Romano Subiotto QC

Partner

Bruxelas
T: +32 2 287 2000
F: +32 2 231 1661

Londres
T: +44 20 7614 2296
F: +44 20 7600 1698
rsubiotto@cgsh.com

Cartão de Visita
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Publicações Semelhantes

1.“Antitrust and Antidoping Do Not Mix", Jusletter - Edition spéciale: Droit du sport, July 16, 2012.

2. “The Application of Article 102 TFEU by the European Commission and the European Courts”, Journal of European Competition Law & Practice, February 2012, Vol. 3, No. 2.

3. “Antitrust Developments in Europe 2010”, LexisNexis, October 2011.

4. “The Reform of European Distribution Law”, World Competition 34, no. 1 (2011).

5. “Recent EU Case Law Developments: Article 102 TFEU”, Journal of European Competition Law & Practice, December 2010.

6. “IP and Antitrust in the Pharma Sector – Where Does the EU Commission Stand at Present”, Ninth Annual Harvard Seminar, Harvard Law School, Cambridge, October 21, 2010.

7. "The Adoption and Enforcement of Anti-Doping Rules Should Not Be Subject To European Competition Law", European Competition Law Review, June 2010, Volume 31, Issue 8.

8. “Antitrust Developments in Europe 2009”, LexisNexis, June 2010.

9. “Deliberate Concealment in Cartel Claims”, The CPI Antitrust Journal, May 2010.

10. “EU Antitrust: A 50-Year Retrospective”, CGSH Global Antitrust seminar, Brussels, April 22, 2010.

11. “The muzzled British diaspora in the EU”, European Voice, April 22, 2010.

12. “UK follow-on damages claims after Enron”, Global Competition Review, April 2010.

13. “Key Features of 2009 Cartel Cases”, Journal of European Competition Law & Practice, April 2010, Vol. 1, No. 2.

14. “L’arbitrage des litiges sportifs”, Barreau de Paris, Paris, March 25, 2010.

15. “Droit Communautaire de la Concurrence”, two-day seminar at the University of Montpellier, December 10-11, 2009.

16. “Developments, Q&A and Panel Discussion: Pharmaceutical Sector Inquiry”, Advanced EC Competition Law 2009, Brussels, November 18-19, 2009.

17. “The Interaction Between IP and European Competition Law: The Example of the Recent Pharmaceutical Sector Inquiry”, Eighth Annual Harvard Seminar, Harvard Law School, Cambridge, November 5, 2009.

18. “Focus on the Pharmaceutical Patenting – EU Commission Sectoral Inquiry in Pharmaceutical Industry”, Competition & IPR, University of Helsinki, October 6, 2009. 

19. “Arbitration and Mediation in Competition Law Cases”, Antitrust Litigation 2009, London, October 2, 2009.

20. “How a Lack of Analytical Rigour has Resulted in an Overbroad Application of EC Competition Law in the Sports Sector”, Sweet & Maxwell International Sports Law Review, Issue 2, 2009.

21. “Antitrust Developments in Europe 2008”, LexisNexis, June 2009.

22. “Advanced EC Competition Law London 2009, Pharma Sector Findings, Panel Discussion and Q&A: Sector Inquiries”, IBC’s 18th Annual Event, London, April 22, 2009.

23. “Unjustified Expansion of EC Competition Law into the Sports Sector”, British Sky Broadcasting Ltd., London, April 21, 2009.

24. “The Interface between Competition Law and Intellectual Property Rights: Focus on the Pharmaceutical Industry”, Lund University, Sweden, January 23, 2009. 

25. “Droit Communautaire de la Concurrence”, two-day seminar at the University of Montpellier, December 10-11, 2008.

26. “Competition Problems in the Pharma Sector”, Summit at Como, Lake Como, October 24-26, 2008.

27. “The Increasing Use of Settlements in Europe”, Seventh Annual Harvard Seminar, Harvard Law School, Cambridge, October 1, 2008.

28. “Antitrust Issues in Europe: Competition Policy, Enforcement & Interacting with Regulators in the EU”, 2008 Chief Litigation Counsel Association Spring Meeting, New York, May 8, 2008.

29. “An Overview of the EU”, Logitech WW Legal Off-Site, Rome, April 2, 2008.

30. “BA vs. Virgin: A New Economic Approach?”, ASAS-Studienvereinigung Kartellrecht, Geneva, January 31, 2008.

31. “Droit Communautaire de la Concurrence”, two-day seminar at the University of Montpellier, November 29 -30, 2007.

32. “The Developing Legal Framework Governing Commitments”, IBC’s 16th Annual Conference, Brussels, November 23, 2007.

33. “Developments Concerning Payment Cards”, Summit at Como, Lake Como, October 26-28, 2007.

34. “Cartel Enforecement: A View From Brussels”, Sixth Annual Harvard Seminar, Harvard Law School, Cambridge, October 11, 2007.

35. “Private Antitrust Enforcement: A Practical Guide to Managing Competition Litigation in Europe”, CGSH seminar, London, September 14, 2007.

36. “Restricting Parallel Trade – Legal Issues”, EU Pharma Law and Regulation, London, June 21, 2007.

37. “The Conundrum Facing the Generic Industry in its Attempt to Enter the EU and US Market”, 6th Annual Pharmaceutical Patent Lifecycles, London, January 23, 2007.

38. “Where Does the Industry Stand on the Parallel Import Front?”, 6th Annual Pharmaceutical Patent Lifecycles, London, January 22, 2007.

39. “Droit Communautaire de la Concurrence”, two-day seminar at the University of Montpellier, December 12 -13, 2006.

40. “The EU Commission’s Attempts at Defining Abusive Behavior”, Fifth Annual Harvard Seminar, Harvard Law School, September 27, 2006.

41. “Parallel Imports – Where Do We Stand”, EU Pharma Law & Regulations, London, September 19, 2006.

42. “Third Party Access-Intellectual Property Rights: The Merck/Italia Dobfar case”, College of Europe, Bruges, June 22, 2006.

43. “Antitrust Developments in Europe 2005”, Kluwer Law International, The Hague, June 2006.

44. “Free Movement and Parallel Trade”, The EU Pharmaceutical Law Forum, Brussels, May 15-16, 2006.

45. “Obligations de service public et refus de vente des laboratoires pharmaceutiques”, Revue Lamy de la Concurrence, N° 5, novembre/décembre 2005.

46. “Droit Communautaire de la Concurrence”, two-day seminar at the University of Montpellier, December 8-9, 2005.

47. “Media Content in the EU”, GCLC-BT Conference, London, December 5, 2005.

48. “Market Definition in Competition Law - What it is About and How to Approach it in Practice”, Henkel Workshop, Germany, October 21, 2005.

49. “The Current Rethinking by European Antitrust Authorities of What Constitutes Abuse of Market Power”, Harvard Law School, Cambridge, September 30, 2005.

50. “Antitrust Developments in Europe 2004”, Kluwer Law International, The Hague, June 2005.

51. “European Antitrust Compliance”, Owens Corning Seminar, Brussels, May 24, 2005.

52. “The Regulation of Discriminatory Conduct Under the EC Treaty”, UTC Seminar, Berlin, May 9, 2005.

53. “EC Treaty Rules concerning the Overstickering or Reboxing of a Pharmaceutical’s Original Packaging”, Pharmaceutical Law Europe 2005, London, January 27, 2005.

54. “Droit européen de la concurrence et de la propriété intellectuelle”, Pierre Fabre Seminar, Sorèze, December 9-10, 2004.

55. “The Application of EC Competition Law to Distribution Arrangements: The Case of the Pharmaceutical Sector”, Harvard Law School, Cambridge, October 12, 2004.

56. “Licenses for New Media Rights under EC Law on Competition”, Entertainment and Sports Lawyer, Vol. 22, No. 1, Spring 2004.

57. “Antitrust Developments in Europe 2003”, Kluwer Law International, The Hague, June 2004.

58. “The Origins and Functioning of the European Community”, Estée Lauder Seminar, New York, May 18, 2004.

59. “Free Movement and Parallel Trade in the Pharmaceutical Sector”, The EU Pharmaceutical Law Forum, Brussels, May 13-14, 2004.

60. “The Legal Framework Applicable to Practices of Pharmaceutical Companies with Respect to Parallel Trade”, European Pharmaceutical Law 2004”, Brussels, January 22, 2004.

61. “Analysis of the Principles Applicable to the Review of Exclusive Broadcasting Licences Under EC Competition Law”, World Competition, 26(4), p. 589-608, 2003.

62. “Defining the Scope of the Duty of Dominant Firms to Deal with Existing Customers under Article 82 EC”, European Competition Law Review, Volume 24, Issue 12, December 2003.

63. “An Overview of Recent Abusive Practices in the EC ”, Harvard Law School, Cambridge, September 30, 2003.

64. “Antitrust Developments in Europe 2002”, Kluwer Law International, The Hague, June 2003.

65. “Trends & Priorities in U.S. Antitrust Enforcement: Are the Divergences with the EU Growing or Narrowing?”, CGSH Seminar, Brussels, June 12, 2003.

66. “Issues Arising Under Regulation 1/2003”, ExxonMobil seminar, Brussels, June 11, 2003.

67. “Current Law, Recent Trends and New Challenges”, The EU Pharmaceutical Law Forum, Brussels, May 12-13, 2003.

68. “Vertical Issues in Broadcasting Contracts under EC Competition Law”, Broadcasting Competition Law Conference, Brussels, January 14, 2003.

69. “Droit Communautaire de la Concurrence”, two-day seminar at the University of Montpellier, December 12-13, 2002.

70. “Free Movement of Goods and the Protection of Trademarks”, The Journal of World Intellectual Property, Vol. 5, No. 6, November 2002.

71. “The Extent of a Third-Party’s Right to Modify Original Packaging under EU Law”, IPL Newsletter, Vol. 21, Number 1, Fall 2002.

72. “The Interface of Intellectual Property Rights and Antitrust Laws under US/EU Law”, presentation for Merck & Co., Inc.’s OGC Seminar, New Jersey, October 24, 2002.

73. “Current Developments in EC & U.S. Antitrust Law”, Harvard Law School, Cambridge, October 10, 2002.

74. “The Reform of The European Competition Policy Concerning Vertical Restraints”, Antitrust Law Journal, Vol. 69, Issue 1, p. 147.

75. “Antitrust Developments in Europe 2001”, Kluwer Law International, The Hague, June 2002.

76. “Free Movement and Packaging”, The EU Pharmaceutical Forum, Brussels, May 23, 2002.

77. “Droit Communautaire de la Concurrence”, two-day seminar at the University of Montpellier, December 12-15, 2001.

78. “Goals and Problems of State Competition Policy in Regions of the Russian Federation”, International Conference for the 10th Anniversary of the Creation of the St. Petersburg Antimonopoly Committee, St. Petersburg, October 9-10, 2001.

79. “Free Movement of Goods and Trademarks”, Parallel Trade in Pharmaceuticals conference, Geneva, September 13, 2001.

80. “Free Movement, Repackaging, Re-Labelling Update”, The EU Pharmaceutical Law Forum, Rome, May 15-16, 2001.

81. "Sports Marketing and Management and the Law", London, November 1, 2000.

82. "Current Reforms in EC Competition Law", ISL Worldwide Legal Retreat, Lucerne, October 20, 2000.

83. "Preliminary Analysis of the Commission's Reform Concerning Vertical Restraints", Journal of World Competition 23(2); 5-26, 2000, p. 1.

84. "Overview of the EU Legal System", presentation for Philip Morris Seminar, Evian, April 13, 2000.

85. "Transactions Subject to EC Review & Notification of Mergers and Acquisitions in the United Kingdom", CGS&H Seminar on Antitrust Issues in Mergers and Acquisitions in the United States and Europe, New York, June 24, 1999.

86. "Pricing Issues under Article 82 (formerly Art. 86)", presentation for DuPont Seminar on European Antitrust Issues, Brussels, June 16, 1999.

87. "State Aid & Judicial Review in the Air Transport Sector", European Air Transport Services and Airports conference, Brussels, June 11, 1999.

88. "Problems Arising from State Aids in the Banking Sector", Competition Workshop on State Aid Control in the European Union -- Selected Problems, Florence, June 4-6, 1999.

89. "Current Issues Concerning Open Skies and Transatlantic Airline Alliances", Air Transport Association of America, Brussels, September 10, 1998.

90. "European Community Law", presentation for Merck & Co., Inc., New Jersey, October 23, 1997.

91. "Judicial Treatment of Competition Law in the European Union", Antimonopoly Law and its Enforcement in the Russian Federation, St. Petersburg, May 23, 1997.

92. "New EC Technology Transfer Regulation", Association of Corporate Patent Counsel, Hot Springs, Virginia, June 17-19, 1996.

93. "Factors Involved in Opening Second-Stage Proceedings", European Study Conferences' Fifth EU Mergers and Joint Ventures Symposium, Brussels, March 21-22, 1996.

94. "New EC Technology Transfer Regulation", PILLS Antitrust and Licensing, New York, March 15, 1996.

95. "Introduction to EC Competition Law", Slovenian Regional Workshop, Slovenia, November 3-7, 1995.

96. "Recent Developments in EC Air Transport Law and Policy, Panel Discussion on State Aids", European Air Law Association, London, November 3, 1995.

97. "Legal Principles Governing State Aid and the Commission's Review of State Aid", European Air Law Association: Seventh Annual Conference, London, November 3, 1995.

98. "Technology Licensing: The EC and US Rules Compared", The Law Society's Solicitors' European Group Annual Conference, Brussels, June 16-17, 1995.

99. "The Confines of the Special Responsibility of Dominant Undertakings not to Impair Genuine Undistorted Competition", World Competition, Law and Economics Review, May 1995, p. 5.

100. "Developments in Article 86", IBC's EC Competition Law Conference, Brussels, November 8-9, 1994.

101. "Competition in the European Telecommunications Sector: The Telecommunications Challenge for the 90s", The Irish Centre for Commercial Law Studies, Competition in the Public Sector, Dublin, November 30, 1993.

102. "The Right to Deal with Whom One Pleases under EEC Competition Law: A Small Contribution to a Necessary Debate", [1992] 6 ECLR 234.

103. "Le Contrôle des Opérations de Concentration entre Entreprises au Niveau Européen -- Une Première Analyse Pratique", Revue Trimestrielle de Droit Européen, 28(1), p. 51.

104. "El Control Europeo de las Operaciones de Concentracion de Empresas -- Un Primer Analisis Practico", Gaceta juridica de la C.E., 1992, D-16, p. 9.

105. "Il Controllo delle Concentrazioni a livello CEE -- Una prima Analisi Pratica delle Decisioni della Commissione", Giurisprudenza Commerciale, 1992, No. 2, p. 233.

106. "EC Electricity and Gas: Proposed Legislation", 1(2) Utility Law Report, (1992), 8.

107. "Abuse of a Dominant Position", The Irish Centre for Commercial Law Studies, Practising Competition Law, Dublin, April 16, 1992.

108. "The Concept of Abuse: Identification and Classification of Types of Abusive Conduct -- The Relationship between the Existence of Dominance and the Concept of Abuse in Light of Decided Cases", 11th Annual International Antitrust Law Conference, Cambridge, September 10, 1992.

109. "The EEC Merger Control Regulation: The Commission's Evolving Case Law", 28 CMLRev. (1991), p. 877.

110. "Ein Jahr EG-Fusionskontrolle -- eine Zwischenbilanz aus der Sicht des Praktikers", Wirtschaft und Wettbewerb, 1991, p. 872.

111. "Notifying EEC Mergers and Alliances: The Evolving Case Law under the EEC Merger Control Regulation", PLC, Vol. II, No. 6 (1991), p. 3.

112. "Public Procurement", 1(1) Utility Law Report, (1991), 14.

113. "European Control of Monopolistic Utilities: France v. Commission", Vol. 9, No. 3, Journal of Energy and Natural Resources Law, 212 (co-author: Antoine Winckler).

114. "Moosehead/Whitbread: Industrial Franchise and No-Challenge Clauses Relating to Licensed Trademarks under EEC Competition Law", [1990] 5 ECLR 226 & [1990] 9 EIPR 334.