
Economic Efficiency
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Content
- Intro
- Title Page
- Copyright
- About the Author
- List of Abbreviations
- Foreword
- Acknowledgements
- Table of Contents
- General Introduction
- Part I The Objectives of US and EU Antitrust Policy: A Historical and Comparative Perspective
- I. The Concept of Antitrust Enforcement Norms
- [A] Views about the Types of Enforcement output an Enforcement Agency Ought to Pursue
- [B] The Means by Which an Enforcement Agency Attempts to Achieve the Set Objectives
- II. The Factors That Shape Antitrust Enforcement Norms
- [A] Political Factors
- [B] Economic Learning
- [C] Institutional Factors
- [D] Antirust Jurisprudence
- [E] Typology of Factors That Shape Antitrust Enforcement Norms
- Chapter 1 Antitrust's Objectives: Theoretical Perspectives
- §1.01 Introduction
- §1.02 Enhancing Economic Efficiency and Promoting Economic Welfare
- [A] Introduction
- [B] Definition of Some Essential Concepts
- [1] Consumer Surplus, Producer Surplus, Total Surplus
- [2] Allocative Efficiency, Productive Efficiency, Dynamic Efficiency
- [3] Market Power
- [C] Static Efficiency and Market Power
- [1] Introduction
- [2] The Model of Perfect Competition
- [a] The Characteristics of Perfect Competition
- [b] The Efficiency and Welfare Implications of Perfect Competition
- [3] The Monopoly Model
- [a] The Characteristics of Monopoly
- [b] Efficiency and Welfare Implications of Monopoly
- [4] The Oligopoly Models
- [5] Conclusions
- [D] Dynamic Efficiency and Market Power
- [E] Whose Welfare Is to Be Served?
- [1] Introduction
- [2] The Total Welfare Standard
- [3] The Consumer Welfare Standard
- [4] Alternatives to the Two Welfare Standards
- [F] Conclusions
- §1.03 Non-efficiency Objectives
- [A] Introduction
- [B] Market Integration
- [C] Fairness and Equity Objectives
- [1] The Protection of Individual Economic Freedom
- [2] Protection of SMEs
- [D] Conclusions
- §1.04 Theoretical Arguments for Exclusive Adherence to the Objectives of Enhancing Economic Efficiency and Promoting Economic Welfare
- [A] Consistency and Objectivity
- [B] Legal Certainty
- §1.05 Conclusions
- Chapter 2 The Objectives of US Antitrust Policy
- §2.01 Introduction
- §2.02 The First Period (1890-1914): The Adoption of the Sherman Act and Its Early Interpretations
- [A] The Sherman Act (1890)
- [1] The Statute: Origins and Content
- [2] Early Interpretations of the Sherman Act
- [B] The Clayton Act and the FTC Act (1914)
- [1] The Clayton Act
- [2] The FTC Act
- §2.03 The Second Period (1915-Mid-1930s): A Period of Relative Repose
- §2.04 The Third Period (Mid-1930s-Mid-1970s): The Trust-Busting Era
- [A] Background
- [B] Substantive focus / decisional practice
- [C] Conclusions
- §2.05 The Fourth Period (Mid-1970s-Beginning 1990s): The Ascent of the Chicago School
- [A] Background
- [1] The Normative Orientations of Orthodox Chicago School
- [a] Firms Are Rational Profit-Maximizers
- [b] The Pursuit of Economic Efficiency as the Exclusive Purpose of Antitrust Law
- [i] Bork's Thesis: Legislative Intent
- [ii] Bork's Thesis: Administrability Arguments
- [c] Activity That Does Not Restrict Output Is Efficient
- [d] Limited Role for Antitrust
- [e] The Decision to Make Economic Efficiency the Exclusive Guide for Antitrust Policy is Non-Political
- [2] The Rise of the Chicago School's Model
- [B] Substantive Focus / Decisional Practice
- [1] From a Forms-Based to an Effects-Based Approach
- [2] Embrace of an Efficiency and Welfare Approach
- [3] Retrenchment of Public Antitrust Enforcement
- [C] Conclusions
- §2.06 The Fifth Period (Beginning 1990s-Today) Compliance with an Efficiency and Welfare Norm
- [A] Background
- [B] Substantive Focus / Decisional Practice
- [1] Influence of Post-Chicago Economics
- [2] The Broad Acceptance of an Economic Efficiency and Welfare Norm
- [C] Conclusions
- §2.07 Conclusions
- Chapter 3 The Objectives of EU Antitrust Policy
- §3.01 Introduction
- §3.02 The objectives of the EU
- [A] The EEC and EC Treaty
- [B] The TFEU
- §3.03 The EU Antitrust Rules: Legislative History and Early Interpretations
- [A] The Ordoliberalism of the Freiburg School
- [B] The Drafting of the EU Antitrust Rules in the Process of Negotiating the EEC Treaty
- [C] The Substantive EU Antitrust Provisions
- [D] Establishing the Principles (1958-1962)
- §3.04 The First Period (1962-Mid-1970s): The Foundational Period
- [A] Background
- [B] Substantive Focus / Decisional Practice
- [1] Market Integration as the Core Objective Guiding Antitrust Policy
- [2] Marginal Role of Other Objectives
- [3] Strong Reliance on Legal Formalism and Empirical Presumptions
- [C] Conclusions
- §3.05 The Second Period (Mid-1970s-Mid-1980s): Antitrust Policy and General Economic Policy as Gozinta Boxes
- [A] Background
- [B] Substantive Focus / Decisional Practice
- [1] Market Integration
- [2] The Promotion and Maintenance of Workable Competition
- [3] Fairness and Equity Objectives
- [4] Enforcement Remained Forms Based
- [C] Conclusions
- §3.06 The Third Period (Mid-1980s-End of 1990s): A Period of Transition
- [A] Background
- [1] Constitutional Context: From Market Integration to Policy Integration
- [2] Institutional Context: The Role of the European Commission and the EU Courts
- [B] Substantive Focus / Decisional Practice
- [1] The "Public Turn" in EU Antitrust Policy
- [2] More Interest in the Generic Benefits of Competition
- [a] Revision of the Enforcement Norms to Assess Vertical Agreements and Horizontal Cooperation Agreements
- [b] Increased Enforcement Action against Cartels
- [3] Link with General Objectives of the EU and other EU Policies
- [C] Conclusions
- §3.07 The Fourth Period (End of 1990s-Today): The Modernization of EU Antitrust Policy: Discovering the Consumer
- [A] Background
- [B] Substantive Focus / Decisional Practice
- [1] Enhancing Economic Efficiency and Promoting Consumer Welfare: The Exclusive Objectives of Modern EU Antitrust Policy?
- [2] Consolidation of a More Economic and Effects-Based Approach
- [3] Unprecedented Enforcement Action against Cartels
- [4] Link with General Objectives of the EU: "Strategic" Competition Enforcement
- [5] Amalgam of Regulatory Policy and Competition Enforcement
- [C] The Modern Adjustment of the Objectives of EU Antitrust Policy: Policy versus Law
- [1] Continuing Relevance of the Market Integration Objective
- [2] Rejection of a Consumer Welfare Standard by the CJ
- [D] Conclusions
- §3.08 Conclusions
- Conclusion to Part I
- Part II The Role of Non-efficiency Considerations in the Application of Article 101 TFEU: Case Study of the Audiovisual Sector
- Chapter 4 The Justifiability of Incorporating Non-efficiency Considerations in Article 101 TFEU
- §4.01 Introduction
- §4.02 The Treaties Demand Non-efficiency Considerations to Be Taken into Account
- [A] Resolving Conflicts Created by the Treaties
- [B] Cross-Sectional Clauses
- [C] Institutional Framework
- [D] Conclusions
- §4.03 Non-efficiency Considerations under Article 101(1) TFEU
- [A] Introduction
- [B] Undertakings
- [C] Agreements
- [D] Restriction of competition
- [1] Agreements That Have as Their Object the Restriction of Competition
- [2] Agreements That Do Not Have as Their Object the Restriction of Competition
- [a] Exclusivity Clauses without Which the Good/Service Would Not Be Provided ("Exclusivity Necessary for Supply")
- [b] Appreciable Effect
- [c] Ancillary Restraints
- [d] The Wouters Proportionality Test
- [E] Effect on Trade between Member States
- [F] Weighing and Balancing under Article 101(1) TFEU?
- [G] Conclusions
- §4.04 Non-efficiency Considerations under Article 101(3) TFEU
- [A] Introduction
- [B] First Condition: Objective Efficiency Gains
- [1] Types of Objective Efficiency Gains
- [2] Quantification of the Objective Efficiency Gains
- [3] Non-efficiency Benefits as Additional Justifications?
- [C] Second Condition: Indispensability of the Restrictions
- [D] Third Condition: Fair Share of the Benefits for Consumers
- [E] Fourth Condition: No Elimination of Competition
- [F] Conclusions
- §4.05 Infringement and Commitment Decisions
- [A] Introduction
- [B] Remedies Imposed by Infringement Decisions
- [C] Commitments Offered by the Parties
- [1] The Commitment Decision Procedure
- [2] Benefits and Drawbacks of the Commitment Procedure
- [D] Conclusions
- §4.06 Conclusions
- Chapter 5 More Than a Game? The Specific Characteristics of Sport and Its Societal Role
- §5.01 Introduction
- §5.02 Sports Media Rights: Trends
- [A] Introduction
- [B] Killer Content for Media Content Providers
- [1] Sports Programming Is Able to Attract an Identifiable, Particular Audience Targeted by Certain Advertisers
- [2] Sports Programming Is Able to Build up Brand Loyalty to a Particular Channel or Service
- [3] Sports Programming Is Key Driver Content for Pay TV and New Media Services
- [C] Major Source of Income for Professional Sport
- [D] Conclusions
- §5.03 The Specific Characteristics of Sport and Its Societal Role: A Critical Appraisal
- [A] Introduction
- [B] The Societal Role of Sport
- [C] The Specific Characteristics of Sport
- [1] Competitive Balance
- [2] Ensuring the Regularity and Proper Functioning of Competitions
- [3] Encouraging the Training and the Education of Young Players
- [4] Promoting Stadium Attendance and Participation
- [5] Ensuring the Integrity of Competition
- [D] Conclusions
- §5.04 EU (Antitrust) Policy and Sport: The Development of a Sector-Specific Approach
- [A] Introduction
- [B] First Ventures into EU Sports Policy: Sport as a Vehicle of Europeanization
- [C] The Bosman Judgment (1995) and the Amsterdam Declaration on Sport (1997)
- [1] The Impact of the CJ's Bosman Judgment
- [2] The Amsterdam Declaration
- [D] The Helsinki Report (1999)
- [E] The Nice Declaration (2001)
- [F] European Convention on the Future of Europe
- [G] The Meca-Medina judgment (2006) and the White Paper on Sport (2007)
- [1] The Meca-Medina Judgment
- [2] Resolution on the future of professional football
- [3] The White Paper on Sport
- [a] The Application of the Antitrust Rules to Sporting Rules
- [b] The Application of the Antitrust Rules to Certain Revenue-Generating Activities Related to Sport
- [H] The Lisbon Treaty: Article 165 TFEU
- [I] Communication on Developing the European Dimension of Sport (2011)
- [J] Conclusions
- §5.05 The European Commission's Article 101 TFEU Decisional Practice in the Area of Sports Media Rights
- [A] Introduction
- [B] Selection of the Cases
- [1] The Exploitation of Sports Media Rights
- [2] The Joint Selling of Sports Media Rights (Upstream Market)
- [3] Joint Buying of Sports Media Rights (Downstream Market)
- [4] 3G Sector Inquiry (2005)
- [C] The UEFA's Broadcasting Regulations Decision (2001)
- [1] The Procedure
- [2] The Application of Article 101(1) TFEU
- [3] The Consideration of the Specific Characteristics of Sport and Its Societal Function
- [4] Conclusions
- [D] The UEFA Champions League Decision (2003)
- [1] The Procedure
- [2] The Application of Article 101(1) TFEU
- [3] The Application of Article 101(3) TFEU
- [a] First Condition: Objective Efficiency Gains
- [i] A Single Point of Sale for the Acquisition of a Packaged League Product
- [ii] The Creation and Maintenance of a Branded UEFA Champions League Media Product
- [iii] Football Clubs' Opportunities for Individual Sale of Certain Rights
- [b] Second Condition: Indispensability of the Restrictions
- [c] Third Condition: Fair Share of the Benefits for Consumers
- [d] Fourth Condition: No Elimination of Competition
- [4] The Consideration of the Specific Characteristics of Sport and Its Societal Function
- [5] Conclusions
- [E] The DFB Decision (2005) and the FAPL Decision (2006)
- [1] The DFB procedure
- [a] Procedural steps under Regulation 17/62
- [b] Procedural Steps under Regulation 1/2003
- [2] The DFB Commitment Decision
- [3] The FAPL Procedure
- [a] Procedural Steps under Regulation 17/62
- [b] Procedural Steps under Regulation 1/2003
- [4] The FAPL Commitment Decision
- [5] The Consideration of the Specific Characteristics of Sport and Its Societal Function in the DFB and FAPL Commitment Decisions
- [6] Conclusions
- §5.06 Conclusions
- Chapter 6 Access to Content by Final Consumers
- §6.01 Introduction
- §6.02 Consumer Benefits under Article 101(3) TFEU
- [A] Consumers: Who Are We Protecting?
- [B] Consumer Benefits: What Are We Protecting?
- §6.03 Consumer Benefits in the Commission's Article 101 TFEU Decisional Practice Related to the Audiovisual Sector
- [A] Introduction
- [B] The UEFA Champions League (2003) Decision
- [C] The Film Purchases by German Television Stations (1989) Decision
- [1] The Procedure
- [2] The Application of Article 101(1) TFEU
- [3] The Application of Article 101(3) TFEU
- [a] First Condition: Improvements in Production or Distribution
- [b] Second Condition: Indispensability of the Restrictions
- [c] Third Condition: Fair Share of Benefits to Consumers
- [d] Fourth Condition: No Elimination of Competition
- [4] Considerations Related to Access to Content
- [D] The EBU / Eurovision System Decision (1993)
- [1] The Procedure
- [2] The Application of Article 101(1) TFEU
- [3] The Application of Article 101(3) TFEU
- [a] First Condition: Improvements in the Production or Distribution
- [b] Second Condition: Indispensability of the Restrictions
- [c] Third Condition: Fair Share of the Benefit to Consumers
- [d] Fourth Condition: No Elimination of Competition
- [4] Considerations Related to Access to Content
- [5] The GC's Métropole télévision (I) Judgment (1996)
- [E] The Eurovision Decision (2000)
- [1] The Procedure
- [2] Considerations Related to Access to Content
- [3] The GC's Métropole télévision (II) Judgment (2002)
- [4] So What?
- §6.04 Conclusions
- Conclusions to Part II
- Final Conclusions
- Bibliography
- Table of Cases
- Index
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