0,90 1,00
Share of the claims in the arbitration courts of the first
instance satisfied completely or partially
Share of the appealing claims in the higher court in the case
of refused claims in the first instance (by company)
Share of the appealing claims in the higher court in the case
of satisfied (completely or partially) claims in the first
instance (by FAS)
Share of the reversed decisions by the higher court(s) in the
appealing claims by company
Share of the reversed decisions by the higher court(s) in the
appealing claims by FAS
Share of FAS infringement decisions not reveresed by
arbitration courts
Cases where harm is independent evidence of infringement (exploitative abuse)
Cases on restriction of competition (exclusionary abuse)
24. 24
the form of harm imposed on a counterparty, especially in the cases when dominance is
presumed (for example, regional operators of regulated networks).
At first glance, the results of H2 testing are mixed (see Table 2). On the one hand, time
spent to obtain a final decision generally negatively correlates with the share of the decisions
annulled across types of violations. The consideration of a typical abuse of dominance case takes
less time than the consideration of a case on horizontal agreements and concerted practice. The
consideration of cases on non-compliance with the standards of final service provision and on
conflicts with sub-subscribers takes less time than ‘classical’ cases on interconnection and access
for competitors and service provisions to final customers. This result holds for all cases and for
the sub-population of cases, where either party appealed the decision of the first instance.
Interestingly, the indicator of number of pages in the decision (despite the overall
ambiguity of the indicator, both technically – the design of the text is specific to the regional
court – and substantively – the length of the text poorly captures the cost to obtain a decision)
also correlates with both the time necessary to obtain the final decision (positively) and the
probability the decision will be reversed (negatively).
On the other hand, there is no evidence that cases that concentrate on harm systematically
require less input in terms of evidence. There is no reason to comment on the share of cases
where specialized expertise is involved; it is extremely low across different types of alleged
violations. Only two indicators seem to be informative: the application of the Guidelines for
market analysis and competition assessment and the calculation of market share. The Guidelines
were developed by the FAS, and their application is necessary by law for all investigations of
abuse of dominance. The Guidelines generally follow ‘structure-conduct-performance’ logic;
most attention is given to the delineation of market boundaries, both product and geographical,
to the calculation of market shares and concentration indexes and then, to entry barriers. The
Guidelines are important for not only competition officers but also the companies requesting the
annulment of infringement decisions, especially the qualification of dominance. Recently, the
development of economic analysis in Russian commercial courts has been concentrated on the
application of the Guidelines. However, we can observe that the Guidelines are applied more
often in the cases concerning agreements (especially vertical agreements) rather than in cases of
abuse of dominance. One explanation is that according to the rules, the application of the
Guidelines is not obligatory for investigations against natural monopolies. At the same time, we
consider the wide application of the Guidelines an important sign that economic evidence from
both sides of the litigation is concentrated on the structural features of the market. In this respect,
market analysis is ‘old-fashioned’ both in the FAS and the courts. Finally, in explaining the
‘excessive’ use of the Guidelines and relevant market analysis in the FAS decisions, we should
25. 25
mention one more important feature. For the group of cases with weak or no links to competition
restriction, market analysis is simple. It requires little analysis to prove that an owner of the local
network dominates the network with a market share of 100% (cases on interconnection with sub-
subscribers). Similarly, little analysis is required to show that a regional network operator and
provider of regulated services (cases on non-compliance with final service provision) are in the
same position.
To conclude, the results of our analysis confirm the general hypothesis of the study on the
importance of the structure of incentives in competition agencies. This result explains a
significant number of antitrust cases investigated by the FAS annually with a large share of cases
that are not related to conventional competition legislation. Under the prevalence of structural
analysis, this group of cases requires less effort to generate a decision. With the perceived
importance of harm as the most essential component of a competition law violation, this group of
cases results in decisions with a lower probability of being annulled and less time expected to
obtain a final decision.
26. Table 2. Indicators of resources spent under different groups of infringements
Time of proceedings in the
commercial court, months
(mean, st. dev in parentheses)
Pages in text
of the first
instance
decisions*
Share of the
decisions
where
guidelines
for market
analysis and
competition
assessment
applied by
either party
are
mentioned,
%**
Share of the
decisions
where
market share
calculated by
the FAS is
mentioned,
%
Market share
calculated
(mean, st.
deviation in
parentheses)
1
Share of the
decisions
where
specialized
expertise
provided to
the FAS is
mentioned,
%
Share of the
decisions
where expert
provided by
the claimant
is mentioned,
%
Share of the
decisions
where
specialized
expertise
provided by
the claimant
is mentioned,
%
Share of the
decisions
where expert
appointed by
judge is
mentioned,
%
All cases* Decision of
the first
instance is
appealed*
Horizontal agreements (art. 11) 11,12 (6,63) 12,48 (6,42) 11,04 (6,68) 11,34 4,47 63,70
(32,83)
5,15 1,72 1,37 0,00
Vertical agreements (art. 11) 9,37 (4,74) 10,61 (3,86) 10,06 (4,68) 13,95 10,47 80,45
(25,03)
3,49 3,49 1,16 0,00
Concerted practice (art.11) 11,81 (7,45) 12,88 (6,74) 11,93 (6,04) 25,00 4,95 63,36
(24,28)
5,77 1,10 0,55 1,37
Abuse of dominance (art. 10) 9,96 (6,03) 11,09 (5,77) 9,98 (4,87) 16,55 14,29 85,65
(22,78)
2,98 0,91 1,35 1,32
Including
Natural monopolies:
access and interconnection
for competitors
11, 81 (6,02) 12,65 (5,64) 10,26 (4,87) 15,96 14,89 84,99
(24,10)
1,42 1,77 1,42 2,13
Natural monopolies: (non)
compliance with the rules
on final service provision
9,43 (5,76) 10,45 (5,53) 9,75 (4,56) 9,43 9,48 84,62
(22,39)
2,81 0,72 0,83 1,05
27. Interconnection with sub-
subscribers
9,13 (5,93) 10,81 (5,93) 9,45 (4,48) 13,70 15,76 95,39
(15,08)
1,55 1,55 1,29 0,26
Other abuse of dominance
cases
11,09 (6,22) 12,61 (5,89) 11,23 (5,63) 12,06 4,28 68,92
(24,95)
5,84 1,56 1,56 0,00
*Difference is statistically significant at a 1% level (Kruskal-Wallis test)
1
Calculated market share refers to the dominant company in the cases of abuse of dominance and also can refer to the share of the largest market participants
in vertical agreement cases; otherwise, market share refers to the overall share of the group of infringers (in horizontal agreements, concerted practice and likely
vertical agreement cases).
28. 28
Conclusions and policy implications
The analysis of the Russian competition authorities’ decisions appealed in the
commercial courts from 2008-2012 shows that the excessive scale of enforcement measured by
the number of infringement decisions is explained by the fact that these cases would never be
opened under a correct understanding of the goals of antitrust enforcement.
The majority of cases are not proper antitrust ones. Infringement decisions rest purely on
a finding a harm to others (as it is in cases on commercial conflicts). Cases on alleged non-
compliance with the rules of service provisions by natural monopolies and cases on conflicts on
interconnections with sub-subscribers should not be investigated by the antitrust authority not
only because they are not genuine antitrust but also due to extremely unfavorable balance of
costs and benefits of dealing with them in accordance with the “appropriate” guidelines and
standards of proof. However a number of institutional features of the Russian enforcement
system distorts incentives of the FAS officials in terms of the type of cases that they prefer to
handle.
In most of the abuse of dominance cases, violators are public utilities, and the alleged
violation is non-compliance with the rules of retail service provisions. Incompleteness of the
system of conflict resolution concerning service provisions by public utilities creates a demand
for any rules that can help. Concerning antitrust legislation, two important sources of
inappropriate application are the following:
(1) the presumption that any harm imposed by a dominant company on its counterparty
represents abuse of dominance; and
(2) the interpretation of the harm to any number of counterparties (to one customer in extremis)
as evidence of abuse of dominance.
Many cases on public utilities’ service provisions and the evidence that this group of
cases attracts generally the same amount of resources explain very limited and superficial
economic analysis across all cases. However, under a perceived interpretation of the Law on
competition, a concentration on the interpretation of structural features of the market should be
the best approach.
The same understanding of harm and abuse of dominance is employed in the second
specific group of cases on ‘abuse of dominance’ as conflicts between sub-subscribers and
subscribers of the services of utilities. The conflicts concerning the owner of a network in a
single building and his (her) sub-subscribers are considered interconnection issues that involve
abuse of dominance. This interpretation of these conflicts is based on the idea that every operator
of a network (no matter how small the network is) dominates the network.
29. 29
The prevalence of cases with evidence of harm as sufficient evidence of abuse of
dominance, including harm to very small groups of counterparties, also affects the enforcement
outside natural monopolies and networks. Cases on abuse of dominance, where utilities and/or
owners of a local network are involved, generally attract the same amount of resources and
employ the same approach to prove the infringement. Infringement decisions in the ‘normal’
markets are often based on a very formal understanding of harm. In contrast, harm to any part of
the customers and/or suppliers is considered to be a sufficient proof of the abuse of dominance.
This approach opens the door for numerous false convictions and the erosion of the standards of
economic analysis.
The statistics of enforcement allow reconstructing the incentives of competition agencies
and partially those of judges. First, there is no indication of a cost-benefit analysis at the stage of
case selection for investigation. Considering a case for investigation and potential infringement,
decision officers in competition agencies consider individual expected costs and benefits.
Procedural rules regarding reactions to citizen complaints explains the high number of opening
complaints. The orientation on this performance indicator and the share of infringement
decisions taking effect (not challenged by the court) explains preferences for ‘easy to decide’
cases. The competition agencies’ and the commercial courts’ understanding of harm explains the
standards of proof applied. All of these factors explain the large number of cases on abuse of
dominance, with the importance of structural analysis and the vague interpretation of harm.
Because of the incentives of competition officers, large-scale antitrust enforcement in
Russia may coexist with difficult competition restrictions and relevant harm to the consumer. In
addition, antitrust enforcement in Russia may have a very low deterrence effect that causes
substantial harm to consumers and social welfare. There are several ways in which current
principles of case selection for enforcement influence outcomes of competition agency’s actions.
First, competition authorities concentrate on the cases with large individual harm and may do not
intervene in the cases with total large effect on social welfare but lower effect on individual
gains. Second, general standards of economic analysis are largely influenced by the standards
applied in the typical cases where network operators are involved. Structural approach for
proving the dominance is in the center of evidence in most of the cases. Approach may be
insufficient for the most part of the alleged Law on competition violations outside regulated
industries. Third, a conflict resolution between natural monopolies and final customers attracts
excessive resources because legal rules set threshold of economic analysis for antitrust cases that
can be too low for ‘genuine competition cases’ but definitely too high for relatively simple
conflicts with natural monopolies.
30. 30
There is no magic key to improve antitrust enforcement. The fundamental problem of
insufficient delineation of legislative and institutional structures relating to antitrust, consumer
protection and natural monopoly regulation should be solved. Several steps are also important and
concentrate on the phase of case selection for antitrust investigation. Only by changing the
principles of case selection, it is possible to avoid excessive enforcement and improve the
standards of analysis by competition agencies.
The first and most important changes should be connected with the legal framework of
the incentives for the competition agencies and the complainants to competition agencies.
Discretion of the agencies should be extended and penalties for not opening investigations
should be removed. Without discussing whether the strict rules on the liability of public servants
for their non-reaction to complaints are useful in other fields of public control and supervision,
we recommend removing them from the procedures of antitrust enforcement. Any indicators
based on the number of investigations should also be removed from performance indicators of
competition agencies. The enforcement by competition agencies should use quantitative
indicators carefully, but possible indicators should estimate antitrust effects in terms of welfare
gains (welfare losses avoided).
Concerning the incentives of the complainants, opportunities for private enforcement can
compensate for the limited opportunities of complainants in the framework of public
enforcement. Russian legislation does not only allow but also encourages private enforcement of
antitrust legislation without any reference to competition agencies.
At the same time, the typical authors of complaints under the structure of investigation by
competition agencies do not need any compensation for the limitation of their rights in the
framework of antitrust legislation. The most important incentive for the majority of complainants
is the possibility to obtain goods and services of public utilities according to established
standards. Monitoring and conflict resolution of the service provisions of public utilities should
be removed from antitrust enforcement. One option is to allow special agencies in the regions or
municipalities to monitor the quality of the provision for regulated services, including collection
of and reaction to complaints.
Other complainants who do not need any compensatory measures are the parties to the
conflicts concerning the interconnection to limited networks. These complainants only need to
better arrange their contractual relations and enforce them in the framework of the civil process,
not in antitrust legislation.
The other measures, which have been partially undertaken by Russian legislators, is the
improvement of the legal definition of harm as evidence of abusive behavior. Recent changes
(developed at the beginning of 2015 and not yet adopted) in the Law on competition are intended
31. 31
to clarify that only harm to the customers that represent a sufficiently large portion of the
demand constitutes evidence of abusive behavior.
Merely changing the law cannot substantially improve the legal approach, but expected
amendments lead to development in the right direction.
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