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DEFINING THE COMPETITION TORTS AS INTENTIONAL WRONGS

Published online by Cambridge University Press:  15 March 2011

Cristián A. Banfi
Affiliation:
Lecturer of Private Law, University of Chile. Ph.D., Pembroke College, Cambridge.
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Copyright © Cambridge Law Journal and Contributors 2011

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References

1 These agreements are in principle forbidden and declared void if they affect trade and have as their object or effect the prevention, restriction or distortion of competition within the EU/UK market: article 101 of the Treaty of the Functioning of the European Union (“TFEU”), formerly article 81 of the EC Treaty, and Chapter I/Prohibition of the Competition Act 1998.

2 The abuse of dominance by one or more undertakings within the EC/UK market is prohibited under article 102 TFEU (ex article 82 EC) and Chapter II/Prohibition of the Competition Act 1998. In this paper references are made to articles 81 and 82 EC as this is still the conventional numbering.

3 I.e., the EC Commission (Competition Directorate). In the UK, the Office of Fair Trading (“OFT”) or, in the last instance, the Competition Appeal Tribunal (“CAT”).

4 Lumley v. Gye (1853) 118 E.R. 749 (hereinafter, “Lumley-tort”).

5 Alternatively called “causing economic loss by using unlawful means” (OBG v. Allan, Douglas v. Hello! & Mainstream v. Young [2008] 1 A.C. 1, at [6], Lord Hoffmann), “three party unlawful interference with another's business or trade” (ibid, at [141], Lord Nicholls), “intentional-harm tort” (Sales, P. and Stilitz, D., “Intentional Infliction of Harm by Unlawful Means” (1999) 115 L.Q.R. 411Google Scholar) or, more concisely here, “unlawful-interference tort”.

6 Van Gend en Loos v. Neder-Landse Tariefcommissie case 26/62 [1963] E.C.R. 1.

7 BRT v. SABAM case 127/73 [1974] 2 C.M.L.R. 238.

8 Valor International Ltd. v. Application des Gaz S.A. [1978] 3 C.M.L.R. 87, 100, Roskill L.J.

9 Application des Gaz S.A. v. Falks Veritas Ltd. [1974] Ch. 381, 396, Lord Denning M.R.

10 Barretts & Baird v. Institution of Professional Civil Servants [1987] I.R.L.R. 3, 5, Henry J.

11 [1984] 1 A.C. 130.

12 Ibid, 141.

13 E.g., Bourgoin S.A. v. Ministry of Agriculture [1986] 1 Q.B. 716, 787, Parker L.J. It is noteworthy that the first instance decision in Garden Cottage Foods, restored by the House of Lords, had been the work of the then Parker J.

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102 Aquinas, Summa Theologica, II–II, qu. 64, art. 7.

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108 Ibid, at [166]–[167], Lord Nicholls.

109 Three Rivers DC v. Bank of England (No. 3) [2003] 2 A.C. 1, 192, Lord Steyn; 235, Lord Millett.

110 [2008] 1 A.C. 1, at [191], Lord Nicholls.

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112 Ibid, at [59]–[60], [134]–[135].

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123 Sorrell v. Smith [1925] A.C. 700, 742, Lord Sumner.

124 Douglas v. Hello! [2006] Q.B. 125, at [159], [166], [213]–[214], [223]–[225], [236], Lord Phillips M.R.

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127 See note 118 above.

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129 Brian C.J., Y.B.17 Edw.IV, 1.

130 Lord Halsbury L.C., South Wales Miners' Federation v. Glamorgan Coal Company Ltd. [1905] A.C. 239, 244.

131 See note 118 above, pp. 539–540.

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147 E.g., Institute of Independent Insurance Brokers v. DGFT [2001] CAT 4, at [169]–[171].

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149 Board of Trade of City of Chicago v. U.S. 246 U.S. 231 (1918), 238, Brandeis J.

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152 Competition Act 1998, s. 58A.

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215 Morris, C., “Punitive Damages in Tort Cases” (1931) 44 H.L.R. 1173CrossRefGoogle Scholar; Birks, note 82 above, p. 37; J. Edelman, “In Defence of Exemplary Damages” in Rickett, note 200 above, ch. 10.

216 D. Owen, “Philosophical Foundations of Tort Law” in Owen, note 82 above, ch. 9, pp. 205, 219 ff.

217 Lancashire CC v. Municipal Mutual Insurance Ltd. [1997] Q.B. 897.

218 Zipursky, B., “A Theory of Punitive Damages” (2005) 84 Tex.L.Rev. 105Google Scholar.

219 Cassell & Co. Ltd. v. Broome [1972] A.C. 1027, 1039, Lord Hailsham L.C.

220 [1964] A.C. 1129.

221 Ibid, 1221, 1226–8.

222 Weinrib, note 38 above, pp. 114, 134–135.

223 E.g., Grimshaw v. Ford Motor Company 119 Cal.App.3d 757 (4th Dist., 1981).

224 Texaco Inc. v. Pennzoil Co 729 S.W.2d 768 Tex.Ct.App. (1987).

225 See, for example, Schwartz, G., “Deterrence and Punishment in the Common Law of Punitive Damages: A Comment” (1982) 56 S.Cal.L.Rev. 133Google Scholar; A. Burrows, “Judicial Remedies” in A. Burrows (ed.), English Private Law, 2nd ed (Oxford 2007), ch. 21, pp. 1677–8.

226 [2008] 2 All E.R. 249, [2009] 3 All E.R. 27.

227 [2008] 2 All E.R. 249, at [43]–[69].

228 [2009] 3 All E.R. 27.

229 Odudu, O. and Virgo, G., “Remedies for Breach of Statutory Duty” (2009) 68 C.L.J. 32CrossRefGoogle Scholar; Sheehan, D., “Competition Law Meets Restitution for Wrongs” (2009) 125 L.Q.R. 222Google Scholar.

230 [2008] 2 All E.R. 249, at [19].

231 See note 178 above.

232 Cane, note 77 above, p. 115.

233 Kuddus v. Chief Constable of Leicestershire [2002] 2 A.C. 122, at [66], Lord Nicholls.

234 Rodger, B., “Private Enforcement and the Enterprise Act: an Exemplary System of Awarding Damages” (2003) 24 E.C.L.R. 103Google Scholar, pp. 109 ff.

235 Galanter, M. and Luban, D., “Poetic Justice: Punitive Damages and Legal Pluralism42 (1993) Am.U.L.Rev. 1393Google Scholar.

236 Smith New Court Securities Ltd. v. Scrimgeour (Asset Management) Ltd. Vickers [1997] A.C. 254, 280, Lord Steyn.