Sec 3 Avtar Singh PG 1-20
Sec 3 Avtar Singh PG 1-20
Sec 3 Avtar Singh PG 1-20
PROHIBITION OF AGREEMENTS
Anti-competitivc agreements [S. 3)
The section prohibits an enterprise or a person or any association of
enterprises or persons from entering into anti-competitive agreements.
The section declares such agreements to be void. The section covers
agreements in respect of production, supply, distribution, storage, ac-
quisition or control of goods or provision of services which cause or are
likely to cause an appreciable adverse effect on competition within India.
Sub-section 2 declares that any agreement entered into in contraven-
tion of the provisions contained in sub-section 1 is to be void.
Entering into an agreement is a sine qua non for attracting Section 3(1).
The creditor in this case was providing funds to the State Development
Authority for its project. It, therefore, had the right to impose conditions
regarding terms of the contract to protect its finance. That was not an
anti-competitive agreement.‘
„ \›,idiarics
may l›c lnc«tcd at the placc wh tt the enterprise is locatcd
[îÎ.1CCS. )1C ù CtlVlt}’ C¢jy y tj |jy the Act would not include
y rait g of tt c govcrmncnt relating te ÎtS SOYCrcign functions, including
cti ›/jt jC5 Cù YÊ lCCÎ /f\ !*}’ Â CÇ II ITICI1ES Cù lÜ g Wlt[ï atomic cncrgy, cur-
7. In addition, bid rigging and predatory pricing are also agreements or arra
pge-
ments of the same nature. See, Akash Choubey & Sourabh Mishra, Com pet itio H
Glancing Bfffé, Looking Ahead, (2004) PL Web Jour 17. Bajaj Auto Ltd v DGfJt, (2008)
the ppellan*
12 5CC 122:
indulged AIR 2008or
in distorting SCrestricting
2269, notice for enquiry
completion didmanner
in any not allege Lendingato bring abOU
or that
manipulation of prices, erc not maintainable (M RTP Act}. M gn(redi v
Adri• tico
k-
Assiciirazioni RA, 2007 Bus LR 188 (ECJ), an agreement between insurance underta
C
ings routed in increase of premiums for compulsory civil liability for vehicle inS*RS°*° '
that was not justified by market conditions was an infringement of EC Reg u1ät ÎO • RS
8. M anfredi v Llo yd Adriatico Assicurazioni SpA, 2007 Bus LR j8 8 (ECS), COU
of Justice of the European Communities.
PROHI B ITION OF CERTfil N fiGRÏiE M ECTS 13
To sct the critc ria for dctcrmining the cxtcnt of the dam«gcs for harm
ement or practice prohibited under Article 81 EC, but
1) it folloived front the principlc of cqriivalencc that if it was possible to
ttv3 rd p«ï*t i cular dam«gcs sucl as cxcmplary or yunitivc damagCs irt do-
nncstiC actions simil3r tO û Ct1Ons foundcd on tl c conlmunity compCtit Î Of\
ules, itmust also tte possiblc to award sucli dainagcs in actions founded
Ofi comnlunity
rulc5, hut colnniuliity law did not present national courts
steps to cilsurc that the protection of the rights guaranteed
§y cOn› munity law did not entail the u• iust enrichment of those who
and 2) it followcd from the principle of effectiveness, and
(fOtTl t 8 lg1 t
of individuals to seek compensation for loss caused by
contract or by conduct liahle to restrict or distort competition, that
in|ured persons mtlst be able to seek compensation not only for actual
IOS$ (d ff Uf Illft ll emergeiis! but also for loss of profit !lucrnm cessansl plus
intcrest.’
B.S.N. JoShi Sons Ltd v A/oy Mr£ia, {2009) 3 SCC 458: AIR 2009 SC 1797.
16. B.S.N. Joshi U Sons Ltd v Noir Coal Services Ltd, (2006) 11 SCC 548: AIR 2007
Hoc conclusion th.St tllcrc cxistcd * " " '•a' 'ome othpp
7
satisf.actory cvidencc.'
17. Union of India v Hindustan Development Corpii, (1993) 3 SCC 499: AIR l 9q4
5C988.
18. 73 LEd 2d 48: 457 US 332 (1981}.
19. Kie[er- Steit art Co v Joseph E. Seagram dr Sons Inc, 9S LEd 219: 340 US 211
11950); Albrecht v Herald Co, 19 L Ed 2d 998: 390 US 145 (1967).
PROlliBiTiou or c zRTA]i‘4 AGREESI ENTS 17
(g)Nor did the fact that doctors, rathcr then non-profcssionals, are
ti( thC J)Pf 3d GUI C. R CS OfldCntS d jt} Jj t p ; jtjj t{j; t ¿}jp $jj ¡j} jty tj{
the professional scrviccs their mcmhcrs providccl was enhanced
by tllc pricc rcstraint’° and thcir ¿1;jjjjj that the price restraint
would make it easier for customCf S to pay did not distinguish
the medical profession from any othcr providcr of goods or
20. Cftipg and distinguishing Goldfar h v Virgitiia State Burt 421 US 773, and
NOfiOiial Societ y of Professional Engineers v United States, 431 US 679.
21. United States v Socony•Vacuum Oil Co, 84 L Ed 1l29: 310 US 150 (1940),
22. Norris v tout of the Ltnife8 Styles o/ America, (2007) I WLR 1731: 2007
EWHC 71: 2008 UKHL 16 {HL).
- • **/›ttan Kodak Co v Image Technical Seriûce fric 119 LEd 2d 265: 504 US 451
it°s u
-*- 9' US App Lcxis 22606 t9th Cir, 26-8-1997).
The
part ÎCS lU il horizontal relatÍOllSliip (a “horizontal restraint”) does not
„ e ¢sSari1j catisc the arrangcmcnt to be anti-competitive. As in the case
OU jOÎ flt ventures aniong horizontal competitors, licensing arrangements
;1n1Ofl SUCI1 competitors may promote rather than hinder competition
¡f t hey e SUlt in inte rative efficiencies. Such efficiencies may arise, for
e qd tl i ple,
from the realisation of economies of scale and the integration
0 { C niplementa
ry research and development, production, and marketing
c•pabÎlities.
Following the general principles horizontal restraints often will be
evaluated under the rule of reason. In some circumstances, however, that
analysis may be truncated; additlonally, some restraints may merit per
se treatment, including price fixing, allocation of markets or customers,
agreements to reduce output, and certain group boycotts.
30. Tat H pa Electric Co v Nashville Coc/ Co, 5 LEd 2d 580: 365 US 320 (1960)
(C Vd lU8tÎ ng legality of exclusive dealing under S. 1 of the Sherman Act and S. 3 of the
Clayton Act and evaluating legality of exclusive dealing under S. 5 of the Federal
Trade CO ftlmission Act).
•pP ïcatio„
of t li.at Technology), incrcasc Jicc' r°’ icc itivc^ ' °** *F OF
flhä ncc
ted
requiring its members to withhold x-rays from dental insurers in con-
section with evaluating patients’ claims for bene£t. The Federa l Tf3de
Commission (FTC) issued a cease and desist order, ruling that the po}i
constituted an unfair method of competition in violation of Section 5 of
the FTC Act, since it amounted to a conspiratorial restraint of trade in
violation of Section 1 of the Sherman Act. The Court of Appeals vacated
the FTC’s order on the ground that it was not supported by substantial
evidence, holding that the FTC’s findings that respondent’s x-ray poJjcy
was anti-competitive were erroneous; that the findings were inadequate
because of the FTC’s failure to define the market in which respondent
allegedly restrained competition and to establish that respondent had the
power to restrain competition in that market; and that the FTC erred in
not determining whether the alleged restraint on competition among den-
tists had actually resulted in higher dental costs to patients and insurers.
The Supreme Court held as follows: 1) The FTC’s factual findings re-
garding respondent’s x-ray policy are supported by substantial evidence.
There is no dispute that respondent’s members conspired among them-
selves to withhold x-rays, and the FTC’s finding that competit ion among
dentists with respect to cooperation with insurers’ requests for
was diminished where respondent held sway also finds adequate su e ort
in the record. 2) Eva luated under the Rule of Reason, the FTC's /gC-
tual findings are sufficient as a matter of law to establish a YÏOliltÎOfl
ÑCCtlOfl 1 O( tllfi Shcf iTl an Act, i.c. an iinreasonable restreint of trade,
hence a violation of Section 5 of the FTC Act. Respondent’s x-ray policy
cook tÀC“ ÎOffl2 OÎ fl llOfÎzont al agreenicnt among its membe rs to w ith-
hold from their customers a partictilar service that they desired. Abse
some countervailing pro competitive virtue, such an agreement c annot
PROI I I DITI ON OF CE RTA J N AG R E F.St ENTS 23
Practice
According to Section 2@) “practice” means practice relati{lg t O ,$$
carrying on of any trade by a person or an enterprise.
Trade
The concept of “trade” has been stated in the following words in
Section 2(s):
35. D L F• Universo f Ltd v D G ltivesti3atioii atid RegistrationÌ, (2008) 7 SCC 5 ”’
AIR 2008 SC 2244, a decision under S 2(o), MRTP Act, 1969. 40
36. Dr h1iles Medicnf Co v /ofnt D. Park U Sons Co, 55 L Ed J02: 220 US
(1911). 373,
37. ’ United States z Utiivis Letis Co, 86 LEd 241 (1942); 5 t//y / CD!*"””
$
1408: 316 US SCC 227: AU t977
Corpn v Vtiited States,’84 LEd 852: 309 US 436 (19401.
38. H i›iditsian Lever Ltd v MRTP Conitnis sion (1977) 3
1285.
25
- t r, dc” mcans any trndc, Business, industry, prnfcssinn or GCCU-
relating to the prodtiction, supply, distribution or control nf
ggÜ S nnd incIt›dcs the prnvisinn nf amy services.
tive clearance” order under Article 2 of the Regulation, that there were
no grounds under the rules of competition in Article 81(1) EC Of the EC
Treaty for action by the commission in respect of the agreement , or
exemption under Article 81(3). In 1994 the claimant applied with others
to the commission under Article 3 of the Regulation for an order that t6i
agreement infringed Article 81 EC. In 1997, following the introduction
of a new agreement for tenants with looser ties, which the commission
agreed met the requirements of Article 81(3), the defendants withdrew
their application for negative clearance or exemption of the original
agreement; and the commission stated that, since there was no longtr
a claim for Article 81(3) exemption, which could only be determined by
the commission, and a claim for breach of Article 81 also arose in High
Court proceedings, in which the claimant was seeking damages
defendants, the question of whether Article 81 had been infringed COU
be decided by the national court. When that issue came before the Hig
Court, the judge held that he was not bound by findings of
by the Co mmission in 1999, in response to a notification by anothJ
brewer, that at the relevant time it had been difficult to gain access
UK beer market. The judge held that, on the b.asis of the evidence
him, the market had riot been foreclosed and he dismissed the claif Tl3*'
claim. On thC claimarlt S Hj9pea Court of that the d•tr
OI SIflCCfC COO CffltlOfl, l, the
Whereby pursuant to Appeal
Article held
10 EC decis
narional courts conflicting with decisions of the Com mission wh ere the
be avoided, had precluded the judge from rejecting the findings of
Commission and, having hC1d that the agreement had made a signi
, »ntr ibution
to the foreclosurc, lundi 3n award of domages in favour
The dcfendants ù CîllCd. IC wAs held by the House où
yords th,t the duty to avoid CORÔÎ Ct ÎlJg decision of the commission and
t arts rcquircd that a dccisioi of tl c Commission os to whcther
prcvcntcd, rcstrictcd or distortcd competition in brcach
EC wils tO " followcd Il national court, that where,
tll
ÇOWCVCf legal afld f3Ctual conteXt of tllC CaSC cxamined by the com-
ni ÎSSÎOI1 iv.is nor coiiipl<t<1P d2fltiCdl, aS WllCfC the national court was
the legality of an exclusivity agreement between a particular
spcciÏicb retailers and the commission was mOnito ing a
agreement in respeCt of the Same products in the same market
another company and other retailers, there was no risk of the
adoption of conflicting decisions; that in such circumstances a decision
; tl›e com missio n was simply evidence properly admissible before the
English court which given the expertise of the Commission, might well
be regarded by that court as highly persuasive but was only part of the
Evidence whiCh it would take into account in reaching its own decision
a , d that, accordingly, the duty to avoid conflicting decisions had not
arisen in the present case and the decision making power on whether
Article 81(1) applied belonged to the English court which had properly
0
reached a conclusion on an assessment of all the evidence.’
40. Cf8Ùd9 v Inntrepreneur Prit›/in Co (CPC), (2007) 1 AC 333: (2006) 3 WLR 148:
(2006) 4 All ER 465: 2006 UKHL 38 (HL).
41. COlluSive Tendering (Bid-rigging) in Eleclrical and Building forts, (2010) SG
co u rzTtT O N L
i“t
I2