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THE EFFICIENCY DEFENCE IN SOUTH AFRICAN COMPETITION LAW: APPLICATION AND RECOMMENDATIONSMarais, Adam Johannes 14 June 2013 (has links)
Economic efficiency is used as a proxy for the social welfare of a country's citizens and
therefore it is held that if the efficiency of a country improves, so will the social welfare of
its citizens. The efficiency of markets determine a country's overall efficiency and social
welfare and as a result, the purpose of Competition Law has generally been to increase
the efficiency of a county's markets. The efficiency of markets in turn, is increased by
competition and therefore, Competition Law is generally aimed at maintaining and
promoting competition, which is also the case in South Africa. Stated differently, efficiency
is the purpose of Competition Law and competition the vehicle by which efficiency is
enhanced.
Central to Competition Law is the concept of the âefficiency defence.â In terms of the
efficiency defence, efficiencies are used to justify conduct that limits competition within a
relevant market (anti-competitive conduct). The general presumption is that anticompetitive
conduct is detrimental to efficiency. This is not always true and in some
instances anti-competitive conduct may in fact result in increased economic efficiency. The
efficiency defence is the tool used to justify anti-competitive conduct in circumstances
where limiting competition will result in increased economic efficiency. Despite the obvious
flexibility the efficiency defence provides to competition authorities in their quest to
enhance the efficiency of an economy, most jurisdictions have been reluctant to accept
efficiencies as a defence against anti-competitive conduct.
The South African Competition Act is still in its infancy and as a result, there are a number
of grey areas pertaining to its interpretation and application. One of these areas of
uncertainty pertains to the interpretation and application of the efficiency defence in South
African competition matters. To date, the competition authorities have only once
interpreted the efficiency defence and that was in the merger between Trident Steel (Pty)
Ltd and Dorbyl (Pty) Ltd, more than 11 years ago.1174 This study contributes to the legal
certainty pertaining to the interpretation and application of the efficiency defence in South African competition matters by making certain recommendations on its interpretation and
application. These recommendations are based upon a comparison between South
African, US and EU Competition Law jurisprudence. In addition, all recommendations are
in line with contemporary economic theory, which functions as the validating criterion.
The principle recommendation of this study is the recommendation that the consumer
welfare standard should be employed in South African competition matters instead of the
total welfare standard currently employed. This recommendation is based upon the South
African economic environment which includes high levels of market concentration and high
price mark-ups in the manufacturing industry. The implications of using the consumer
welfare standard will be that the burden of proof to discharge in the efficiency defence is
much higher than it is under the total welfare standard. The reason being that under the
consumer welfare standard consumers have to benefit from efficiencies for them to be
able to justify anti-competitive conduct whereas it is not the case under the total welfare
standard.
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A CRITICAL ANALYSIS OF THE RIGHT TO FAIR LABOUR PRACTICESConradie, Maralize 17 July 2013 (has links)
Section 23 of the Constitution is an embodiment of fundamental labour rights. Section
23(1) reads as follows:
â(1) Everyone has the right to fair labour practices.â
The fair labour practice concept is a rather recent development in South African labour
law and is it therefore still required to attempt to provide meaning to this concept. It
further becomes essential to provide meaning to the concept if it is acknowledged that
when this concept was introduced in 1979, the unfairness of the concept was regulated
by labour legislation and the Industrial Courtâs equity jurisprudence; currently, not only
the unfairness of this concept is legislatively regulated but is the fairness of this concept
embedded as a constitutional guarantee in the Constitution of South Africa. It has
therefore become necessary to determine the exact scope of this constitutional right in
order to determine the relation between the legislative concept and the constitutional
right and to investigate whether there is any room for an extended view of this right and
to which limitations (if any) it should be subjected to.
Prior to analysing the constitutional right to fair labour practices, a comprehensive
investigation was led into the historical position preceding the introduction of this right. It
was found that the history of fair labour practices played an immensely important role in
the analysis of this constitutional right. The events, motivations and circumstances
which consequently led to the introduction of this right, without any doubt, provided a
useful guideline as to the interpretation of the right. The disregard for the human
element present in the employment relationship, not only while slavery was in existence
but also in the continued policies and mindsets of policy-makers thereafter, could be
described as the first element contributing to the unfairness of labour practices. It was
also found that, although the common law still being relevant, the common law contract
of employment should no longer serve as the yardstick for establishing the existence of
an employment relationship (for purposes of provision of protection and ensuring fair
labour practices). Regards must rather be having to all the circumstances surrounding the relationship between a person rendering services and the person paying for the
services in order to establish the true nature of the relationship. In the end, protection
for either of these parties is not solely dependent on a contract of employment anymore,
but rather on the fact whether an employment relationship was proven or not. Before the
enactment of the Constitution, protection in an employment context was literally limited
to legislation providing protection. It is suggested that legislation should be interpreted
according to the Constitution and common law should be developed in terms of the
Constitution. Based on this premise everyone can currently enjoy the right to fair labour
practices based on section 23(1), even if excluded by legislation or common law and
even in the absence of regulation by legislation or common law.
When analysing the word everyone, it is submitted that our law has moved beyond the
realms of contract to broad constitutionality in determining who is an employee. A claim
to be recognised as an employee in terms of the 1995-LRA is not contractual in nature
but rather a claim to enforce constitutional rights. Although a contract of employment (or
being regarded as an employee) is required to claim labour rights in terms of the 1995-
LRA and other labour laws, section 23(1) of the Constitution provides broader protection
than labour laws where a person is in a work relationship akin to an employment
relationship. Everyone should be determined with reference to âbeing involved in an
employment relationshipâ. The following persons will therefore in general enjoy
protection in terms of this right: natural persons, juristic persons, employers, workers
(including employees employed in a contract of employment and employees in utero),
independent â and dependent contractors, citizens, aliens, children, job applicants,
illegal workers (to a certain extent), temporary workers, casual workers, acting workers,
probationary workers and managerial employees. It is also suggested that the
protection afforded by section 23(1) is not limited to an individual relationship but
extends to collective relationships as well.
Fairness is a concept that has drawn attention not only since the unfairness of labour
practices in South Africa has been realised but since the beginning of time. In
attempting to comprehend the meaning of this concept attention should therefore be divided to the unfairness complained of, the views of ancient philosophers, the
recommendations of the Wiehahn Commission, the previous Industrial Courtâs
perception and decisions on fairness, contemporary views and future predicaments (last
mentioned form an important part of defining this concept due to the fact that much of
the meaning of the concept of fairness is contained in its idealistic nature). Determining
the fairness of a labour practice should not be done according to a value judgment
made by a court as this would lead to much uncertainty. Therefore a statutory definition
of an unfair labour practice must be interpreted and applied in accordance with the
spirit, purport and objects of the fundamental rights guaranteed by the Constitution. It is
not certain what type of value judgement will ensure fairness and it is also uncertain
how it should be done. Furthermore, the content and standard of such a value judgment
is uncertain. Brasseyâs determination of fairness ensures much more certainty: A labour
practice will only be regarded as fair if it bears both an economic rationale and also
proves to be legitimate. It is suggested that fairness is determined by balancing the
respective interests of parties in any given situation.
If the other factors, i.e. the concept of everyone and the meaning of fairness, influencing
the application of section 23(1), the history of unfair labour practice regulation and the
values of the Constitution are taken into consideration, it seems justified to conclude on
the concept of labour practices in the following fashion: the Constitution envisaged to
prevent and prohibit the repetition of a system that was representative of unfairness in
the employment relationship. Both individual â and collective employment relations have
bearing on the perceived fairness of the employment relationship. All practices
concerned with the employment relationship (before, during and after such a
relationship) should therefore be subject to the scrutiny of the constitutional right to fair
labour practices.
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Å VERGELYKENDE STUDIE VAN DIE REGTE VAN BENOEMDE BEGUNSTIGDES IN LEWENSVERSEKERINGSKONTRAKTEvan Zyl, Rika 20 November 2013 (has links)
The life insurance contract exists between the insurer and insured. A beneficiary
may however be named in the policy to receive the proceeds at the death of the
insured. This situation is assumed in the South African right to be a stipulatio alteri.
Acceptance is a unique South African requirement set for the beneficiary in applying
the stipulatio alteri. It does not entirely relate to the intention of a true agreement on
behalf of a third. The beneficiary's rights are very limited. Before the death of the
insured the named beneficiary has no right. At this stage it is also impossible for
him/her to accept the stipulation to his/her advantage. At the death of the insured a
contingent right developed for the beneficiary and must be protected until the
beneficiary has indicated his/her intention to accept or refuse the benefit. Once the
beneficiary accepts the benefit, he acquires a vested right to the proceeds of the
policy.
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AN ANALYSIS OF THE CODES OF GOOD PRACTICE ISSUED IN TERMS OF THE BROAD BASED BLACK ECONOMIC EMPOWERMENT ACT 53 OF 2003Knoetze, Hyla Magdalena 25 January 2008 (has links)
BBBBBEE170 is an essential ingredient in facilitating the meaningful participation
of blacks at all levels of the South African economy, in order to ensure
sustainable socio-political and economic stability and the sustainability of the
economic growth and development.
BBBEE key principles
⢠It is an ongoing process and not an event
⢠It is a business imperative and an integral component of the companyâs
business strategy and is based on the core values of the organization
â¢
⢠It must result in meaningful and significant participation of blacks in the
company and in the broader economy, through substantial changes in the
racial composition of ownership, control, management structures and of
skilled and specialist positions
⢠It must lead to advantaged strategic position for the company, greater
profitability, business growth and sustainable increase in stakeholder
value
⢠it is the responsibility of all management in the organisation
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DUMPING AND ANTIDUMPING REGULATIONS WITH SPECIFIC REFERENCE TO THE LEGAL FRAMEWORK IN SOUTH AFRICA AND CHINATao, Meng 06 March 2007 (has links)
From 1904 the worldâs first antidumping law was enacted by Canada, South Africa followed in 1914, the GATT in 1947, and China in 1994. Over time, antidumping law has become a potent weapon in most countries of the world.
South Africa and China, as member states of the WTO, increasingly participate in international trade and must remain aware of their legal right in respect of antidumping law.
The purpose of this study is to identify and analyse some problematic issues of antidumping regulations, with specific reference to the legal framework in South Africa and China. With this purpose in mind, firstly, the background information and a brief history of the development of antidumping legislations by the international community, South Africa and China are discussed. Then, the issues of antidumping substantive law (including normal value, export price, dumping margin, injury, and domestic industry), especially with the problem of a nonmarket economy country and captive production, price undertaking, price undertaking reviews, and anticircumvention are analysed. In order to come to a clear understanding of the problems and solutions, the antidumping laws of the U.S., the E.U., South Africa and China are compared.
This study resulted in the following conclusions:
⢠The provision for a nonmarket economy country in the South African Antidumping Regulation is not adequate. China has no stipulation about this problem.
⢠Both South African and Chinese antidumping regulations have no captive production provisions. The E.U. model is recommended.
⢠With respect to price undertaking, the South African Anti- dumping Regulation followed the stipulations of the WTO. The Chinese Antidumping Statute is only superficially compliant with the WTO Antidumping Agreement.
⢠The South African Antidumping Regulation leaves a gap with regard to price undertaking reviews. China has definite provisions on it.
⢠With respect to anticircumvention, both countriesâ antidump- ing regulations are not adequate, especially for China.
Recommendations are made with regard to South African and Chinaâs antidumping laws. This research is hoped to contribute to the improvement of the legal framework of antidumping regulations in South Africa and China.
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THE CO-OPERATIVE AS AN APPROPRIATE FORM OF ENTERPRISE FOR BLACK ECONOMIC EMPOWERMENTSchoeman, Nicolene Francina 18 April 2008 (has links)
In the South African context, BEE is not only regarded as a moral and social imperative, but also as a
legislative one. BEE functions on two levels, namely the creation and sustenance of wealth, and the
creation of opportunities, in order to widen the economic sphere.
If successful transformation is to be achieved in South Africa, it is of vital importance that practical
suggestions for its implementation be investigated. The co-operative has been described by international
organisations like the International Co-operative Alliance, as a business enterprise that develops and /or
empowers people through self-help. Locally the co-operative both on SMME and large corporate scale
has been identified as a potential vehicle to drive the social and economic upliftment of the people of the
South Africa. The Co-operatives Act 14 of 2005 was promulgated to give effect to this. Co-operatives
have the following characteristics that make them ideally suited to the current South African situation:
they are versatile in their application, they are accessible enterprises as initial establishment is cost
effective and they are generally easy to establish, they provide both a social and economic function (dual
function) to their members, generally apply a one-member-one-vote-system in management thereby
promoting democratic principles, and they promote the concepts of individualism and autonomy within
their structures.
A successful co-operative enhances both individual and collective human dignity and promotes the
values of ubuntu, which uplifts people on all levels, thereby complying with both the social and economic
aspects of BEE in the creation of opportunities to widen the economic sphere. Furthermore, the cooperative
as an enterprise complies with the BEE scorecard as well as with the Codes of Good Practice
which were drafted by government in accordance with the provisions of the Broad-based Black Economic
Empowerment Act 53 of 2003.
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ân KRITIESE ONDERSOEK NA DIE LEEMTES VAN REGSTELLENDE AKSIE-MAATREÃLS IN SUID-AFRIKA: ân REGSVERGELYKENDE STUDIE.Simpson, Lorénze Jean 22 August 2008 (has links)
With the coming into force of the Constitution of South Africa one of the main objects
was the achievement of equality. This entails the use of different measures in order
to achieve a general state of equality in every sphere of society. These measures,
better known as affirmative action, aim at making the workplace more representative
of designated groups. This lead to the coming into force of the Employment Equity
Act which aims at eliminating unfair discrimination and implementing affirmative
action measures in order to promote equality in the workplace. This study
acknowledges the importance of affirmative action, but the application thereof is
mostly criticised as being unfair. The gaps that have been identified include the
following: The arbitrary application of equality in that the court does not give proper
consideration to fairness and the wrong application and notion of affirmative action by
making use of indirect discrimination such as previous disadvantage in stead of
neutral considerations such as under representation in the workplace. Affirmative
action is also understood by some as being a right and not a measure and a defence.
The Employment Equity Act is also exclusively utilised which will result in nondesignated
groups being indirectly drawn from the labour market. Furthermore, to
much stress is put on employment and not enough attention is given to job-creation
and socio-economic development and training. Lastly there is little consideration of
the importance of the employment equity plan in that it is an instrument for the
application of affirmative action in the workplace. In considering these problems it is
evident that the Employment Equity Act will have to be amended by adding proper
criteria in evaluating the fairness of employment equity and providing for the inclusion
of non-designated groups in order to insure the elimination of under-representation in
all labour sectors. Furthermore, more attention must be paid to other problems like
training and development that will add to the success of affirmative action. Finally
employers will have to acknowledge the importance and advantages of an
employment equity plan in that it is an instrument protecting the employer and
assisting him in implementing employment equity. The reform of affirmative action and more specific employment equity can possibly result in a more positive attitude
and a more effective application in South Africa.
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SPECIAL AND DIFFERENTIAL TREATMENT UNDER THE WTO WITH SPECIFIC REFERENCE TO THE APPLICATION OF THE AGREEMENT ON AGRICULTUREMonyakane, Mampolokeng Mathuso Mary-Elizabeth 13 September 2006 (has links)
When engaged in multilateral trade discourse developing countries have to take
heed of involved principles and the general impact of the enforcement of such
principles to their economic trade background. The principle of special and
differential treatment is one of the principles that directly affect this category of
states. It is therefore essential to know its proper interpretation and the ensued
implementation. There is also the need for both the developed and developing
countries alike to take special and differential treatment seriously in order to
achieve indiscriminately the best system suitable for fair-trade practices.
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LEGAL COMPARISON BETWEEN THE SOUTH AFRICAN CLOSE CORPORATION AND THE GERMAN 'GESELLSCHAFT MIT BESCHRÃNKTER HAFTUNG'Jaehne, Christoph 11 December 2007 (has links)
The GmbH and the close corporation within their respective legal contexts
provide alternative legal options for small and medium sized business entities,
giving them a simpler and less expensive legal form, thus satisfying the need for
flexibility while guaranteeing liability limitations and continuity.
While the maximum number of members in the GmbH is unlimited, the close
corporation is restricted to ten members. Membership in the GmbH is open to
natural and juristic persons alike. The close corporation is, generally speaking,
only open to natural persons.
Membership as such is expressed through shares in the GmbH and members'
interests in the close corporation. The transfer of a share and a memberâs
interest is allowed. The regulations for transfer and restrictions vary.
In both entities the members as such are the highest decision making organ.
Regarding organs, the GmbH is more formally structured and has, as mandatory
organs, the managing director and the shareholders' meeting. Such a strict distinction
is not embodied in the CCA; and while the GmbH-members must
appoint a managing director to represent the GmbH, the close corporation uses
the partnership principle of mutua praepositio. Each member of the close corporation
has the right to participate in the management of the affairs of the
corporation.
While for the GmbH articles of association are compulsory, in the close
corporation it is up to the members whether they conclude an association
agreement or refrain from doing so.
The applicable legislative measures provide differently for the protection of the
financial well-being of the entities. The GmbH as 'Kapitalgesellschaft' requires
strict compliance with specific obligations imposed by its members regarding
their share capital contribution, while for the close corporation various aspects of
liability and external relations are equally important. The innovative liability solution
found in the CCA is remarkable.
Concerning transparency of financial matters the close corporation requires the
position of an accounting officer, and through this achieves some kind of control
with regard to the financial matters, which are otherwise an internal affair of the
corporation. The GmbH is 'forced' to make its financial matters more transparent. Subject to
specific conditions, companies are required to have their financial results
audited and approved by a certified public accountant.
In the African context it is noteworthy that the principal objectives of the African
Union aim at accelerating political and socio-economic integration. Given the
success of the close corporation this legal form, a Societas Africaea, utilized for
smaller entrepreneurs, can play a role in achieving these goals.
The reform process initiated through the SA DTI must take into account that the
creation of wealth in South Africa is achieved by companies in which the close
corporation plays an important part. Necessary reforms must therefore be
pursued with precaution.
A possible one-Act approach for South African company law is to be viewed
critically as the differentiation between various types of enterprises should not
easily be put aside.
It will be interesting to see how the GmbH takes on the challenge of the new
legal forms within Germany and the competition with similar foreign business
forms now entering the German market as a consequence of the ECJâs recent
judgements and how the close corporation will develop within the context of a
company law in the process of reform. It is also of relevance for the South
African reform process to follow the developments in Britain. The close
corporation has been commented on positively not only within South Africa. The
recent discussion in the USA on the close corporation approach and its legal
structure is of relevance here.
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'N REGSVERGELYKENDE STUDIE VAN DIE MINIMUM PROSEDURELE VEREISTES VIR DIE BILLIKE ONTSLAG VAN 'N WERKNEMER OP GROND VAN WANGEDRAGDeacon, Hendrik Jacobus 04 October 2011 (has links)
The South African labour law stands central to the economic development of South
Africa and the relationship between employer and employee is therefore very important.
The dismissal of an employee is the strictest possible sanction in the workplace. It does
not only end the service relationship, but also deprives the employee of his source of
income. The status of the person changes from being an employee and breadwinner to
being unemployed and dependent. This holds economic and social consequences not
only for the individual, but also for the economy of the country. The fairness of the
employeeâs dismissal is therefore crucial. The Constitution of the Republic of South
Africa reconfirms the importance hereof by the right to fair labour practices â a right
everyone is entitled to. This right is included in the Labour Relations Act of 1995 and
especially in the principle that everyone is entitled not to be dismissed unfairly.
Focus areas dicussed in this thesis are the importance of and the manner in which
discipline is applied in the workplace, as well as the principle of procedural fairness
within the international area. This thesis discusses the international debate on fairness
and considering various interests against the background of legislation, application and
exclusion. The development of the notion of âfairnessâ is discussed within the South
African context, before focusing on procedural fairness in the workplace.
The individual employeeâs rights and the employerâs responsibility during disciplinary
processes are dicussed in this thesis. The specific focus of this study includes the
following aspects of a fair process:
⢠the employee should know what the charge against him entails;
⢠the employee should receive a fair opportunity to prepare himself;
⢠the employee should get the opportunity to state his side of the case and to
put questions to witnesses of the employer;
⢠the employee has the right to receive assistance during the process; and
⢠the employer should notify the employee of the decision in writing.
This study recommends that employers should revise their internal codes to fulfil the
objectives of the Labour Relations Act, Schedule 8, Item 4 and to simplify the total
disciplinary process in the workplace without parting with the principles of fairness, and
also that legal representation should be allowed.
The recommendation is that a new category should be created for small business
employers in order to simplify the dismissal process and that employees are excluded
for the first 12 months of service, and therefore cannot claim against the employer. A
Code of Good Practice for dismissal in a small business and a control form to be
completed by the employer were created. It is also suggested that the model for
renumeration after dismissal should be adapted in cases where either the employer or
the employee did not comply with the internal procedures and that cost orders at the
CCMA/councils should be reinvestigated to avoid abuse.
Dismissal has been and always will be an action in dispute. Therefore, the process
should be clear and should give the necessary direction, in order to ensure that
workplace disputes can be settled within an open and democratic society, within the
framework of the Constitution.
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