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The Competition Act as seen from a business perspective : discussion and helpful toolsFourie, Linda Ann 12 1900 (has links)
Thesis (MBA)--Stellenbosch University, 2001. / ENGLISH ABSTRACT: The recent enactment of the Competition Act 89 of 1998, has resulted in a world of
speculation and discussion. The reason seems to be that the previously 'protected'
monopolies who were allowed to continue with business without fear of retribution, have
now been stopped in their tracks with the new legislation. South African legal application
and protection has been rather one sided in previous years with specific reference to the
protection of minorities. This was exasperated by the political and economical situation
in South Africa in the eighties. Sanctions led to consolidation of companies and
industries, because companies were not allowed to take money of the country. This had
a negative result on the competitive situation and the little guys had to survive on the
dregs.
The new Act is based on the American anti-trust legislation as well as the competition
law of the European Union. It is therefore of utmost importance to take note of this
international law with specific reference to the interpretation of the Competition Act due
to the fact that the Act is so recent. The Competition Act expressly provides for the use
of foreign law in the interpretation of the Act.
This project is not a comparative study between current competition legislation available
in the world. It purports to be a more user friendly guide to business people to make the Act more useful and understandable. The project focuses on some helpful hints to assist
the reader with interpretation and application.
The project gives a short description of the development of competition legislation in
South Africa in Chapter 2.
Chapter 3 is a discussion on the main sections of the Act that deal with prohibited
practices, dominant position, mergers and remedies and enforcement. A few examples
are given of uncompetitive behaviour.
Chapter 4 deals with the helpful hints and illustrates thresholds as determined in section
11, with the help of diagrams, it also lists a few helpful references of handy resources.
The project ends off with a short conclusion. / AFRIKAANSE OPSOMMING: Die onlangse inwerkingtreding van die Wet op Mededinging 89 van 1998, het 'n wêreld
van spekulasie en bespreking ontketen. Die rede hiervoor is dat die voorheen
"beskermde monopolieë" tot op hede kon voortgaan met besigheid sonder stoornis,
hierdie stuk wetgewing het hulle egter nou tot halt geroep. Suid-Afrikaanse regswerking
en -beskerming was in die vorige jare van regering effens eensydig met betrekking tot
beskerming van minderhede. Die verskynsel is aangehelp deur die politieke en
ekonomiese situasie waarin SA homself bevind het in die tagtigerjare. Sanksies het gely
tot konsolidasie van maatskappye en industrieë, aangesien firmas nie geld uit die land
mag geneem het nie. Die resultaat hiervan was monopolieë en konglomerate. Hierdie
verskynsel het negatief ingewerk op kompeterende ekonomiese toestande, en die
"kleiner outjies" moes die krummels van die tafel af eet.
Die nuwe stuk wetgewing is gebasseer op die Amerikaanse "anti-trust" wetgewing sowel
as die kompetisie wetgewing van die Europese Unie. Dit is noodsaaklik om kennis te
neem van hierdie Internasionale wetgewing, veral in terme van die interprestasie van die
Wet op Mededinging, siende dat ons eie wetgwing baie resent is. Die Wet maak ook
daarvoor voorsiening dat Internasionale reg in ag geneem moet word vir interpretasie
van enige van die artikels van die Wet. Hierdie werkstuk is nie 'n vergelykende studie tussen die bestaande wetgewing wat in
die wêreld beskikbaar is nie, maar poog om 'n meer gebruikers vriendelike gids te wees
vir veral besigheidsmense om die Wet makliker bruikbaar en verstaanbaar te maak. Die
studie fokus daarop om 'n opsommende beskrywing te gee van die Wet sowel as die
formulering van bepaalde hulpmiddels om die leser van hulp te wees met interpretasie
en toepassing.
Die werkstuk gee 'n kort beskrywing van die ontwikkeling van Kompetisie wetgewing in
Suid-Afrika in Hoofstuk 2.
Hoofstuk 3 is 'n bespreking van die hoof artikels van die Wet wat handelaar beperkende
praktyke, dominansie, samesmeltings en oornames, remedies en afdwinging. Daar volg
ook 'n bespreking van 'n paar tipiese voorbeelde van onkompeterende praktyke.
Hoofstuk 4 handel oor hulpmiddels en illustreer by wyse van diagramme, die drempels
vir vasstelling van welke firma onderhewig is aan artikel 11, sowel as 'n paar verwysings
van handige bronne.
Die werkstuk sluit af met 'n kort gevolgtrekking.
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Strategic Responses to Tax and Transfer Policy: Welfare Competition, Tax Competition and the Elasticity of Taxable IncomeBurns, Sarah K. 01 January 2013 (has links)
My dissertation consists of three essays focused on identifying the strategic responses of governments and individuals following changes in the tax and transfer system. Two essays contribute to the literature on fiscal competition, focusing on state level polices aimed at redistributing income. A third essay contributes to the literature estimating the responsiveness of individual’s incomes to changing marginal tax rates. A better understanding of these responses contributes to our ability to design an optimal tax and transfer system in a federalist nation.
In essay 1 I employ a spatial dynamic approach to investigate interstate welfare competition across multiple policy instruments and across three distinct welfare periods - the AFDC regime, the experimental waiver period leading up to the reform, and the TANF era. Results suggest the strategic setting of welfare policy occurs over multiple dimensions of welfare including the effective benefit level and the effective tax rate applied to recipient's earned income. Furthermore, strategic behavior appears to have increased over time, a finding consistent with a race to the bottom after welfare reform.
Another form of interstate competition examined in Essay 3 is the spatial patterns in state level estate tax policy. My examination follows a major reform which greatly altered both the state and federal estate tax landscape. This study develops a model in which a state’s tax base and rate are simultaneously determined. Results indicate a state’s estate tax base is negatively influenced by its own tax rate and positively influenced by the tax rate set in neighboring jurisdictions. A state’s own tax rate is also found to be positively influenced by the tax rates set in neighboring jurisdictions.
Last, Essay 2 uses matched panels from the Current Population Survey for survey years 1980-2009 to estimate the elasticity of taxable income (ETI) and how it varies in response to measurement of the tax rate, heterogeneity across education attainment, selection on observables and unobservable, and identification. Substantial variation in the ETI across all key economic and statistical decisions is found.
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Airline key change drivers and business environmental analysis in the Southeast Asia : strategic planning perspectivesKongsamutr, Navatasn January 2010 (has links)
This thesis is involved with exploration of key changes drivers and market phenomena in the Southeast Asia and the development of new conceptual frameworks for business environmental analysis of airlines. The research is constructed under the phenomenology paradigm which adopts a coherentism approach and mainly takes airline industry’s publications, statistics, and executives as units of analysis. Hermeneutic phenomenology, a single-embedded case study, concurrent triangulation mixed method, and grounded theory are all used as methodologies. Methods using document reviews, interviews, and questionnaires are applied to surface the key changes drivers, market phenomena and the perceptions of the importance of changes factors. The collected data are analysed by content analysis, thematic analysis, cognitive mapping analysis, constant comparative analysis and descriptive analysis to classify, generalise and develop into proper forms. The research reveals that ‘market’, ‘competition/strategy’, ‘regulation/policy’, ‘infrastructure/resource’, ‘cooperation’, ‘distribution’, ‘technology, and ‘broad’ factors are discovered as key change drivers. Their different importance levels are measured by occurrences, density, centrality, and tail occurrences as root causes of changes. The characteristics of their interrelationships are based on directional and influential dimensions. There are 16 emerged changes/market phenomena and 11 generalised conceptual frameworks and 3 newly developed frameworks for analysing the airline business environment. The quantitative findings from content analysis are evaluated by inter-coder analysis which achieves kappa coefficient = 0.87 indicating high reliability of the analysis. The qualitative findings are qualified through ten criteria assessment of research quality. The deliverables provide both theoretical and methodological contributions. The research limitations are found in some sources of collected data and findings which are caused by scarce data availability and three types of biases. The recommendations for future research into financial performance, changes’ leading indicators and comparative in-depth study in other ASEAN countries and regions are made.
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Competition law and the common law of unfair competitionOng, Burton T.-E. January 2011 (has links)
Competition between trade rivals in a marketplace operating within a common law-based legal system is regulated primarily by two fairly distinct branches of the law: the prohibitions against anti-competitive conduct imposed by the competition law framework, and the common law restraints against acts of “unfair competition” that attract liability under the economic torts. This dissertation aims to critically examine both these legal frameworks and provide an integrated account of how these branches of the law distinguish between lawful and unlawful modes of competitive conduct. By scrutinising the doctrinal and policy foundations that underlie each of these legal frameworks, common thematic strands that may not be immediately apparent to lawyers working exclusively in either field will be exposed, while fundamental differences between their respective inner workings will also be uncovered in the process. Engaging in such a comparative exercise will facilitate a deeper understanding of the contrasting objectives and jurisprudential approaches associated with each legal framework which, in turn, sheds some light on the nature of their relationship with each other and the extent to which legal developments in one field ought to influence, or be influenced by, the other. Besides evaluating how and why the common law economic torts operate differently from the competition law prohibitions in circumscribing the liberty of individual competitors to inflict economic harm upon their trade rivals, this dissertation will also analyse selected types of commercial conduct which are regarded as lawful under one framework but unlawful by the other, and contrast them with scenarios which could attract overlapping legal liability under both legal frameworks. In addition, this dissertation will explore a selection of legal issues arising from the doctrinal interaction between these areas of the law that may confront the courts as these two legal frameworks continue to develop in tandem with each other.
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The Effects of Anxiety on the Performance of Collegiate Golfers in Competitive and Non-Competitive SituationsGenuchi, Marvin C. 05 1900 (has links)
The purposes of the study were to provide additional information concerning the relationship of Competition Trait Anxiety, State Anxiety, and Performance in collegiate golfers under non-competitive and competitive field settings. Subjects were thirty college males. Data were analyzed by a three-way analysis of variance with repeated measures. Conclusions of the investigation were (1) low-Competition-Trait-Anxious golfers performed better and exhibited lower levels of state anxiety than high-and moderate-Competitive-Trait-Anxious golfers in competitive and non-competitive settings; (2) collegiate golfers exhibit higher levels of state anxiety in competitive versus practice settings; and (3) there was a significant relationship between SCAT and pre-competitive state anxiety.
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L'inefficacité de l'action civile en réparation des infractions au droit de la concurrence : étude du contentieux français devant le Tribunal de Commerce de Paris (2000-2012) / Inefficiency of damages actions and the limits of private antitrust enforcement : A comprehensive study of cases brought before french Tribunal de Commerce of Paris (2000-2012)Zambrano, Guillaume 29 November 2012 (has links)
Le Livre Vert et le Livre Blanc de la Commission Européenne sur les actions en dommages-intérêts en cas d'infraction au droit communautaire de la concurrence ont constaté « le sous-développement total » de l'action en réparation des infractions au droit de la concurrence et proposé certaines réformes afin de remédier aux obstacles identifiés. L'étude empirique remet toutefois partiellement en cause ce constat, car il convient de distinguer réparation des concurrents (contentieux horizontal) et réparation des consommateurs (contentieux collectif). Les actions en réparation du préjudice d'éviction engagées entre concurrents apparaissent raisonnablement efficaces. Elles donnent lieu assez fréquemment à des décisions favorables et le montant des dommages-intérêts alloués est parfois significatif. Ainsi, les réformes proposées en matière probatoire pour l'accès aux documents n'apporteraient aucun progrès sensible, pas plus que l'adoption d'un instrument non-contraignant sur la quantification du préjudice. En revanche, les actions en réparation du préjudice de surcoût engagées par les acheteurs directs ou indirects paraissent vouées à l'échec dans le cadre actuel de la responsabilité civile, en l'absence de mécanisme de recours collectif et de distribution efficaces. La réflexion engagée au niveau national et européen ne paraît guère pouvoir contourner l’obstacle de la distribution massive de dommages-intérêts diffus, et les options envisagées ne semblent guère convaincantes. Il est donc proposé alternativement au bénéfice des consommateurs, un mécanisme public de recours collectif, confié aux autorités de concurrence nationales et à la Commission européenne. Cette réforme peut être engagée à droit constant dans le cadre des pouvoirs existants de la Commission européenne et de l'Autorité de la concurrence. Il conviendrait à cet effet de réviser la politique d’amende afin de sanctionner le défaut d’indemnisation des consommateurs, et d’affecter une partie du produit des amendes à des mesures de réparation directes ou indirectes, pécuniaires ou en nature, des consommateurs affectés par l’infraction. / The Green Paper and the White Paper on damages actions for breach of EU competition law found private antitrust enforcement in a state of “total underdevelopment” and proposed reforms to adress the identified obstacles. Empirical study of french case law does not support entirely these findings, because it’s important to distinguish between actions brought against competitors, and actions brought by consumers. Exclusionary practices litigated between competitors show reasonable success compared to similar cases. The reforms proposed by the European Commission concerning access to documents and quantification of damages would not bring any significant improvement to french law. However, damages actions in compensation of overcharges brought by direct and indirect purchasers seem doomed to failure, in the absence of a collective action and distribution mechanism. Debate is storming at EU and national level, but the considered options appear unconvincing. It is proposed a public mechanism for collective redress. Within their existing powers, competition authorities should review the fine policy to achieve collective compensation as private penalty. Substantial amount of fines should be inflicted when infringers cannot show they have taken active steps to provide compensation to consumers. In that case, a partial amount of the total fine should be dedicated to compensate consumer, directly or indirectly, in pecuniary or non-pecuniary form. Competition authorities should have the power to order infringers to create trust funds for that purpose.
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Vybrané nekalosoutěžní jednání a právní ochrana proti takovému jednání / Selected issues of unfair competition and legal protection against such conductKelman, Jan January 2011 (has links)
The selected unfair competition practice and protection against such practice The aim of the thesis is to analyze the phenomenon of misleading advertising and the possibilities of legal protection against that kind of unfair competition, within the comprehensiveness of Master's diploma thesis. I deal with the topic predominantly from the private law point of view. The aim of the thesis is, first, to summarize unfair competition and related terminology and, next, to outline its different aspects in detail and present related instruments of legal defence. The thesis consists of nine chapters. Each of them is concerned with different aspects of unfair competition. The Introduction describes the thesis topic, the structure of the thesis and its aim. Chapter One defines the term 'competition' and describes the law regulating the right to competition, its limits and normative basis. Chapter Two focuses on market competition and consists of two parts. The first one concentrates on legal definition of the term 'competition' and its general interpretation. The second one is addressed to competition law and its division. Chapter Three explains the term 'unfair competition' and presents a detailed survey of subjects in unfair competition. Following subchapters examines 'competitors', 'consumers', 'other...
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Ochranné známky a jejich praktické využití v hospodářské soutěži / Trademarks and their practical application in economic competitionTumpachová, Kateřina January 2015 (has links)
This diploma thesis deals with trademark in competition. It analyses the position of the trademark owner from the point of view of rights provided by the legal system in connection with his trademark ownership. The aim of the thesis is to answer the question which rights are granted to the trademark owner by the trademark law, which rights are granted to him by the unfair competition law and to depict mutual correlation of those two legal branches from the mentioned point of view. In order to achieve these targets the thesis is divided into three chapters. The first chapter deals with the trademark owner rights, where it analyses the regulation of these rights in Czech legal system, i.e. provision of act -No. 441/2003 Sb. on trademarks, considering European directives on trademarks (No. 89/104 and 2008/95/ES). This is followed by the judicature of the Supreme Court of the Czech Republic and of the Court of Justice of the European Union explaining these legal provisions. The provisions of Council Regulation on the Community trade mark (No. 207/2009) and Paris Convention for the Protection of Industrial Property are also mentioned. For the purpose of further explanation the second chapter brings an analysis of the competitor's protection by the unfair competition law from the provisions relevant for...
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Vývoj právní úpravy nekalé soutěže v ČR / Development of the legal regulation of unfair competition in the Czech RepublicSzostok, David January 2015 (has links)
- Development of the legal regulation of unfair competition in Czech Republic This thesis concerns the development of the legal regulation of unfair competition in the environment and territory of Czech Republic. Thesis at the beginning introduces with origin attempts of unfair competition at the Austria-Hungary monarchies times and historical formation at the European frame. Continue by formation of Czechoslovakia and description of the first complex legal ordinance focused on this part of law on our territory. At the next stages is described decline of unfair competition in times of central planned economy raised by communist party in 1948 and subsequent factual absent of unfair competition in our legal system. And finally arise and development of unfair competition after the velvet revolution which is the main topic of this work. The thesis is also focused on the general aspect of unfair competition as the law section with term and attribute which is often hard to define or describe and as a legal area in which more often play the biggest role kind of legal sense and specific circumstances then strictly defined rules. Thesis highlights the importance of general clause, in some part compare our legal development to German and other legal legislation way of other countries and their conceptual...
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Ochrana hospodářské soutěže - blokové výjimky / Protection of competition - block exemptionsŠafaříková, Barbora January 2014 (has links)
PROTECTION OF COMPETITION - BLOCK EXEMPTIONS The purpose of my thesis is to describe and analyze regulation of block exemptions mainly in the light of Commission's Guidelines. The function of block exemptions is to exempt certain agreements from the prohibition of distortion of competition. The thesis is composed of five chapters, each of them dealing with different aspects related to the concept of block exemptions. First chapter is an introduction into the topic of protection of competition and explains basic principles and terminology. Chapter two deals with other exemptions from prohibition of distorting competition. The chapter is divided into four subchapters. The first one analyzes four aspects of the exemption under Article 101 (3) of the Treaty on the Functioning of the European Union. The second subchapter focuses on de minimis rule. Third subchapter deals with exemption in agriculture sector. Finally, the problem of block exemptions is briefly introduced. Third chapter follows the historic development of the concept of block exemptions both in European law and Czech law. Firstly, it describes the reasons for introduction of block exemptions by the Commission and then it focuses on the change of approach in year 2004, when ex post control was introduced. Second part of the chapter deals...
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