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Enterprise and Regulatory Reform Bill


Enterprise and Regulatory Reform Bill
Part 4 — Competition Reform
Chapter 3 — Anti-trust

32

 

34      

Part 1 of the 1998 Act: procedural matters

(1)   

Part 1 of the 1998 Act (competition) is amended as follows.

(2)   

After section 25 (power to investigate) insert—

“25A    

Power of CMA to publish notice of investigation

(1)   

Where the CMA decides to conduct an investigation it may publish a

5

notice which may, in particular—

(a)   

state its decision to do so;

(b)   

indicate which of subsections (2) to (7) of section 25 the

investigation falls under;

(c)   

summarise the matter being investigated;

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(d)   

identify any undertaking whose activities are being

investigated as part of the investigation;

(e)   

identify the market which is or was affected by the matter being

investigated.

(2)   

Section 57 does not apply to a notice under subsection (1) to the extent

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that it includes information other than information mentioned in that

subsection.

(3)   

Subsection (4) applies if—

(a)   

the CMA has published a notice under subsection (1) which

identifies an undertaking whose activities are being

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investigated, and

(b)   

the CMA subsequently decides (without making a decision

within the meaning given by section 31(2)) to terminate the

investigation of the activities of the undertaking so identified.

(4)   

The CMA must publish a notice stating that the activities of the

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undertaking in question are no longer being investigated.”

(3)   

Schedule 9 (examples of provision that may be made in rules) is amended as

follows.

(4)   

After paragraph 1 insert—

“Delegation of functions

30

1A    (1)  

Rules may provide for the exercise of a function of the CMA under

this Part on its behalf—

(a)   

by one or more members of the CMA Board (see Part 2 of

Schedule 4 to the Enterprise and Regulatory Reform Act

2012);

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(b)   

by one or more members of the CMA panel (see Part 3 of that

Schedule to that Act);

(c)   

by one or more members of staff of the CMA;

(d)   

jointly by one or more of the persons mentioned in paragraph

(a), (b) or (c).

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      (2)  

Sub-paragraph (1) does not apply in relation to any function

prescribed in regulations made under section 7(1) of the Civil

Aviation Act 1982 (power for Secretary of State to prescribe certain

functions of the Civil Aviation Authority which must not be

performed on its behalf by any other person).”

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Enterprise and Regulatory Reform Bill
Part 4 — Competition Reform
Chapter 3 — Anti-trust

33

 

(5)   

After paragraph 13 insert—

“Oral hearings: procedure

13A   (1)  

Rules may make provision as to the procedure to be followed by the

CMA in holding oral hearings as part of an investigation.

      (2)  

Rules may, in particular, make provision as to the appointment of a

5

person mentioned in sub-paragraph (3) who has not been involved

in the investigation in question to—

(a)   

chair an oral hearing, and

(b)   

prepare a report following the hearing and give it to the

person who is to exercise on behalf of the CMA its function of

10

making a decision (within the meaning given by section

31(2)) as a result of the investigation.

      (3)  

The persons are—

(a)   

a member of the CMA Board;

(b)   

a member of the CMA panel;

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(c)   

a member of staff of the CMA.

      (4)  

The report must—

(a)   

contain an assessment of the fairness of the procedure

followed in holding the oral hearing, and

(b)   

identify any other concerns about the fairness of the

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procedure followed in the investigation which have been

brought to the attention of the person preparing the report.”

(6)   

After paragraph 13A insert—

“Procedural complaints

13B   (1)  

Rules may make provision as to arrangements to be made by the

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CMA for dealing with complaints about the conduct by the CMA of

an investigation.

      (2)  

Rules may, in particular, make provision as to—

(a)   

the appointment of a person mentioned in sub-paragraph (3)

who has not been involved in the investigation in question to

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consider any such complaint;

(b)   

the time-table for the consideration of any such complaint.

      (3)  

The persons are—

(a)   

a member of the CMA Board;

(b)   

a member of the CMA panel;

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(c)   

a member of staff of the CMA.”

(7)   

After paragraph 13B insert—

“Settling cases

13C        

Rules may make provision as to the procedure to be followed in a

case where, during an investigation, one or more persons notify the

40

CMA that they accept that there has been an infringement of a kind

to which the investigation relates.”

 
 

Enterprise and Regulatory Reform Bill
Part 4 — Competition Reform
Chapter 3 — Anti-trust

34

 

Interim measures and other sanctions

35      

Threshold for interim measures

In section 35 of the 1998 Act (interim measures), in subsection (2)(a), for

“serious, irreparable damage” substitute “significant damage”.

36      

Penalties: guidance etc.

5

(1)   

Part 1 of the 1998 Act (competition) is amended as follows.

(2)   

In section 36 (penalties), after subsection (7) insert—

“(7A)   

In fixing a penalty under this section the CMA must have regard to—

(a)   

the seriousness of the infringement concerned, and

(b)   

the desirability of deterring both the undertaking on whom the

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penalty is imposed and others from—

(i)   

entering into agreements which infringe the Chapter 1

prohibition or the prohibition in Article 81(1), or

(ii)   

engaging in conduct which infringes the Chapter 2

prohibition or the prohibition in Article 82.”

15

(3)   

In section 38 (guidance on level of penalties), in subsection (8), before “must

have regard” insert “and the Tribunal”.

Miscellaneous

37      

Power for Secretary of State to impose time-limits on investigations etc.

After section 31E of the 1998 Act insert—

20

“31F    

Power for Secretary of State to impose time-limits on investigations

etc.

(1)   

The Secretary of State may by order impose time-limits in relation to—

(a)   

the conduct by the CMA of investigations or investigations of a

description specified in the order;

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(b)   

the making by the CMA of decisions (within the meaning given

by section 31(2)) as a result of investigations or investigations of

such a description.

(2)   

Before making an order under subsection (1), the Secretary of State

must consult the CMA and such other persons as the Secretary of State

30

considers appropriate.”

38      

Review of operation of Part 1 of 1998 Act

(1)   

The Secretary of State must—

(a)   

review the operation of Part 1 of the 1998 Act, and

(b)   

prepare and publish a report on the outcome of the review.

35

(2)   

The report must be published before the end of the period of 5 years beginning

with the day on which Part 1 of Schedule 5 (which transfers the functions of the

Office of Fair Trading under Part 1 of the 1998 Act to the Competition and

Markets Authority) comes into force.

 
 

Enterprise and Regulatory Reform Bill
Part 4 — Competition Reform
Chapter 4 — Cartels

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(3)   

The Secretary of State must lay the report before Parliament.

Chapter 4

Cartels

39      

Cartel offence

(1)   

Section 188 of the 2002 Act (cartel offence) is amended as follows.

5

(2)   

In subsection (1), omit “dishonestly”.

(3)   

Omit subsection (6).

(4)   

After subsection (7) insert—

“(8)   

This section is subject to section 188A.”

(5)   

After that section insert—  

10

“188A   

 Circumstances in which cartel offence not committed

(1)   

An individual does not commit an offence under section 188(1) if,

under the arrangements—

(a)   

in a case where the arrangements would (operating as the

parties intend) affect the supply in the United Kingdom of a

15

product or service, customers would be given relevant

information about the arrangements before they enter into

agreements for the supply to them of the product or service so

affected,

(b)   

in the case of bid-rigging arrangements, the person requesting

20

bids would be given relevant information about them at or

before the time when a bid is made, or

(c)   

in any case, relevant information about the arrangements

would be published, before the arrangements are implemented,

in the manner specified at the time of the making of the

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agreement in an order made by the Secretary of State.

(2)   

In subsection (1), “relevant information” means—

(a)   

the names of the undertakings to which the arrangements

relate,

(b)   

a description of the nature of the arrangements which is

30

sufficient to show why they are or might be arrangements of the

kind to which section 188(1) applies,

(c)   

the products or services to which they relate, and

(d)   

such other information as may be specified in an order made by

the Secretary of State.

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(3)   

An individual does not commit an offence under section 188(1) if the

agreement is made in order to comply with a legal requirement.

(4)   

In subsection (3), “legal requirement” has the same meaning as in

paragraph 5 of Schedule 3 to the Competition Act 1998.

(5)   

A power to make an order under this section—

40

(a)   

is exercisable by statutory instrument,

 
 

Enterprise and Regulatory Reform Bill
Part 4 — Competition Reform
Chapter 4 — Cartels

36

 

(b)   

may be exercised so as to make different provision for different

cases or different purposes, and

(c)   

includes power to make such incidental, supplementary,

consequential, transitory, transitional or saving provision as the

Secretary of State considers appropriate.

5

(6)   

A statutory instrument containing an order under this section is subject

to annulment in pursuance of a resolution of either House of

Parliament.”

(6)   

The amendments made by this section apply only in relation to agreements

falling within section 188(1) which—

10

(a)   

are made after the commencement of this section, and

(b)   

relate to arrangements made or to be made after that commencement.

40      

Extension of power to issue warrants to CAT

(1)   

Section 194 of the 2002 Act (power to enter premises under a warrant) is

amended as follows.

15

(2)   

In subsection (1), for the words from the beginning to “if he is satisfied”

substitute “On an application made to it by the CMA or, in Scotland, the

procurator fiscal, the appropriate body may issue a warrant if it is satisfied”.

(3)   

After subsection (1) insert—

“(1A)   

In subsection (1), “appropriate body” means—

20

(a)   

in England and Wales and Northern Ireland, the High Court or

the Competition Appeal Tribunal;

(b)   

in Scotland, the sheriff.”

(4)   

After subsection (4) insert—

“(4A)   

An application for a warrant under this section must be made—

25

(a)   

in the case of an application to the High Court or the sheriff, in

accordance with rules of court;

(b)   

in the case of an application to the Competition Appeal

Tribunal, in accordance with rules made under section 15.”

(5)   

In Schedule 4 to that Act, before paragraph 11, but after the cross-heading

30

immediately preceding it, insert—

“10A  (1)  

Tribunal rules may make provision as to proceedings on an

application for a warrant under section 194 of this Act or section 28,

28A, 62, 62A, 63, 65G or 65H of the 1998 Act, including provision—

(a)   

for the Tribunal dealing with the proceedings to consist only

35

of the President or a member of the panel of chairmen;

(b)   

as to the manner in which the proceedings are to be

conducted, including provision—

(i)   

for such applications to be determined without a

hearing;

40

(ii)   

in cases where there is a hearing, for it to be held in

private if the Tribunal considers it appropriate

because it is considering information of a kind

mentioned in paragraph 1(2);

 
 

Enterprise and Regulatory Reform Bill
Part 4 — Competition Reform
Chapter 5 — Miscellaneous

37

 

(c)   

as to the persons entitled to be heard in such proceedings

(where there is a hearing);

(d)   

for requiring persons to attend to give evidence and produce

documents, and for authorising the administration of oaths

to witnesses;

5

(e)   

as to the evidence which may be required or admitted and the

extent to which it should be oral or written;

(f)   

allowing the Tribunal to fix time-limits with respect to any

aspect of the proceedings and to extend any time-limit

(before or after its expiry).

10

      (2)  

Paragraphs 2 to 8, and 11 to 17, of this Schedule do not apply in

relation to the institution or conduct of proceedings for a warrant

mentioned in sub-paragraph (1).”

(6)   

In section 14 of that Act (constitution of Tribunal for particular proceedings

and its decisions), in subsection (5), for “paragraph 18” substitute “paragraphs

15

10A(1)(a) and 18”.

Chapter 5

Miscellaneous

Enforcement orders: markets and mergers

41      

Enforcement orders: monitoring compliance and determination of disputes

20

In Schedule 8 to the 2002 Act (provision that may be contained in certain

enforcement orders made under Part 3 or 4 of that Act), after paragraph 20B

insert—

“Monitoring of compliance and determination of disputes

20C   (1)  

An order may provide for the appointment of one or more than one

25

person (referred to in this paragraph as an “appointee”) by the

relevant authority or by such other persons as may be specified or

described in the order to—

(a)   

monitor compliance with such terms of the order as are so

specified or described or terms of any directions given under

30

the order;

(b)   

determine any dispute between persons who are subject to

the order about what is required by any such terms.

      (2)  

An order made by virtue of this paragraph must make provision as

to the terms of an appointee’s appointment.

35

      (3)  

A determination made by virtue of an order under this paragraph is

binding on—

(a)   

any person who is subject to the order;

(b)   

the relevant authority; and

(c)   

in the case where the relevant authority is the Secretary of

40

State, the CMA.”

 
 

 
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Revised 23 May 2012