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Competition Policy Implementation Working Group This Work plan seeks to (i) provide brief background information on the activities of the Competition Policy Implementation (CPI) Working Group since its inception; (ii) propose a revised mandate that more accurately describes the current work of the Group; and (iii) outline a coherent work plan for 2006-2007. Background The CPI Working Group, originally called the Capacity Building and Competition Policy Implementation Working Group, had its genesis at the 2002 Annual Conference in Naples under the leadership of the European Commission and South Africa. In preparation for the 2003 Annual Conference in Merida, this group conducted a survey of providers and recipients of technical assistance and prepared a report entitled “Capacity Building and Technical Assistance: Building Credible Competition Authorities in Developing and Transition Economies.” From the Merida conference until the Cape Town Annual Conference in 2006, under the cochairmanship of Brazil (first SEAE and then CADE) and Korea, this report served as the de facto charter for the Working Group’s ongoing efforts. The Working Group was divided into three subgroups that focused on three aspects of its mandate as articulated in the 2003 Report: (1) improving technical assistance in competition policy to new agencies; (2) building support for competition policy and law; and (3) identifying solutions to challenges confronting the implementation of competition policy and law. Subgroup One focused on technical assistance. It held a workshop for donors and providers of technical assistance and developed and conducted a survey of the attributes of effective technical assistance programs. Subgroup Two focused first on the set of key challenges identified in the 2003 report that related to enhancing the standing of competition with civil society and the business community – first through the media, then with consumers, and finally with businesses themselves. In the past year, it also sought to ask newer agencies themselves to identify key challenges that they themselves had encountered and how they had addressed them. Subgroup Three took up the challenge of making the case for competition policy, continuing the work of the former Competition Advocacy Working Group. The group focused first on competition advocacy in regulated sectors, and then studied how agencies make the case for competition with the judiciary. The framework provided by the 2003 Report has served the Working Group well. However, now that more has been learned about the challenges of implementing a successful competition policy, particularly but not exclusively in countries that lack a strong competition culture or history of competition law enforcement, the Working Group believes that a new mandate is needed. A Vision for Addressing Issues of Competition Policy Implementation As the ICN has evolved, different working groups have taken on the most pressing substantive areas of competition law and policy: mergers, cartels, antitrust enforcement in regulated sectors, telecommunications, and, most recently, unilateral conduct. Relatively little emphasis has been placed on the institutions and operational considerations through which competition law and policy is implemented. While institutional and operational questions were identified in the 2003 Report and have been addressed tangentially as they affect the specific work product of other Working Groups, they have not been systematically explored in their own right. These are important issues in all agencies, but they take on special importance for newer agencies where organizational issues are still in flux or where institutional structures may have been copied from elsewhere in government. Even in more experienced agencies where a degree of institutional stability may have been achieved, it cannot be assumed that institutional improvement is impossible or unnecessary. The work of Subgroup Two during the past year provides a partial blueprint for carrying this work forward. As noted above, that Subgroup conducted a survey of newer competition agencies to identify, from their perspective, the most difficult challenges to competition policy implementation. These include an administrative structure that supports sound decision-making based on law and economics, a civil service structure that allows an agency to attract good quality staff, an enforcement structure that allows the agency to obtain the evidence it needs consistent with due process, a judiciary that is capable of enforcing orders and applying meaningful judicial review, and an initial and ongoing training system for staff. The Working Group intends to draw on this work, which was prepared principally by newer agencies, the 2003 Report, and other pertinent learning in order to identify and examine operational and organizational aspects of competition agencies that are important for successful competition policy implementation. The Working Group does not believe that the Subgroup Two Report is necessarily an exhaustive list of the key operational issues or that all of the topics identified in that Report necessarily deserve study, but does believe that it is a good place to start. Technical assistance will necessarily remain an essential component of how competition policy is implemented in newer agencies. Accordingly, the Working Group recommends that the group’s mandate be revised to include the analysis of institutional and operational issues that affect the effective implementation of competition law and policy, with special attention paid to those issues as they affect newer competition agencies, technical assistance, and the process of competition advocacy. Work Plan for the Coming Year For the year leading to the Moscow Annual Conference in 2007, the Working Group will address three of these issues, two of which will continue ongoing projects, and one of which will be new. Subgroup One will continue its examination of technical assistance, and will create a short and cogent document presenting the Subgroup’s significant findings, learning, and observations in a way that can be easily used by developing agencies, donors, and providers of technical assistance as well as continue to implement the pilot project on partnership and consultation for newer agencies. Subgroup Two will study the institutional machinery through which competition law is implemented. Institutional machinery can be seen as encompassing the enforcement structures and administrative processes used to support sound and efficient decision-making while incorporating high quality economic and legal analysis, and simultaneously observing the principles of natural justice/due process. Subgroup Three will continue its study of the relationships between competition agencies and the judiciary. Detailed work plans for each subgroup are attached.