Corporate Acquisitions and Mergers in the European Union:
Gespeichert in:
1. Verfasser: | |
---|---|
Format: | Elektronisch E-Book |
Sprache: | English |
Veröffentlicht: |
Alphen aan den Rijn
Wolters Kluwer Law International
2024
|
Ausgabe: | 5th ed |
Online-Zugang: | DE-2070s |
Beschreibung: | Description based on publisher supplied metadata and other sources |
Beschreibung: | 1 Online-Ressource (248 Seiten) |
ISBN: | 9789403520780 |
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505 | 8 | |a Cover -- Half title -- Title -- Copyright -- Contents -- O'Melveny & -- Myers LLP -- 1 INTRODUCTION & -- GENERAL REMARKS -- 2 RELATIONSHIP BETWEEN THE MERGER REGULATION AND ARTICLES 101 AND 102 -- 2.1 Application of Articles 101 and 102 to Concentrations Prior to the Adoption of the 1989 Regulation -- 2.2 Application of Articles 101 and 102 to Concentrations Following the Adoption of the 1989 Regulation -- 3 THE MERGER REGULATION -- 3.1 The Merger Regulation and Supporting Documents -- 3.1.1 A Summary of the Main Features of the Merger Regulation -- 3.1.2 The European Economic Area Agreement -- 3.1.3 Territorial Scope of the Merger Regulation -- 3.1.4 International Cooperation -- 4 SCOPE OF APPLICATION: CONCENTRATION -- 4.1 Concentration (Article 3(1)) -- 4.1.1 Undertakings -- 4.1.2 Independent Undertakings -- 4.1.3 Plurality of Concentrations -- 4.2 Mergers (Article 3(1)(a)) -- 4.3 Acquisition of Control (Article 3(1)(b)) -- 4.3.1 Definition of Control -- 4.3.2 Sole Control -- 4.3.3 Joint Control -- 4.4 Joint Ventures -- 4.4.1 Full-Functionality -- 4.4.2 Ability to Operate on a Market -- 4.4.3 Operational Autonomy -- 4.4.4 Commercial Autonomy -- 4.4.5 Lasting Basis -- 4.5 Transactions Not Regarded as Concentrations -- 5 SCOPE OF APPLICATION: 'COMMUNITY DIMENSION' -- 5.1 Turnover Thresholds -- 5.1.1 Definition of Turnover -- 5.1.2 Rules for Specific Sectors -- 5.1.3 Successive Transactions -- 5.1.4 Geographic Allocation of Turnover -- 5.2 Identifying the Undertakings Concerned -- 5.2.1 Corporate Group Turnover -- 6 PROCEDURE: NOTIFICATION -- 6.1 Prior Notification -- 6.1.1 Form CO and Short Form CO -- 6.1.2 Suspensory Provisions -- 7 PROCEDURE: EXAMINATION OF NOTIFICATION -- 7.1 Two-Stage Procedure -- 7.2 Role of Member States -- 7.3 Phase I Proceedings -- 7.4 Simplified Procedure -- 7.5 Phase II Proceedings | |
505 | 8 | |a 7.6 Statement of Objections and Access to the File -- 7.7 Conditions Attached to Clearances and Form RM -- 7.7.1 Legal Basis -- 7.7.2 Standard for Commitments -- 7.7.3 Type of Remedies -- 7.8 Withdrawal and Abandonment -- 7.9 Commission's Fact-Finding Powers -- 7.10 Request for Information -- 7.11 Powers of Investigation -- 7.12 Sanctions -- 7.13 Right to Be Heard -- 8 REFERRALS AND POWERS OF MEMBER STATES -- 8.1 Referral to NCAs -- 8.1.1 Pre-notification Referrals to NCAs: Article 4(4) -- 8.1.2 Post-notification Referrals to the NCAs: Article 9 -- 8.2 Referrals to the Commission -- 8.2.1 Pre-notification Referrals to the Commission: Article 4(5) -- 8.2.2 Post-notification Referrals to the Commission: Article 22 -- 8.3 Legitimate Interest Exception: Article 21(4) -- 8.4 Defence Interests: Article 346 of the TFEU -- 9 SUBSTANTIVE ASSESSMENT -- 9.1 Significant Impediment to Effective Competition -- 9.1.1 Horizontal Guidelines -- 9.1.2 Non-horizontal Guidelines -- 9.2 Dominance -- 9.3 The Importance of Market Definition -- 9.3.1 Relevant Product Market -- 9.3.2 Relevant Geographic Market -- 9.4 Anticompetitive Effects -- 9.4.1 Non-coordinated Effects -- 9.4.2 Horizontal Mergers -- 9.4.3 Conglomerate Mergers -- 9.5 Vertical Mergers -- 9.5.1 Concentrations and the Harm to Innovation Theory -- 9.5.2 Concentrations and Big Data -- 9.6 Coordinated Effects -- 9.6.1 Collective Dominance -- 9.6.2 Coordinative Aspects Within Joint Ventures: Article 2(4) -- 9.7 Countervailing Factors -- 9.7.1 Potential Competition and Entry on the Market -- 9.7.2 Buyer Power -- 9.7.3 Efficiencies -- 9.7.4 Failing Firm Defence -- 9.8 Ancillary Restraints -- 9.8.1 Non-compete and Confidentiality Clauses -- 9.8.2 Licence Agreements -- 9.8.3 Purchase and Supply Obligations -- 9.9 Parallel and Successive Concentrations -- 10 APPEALS TO THE COURT. | |
505 | 8 | |a 10.1 Decisions That Can Be Challenged -- 10.2 Parties Who Can Bring an Action -- 10.3 Procedure -- 10.4 Possible Action for Damages -- 11 LINKS TO MAIN EU LEGISLATIVE TEXTS -- Back cover | |
700 | 1 | |a Noguès, Philippe |e Sonstige |4 oth | |
700 | 1 | |a Peeters, Christian |e Sonstige |4 oth | |
700 | 1 | |a Evans, Rebecca |e Sonstige |4 oth | |
776 | 0 | 8 | |i Erscheint auch als |n Druck-Ausgabe |a Celli, Riccardo |t Corporate Acquisitions and Mergers in the European Union |d Alphen aan den Rijn : Wolters Kluwer Law International,c2024 |z 9789403520582 |
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Datensatz im Suchindex
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adam_text | |
any_adam_object | |
author | Celli, Riccardo |
author_facet | Celli, Riccardo |
author_role | aut |
author_sort | Celli, Riccardo |
author_variant | r c rc |
building | Verbundindex |
bvnumber | BV049875766 |
collection | ZDB-30-PQE |
contents | Cover -- Half title -- Title -- Copyright -- Contents -- O'Melveny & -- Myers LLP -- 1 INTRODUCTION & -- GENERAL REMARKS -- 2 RELATIONSHIP BETWEEN THE MERGER REGULATION AND ARTICLES 101 AND 102 -- 2.1 Application of Articles 101 and 102 to Concentrations Prior to the Adoption of the 1989 Regulation -- 2.2 Application of Articles 101 and 102 to Concentrations Following the Adoption of the 1989 Regulation -- 3 THE MERGER REGULATION -- 3.1 The Merger Regulation and Supporting Documents -- 3.1.1 A Summary of the Main Features of the Merger Regulation -- 3.1.2 The European Economic Area Agreement -- 3.1.3 Territorial Scope of the Merger Regulation -- 3.1.4 International Cooperation -- 4 SCOPE OF APPLICATION: CONCENTRATION -- 4.1 Concentration (Article 3(1)) -- 4.1.1 Undertakings -- 4.1.2 Independent Undertakings -- 4.1.3 Plurality of Concentrations -- 4.2 Mergers (Article 3(1)(a)) -- 4.3 Acquisition of Control (Article 3(1)(b)) -- 4.3.1 Definition of Control -- 4.3.2 Sole Control -- 4.3.3 Joint Control -- 4.4 Joint Ventures -- 4.4.1 Full-Functionality -- 4.4.2 Ability to Operate on a Market -- 4.4.3 Operational Autonomy -- 4.4.4 Commercial Autonomy -- 4.4.5 Lasting Basis -- 4.5 Transactions Not Regarded as Concentrations -- 5 SCOPE OF APPLICATION: 'COMMUNITY DIMENSION' -- 5.1 Turnover Thresholds -- 5.1.1 Definition of Turnover -- 5.1.2 Rules for Specific Sectors -- 5.1.3 Successive Transactions -- 5.1.4 Geographic Allocation of Turnover -- 5.2 Identifying the Undertakings Concerned -- 5.2.1 Corporate Group Turnover -- 6 PROCEDURE: NOTIFICATION -- 6.1 Prior Notification -- 6.1.1 Form CO and Short Form CO -- 6.1.2 Suspensory Provisions -- 7 PROCEDURE: EXAMINATION OF NOTIFICATION -- 7.1 Two-Stage Procedure -- 7.2 Role of Member States -- 7.3 Phase I Proceedings -- 7.4 Simplified Procedure -- 7.5 Phase II Proceedings 7.6 Statement of Objections and Access to the File -- 7.7 Conditions Attached to Clearances and Form RM -- 7.7.1 Legal Basis -- 7.7.2 Standard for Commitments -- 7.7.3 Type of Remedies -- 7.8 Withdrawal and Abandonment -- 7.9 Commission's Fact-Finding Powers -- 7.10 Request for Information -- 7.11 Powers of Investigation -- 7.12 Sanctions -- 7.13 Right to Be Heard -- 8 REFERRALS AND POWERS OF MEMBER STATES -- 8.1 Referral to NCAs -- 8.1.1 Pre-notification Referrals to NCAs: Article 4(4) -- 8.1.2 Post-notification Referrals to the NCAs: Article 9 -- 8.2 Referrals to the Commission -- 8.2.1 Pre-notification Referrals to the Commission: Article 4(5) -- 8.2.2 Post-notification Referrals to the Commission: Article 22 -- 8.3 Legitimate Interest Exception: Article 21(4) -- 8.4 Defence Interests: Article 346 of the TFEU -- 9 SUBSTANTIVE ASSESSMENT -- 9.1 Significant Impediment to Effective Competition -- 9.1.1 Horizontal Guidelines -- 9.1.2 Non-horizontal Guidelines -- 9.2 Dominance -- 9.3 The Importance of Market Definition -- 9.3.1 Relevant Product Market -- 9.3.2 Relevant Geographic Market -- 9.4 Anticompetitive Effects -- 9.4.1 Non-coordinated Effects -- 9.4.2 Horizontal Mergers -- 9.4.3 Conglomerate Mergers -- 9.5 Vertical Mergers -- 9.5.1 Concentrations and the Harm to Innovation Theory -- 9.5.2 Concentrations and Big Data -- 9.6 Coordinated Effects -- 9.6.1 Collective Dominance -- 9.6.2 Coordinative Aspects Within Joint Ventures: Article 2(4) -- 9.7 Countervailing Factors -- 9.7.1 Potential Competition and Entry on the Market -- 9.7.2 Buyer Power -- 9.7.3 Efficiencies -- 9.7.4 Failing Firm Defence -- 9.8 Ancillary Restraints -- 9.8.1 Non-compete and Confidentiality Clauses -- 9.8.2 Licence Agreements -- 9.8.3 Purchase and Supply Obligations -- 9.9 Parallel and Successive Concentrations -- 10 APPEALS TO THE COURT. 10.1 Decisions That Can Be Challenged -- 10.2 Parties Who Can Bring an Action -- 10.3 Procedure -- 10.4 Possible Action for Damages -- 11 LINKS TO MAIN EU LEGISLATIVE TEXTS -- Back cover |
ctrlnum | (ZDB-30-PQE)EBC31357562 (ZDB-30-PAD)EBC31357562 (ZDB-89-EBL)EBL31357562 (OCoLC)1466911454 (DE-599)BVBBV049875766 |
dewey-full | 346.406626 |
dewey-hundreds | 300 - Social sciences |
dewey-ones | 346 - Private law |
dewey-raw | 346.406626 |
dewey-search | 346.406626 |
dewey-sort | 3346.406626 |
dewey-tens | 340 - Law |
discipline | Rechtswissenschaft |
edition | 5th ed |
format | Electronic eBook |
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spelling | Celli, Riccardo Verfasser aut Corporate Acquisitions and Mergers in the European Union 5th ed Alphen aan den Rijn Wolters Kluwer Law International 2024 ©2024 1 Online-Ressource (248 Seiten) txt rdacontent c rdamedia cr rdacarrier Description based on publisher supplied metadata and other sources Cover -- Half title -- Title -- Copyright -- Contents -- O'Melveny & -- Myers LLP -- 1 INTRODUCTION & -- GENERAL REMARKS -- 2 RELATIONSHIP BETWEEN THE MERGER REGULATION AND ARTICLES 101 AND 102 -- 2.1 Application of Articles 101 and 102 to Concentrations Prior to the Adoption of the 1989 Regulation -- 2.2 Application of Articles 101 and 102 to Concentrations Following the Adoption of the 1989 Regulation -- 3 THE MERGER REGULATION -- 3.1 The Merger Regulation and Supporting Documents -- 3.1.1 A Summary of the Main Features of the Merger Regulation -- 3.1.2 The European Economic Area Agreement -- 3.1.3 Territorial Scope of the Merger Regulation -- 3.1.4 International Cooperation -- 4 SCOPE OF APPLICATION: CONCENTRATION -- 4.1 Concentration (Article 3(1)) -- 4.1.1 Undertakings -- 4.1.2 Independent Undertakings -- 4.1.3 Plurality of Concentrations -- 4.2 Mergers (Article 3(1)(a)) -- 4.3 Acquisition of Control (Article 3(1)(b)) -- 4.3.1 Definition of Control -- 4.3.2 Sole Control -- 4.3.3 Joint Control -- 4.4 Joint Ventures -- 4.4.1 Full-Functionality -- 4.4.2 Ability to Operate on a Market -- 4.4.3 Operational Autonomy -- 4.4.4 Commercial Autonomy -- 4.4.5 Lasting Basis -- 4.5 Transactions Not Regarded as Concentrations -- 5 SCOPE OF APPLICATION: 'COMMUNITY DIMENSION' -- 5.1 Turnover Thresholds -- 5.1.1 Definition of Turnover -- 5.1.2 Rules for Specific Sectors -- 5.1.3 Successive Transactions -- 5.1.4 Geographic Allocation of Turnover -- 5.2 Identifying the Undertakings Concerned -- 5.2.1 Corporate Group Turnover -- 6 PROCEDURE: NOTIFICATION -- 6.1 Prior Notification -- 6.1.1 Form CO and Short Form CO -- 6.1.2 Suspensory Provisions -- 7 PROCEDURE: EXAMINATION OF NOTIFICATION -- 7.1 Two-Stage Procedure -- 7.2 Role of Member States -- 7.3 Phase I Proceedings -- 7.4 Simplified Procedure -- 7.5 Phase II Proceedings 7.6 Statement of Objections and Access to the File -- 7.7 Conditions Attached to Clearances and Form RM -- 7.7.1 Legal Basis -- 7.7.2 Standard for Commitments -- 7.7.3 Type of Remedies -- 7.8 Withdrawal and Abandonment -- 7.9 Commission's Fact-Finding Powers -- 7.10 Request for Information -- 7.11 Powers of Investigation -- 7.12 Sanctions -- 7.13 Right to Be Heard -- 8 REFERRALS AND POWERS OF MEMBER STATES -- 8.1 Referral to NCAs -- 8.1.1 Pre-notification Referrals to NCAs: Article 4(4) -- 8.1.2 Post-notification Referrals to the NCAs: Article 9 -- 8.2 Referrals to the Commission -- 8.2.1 Pre-notification Referrals to the Commission: Article 4(5) -- 8.2.2 Post-notification Referrals to the Commission: Article 22 -- 8.3 Legitimate Interest Exception: Article 21(4) -- 8.4 Defence Interests: Article 346 of the TFEU -- 9 SUBSTANTIVE ASSESSMENT -- 9.1 Significant Impediment to Effective Competition -- 9.1.1 Horizontal Guidelines -- 9.1.2 Non-horizontal Guidelines -- 9.2 Dominance -- 9.3 The Importance of Market Definition -- 9.3.1 Relevant Product Market -- 9.3.2 Relevant Geographic Market -- 9.4 Anticompetitive Effects -- 9.4.1 Non-coordinated Effects -- 9.4.2 Horizontal Mergers -- 9.4.3 Conglomerate Mergers -- 9.5 Vertical Mergers -- 9.5.1 Concentrations and the Harm to Innovation Theory -- 9.5.2 Concentrations and Big Data -- 9.6 Coordinated Effects -- 9.6.1 Collective Dominance -- 9.6.2 Coordinative Aspects Within Joint Ventures: Article 2(4) -- 9.7 Countervailing Factors -- 9.7.1 Potential Competition and Entry on the Market -- 9.7.2 Buyer Power -- 9.7.3 Efficiencies -- 9.7.4 Failing Firm Defence -- 9.8 Ancillary Restraints -- 9.8.1 Non-compete and Confidentiality Clauses -- 9.8.2 Licence Agreements -- 9.8.3 Purchase and Supply Obligations -- 9.9 Parallel and Successive Concentrations -- 10 APPEALS TO THE COURT. 10.1 Decisions That Can Be Challenged -- 10.2 Parties Who Can Bring an Action -- 10.3 Procedure -- 10.4 Possible Action for Damages -- 11 LINKS TO MAIN EU LEGISLATIVE TEXTS -- Back cover Noguès, Philippe Sonstige oth Peeters, Christian Sonstige oth Evans, Rebecca Sonstige oth Erscheint auch als Druck-Ausgabe Celli, Riccardo Corporate Acquisitions and Mergers in the European Union Alphen aan den Rijn : Wolters Kluwer Law International,c2024 9789403520582 |
spellingShingle | Celli, Riccardo Corporate Acquisitions and Mergers in the European Union Cover -- Half title -- Title -- Copyright -- Contents -- O'Melveny & -- Myers LLP -- 1 INTRODUCTION & -- GENERAL REMARKS -- 2 RELATIONSHIP BETWEEN THE MERGER REGULATION AND ARTICLES 101 AND 102 -- 2.1 Application of Articles 101 and 102 to Concentrations Prior to the Adoption of the 1989 Regulation -- 2.2 Application of Articles 101 and 102 to Concentrations Following the Adoption of the 1989 Regulation -- 3 THE MERGER REGULATION -- 3.1 The Merger Regulation and Supporting Documents -- 3.1.1 A Summary of the Main Features of the Merger Regulation -- 3.1.2 The European Economic Area Agreement -- 3.1.3 Territorial Scope of the Merger Regulation -- 3.1.4 International Cooperation -- 4 SCOPE OF APPLICATION: CONCENTRATION -- 4.1 Concentration (Article 3(1)) -- 4.1.1 Undertakings -- 4.1.2 Independent Undertakings -- 4.1.3 Plurality of Concentrations -- 4.2 Mergers (Article 3(1)(a)) -- 4.3 Acquisition of Control (Article 3(1)(b)) -- 4.3.1 Definition of Control -- 4.3.2 Sole Control -- 4.3.3 Joint Control -- 4.4 Joint Ventures -- 4.4.1 Full-Functionality -- 4.4.2 Ability to Operate on a Market -- 4.4.3 Operational Autonomy -- 4.4.4 Commercial Autonomy -- 4.4.5 Lasting Basis -- 4.5 Transactions Not Regarded as Concentrations -- 5 SCOPE OF APPLICATION: 'COMMUNITY DIMENSION' -- 5.1 Turnover Thresholds -- 5.1.1 Definition of Turnover -- 5.1.2 Rules for Specific Sectors -- 5.1.3 Successive Transactions -- 5.1.4 Geographic Allocation of Turnover -- 5.2 Identifying the Undertakings Concerned -- 5.2.1 Corporate Group Turnover -- 6 PROCEDURE: NOTIFICATION -- 6.1 Prior Notification -- 6.1.1 Form CO and Short Form CO -- 6.1.2 Suspensory Provisions -- 7 PROCEDURE: EXAMINATION OF NOTIFICATION -- 7.1 Two-Stage Procedure -- 7.2 Role of Member States -- 7.3 Phase I Proceedings -- 7.4 Simplified Procedure -- 7.5 Phase II Proceedings 7.6 Statement of Objections and Access to the File -- 7.7 Conditions Attached to Clearances and Form RM -- 7.7.1 Legal Basis -- 7.7.2 Standard for Commitments -- 7.7.3 Type of Remedies -- 7.8 Withdrawal and Abandonment -- 7.9 Commission's Fact-Finding Powers -- 7.10 Request for Information -- 7.11 Powers of Investigation -- 7.12 Sanctions -- 7.13 Right to Be Heard -- 8 REFERRALS AND POWERS OF MEMBER STATES -- 8.1 Referral to NCAs -- 8.1.1 Pre-notification Referrals to NCAs: Article 4(4) -- 8.1.2 Post-notification Referrals to the NCAs: Article 9 -- 8.2 Referrals to the Commission -- 8.2.1 Pre-notification Referrals to the Commission: Article 4(5) -- 8.2.2 Post-notification Referrals to the Commission: Article 22 -- 8.3 Legitimate Interest Exception: Article 21(4) -- 8.4 Defence Interests: Article 346 of the TFEU -- 9 SUBSTANTIVE ASSESSMENT -- 9.1 Significant Impediment to Effective Competition -- 9.1.1 Horizontal Guidelines -- 9.1.2 Non-horizontal Guidelines -- 9.2 Dominance -- 9.3 The Importance of Market Definition -- 9.3.1 Relevant Product Market -- 9.3.2 Relevant Geographic Market -- 9.4 Anticompetitive Effects -- 9.4.1 Non-coordinated Effects -- 9.4.2 Horizontal Mergers -- 9.4.3 Conglomerate Mergers -- 9.5 Vertical Mergers -- 9.5.1 Concentrations and the Harm to Innovation Theory -- 9.5.2 Concentrations and Big Data -- 9.6 Coordinated Effects -- 9.6.1 Collective Dominance -- 9.6.2 Coordinative Aspects Within Joint Ventures: Article 2(4) -- 9.7 Countervailing Factors -- 9.7.1 Potential Competition and Entry on the Market -- 9.7.2 Buyer Power -- 9.7.3 Efficiencies -- 9.7.4 Failing Firm Defence -- 9.8 Ancillary Restraints -- 9.8.1 Non-compete and Confidentiality Clauses -- 9.8.2 Licence Agreements -- 9.8.3 Purchase and Supply Obligations -- 9.9 Parallel and Successive Concentrations -- 10 APPEALS TO THE COURT. 10.1 Decisions That Can Be Challenged -- 10.2 Parties Who Can Bring an Action -- 10.3 Procedure -- 10.4 Possible Action for Damages -- 11 LINKS TO MAIN EU LEGISLATIVE TEXTS -- Back cover |
title | Corporate Acquisitions and Mergers in the European Union |
title_auth | Corporate Acquisitions and Mergers in the European Union |
title_exact_search | Corporate Acquisitions and Mergers in the European Union |
title_full | Corporate Acquisitions and Mergers in the European Union |
title_fullStr | Corporate Acquisitions and Mergers in the European Union |
title_full_unstemmed | Corporate Acquisitions and Mergers in the European Union |
title_short | Corporate Acquisitions and Mergers in the European Union |
title_sort | corporate acquisitions and mergers in the european union |
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