Samuel R Beighton
Partner
Head of Competition, Foreign Investment & Trade
Co-lead of the Family Matters network
Article
11
The Digital Markets, Competition and Consumers Act (the "Act") received Royal Assent on 24 May 2024.
The Act strengthens the powers of the UK's Competition and Markets Authority (CMA) in relation to:
Key changes to the UK competition law enforcement regime are summarised within this update, with these amendments entering into force on 1 January 2025.
The Competition Act 1998 (CA98) established a general prohibition upon anti-competitive arrangements[1] that may affect trade within the UK, and are, or are intended to be, implemented in the UK (the "Chapter I Prohibition").
The Act has amended the Chapter I Prohibition so that this now applies to anti-competitive arrangements that:
This substantially widens the territorial scope of the Chapter I Prohibition, which is now capable of applying to anti-competitive arrangements outside of the UK where a sufficient UK nexus exists.
Notably, this amendment is limited to the Chapter I Prohibition, with the territorial scope of the prohibition upon abuse of dominance under the CA98[2] (the "Chapter II Prohibition") remaining limited to the UK.
If an overseas public authority has competition law enforcement functions that correspond with, or are similar to, the CMA's own competition law enforcement functions under CA98 (an "overseas regulator"), then the Act enables the CMA to provide investigative assistance in the UK to that overseas regulator, subject to certain conditions being satisfied.
Where the CMA provides investigative assistance to an overseas regulator, the general principle to be applied is that the CMA must use the powers it would normally exercise in relation to its own functions.
In addition, the relevant procedural safeguards that would apply when the CMA exercises its powers in relation to its own functions (e.g. the requirement for the CMA to obtain a warrant to enter and search domestic premises) would also apply where the CMA provides investigative assistance to an oversea regulator.
The Act will strengthen the CMA's information gathering powers when investigating suspected infringements of UK competition law, including in relation to:
With this in mind, businesses should ensure that their existing UK competition law investigation procedures and training are appropriately updated, in order to address the CMA's strengthened information gathering powers, and ensure that staff understand how to respond to these in the event of an investigation.
The Act provides that if a person "knows or suspects" that a UK competition law investigation is being, or is likely to be, carried out – or that the CMA is assisting, or is likely to assist, an overseas regulator (see above) - that person must not:
The CMA's updated guidance on its investigation procedures in CA98 [3] (the "CA98 Investigation Guidance") acknowledges it will be a question of fact as to whether a person "knows or suspects" that an investigation is being, or is likely to be, carried out.
In this context, the CA98 Investigation Guidance notes that a person:
In terms of document relevancy, the CA98 Investigation Guidance confirms that the CMA will regard documents as being relevant where these relate to "any matter relevant to the investigation", including:
The CA98 Investigation Guidance also notes that if a person knows or suspects that an investigation is being, or is likely to be, carried out they should:
Where a business knows or suspects that an investigation is being, or is likely to be, carried out it should ensure that relevant documents are not destroyed under the business’ document retention policy, and the CMA expects that routine document destruction would be suspended for documents that a person knows or suspects to be relevant. In this context, the CA98 Investigation Guidance expressly provides that:
"[a] document retention policy should provide for the preservation of documents relevant to a CA98 investigation. The CMA is unlikely to regard automatic destruction of relevant documents following a business’ document retention policy as a "reasonable excuse" for the purposes of any penalty that might be applicable for failing to comply with the duty to preserve documents relevant to an investigation".[6]
It would therefore be prudent for businesses to update their existing UK competition law investigation procedures and training, so as to ensure that as a minimum these address the additional compliance obligations addressed within the CA98 Investigation Guidance, including by revising document retention policies as may be required.
The Act also increases the levels of fines that the CMA can impose upon businesses for non-compliance with obligations arising in the context of an investigation,[7] including, for example where a person has without reasonable excuse:
The Act enables the CMA to impose upon a business: (i) a fixed fine of up to 1% of its annual group worldwide turnover; and/or (ii) a daily fine of up to 5% of its daily group worldwide turnover.
In relation to individuals, the CMA can impose: (i) a fixed fine of up to £30,000; and/or (ii) a daily fine of up to £15,000. For example, a fine may be imposed where an individual fails without reasonable excuse to answer questions during a Section 26A Interview (see above). Alternatively, depending upon the nature of the act or omission, an individual may face criminal prosecution for non-compliance (e.g. if an individual undertook any of the actions outlined above, this could result in criminal prosecution).
The Act strengthens the powers of the UK's Competition and Markets Authority (CMA) across several areas, including UK competition law enforcement.
In relation to UK competition law enforcement, key changes resulting from the Act include: (i) the extra-territorial application of the Chapter I Prohibition, which will be capable of applying to anti-competitive arrangements implemented outside of the UK; (ii) the strengthening of the CMA's powers of investigation, including in relation to domestic premises; (iii) the imposition of additional compliance obligations upon businesses and individuals, including in relation to securing and retaining documents that are relevant to a UK competition law investigation; and (iv) increases to the levels of the fines that the CMA will be able to impose upon businesses in respect of procedural non-compliance.
Business that have activities in the UK should ensure that their competition law investigation procedures and training are updated, in order to ensure that all relevant staff:
If you have any questions about how these changes may affect your business, please do contact Gowling WLG's EU, Trade & Competition team.
Footnotes
[1] Specifically, agreements between undertakings, decisions by associations of undertakings, and concerted practices (see, section 2(1), CA98).
[2] See, section 18, CA98.
[3] Investigation procedures in Competition Act 1998 cases: CMA8, 19 December 2024.
[4] See, paragraphs 5.10 and 4,11, CA98 Investigation Guidance.
[5] See, paragraph 5.13, CA98 Investigation Guidance.
[6] See, paragraph 5.13, CA98 Investigation Guidance.
[7] Including in circumstances in which the CMA is providing investigative assistance to an overseas regulator (see above).
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