This document is an excerpt from the EUR-Lex website
Document 62007CC0385
Opinion of Mr Advocate General Bot delivered on 31 March 2009. # Der Grüne Punkt - Duales System Deutschland GmbH v Commission of the European Communities. # Appeals - Competition - Article 82 EC - System for the collection and recovery of used packaging in Germany - ‘Der Grüne Punkt’ logo - Fee payable under a trade mark agreement - Abuse of dominant position - Exclusive right of the proprietor of a trade mark - Excessive duration of the proceedings before the Court of First Instance - Reasonable time - Principle of effective legal protection - Articles 58 and 61 of the Statute of the Court of Justice). # Case C-385/07 P.
Opinion of Mr Advocate General Bot delivered on 31 March 2009.
Der Grüne Punkt - Duales System Deutschland GmbH v Commission of the European Communities.
Appeals - Competition - Article 82 EC - System for the collection and recovery of used packaging in Germany - ‘Der Grüne Punkt’ logo - Fee payable under a trade mark agreement - Abuse of dominant position - Exclusive right of the proprietor of a trade mark - Excessive duration of the proceedings before the Court of First Instance - Reasonable time - Principle of effective legal protection - Articles 58 and 61 of the Statute of the Court of Justice).
Case C-385/07 P.
Opinion of Mr Advocate General Bot delivered on 31 March 2009.
Der Grüne Punkt - Duales System Deutschland GmbH v Commission of the European Communities.
Appeals - Competition - Article 82 EC - System for the collection and recovery of used packaging in Germany - ‘Der Grüne Punkt’ logo - Fee payable under a trade mark agreement - Abuse of dominant position - Exclusive right of the proprietor of a trade mark - Excessive duration of the proceedings before the Court of First Instance - Reasonable time - Principle of effective legal protection - Articles 58 and 61 of the Statute of the Court of Justice).
Case C-385/07 P.
European Court Reports 2009 I-06155
ECLI identifier: ECLI:EU:C:2009:210
Opinion of the Advocate-General
1. The present case has as its subject-matter the appeal lodged by Der Grüne Punkt – Duales System Deutschland GmbH (‘DSD’ or ‘the appellant’) against a judgment of the Court of First Instance of the European Communities of 24 May 2007. (2) That case concerned an abuse of a dominant position in the recovery of waste packaging.
2. Under a German ordinance, manufacturers and distributors of packaging are required to take back and recover the packaging which they place on the German market. (3) The appellant is an undertaking which provides a packaging collection, sorting and recovery service for those manufacturers and distributors of sales packaging. For that purpose, the manufacturers and distributors must place the Der Grüne Punkt logo on their packaging. In return, the manufacturers and distributors must pay DSD a fee which covers the costs of the collection, sorting and recovery of the packaging taken back by DSD and the associated administrative costs.
3. It was that system put in place by DSD that gave rise to Commission Decision 2001/463/EC of 20 April 2001 relating to a proceeding pursuant to Article 82 of the EC Treaty. (4)
4. The question at issue in the appeal is whether the appellant can rely on the Der Grüne Punkt logo to justify the fact that manufacturers and distributors must pay a fee for all the packaging on which the logo is placed even though part of the packaging is taken back not by the appellant’s system but by a competing system.
5. In addition, in the present appeal the Court of Justice is requested to adjudicate on the consequences of the Court of First Instance’s failure to determine a case within a reasonable time. The appellant is of the view that these proceedings, which lasted approximately five years and nine months, breach the principle in question.
6. In this Opinion, I shall set out, first of all, the reasons why I consider that it should be dismissed.
7. I shall then explain that, in the context of this dispute, in which the excessive duration of the proceedings had no consequence for the nature of the substantive decision delivered by the Court of First Instance, the appropriate penalty for failure to respect the right of every litigant to have his case determined within a reasonable time lies, in my view, not in annulment of the decision at issue but in recognition that the appellant is entitled to bring an action for damages under the second paragraph of Article 288 EC.
I – Legal framework
A – Community law
8. Article 82 EC is worded as follows:
‘Any abuse by one or more undertakings of a dominant position within the common market or in a substantial part of it shall be prohibited as incompatible with the common market in so far as it may affect trade between Member States.
Such abuse may, in particular, consist in:
(a) directly or indirectly imposing unfair purchase or selling prices or other unfair trading conditions;
…’
9. Where there is an infringement of the first paragraph or subparagraph (a) of the second paragraph of Article 82 EC, the Commission of the European Communities may, pursuant to Article 3(1) of Council Regulation No 17 of 6 February 1962, (5) ‘by decision require the undertakings or associations of undertakings concerned to bring such infringement to an end’.
B – The German rules: the Ordinance on the avoidance of packaging waste
10. On 12 June 1991, the Ordinance on the avoidance of packaging waste (Verordnung über die Vermeidung von Verpackungsabfällen) (6) was adopted; the revised version, which is applicable to the present proceedings, entered into force on 28 August 1998 (‘the Ordinance’ or ‘the Packaging Ordinance’). The Ordinance is intended to avoid and reduce the environmental impact of waste and to that end requires manufacturers and distributors to take back and recover used sales packaging.
11. Under Paragraph 3(1) of the Ordinance, sales packaging is packaging which is provided as a sales unit and is used by the final consumer. Sales packaging also includes packaging and non-returnable tableware and cutlery used by the distributive trades, restaurants and other service providers which enables or supports the handing-over of goods to final consumers.
12. The manufacturer is defined in Paragraph 3(7) of the Ordinance as someone who manufactures packaging, packaging material or products from which packaging is directly made, or who imports packaging into German territory. Paragraph 3(8) of the Ordinance provides that a distributor is someone who puts into circulation, regardless of the marketing stage, packaging, packaging material or products from which packaging is directly made, or packaged goods. Last, a final consumer is defined in Paragraph 3(10) of the Ordinance as someone who does not sell on the goods in the form in which they are delivered to him.
13. In order to comply with their obligation to take back and recover sales packaging, manufacturers and distributors are required, under Paragraph 6(1) and (2) of the Ordinance, to take back free of charge the packaging used by final consumers at or in the immediate vicinity of the point of sale and to recover it. This arrangement is called ‘the self-management solution’. Under this system, the distributor is required, pursuant to the third sentence of Paragraph 6(1) of the Ordinance, to draw the final consumer’s attention, by means of clearly visible and legible signs, to the fact that packaging may be returned.
14. According to the first sentence of Paragraph 6(3) of the Ordinance, manufacturers and distributors may also choose to participate in a system which guarantees the regular collection, throughout the distributor’s sales territory, of used sales packaging from the final consumer or in the vicinity of the final consumer in order for it to be recovered. This arrangement is called ‘the exemption system’. According to the second sentence of point 4(2) of Annex I to Paragraph 6 of the Ordinance, manufacturers and distributors must make it known that they are participating in an exemption system by marking packaging or by any other suitable means. They may make such participation known on the packaging or use other measures, such as informing customers at the point of sale or by means of a package leaflet, for example. Where manufacturers and distributors choose to participate in an exemption system, they are exempted from their obligation to take back and recover all packaging covered by that system.
15. Under the 11th sentence of Paragraph 6(3) of the Ordinance, exemption systems must be approved by the competent authorities of the Länder concerned. In order to be approved, those systems must, inter alia, cover the territory of at least one Land , make regular collections in the vicinity of consumers’ homes and have entered into agreements with the local bodies responsible for waste management. Any undertaking which satisfies those conditions in a Land may organise an authorised exemption system in that Land .
16. In order to satisfy in full their obligation to take back and recover used sales packaging, manufacturers and distributors must, whatever system they choose, comply with the recovery rates defined in Annex I to Paragraph 6 of the Ordinance, which vary according to the packaging material. Proof of compliance with those rates is provided, in the case of the self-management solution, in the form of certificates issued by independent experts and, in the case of exemption systems, in the form of verifiable data on the quantities of packaging collected and recovered.
17. In addition, the ninth sentence of Paragraph 6(1) of the Ordinance states that, if a distributor does not comply with its take-back and recovery obligation by means of a self-management solution, it must do so by means of an exemption system.
C – DSD’s exemption system, the Trade Mark Agreement and the Service Agreement
18. DSD is a company which since 1991 has operated an exemption system throughout the whole of the German territory (‘the DSD system’). For that purpose, it was approved in 1993 by the competent authorities of all the Länder .
19. The relationship between DSD and the manufacturers and distributors which participate in its system is governed by a standard agreement which covers the use of the Der Grüne Punkt logo (‘the Trade Mark Agreement’). Under Article 1(1) of that agreement, the participating undertaking is authorised, in return for a fee, to affix the Der Grüne Punkt logo to sales packaging included in the DSD system.
20. DSD, on behalf of the undertakings which participate in its system, assumes responsibility for the collection, sorting and recovery of the used sales packaging which they decide to include in the DSD system, thus relieving them of their obligation to take back and recover that packaging. To that end, the participating undertakings are required to notify the types of packaging which they wish to dispose of through the DSD system and to affix the Der Grüne Punkt logo on each item of packaging belonging to those types and destined for domestic consumption in Germany.
21. Manufacturers and distributors which use the Der Grüne Punkt logo pay DSD a fee for all the packaging on which they affix that logo and which they place in circulation on German territory. The amount of that fee is calculated on the basis of two factors, namely (i) the weight of the packaging and the type of material used and (ii) the volume or surface area of the packaging. The fees are intended solely to cover the costs of collection, sorting and recovery and the associated administrative costs.
22. The Der Grüne Punkt logo was registered as a trade mark by the German Patents and Trade Marks Office in 1991, DSD being the proprietor of that trade mark. For use outside Germany, in particular in the other Member States of the European Community, DSD transferred its rights of use, in the form of a general licence, to ProEurope (Packaging Recovery Organisation Europe SPRL), whose registered office is in Brussels (Belgium).
23. In the context of the DSD system, packaging bearing the Der Grüne Punkt logo can be collected either in special bins, and divided up into metal, plastic and composite materials, or in containers placed close to private households (in particular for paper and glass), while residual waste must be placed in bins belonging to the public waste disposal system.
24. DSD does not collect or recover the used packaging itself, but subcontracts that service to local undertakings. The relationship between DSD and those undertakings is governed by a standard agreement (‘the Service Agreement’). DSD has signed a Service Agreement with more than 500 undertakings.
25. The Service Agreement formed the subject-matter of Commission Decision 2001/837/EC of 17 September 2001 relating to a proceeding under Article 81 [EC] and Article 53 of the EEA Agreement. (7) By judgment of the Court of First Instance of 24 May 2007 in Case T‑289/01 Duales System Deutschland v Commission [2007] ECR II‑1691, DSD’s action for annulment of that decision was dismissed.
II – Facts
26. The facts, as described in the judgment under appeal, may be summarised as follows.
27. On 2 September 1992, DSD notified the Commission of its statutes and also of a number of agreements, including the Trade Mark Agreement and the Service Agreement, with a view to obtaining negative clearance or, failing that, a decision granting exemption.
28. Following the publication in the Official Journal of the European Communities on 27 March 1997 (OJ 1997 C 100, p. 4) of the notice pursuant to Article 19(3) of Regulation No 17, in which the Commission announced that it intended to take a favourable view of the notified agreements, the Commission received observations from interested third parties concerning, in particular, various aspects of the application of the Trade Mark Agreement. In particular, those interested third parties complained of the distortion of competition which might arise if an undertaking were charged twice as a result of participating in the DSD system and the system of another service provider.
29. On 15 October 1998, DSD submitted to the Commission a series of commitments aimed at preventing manufacturers and distributors of packaging which participated in the DSD system from having to pay twice where they participated in a different exemption system operating at regional level.
30. That commitment was as follows: (8)
‘On condition that regional alternative systems to [the DSD system] are created which are formally approved by the highest competent regional authority under Paragraph 6(3) of the Packaging Ordinance, [DSD] is prepared to apply the Trade Mark Agreement in such a way that licensees are able to participate in such a system as regards some of their packaging. [DSD] will not charge a licence fee under the Trade Mark Agreement for packaging that can be shown to be covered by such an alternative system. A further condition for release from the licence fee obligation in respect of packaging bearing the [Der Grüne Punkt] logo is that protection of the [Der Grüne Punkt] trade mark should not be impaired.’
31. On 3 November 1999, the Commi ssion expressed the view that the series of commitments given by DSD on 15 October 1998 should also include self-management solutions used for the disposal of some of the packaging and not be restricted solely to exemption systems.
32. On 15 November 1999, certain manufacturers of packaging addressed a complaint to the Commission. They claimed that the Trade Mark Agreement prevented the setting-up of a self-management solution for taking back packaging. They considered that the use of the logo, where the waste disposal service has not actually been provided by DSD, constituted an abuse of a dominant position on the part of DSD.
33. By letter of 13 March 2000, DSD submitted two further commitments to the Commission. The first concerned the case where manufacturers and distributors of packaging opt for a self-management solution for part of their packaging and participate in the DSD system for the remainder. In that case, DSD undertook not to charge a fee under the Trade Mark Agreement for the part of the packaging taken back by the self-management solution, on the condition that it was provided with evidence in respect of that second type of collection. That evidence should be furnished in accordance with the requirements laid down in point 2 of Annex I to Paragraph 6 of the Packaging Ordinance. In its letter of 13 March 2000, DSD also stated that it saw no reason to amend the series of commitments given on 15 October 1998. (9)
34. On 3 August 2000, the Commission sent a statement of objections to DSD, to which DSD responded by letter of 9 October 2000.
35. On 20 April 2001, the Commission adopted the decision at issue.
III – The decision at issue
36. The Commission takes as the starting point for its reasoning, first, the possibility that a manufacturer or distributor of packaging may combine different systems in order to satisfy its obligations under the Ordinance (10) and, second, the fact, not disputed by DSD, that DSD is in a dominant position. At the time of the adoption of the decision at issue, DSD was the only undertaking to offer an exemption system throughout the whole of the German territory and the DSD system collected approximately 70% of sales packaging in Germany.
37. The Commission then divides its legal assessment into two parts, the first being devoted to the analysis of DSD’s conduct by reference to Article 82 EC and the second to the examination of the measures which will allow the Commission, on the basis of Article 3(1) of Regulation No 17, to bring the abuse found to an end.
38. According to the decision at issue, the abuse of a dominant position is characterised by the fact that the fee charged by DSD to manufacturers and distributors of packaging which participate in the DSD system is not determined by the actual use of that system but calculated on the basis of the number of packages bearing the Der Grüne Punkt trade mark which those manufacturers and distributors market in Germany, whether or not those packages are recovered by DSD; and under the Trade Mark Agreement the manufacturers and distributors which participate in the DSD system must place that trade mark on each item of the packaging notified to DSD and intended for consumption in Germany.
39. The Commission thus points out that in reality DSD ties the fee solely to the placing of the Der Grüne Punkt trade mark on the packaging, irrespective of whether or not the packaging thus marked is actually taken back by the DSD system, whereas it is stipulated in the Trade Mark Agreement that the fee serves solely to cover the costs linked with the collection, sorting and recovery of the used packaging, and the associated administrative costs.
40. The Commission illustrates its position by reference to three groups of cases, described in the decision at issue.
41. The first group of cases is where a manufacturer or distributor of packaging decides to participate in the DSD system and another exemption system. Thus, for example, an undertaking might wish to use, on the territory of one Land only, a competitor of DSD, whose prices are more advantageous, and to keep DSD for the rest of the federal territory, where only DSD operates. In that hypothesis, the contract with DSD none the less requires the undertaking to pay a fee to DSD, since the packaging placed on the market in the Land in question would bear the Der Grüne Punkt trade mark.
42. The second group of cases concerns the case where an undertaking decides to combine a self-management solution with the DSD system, as, for example, in the context of a fast-food chain. In that type of restaurant, in most cases the consumer is given the choice of consuming the product on the premises or taking away the product and therefore the packaging. In that case, it is quite understandable that the distributor, in the context of a self-management solution, should take back the used packaging which the consumer will have disposed of on the premises, at the point of sale or in the immediate vicinity (for example, in special bins placed outside). For the packaging taken away by the consumer, which will therefore be thrown away at some distance from the point of sale, the distributor makes use of the DSD system.
43. In the third group of cases, a manufacturer or distributor of packaging places that packaging on the German market, but also on the market of the other Member States. For the packaging distributed on the territory of the other Member States, the manufacturer or distributor participates in an exemption system which uses the Der Grüne Punkt trade mark. That may be the case, for example, for packaging placed on the Luxembourg market which, in accordance with the intention of the undertaking placing that packaging on the market, is taken back by the Valorlux system. For various reasons, however, that same undertaking does not wish to participate in the DSD system for the taking-back and recovery of the packaging placed on the German market. It may be imagined that that undertaking produces plastic bottles which it distributes on Luxembourg territory and in one Land on German territory. In Luxembourg it participates in the Valorlux system and in the German Land it sets up, for example, a self-management take-back and recovery solution.
44. In those three groups of cases, DSD’s conduct is, according to the Commission, clearly abusive, in so far as it seeks to impose unfair prices on participating undertakings and to prevent competitors from entering the relevant German market.
45. In effect, in each of the cases just described, the manufacturer or distributor of packaging is faced with the same problem, namely that for the same type of packaging placed on the German market it is required to pay two fees, even though it participates in the DSD system only on the territory of another Member State or for only part of its packaging on the German market. The manufacturer or distributor is, in effect, required to place the Der Grüne Punkt trade mark on all the packaging and must therefore pay the fee for each occasion when the trade mark is placed on a package.
46. The selective marking envisaged, but rejected by the Commission in such a hypothesis, would entail marking with the Der Grüne Punkt trade mark only the packaging taken back by the DSD system and would require the manufacturer or distributor to set up two different production lines for the same packaging, one of which would be reserved for packaging marked with the Der Grüne Punkt trade mark. That, according to the Commission, would result in a significant additional cost for the manufacturer or distributor of that packaging.
47. Pursuing its analysis, the Commission considers that placing the trade mark on all packaging, and then concealing it on packaging intended for local supermarkets or large self-service shops using self-management solutions or a competing exemption system, in order to distinguish it from the packaging taken back by the DSD system, would entail an additional cost for the manufacturer or distributor.
48. Likewise, according to the Commission, since consumer behaviour is not predictable, as a consumer may decide to deposit the packaging at the point of sale or to place it in a container, the path taken by packaging cannot be determined in advance. A plastic bottle bearing the Der Grüne Punkt trade mark may thus end up in a container not belonging to DSD. The manufacturer or distributor would not have the logistical and physical means to trace the path taken by an item of waste and to ensure that it is put in the correct place.
49. The Commission concludes that the fact that the fee is linked to the placing of the Der Grüne Punkt trade mark on the packaging obliges the undertakings subject to the DSD system for a part of their packaging either to have separate production lines and distribution circuits, entailing an additional cost, or to pay a fee for a service which DSD does not supply. DSD thus imposes unfair trading conditions.
50. Last, according to the Commission, the very nature of the mechanism of the system established by DSD will, owing to the additional cost which would automatically result for them, inevitably deter undertakings subject to the DSD system from making use of competing undertakings. That therefore constitutes a barrier to entry to the relevant market by competing undertakings. If the undertakings in question decide to make use of DSD and another waste packaging disposal system, they would have to pay, for the part of the packaging entrusted to DSD’s competitor, two fees, namely DSD’s fee for placing the trade mark on their packaging and the competitor’s fee for actually collecting, sorting and recovering the packaging.
51. In the light of those factors, the Commission concludes that DSD abused its dominant position within the meaning of Article 82 EC, both towards its customers and towards its competitors.
52. The Commission proceeds to indicate at recitals 136 to 153 to the decision at issue that the finding of abuse is not affected by the need to preserve the distinctive character of the Der Grüne Punkt trade mark. It states at recital 145 that the essential function of the trade mark is fulfilled when it signals to the consumer that he has the option of having the packaging collected by DSD.
53. Following that analysis, the Commission adopted the decision at issue, in the following terms:
‘ Article 1
The conduct of [DSD], in requiring … payment of a licence fee for the total quantity of sales packaging carrying the [‘Der Grüne Punkt’] trade mark and put into circulation in Germany is incompatible with the common market … where undertakings subject to the obligations arising out of the Packaging Ordinance:
(a) either use DSD’s exemption service as referred to in Article 2 of the Trade Mark Agreement only for partial quantities or, instead of using the said service, put into circulation in Germany uniformly designed packaging which is also in circulation in another member country of the European Economic Area and participate in a take-back system using the [‘Der Grüne Punkt’] trade mark, and
(b) prove that, in respect of the quantity or partial quantity for which they do not use the exemption service, they fulfil their obligations under the Packaging Ordinance through competing exemption systems or through self-management solutions.
…’
54. After finding the existence of an abuse, the decision at issue determines, in application of Article 3(1) of Regulation No 17, the way in which DSD must bring that infringement to an end. The main measure is defined in Article 3 of that decision:
‘DSD shall undertake vis-à-vis all parties to the Trade Mark Agreement not to charge any licence fee for such partial quantities of sales packaging carrying the [‘Der Grüne Punkt’] trade mark as are put into circulation in Germany for which the exemption service referred to in Article 2 of the Trade Mark Agreement is not used and for which the Packaging Ordinance obligations have demonstrably been fulfilled in another way. …’
IV – The action before the Court of First Instance and the judgment under appeal
55. By application lodged at the Registry of the Court of First Instance on 5 July 2001, DSD brought an action for annulment of the decision at issue.
56. DSD also submitted an application for suspension of operation of the decision at issue. By order of 15 November 2001 in Case T‑151/01 R Duales System Deutschland v Commission [2001] ECR II‑3295, the President of the Court of First Instance dismissed that application.
57. By order of 5 November 2001, the Court of First Instance granted Vfw AG (‘Vfw’), Landbell AG für Rückhol-Systeme (‘Landbell’) and BellandVision GmbH (‘BellandVision’) leave to intervene in the proceedings in support of the form of order sought by the Commission.
58. The written procedure was closed on 9 September 2002.
59. On 19 June 2006, the Court of First Instance decided to open the oral procedure and, in the context of the measures of organisation of procedure, sent the parties a number of questions. The parties were heard at the hearing held on 11 and 12 July 2006.
60. By the judgment under appeal, the Court of First Instance dismissed DSD’s action.
61. DSD relied, in essence, on three pleas in law, alleging, first, infringement of Article 82 EC; second, breach of Article 3(1) of Regulation No 17 and of the principle of proportionality; and, third, infringement of Article 86(2) EC.
62. The Court of First Instance rejected the first plea as unfounded.
63. By its first plea, DSD claimed, in substance, that, contrary to the impression given by the decision at issue, a manufacturer or distributor of packaging was not required to obtain a compulsory licence for use of the Der Grüne Punkt trade mark in order to be able to participate in a competing system. Thus, DSD maintained that the selective labelling of packaging, allowing only packaging bearing the Der Grüne Punkt trade mark to be placed in the facilities belonging to the DSD system, was possible.
64. DSD also maintained that the provisions of the Trade Mark Agreement in dispute were necessary to ensure the attainment of the objectives of the Ordinance, to preserve the different functions of the mark Der Grüne Punkt and to enable the DSD system to function properly.
65. After stating at paragraph 139 of the judgment under appeal that it was possible for a manufacturer or distributor of packaging to use a self-management solution and an exemption system in order to comply with the recovery rates, the Court of First Instance, at paragraphs 142 to 163 of the judgment under appeal, set out the reasons why DSD was abusing its dominant position. The Court thus held that the solution of selective labelling was not imposed by the Ordinance and did not make it possible to put an end to abuse found in the decision at issue. It then stated, at paragraph 150 of the judgment under appeal, that the exclusivity claimed by DSD was not imposed by the Ordinance in the case of use of mixed systems, and made clear that the Der Grüne Punkt logo did not have the effect which DSD claimed it to have.
66. The Court of First Instance further held, at paragraph 156 of the judgment under appeal, that ‘the fact that, in the case of shared use of two exemption systems, the Der Grüne Punkt logo and the indication by a “suitable means” of another exemption system … feature on the same packaging, and the fact that, in the case of shared use of the DSD system and a self-management solution, the Der Grüne Punkt logo and an indication that it is possible to return the packaging to the shop appear on the same packaging, does not adversely affect the essential function of DSD’s mark’.
67. The Court of First Instance concluded, at paragraph 164 of the judgment under appeal, that ‘neither the Packaging Ordinance, nor trade mark law [n]or the specific needs of the functioning of the DSD system authorise [DSD] to require undertakings which use its system to pay a fee for all packaging carrying the Der Grüne Punkt logo and put into circulation in Germany, where those undertakings show that they do not use the DSD system for some [or all] of that packaging’.
68. By its second plea, DSD submitted that the measures taken by the Commission in the decision at issue did not satisfy the requirements set out in Article 3 of Regulation No 17.
69. DSD contended, in particular, that the selective marking of packaging depending on the system used was more appropriate than the obligation imposed in the decision at issue. It also submitted that Articles 3 and 4(2) of the decision at issue were disproportionate, because they obliged DSD to grant third parties a licence to use the Der Grüne Punkt trade mark. In addition, it claimed that the decision at issue required it to not charge a fee for merely using that logo where it was proven that the obligations resulting from the Ordinance were complied with in some other way.
70. The Court of First Instance rejected that plea. It held, at paragraph 173 of the judgment under appeal, that ‘the fact that it may theoretically be possible to affix the logo to packaging selectively cannot entail the annulment of the … measures [taken in the context of the decision at issue], since that solution is more expensive and difficult to implement for manufacturers and distributors of packaging than the measures laid down in Articles 3 and 5 of [that] decision, which seek only to limit the remuneration for the service offered by DSD to the service actually provided by its system’.
71. The Court of First Instance also stated, at paragraph 181 of the judgment under appeal, that the obligations contained in the decision at issue did not seek to force DSD to grant a licence to use the mark Der Grüne Punkt without any restriction in time, but merely to require it to not charge a fee on the total amount of packaging bearing the Der Grüne Punkt logo where it is shown that all or only some of that packaging has been taken back or recovered through another system.
72. In response to DSD’s argument that it could receive an adequate fee for the mere use of the mark, the Court of First Instance stated, at paragraph 196 of the judgment under appeal, that the decision at issue must be interpreted as not precluding the possibility for DSD to levy an adequate fee for merely using the mark where it is shown that the packaging bearing the Der Grüne Punkt logo has been taken back and recovered by another system.
73. By its third plea, DSD claimed that an infringement of Article 82 EC was ruled out because it was entrusted with the operation of services of general economic interest within the meaning of Article 86(2) EC, namely waste management for environmental purposes.
74. The Court of First Instance stated, at paragraph 208 of the judgment under appeal, that even supposing that DSD was entrusted with such a service, the fact remained that the risk of that task being called into question as a result of the decision at issue had not been shown. The Court further stated, at paragraph 211 of the judgment under appeal, that, since DSD had not relied on Article 86(2) EC in the administrative proceedings, the Commission could not be accused of not having given reasons in that regard in its decision.
75. Consequently, the Court concluded, at paragraph 213 of the judgment under appeal, that the action must be dismissed in its entirety.
V – The procedure before the Court of Justice and the forms of order sought by the parties
76. Pursuant to Article 56 of the Statute of the Court of Justice, DSD, by application lodged at the Court Registry on 8 August 2007, brought an appeal against the judgment of the Court of First Instance.
77. By application lodged at the Court Registry on 16 November 2007, Interseroh Dienstleistungs GmbH (‘Interseroh’), which since 2006 has operated an exemption system throughout the whole of the German territory, sought leave to intervene in support of the form of order sought by the Commission. By order of 21 February 2008, the President of the Court granted leave to intervene.
78. DSD claims that the Court should:
– set aside the judgment under appeal;
– annul the decision at issue;
– in the alternative, refer the case back to the Court of First Instance so that it can deliver a judgment consistent with the judgment of the Court of Justice; and
– in any event, order the Commission to pay the costs.
79. The Commission, Vfw, Landbell, BellandVision and Interseroh contend that the Court should:
– dismiss the appeal; and
– order DSD to pay the costs.
VI – The pleas in law and the legal analysis
80. It is now appropriate to analyse the pleas in law in the light of those observations.
81. The appellant puts forward eight pleas in law in support of its appeal.
82. By its first plea, the appellant criticises the Court of First Instance for having breached the obligation to state reasons by making contradictory findings concerning the alleged abuse.
83. By its second plea, DSD contends that the Court of First Instance misinterpreted the Trade Mark Agreement by finding that, under that agreement, DSD grants a licence to use the Der Grüne Punkt trade mark for packaging taken back by competing systems.
84. DSD maintains, by its third plea, that in finding that the Der Grüne Punkt trade mark cannot benefit from the exclusivity claimed for it the Court of First Instance breached its obligation to state reasons and distorted the nature of the Packaging Ordinance.
85. By its fourth plea, the appellant claims that there has been an infringement of Community trade mark law.
86. By its fifth plea, DSD claims that the Court of First Instance infringed Article 82 EC, first by considering, without stating sufficient reasons and contrary to the evidence in the file, that DSD abused its dominant position by granting licences to use the Der Grüne Punkt trade mark for packaging not taken back by its system and, second, by not complying with the necessary conditions of the grant of a compulsory licence.
87. By its sixth plea, the appellant claims that the Court of First Instance breached Article 3 of Regulation No 17 and the principle of proportionality by requiring it to grant a licence for undertakings whose packaging is not taken back by its system and by depriving it of the right to place an explanatory note on packaging bearing the Der Grüne Punkt trade mark which is not taken back by the DSD system.
88. DSD asserts, by its seventh plea, that there has been a procedural defect in that the Court of First Instance substituted its own reasoning for that of the Commission.
89. Last, by its eighth plea, the appellant contends that the Court of First Instance breached its right to have its case determined within a reasonable time.
A – First plea, alleging breach of the obligation to state reasons, owing to contradictory grounds
90. By this first plea, the appellant criticises the Court of First Instance for having made contradictory findings concerning the alleged abuse of a dominant position and for having thus breached its obligation to state reasons
1. Arguments of the parties
91. In the appellant’s submission, the contradiction lies in the fact that it follows, on the one hand, from the analysis carried out by the Court of First Instance and, in particular, from paragraphs 48, 50, 58, 60, 119, 163 and 164 of the judgment under appeal that DSD requires the undertakings participating in its waste disposal system to pay a fee for sales packaging not taken back by that system and that, on the other hand, the Court of First Instance found, at paragraph 194 of the judgment under appeal, that ‘it cannot be excluded that the mark Der Grüne Punkt affixed to the packaging at issue may have economic value as such’ and that ‘even if [the] packaging is not actually brought to the DSD system and it is shown that its equivalent in material has been collected or recovered by a competitor system, it is none the less the case that the mark leaves it open to the consumer to dispose of that packaging through the DSD system’. Thus, the Court of First Instance continued, ‘[s]uch a possibility offered to the consumer for all the packaging put into circulation with the Der Grüne Punkt logo … is likely to have a price which … should be able to be paid to DSD in consideration for the service offered in the present case, namely the making available of its system’.
92. The Commission contends that this plea is unfounded. It observes that the fee is intended to cover the costs of collection, sorting and recovery, and also the administration costs. On the other hand, the fee does not represent consideration for the use of the trade mark. The decision at issue and the judgment under appeal are not therefore concerned with the question of a fee for using the trade mark. The Court of First Instance logically drew a distinction, at paragraphs 194 to 196 of the judgment under appeal, between the abuse committed by DSD and the possibility for it to charge an appropriate fee solely for the use of the trade mark.
93. Vfw, Landbell and BellandVision submit, like the Commission, that there is no contradiction. Paragraph 194 of the judgment under appeal has no connection with the Court of First Instance’s findings concerning the abuse. It is solely concerned with the question whether the mere affixing of the Der Grüne Punkt trade mark to the packaging may have a price, even where DSD provides no disposal service.
2. Assessment
94. In the context of the first plea relating to the infringement of Article 82 EC, the Court of First Instance, at paragraphs 86 to 163 of the judgment under appeal, examined whether DSD was abusing its dominant position on the relevant German market. It concluded, at paragraphs 164 and 165 of that judgment, that ‘neither the Packaging Ordinance, nor trade mark law [n]or the specific needs of the functioning of the DSD system authorise [DSD] to require undertakings which use its system to pay a fee for all packaging carrying the Der Grüne Punkt logo and put into circulation in Germany, where those undertakings show that they do not use the DSD system for some [or all] of that packaging’. The Court therefore rejected the first plea.
95. It follows from paragraph 191 of the judgment under appeal that the Court of First Instance adjudicated, in the context of the second plea alleging breach of Article 3 of Regulation No 17 and breach of the principle of proportionality, on DSD’s argument that Articles 3 and 4 of the decision at issue precluded the charging of a fee for merely using the trade mark. The Court explained, at paragraphs 194 to 196 of that judgment, the reasons why DSD was able to charge an appropriate fee for merely using the mark where it is shown that the packaging bearing the Der Grüne Punkt logo has been taken back and recovered by another system.
96. The Court thus found at paragraphs 194 to 196 of the judgment under appeal that the Der Grüne Punkt logo could have an economic value and that merely placing that logo on packaging ‘[was] likely to have a price’.
97. To my mind, the Court of First Instance did not make contradictory findings. It drew a distinction between a fee which covers only the costs associated with the actual use of the system, the only fee at issue in the present case, and an appropriate fee for merely using the Der Grüne Punkt logo, which, being different in nature, is merely a possibility for negotiation in a completely different sphere and extraneous to the matter before the Court of First Instance.
98. Accordingly, in the light of the foregoing elements, I am of the view that the first plea must be rejected as unfounded.
B – Second plea, alleging misinterpretation of the Trade Mark Agreement
99. By this second plea, DSD takes issue with the Court of First Instance for having misinterpreted the Trade Mark Agreement.
1. Arguments of the parties
100. In support of this plea, the appellant puts forward a number of arguments.
101. First, in DSD’s submission, the Court of First Instance found that, under the Trade Mark Agreement, DSD grants a separate licence to use the Der Grüne Punkt logo, that is to say, a licence to place the mark on the sales packaging for which the DSD system is not used. The Court of First Instance therefore made an error of law by misinterpreting the Trade Mark Agreement.
102. The appellant criticises the Court of First Instance for having disregarded the arguments whereby the appellant showed that it does not grant a separate licence and that the Trade Mark Agreement merely grants the right to use the logo to participating undertakings so that DSD will assume the take-back and recovery obligations arising under the Packaging Ordinance. Consequently, DSD maintains that if the Trade Mark Agreement merely grants a right to place the logo on the packaging, thus allowing that packaging to be covered by its disposal system, there would be no disparity between the service which it provides and the fee. Any abuse is therefore precluded.
103. Second, DSD contends that the Court of First Instance’s interpretation of the Trade Mark Agreement is contrary to the evidence in the file. It follows from the correspondence between DSD and the Commission during the administrative procedure that DSD did not grant a separate licence, but that it refused only to accept that packaging intended for competitor systems might carry the Der Grüne Punkt logo.
104. Third, DSD criticises the Court of First Instance for having distorted the evidence on which it relied and on which it found that DSD offered a separate licence. In particular, the Court of First Instance erred in law in finding in the judgment of the Oberlandesgericht Düsseldorf (Higher Regional Court, Düsseldorf) of 11 August 1998 in Hetzel and in the judgment of the Bundesgerichtshof (Federal Court of Justice, Germany) of 15 March 2001 in Bäko , in the complaints submitted to it by the Commission, and also in the context of the argument initially defended by DSD, that DSD offered a separate licence.
105. The appellant refers, in fact, to paragraph 163 of the judgment under appeal, where the Court of First Instance held that ‘the specific needs of the functioning of the DSD system cannot justify [DSD’s] conduct, described in [the Hetzel and Bäko judgments], cited by the Commission …, the various complaints [submitted to] the Commission … and DSD’s initial submission in its application …, whereby it requires payment of a fee for all packaging carrying the Der Grüne Punkt logo and put into circulation in Germany, even where it is proved that some of that packaging has been taken back and recovered by another exemption system or a self-management solution’.
106. The Commission recalls that, in order to establish the abuse, it relied solely on the fee arrangement defined in the Trade Mark Agreement. It explains that the disproportion between the fee required and the service actually carried out by DSD relates to the use of the logo only in so far as DSD makes use of the Der Grüne Punkt logo to bring economic pressure to bear on the undertakings participating in its system.
107. Vfw, Landbell and BellandVision submit that this plea is inadmissible, in so far as DSD can base its appeal only on breach of legal provisions by the Court of First Instance and not on what the appellant alleges is an incorrect appraisal of the facts.
2. Assessment
108. As I understand it, the appellant takes issue with the Court of First Instance for having concluded from its assessment of the documents in the file and of the evidence that DSD grants a licence to use the Der Grüne Punkt logo to the participating undertakings for packaging which is not taken back or recovered by its system. In the appellant’s submission, the Court of First Instance ought to have interpreted the Trade Mark Agreement as an agreement linking the fee solely with the service provided.
109. In my view, the appellant is mistaken as to the findings of the Court of First Instance.
110. After setting out the arguments of the parties, the Court of First Instance stated, by way of preliminary observation, at paragraph 141 of the judgment under appeal, that ‘only the provisions of the Trade Mark Agreement concerning the fee are regarded as abusive in the … decision [at issue] (namely Article 4(1) and Article 5(1) of the agreement). The Court went on to state that ‘[t]hus, the … decision [at issue] does not criticise the fact that Article 3(1) of the agreement requires the manufacturer or distributor wishing to use the DSD system to affix the Der Grüne Punkt logo to each piece of notified packaging which is intended for domestic consumption’.
111. In the section headed ‘Law’, the Court of First Instance stated, at paragraph 17 of the judgment under appeal, that the amount of the fee paid by the undertakings participating in the DSD system serves only, pursuant to Article 4(2) and (3) of the Trade Mark Agreement, to cover the costs incurred in collecting, sorting and recovering packaging and the associated administrative costs.
112. I understand from the foregoing that the Court of First Instance clearly identified, under that agreement, DSD’s obligations and also the consideration to be paid by the manufacturer or distributor, which takes the form of a fee. The criticism of DSD relates to the imbalance between that fee required of the participating undertakings and the service actually provided, since even where certain packaging is taken back by a competitor system, DSD, under the Trade Mark Agreement, charges a fee for that packaging, a fee which, it will be recalled, serves solely to cover the costs of collecting, sorting and recovering the packaging, together with the administrative costs.
113. Accordingly, the Court of First Ins tance did not, to my mind, interpret the Trade Mark Agreement as having the effect of granting a licence to use the Der Grüne Punkt logo to the participating undertakings for the packaging not taken back or recovered by the DSD system.
114. As the Commission has asserted, the Der Grüne Punkt logo has no relationship with the Trade Mark Agreement save in so far as that logo played an identifying role, as, indeed, the appellant itself maintained before the Court of First Instance. At paragraph 124 of the judgment under appeal, the Court referred to DSD’s arguments that ‘[t]he mark Der Grüne Punkt thus makes it possible, at the same time, to indicate the packaging which is to be transferred to DSD … and to inform the consumer as to what he is to do with it’.
115. Accordingly, I consider that the Court of First Instance correctly proceeded from the following premiss. The purpose of the Trade Mark Agreement is to allow participating undertakings to be relieved of their obligation to take back and recover packaging. By way of consideration for that service, those undertakings must pay a fee to DSD for all notified packaging, whether or not that packaging is actually taken back by the DSD system, as the trade mark serves to identify the notified packaging.
116. It therefore appears to me that the second plea must also be rejected as unfounded.
C – Third plea, alleging an insufficient statement of reasons and misinterpretation of the Packaging Ordinance owing to the fact that it is impossible to claim exclusivity of the Der Grüne Punkt trade mark
117. By its third plea, the appellant takes issue with the Court of First Instance for not have stated sufficient reasons for its finding that the Der Grüne Punkt trade mark could not benefit from the exclusivity claimed and for having, by that finding, misrepresented the Trade Mark Agreement and infringed trade mark law.
118. In support of this plea, the appellant puts forward a number of arguments.
119. By its first argument, the appellant maintains that, in finding that DSD could not claim exclusivity for the Der Grüne Punkt trade mark, the Court of First Instance relied solely on the answers to the questions which it put to the parties at the hearing and, accordingly, did not provide sufficient reasons for that finding.
120. By its second argument, the appellant submits that the Court of First Instance’s finding that the manufacturer or distributor of packaging transfers a quantity of material to DSD is contrary to the provisions of the Trade Mark Agreement, to the provisions of the Packaging Ordinance and to the requirement arising under trade mark law that packaging covered by the DSD system must be identifiable.
121. By its third, fourth and fifth arguments, DSD takes issue with the Court of First Instance for having misinterpreted the Packaging Ordinance in finding, first, that packaging can be covered by the DSD system and at the same time by another exemption system; second, that a distributor which has participated in an exemption system may subsequently fulfil its take-back and recovery obligations through a self-management solution; and, third, that a distributor which fulfils such obligations through a self-management solution may subsequently participate in an exemption system.
122. By its sixth argument, DSD contends that the Court of First Instance’s finding that packaging which is not disposed of by the DSD system may bear the Der Grüne Punkt trade mark deprives that trade mark of its distinctiveness and is manifestly contrary to the principle of transparency set out in the Packaging Ordinance.
123. Last, by its seventh argument, the appellant maintains that the Court of First Instance’s refusal to recognise the exclusivity of the Der Grüne Punkt trade mark is incompatible with trade mark law.
1. The first argument put forward in support of the third plea, alleging insufficient reasoning
a) Arguments of the parties
124. DSD maintains that the finding made at paragraph 161 of the judgment under appeal, that the Der Grüne Punkt trade mark could not benefit from the exclusivity claimed, is not supported by a sufficient statement of reasons. In particular, the appellant takes issue with the Court of First Instance for having relied on the answers to the questions which it put to the parties at the hearing, whereas it is impossible, on the basis of the judgment under appeal or the minutes of the hearing, to determine what was the object of that oral argument.
125. The Commission contends that the assessment of the justifications based on trade mark law does not essentially rely on evidence adduced at the hearing.
b) Assessment
126. Like the Commission, I consider that this argument must be rejected as unfounded.
127. In effect, at paragraph 139 of the judgment under appeal, the Court of First Instance stated that the answers to the questions which it put to the parties at the hearing enabled it to make the following finding: ‘[T]he manufacturer or distributor of packaging does not transfer to DSD a set number of items of packaging intended to bear the Der Grüne Punkt logo, but rather a quantity of material which that manufacturer or distributor is going to market in Germany and whose taking back and recovery he intends to entrust to the DSD system. It is therefore possible for a manufacturer or distributor of packaging to use mixed systems in order to comply with the recovery rates laid down in the Ordinance’.
128. On the basis of that finding, the Court of First Instance examined DSD’s criticisms of the analysis set out in the decision at issue and, in particular, the justifications relating to trade mark law put forward by DSD.
129. At paragraphs 103 to 114 of the judgment under appeal, the Court of First Instance identified the arguments raised by the parties during the written procedure relating to the justification of the disputed provisions of the Trade Mark Agreement by trade mark law.
130. Then, at paragraph 156 of the judgment under appeal, the Court of First Instance observed that it follows from a judgment of the Kammergericht Berlin (Higher Regional Court, Berlin) of 14 June 1994 that ‘[the Der Grüne Punkt trade mark] “says no more than that the product thus identified may be collected via the DSD system” and gives no indication as to the quality of the service offered’. The Court of First Instance added that, ‘in the case of allocation of part of the packaging to one of DSD’s competitors, the consumer is free to decide whether he has the packaging recovered through the DSD system or a competitor system’.
131. The Court of First Instance concluded, at paragraph 157 of the judgment under appeal, that, ‘since the function of the Der Grüne Punkt logo is to identify the possibility of having the packag[ing] at issue collected by the DSD system and since that logo may be affixed together with other signs of other mechanisms making it possible to identify another possibility for collection by a competitor self-management solution or exemption system, it cannot be claimed that the … decision [at issue] constitutes a disproportionate impairment of the trade mark right or, in any event, an impairment which is not justified by the need to prevent an abuse of a dominant position within the meaning of Article 82 EC’.
132. Furthermore, at paragraph 158 of the judgment under appeal, the Court of First Instance responded to the argument whereby DSD challenged the assertion in the decision at issue that it follows from the judgment of the Kammergericht Berlin that the essential function of the Der Grüne Punkt trade mark is fulfilled when that trade mark informs the consumer that he can dispose of the packaging through DSD. The Court of First Instance considered that that argument is irrelevant, as ‘[it] merely points to the particular context of the judgment …, but does not call into question the conclusion arrived at by the Commission, namely that several indications informing the consumer about the steps to be taken in relation to the different take-back and recovery services may feature on the same packaging’.
133. The Court of First Instance proceeded, at paragraph 159 of the judgment under appeal, to explain that the survey results on which DSD relied and which, according to DSD, confirm the distinctive character the trade mark, do not call into question the reasoning in the decision at issue. The Court observed, in that regard, that ‘[i]t is logical that consumers identify the Der Grüne Punkt logo affixed to the packaging as being the indication that that packaging may be placed in the collection facilities situated close to their homes. However, that does not disclose the reactions of those consumers when faced with packaging to which several logos identifying exemption systems are affixed. The Commission and the interveners state in that regard, as was confirmed at the hearing, that the collection facilities used by those systems are generally the same and that, most of the time, the consumer deposits packaging in those facilities on the basis of the material used and not on the basis of the logo on the packaging’.
134. The appellant also maintained before the Court of First Instance that the affixing of the mark Der Grüne Punkt to packaging participating in a competitor system impairs the distinctive function of that mark, since consumers are deceived in all the groups of cases envisaged in the decision at issue. Where there is a combination of a self-management solution and the DSD system, DSD argued that almost 48.4% of consumers would not understand the contradictory information represented by the indication that packaging may be taken back to a shop and the indication transmitted by the Der Grüne Punkt logo that packaging is taken back in the vicinity of the home of the final consumer by the DSD system. (11)
135. The Court of First Instance responded to that argument at paragraph 160 of the judgment under appeal and considered that ‘[that] argument based on deception of the public targeted by the mark cannot be upheld …, given that the Trade Mark Agreement concerns only users of that logo, namely manufacturers and distributors of packaging which use the DSD system, and not consumers’.
136. The Court of First Instance concluded its analysis by stating, at paragraph 161 of the judgment under appeal, that ‘accepting the exclusivity claimed by [DSD] would have no other effect than to prevent manufacturers and distributors of packaging from using a mixed system, and to legitimise the possibility, for [DSD], of being paid for a service which the interested parties have nevertheless shown that it did not actually provide, they having entrusted it to another exemption system or self-management solution in accordance with the detailed rules laid down in Article 1 of the … decision [at issue]’.
137. In the light of all those factors, I consider that the reasoning of the Court of First Instance concerning the finding that the Der Grüne Punkt trade mark cannot benefit from the exclusivity claimed by DSD is not, contrary to DSD’s contention, essentially supported by the answers to the questions which the Court of First Instance put to the parties at the hearing and is not insufficient.
138. Accordingly, I am of the view that the first argument of the third plea must be rejected as unfounded.
2. The second argument put forward in support of the third plea, alleging failure to have regard to the evidence in the file and breach of Community trade mark law
a) Arguments of the parties
139. In DSD’s submission, the finding made at paragraph 139 of the judgment under appeal, that ‘the manufacturer or distributor of packaging does not transfer to DSD a set number of items of packaging intended to bear the Der Grüne Punkt logo, but rather a quantity of material which that manufacturer or distributor is going to market in Germany and whose taking back and recovery he intends to entrust to the DSD system’, is manifestly contrary to the provisions of the Trade Mark Agreement on notification and on the grant of licences, to the provisions of the Packaging Ordinance on fulfilling the take-back obligation, to the requirement of transparency laid down in that Ordinance and, last, to the requirement resulting from trade mark law that packaging covered by the DSD system must be identifiable.
b) Assessment
140. As the Commission has observed, the appellant, in the context of the second argument put forward in support of the third plea, does no more than refer to its observations relating to the national legal framework and fails to establish a link between that legal framework and its criticisms concerning the findings of the Court of First Instance referred to in this argument. The argument contains no legal argument showing how the Court of First Instance erred in law.
141. It will be recalled that, under Article 225 EC, the first paragraph of Article 51 of the Statute of the Court of Justice and Article 112(1)(c) of the Rules of Procedure of the Court, an appeal must state precisely the contested elements of the judgment which the appellant seeks to have set aside and also the legal arguments specifically advanced in support of the appeal. (12)
142. In those circumstances, I consider that the second argument put forward in support of the third plea must be held inadmissible.
3. The third, fourth and fifth arguments put forward in support of the third plea, alleging misinterpretation of the Packaging Ordinance
143. The appellant takes issue with the Court of First Instance for having misinterpreted the Packaging Ordinance in finding, first, that packaging may be covered by the DSD system and at the same time by another exemption system; second, that a distributor which has participated in an exemption system may subsequently fulfil its obligations through a self-management solution; and, third, that a distributor which fulfils its obligations through a self-management solution may subsequently participate in an exemption system.
a) The third argument put forward in support of the third plea
i) Arguments of the parties
144. DSD maintains that the finding made at paragraphs 129 and 154 of the judgment under appeal, that packaging entrusted to DSD may at the same time be covered by a take-back and recovery system other than the DSD system, constitutes a misinterpretation of the Packaging Ordinance.
145. The appellant maintains that that finding is manifestly contrary to the principle of the law on packaging, that a specific item of packaging is either subject to the take-back obligation or released from that obligation. The appellant therefore submits that, contrary to the finding of the Court of First Instance to which this argument refers, packaging cannot be covered by two or more disposal systems.
146. In that regard, the appellant takes the example cited by the Court of First Instance at paragraph 134 of the judgment under appeal. The Court thus explained that, in the context of a fast-food chain, ‘where the final consumer purchases a sandwich sold in packaging intended to retain heat, that consumer is free to decide either to consume the product there and then and to place the packaging in the bins provided by the fast-food chain, in the context of the self-management solution, or to take that product home and to place the packaging into the DSD collection facilities situated in the vicinity of his home’. The Court of First Instance went on to conclude that ‘[t]hat packaging can thus be put back into [both of the] collection and recovery systems made available by the fast-food chain to comply with its obligations laid down in the Ordinance’.
147. DSD contends that, even in the sphere of fast food, packaging cannot, contrary to the finding of the Court of First Instance, come under two collection systems. While it may happen that the packaging is deposited at the point of sale in the context of a self-management solution or taken back by an exemption system, that can only be the consequence of error on the part of the consumer. The appellant then stresses the importance of indicating clearly what is the means of disposal envisaged for each piece of packaging.
148. The Commission contends that, in the context of a mixed solution which makes use of two exemption systems, the manufacturer or distributor of packaging is bound by the principle of transparency with respect to both systems. The packaging would therefore bear two different signs serving to identify those systems. In the Commission’s submission, such a solution is possible because the systems are responsible only for the packaging designated as quantities. The Commission also states that, in the event of competition between exemption systems, the packaging is collected in the same containers.
ii) Assessment
149. I consider that the Court of First Instance’s finding at paragraph 154 of the judgment under appeal that a piece of packaging entrusted to DSD may be covered by several disposal systems does not misinterpret the Packaging Ordinance.
150. I would point out at the outset that, at paragraph 10 of the judgment under appeal, the Court of First Instance stated that ‘in their observations of 24 May 2000, sent to the Commission in the context of the administrative proceedings …, the German authorities stated that the Packaging Ordinance allowed distributors to combine the taking-back of packaging in the vicinity of [their] business, in the context of a self-management solution, and the collection of packaging in the vicinity of the final consumer, in the context of an exemption system, by participating in the exemption system for only part of the packaging which [they] had put into circulation’.
151. Likewise, at paragraph 45 of the judgment under appeal, the Court of First Instance observed that ‘[t]he … decision [at issue] also points out that it is apparent [from] an earlier response of the German authorities that [Paragraph] 6(3) of the Ordinance does not imply that it is possible to use only one system. It was never the intention of the German authorities that only one exemption system should be created in the whole of the country or in each Land ’.
152. It was on the basis of those findings that the Court of First Instance was able, in my view, and correctly, to state at paragraph 131 of the judgment under appeal that, according to Annex I to [Paragraph] 6 of the Ordinance, the recovery rates are calculated as a percentage of the total of the marketed material which is actually taken back and that it is stated at point 1(2) of that annex that the quantities of relevant packaging are determined as a percentage of the total.
153. The Court of First Instance therefore explained at paragraphs 132 to 135 of the judgment under appeal that, since the recovery rates were calculated by reference to the percentage of the total, a division between several systems was possible without there being any need for predetermined quantities of packaging. The Court illustrated its argument with the help of an example concerning a fast-food chain. It thus demonstrated that, in the context of such a chain, a combination of a self-management solution and the DSD system is essential, because the product can be eaten on the premises or taken away. The Court went on to explain that ‘what is important, in the contractual relations between [DSD] and the manufacturer or distributor of packaging, is to ensure that the quantities of material to be recovered which are placed on the market are actually taken back and recovered in order to achieve the rates laid down in the Ordinance’.
154. At paragraphs 136 to 138 of the judgment under appeal, the Court of First Instance explained that there were correction mechanisms which made it possible to fulfil the obligations laid down by the Ordinance. The Court stated, in particular, that if the self-management solution was not sufficient to fulfil the recovery rates, the manufacturer or distributor of packaging could approach an exemption system in order to buy back the missing quantities.
155. For the remainder, the Ordinance itself proposes that solution in Paragraph 6(1), where it states that, if distributors do not comply with their take-back and recovery obligations at the point of sale, they must do so by means of an exemption system. (13)
156. In the light of the foregoing factors, I consider that the third argument put forward in support of the third plea must also be rejected as unfounded.
b) The fourth and fifth arguments put forward in support of the third plea
i) Arguments of the parties
157. DSD further maintains that the assertion at paragraph 137 of the judgment under appeal that a distributor which has participated in an exemption system could subsequently assume responsibility for taking back and recovering the packaging constitutes a distortion of the evidence in the file. DSD maintains that that assertion is contrary to the basic principle of the Packaging Ordinance that participation in an exemption system to satisfy the recovery obligation entails exemption from disposal obligations. In DSD’s submission, for packaging covered by an exemption system, it is not possible subsequently to use a self-management solution.
158. Likewise, DSD observes that the assertion that a distributor which has decided to use a self-management solution for certain packaging could subsequently discharge its obligations under the Ordinance by buying back quantities of packaging from an exemption system constitutes a misinterpretation of the Packaging Ordinance.
159. The Commission contends that the Court of First Instance does not proceed from the hypothesis that the take-back and recovery obligations are satisfied ex post facto , but envisages the hypothesis in which the fee payable to the exemption system is reduced where the amount collected is not consistent with the rate imposed.
ii) Assessment
160. I am of the view that the Court of First Instance did not distort the evidence in the file when it found, at paragraph 137 of the judgment under appeal, that a fast-food chain may request the exemption system to reduce its fee where, by means of the self-management solution, that chain shows that it took back the quantities of packaging which had been entrusted to the exemption system.
161. Contrary to the appellant’s contention, I consider that it is not a question, in that example, of the ex post facto use of a self-management solution to take back and recover packaging. I would observe that in that example the Court of First Instance proceeded from the premiss that the fast-food chain combines from the outset a self-management solution and an exemption system.
162. On the basis of that premiss, the Court of First Instance stated that it was possible to put in place correction mechanisms where the self-management solution does not succeed in fulfilling the obligations placed on the distributor or, on the contrary, had been able to collect the determined quantities. In the latter case, the Court explained that ‘the fast-food chain will be able to request the exemption system concerned to reduce its fee, in so far as that chain has shown that it took back and recovered [the quantities] entrusted [to the exemption system]’.
163. Incidentally, the appellant itself had envisaged that possibility. At recitals 60 and 61 to the decision at issue, it is stated that DSD had, before the adoption of that decision, undertaken not to charge a fee for the quantities of packaging taken back by a self-management solution where the manufacturer or distributor of packaging had decided to combine the DSD system with a self-management solution.
164. As regards the appellant’s argument that the Court of First Instance misinterpreted the Packaging Ordinance by finding that a distributor which has decided to use a self-management solution may subsequently decide to discharge its obligations by buying back quantities of packaging from an exemption system, I consider that it, too, must be rejected.
165. The Court of First Instance observed, at paragraph 9 of the judgment under appeal, that ‘the ninth sentence of Paragraph 6(1) of the Ordinance states that, if a distributor does not comply with his take-back and recovery obligations by means of a self-management solution, he must do so by means of an exemption system’.
166. Consequently, I consider that the fourth and fifth arguments put forward in support of the third plea must be rejected as unfounded.
4. The sixth argument put forward in support of the third plea, alleging breach of the Packaging Ordinance
a) Arguments of the parties
167. DSD maintains that paragraph 154 of the judgment under appeal is vitiated by errors of law, in so far as the Court of First Instance found that packaging not disposed of by the DSD system may bear the Der Grüne Punkt logo. DSD submits that such a possibility deprives the logo of its distinctive character and is manifestly contrary to the principle laid down in the Packaging Ordinance that consumers and the authorities must be in a position to determine clearly whether or not an item of packaging is subject to the take-back obligation at the point of sale.
168. The Commission observes that DSD incorrectly attributes to the Ordinance an approach focused on individual items of packaging. In the Commission’s submission, such an approach does not correspond with the economic conditions applicable to mixed solutions, which are specifically encouraged in order to satisfy the objective of competition.
b) Assessment
169. I consider that this argument must also be rejected.
170. The Court of First Instance observed, at paragraph 124 of the judgment under appeal, that, according to DSD, the Der Grüne Punkt mark makes it possible to indicate the packaging which is to be transferred to DSD and at the same time to inform the consumer as to what he is to do with the packaging, which makes it possible to ensure that DSD is able to carry out the tasks assigned to it by the participating undertaking.
171. At paragraph 153 of the judgment under appeal, the Court of First Instance observed that ‘the different types of advertising laid down in the Ordinance – namely by marking packaging or other suitable means for exemption systems (point 4(2) of Annex I to Paragraph 6 of the Ordinance) and the indication of the possibility of returning packaging at the point of sale for self-management solutions (third sentence of Paragraph 6(1) of the Ordinance) – make it possible to inform the final consumer about the different possibilities for returning the packaging at issue without thereby validating [DSD’s] arguments that the affixing of the Der Grüne Punkt logo to packaging has the effect of preventing the take-back and recovery by a system other than the DSD system’.
172. The Court of First Instance then pointed out, at paragraph 154 of the judgment under appeal, that ‘it is not stated in the Ordinance that the Der Grüne Punkt logo may not be affixed to packaging collected in the context of a competitor exemption system or a self-management solution if [that packaging complies], in addition, with the conditions laid down in the Ordinance to identify the system used in conjunction with the DSD system. Such indications may be cumulative and the same piece of packaging may thus be covered by several systems at the same time. It is with that in mind that the Commission rightly interprets the transparency requirement defined by the German authorities in their observations, namely that it is necessary to clearly define, in the interests of the consumer and of the authorities, which packaging is subject to the take-back obligation at or in the immediate vicinity of the points of sale and which is not’.
173. Contrary to the appellant’s contention, that does not entail offering competitor systems the possibility of affixing the Der Grüne Punkt logo to packaging which is not taken back by the DSD system. To my mind, the Court of First Instance made the assumption that the manufacturer or distributor of packaging has participated in the DSD system and in another system, whether an exemption system or a self-management solution. Accordingly, in order to comply with the obligation laid down in the Ordinance to indicate the used packaging take-back, it must be possible to indicate the system by which packaging is taken back, so that once the packaging has been used the consumer can be informed of the possibilities available. For example, such indication may take the form of the placing on a plastic bottle of the Der Grüne Punkt logo and of another logo indicating that another system may also take the bottle back, or again by a notice at the point of sale to the effect that the bottle may be deposited at that point of sale.
174. In the light of the indications in the Packaging Ordinance, I am unable to see in what way the Court of First Instance misinterpreted that Ordinance in holding that, for the same packaging, the Der Grüne Punkt logo may exist alongside a different sign. It will be recalled that the Ordinance offers the possibility for a manufacturer or distributor to participate in a number of systems and that it also imposes the obligation to indicate by what possibility the packaging may be returned.
175. Accordingly, I am of the view that the sixth argument put forward in support of the third plea must be rejected as unfounded.
5. The seventh argument put forward in support of the third plea, alleging infringement of trade mark law
176. DSD also criticises paragraph 161 of the judgment under appeal and observes that the finding that the exclusivity which it claims cannot be accepted, as it would have no effect other than to prevent manufacturers and distributors of packaging from using a mixed system, is incompatible with trade mark law. In that regard, DSD submits that, in accordance with German case-law and as the surveys show, the Der Grüne Punkt logo, as a registered trade mark, refers exclusively to DSD and to the services which it offers. Trade mark law would not be complied with if the Der Grüne Punkt trade mark were deprived of that function of exclusivity solely in order to ensure the possibility of a mixed system.
177. Since the appellant, in its fourth plea, also claims that there has been an infringement of Community trade mark law by the Court of First Instance, I consider that this argument should be dealt with in the context of that plea.
D – Fourth plea, alleging infringement of Community trade mark law
1. Arguments of the parties
178. By its fourth plea, DSD claims that there has been an infringement of Community trade mark law owing to the finding made by the Court of First Instance at paragraph 161 of the judgment under appeal that the Der Grüne Punkt trade mark could not be recognised as having the exclusivity claimed. DSD observes that, under Article 5 of First Council Directive 89/104/EEC of 21 December 1988 to approximate the laws of the Member States relating to trade marks, (14) a registered mark is to confer on the proprietor exclusive rights which entitle him to prevent the use of the mark for goods or services which are identical or similar to those covered by the registered mark.
179. The Commission contends that the exclusivity described in Article 5 of Directive 89/104 bears no relation to that described at paragraph 161 of the judgment under appeal. The Court of First Instance merely drew the consequences from the reasoning set out at paragraphs 156 and 157 of that judgment, according to which, for the market in question, the Der Grüne Punkt trade mark says no more than that the product thus identified may be collected via the DSD system and gives no indication as to the quality of the service offered.
180. The Commission adds that the decision at issue does not entail improper use of the mark, that is to say, use by persons with whom DSD has not entered into an agreement.
181. Vfw submits that the logo is not a trade mark in the classic sense. It claims that a trade mark characterises goods and services which are the same as or similar to those in respect of which the mark was registered. As regards the Der Grüne Punkt logo, however, each manufacturer uses its own individual trade marks to mark its products. The logo serves only to indicate participation in a collection system and not to identify identical or similar goods or services.
182. Landbell and BellandVision claim that this plea is inadmissible and in any event unfounded.
2. Assessment
183. The appellant maintains that the Court of First Instance was wrong to hold that the Der Grüne Punkt trade mark could not benefit from the exclusivity claimed and thus infringed Community trade mark law.
184. As the Court of First Instance observed at paragraph 124 of the judgment under appeal, DSD takes the view that the Der Grüne Punkt mark makes it possible, at the same time, to indicate the packaging which is to be transferred to the DSD system and to inform the consumer as to what he is to do with that packaging, which makes it possible to ensure that DSD is able to carry out the tasks assigned to it by the manufacturer or distributor of packaging participating in its system. Therefore, in DSD’s submission, only packaging for which the DSD system is used should be marked with the Der Grüne Punkt logo.
185. However, at paragraphs 156 to 161 of the judgment under appeal, the Court of First Instance held that the fact that that logo and an indication by a suitable means of another exemption system, or an indication that it is possible to return the packaging to the shop, appear on the same packaging does not adversely affect the essential function of the ma rk, which is to identify the possibility that the packaging in question may be collected via the DSD system. Accordingly, the Court of First Instance considered that since the placing of that logo together with other signs or other devices making it possible to identify another possibility of collection via a self-management solution or a competitor exemption system does not adversely affect the essential function of the mark, DSD cannot claim that there has been an infringement of trade mark law.
186. Furthermore, the Court of First Instance stated, at paragraph 160 of the judgment under appeal, that ‘the Trade Mark Agreement concerns only users of that logo, namely manufacturers and distributors of packaging which use the DSD system, and not consumers’.
187. In finding at paragraph 161 of the judgment under appeal that DSD cannot benefit from the exclusivity claimed as otherwise manufacturers and distributors of packaging would be prevented from using a mixed system and DSD could legitimately be paid for a service which it does not provide, the Court of First Instance did not in my view infringe Community trade mark law.
188. It should be borne in mind that, according to consistent case-law, the specific object of trade mark law is, in particular, to guarantee to the owner that he has the exclusive right to use that mark for the purpose of putting a product on the market for the first time and thus to protect him against competitors wishing to take unfair advantage of the status and reputation of the trade mark by selling products illegally bearing it. (15)
189. It is for that reason that Article 5(1) of Directive 89/104 provides that the registered mark is to confer exclusive rights on the proprietor and that the proprietor is thus to be entitled to prevent all third parties not having his consent from using in the course of trade any sign which is identical with the trade mark in relation to goods or services which are identical with those for which the mark is registered.
190. In the present case, I consider that the undertakings participating in the DSD system for only part of their packaging (first and second groups of cases) or for packaging placed on the market of another Member State (third group of cases) cannot be regarded as competitors of DSD or as third parties which improperly sell goods covered by the Der Grüne Punkt logo.
191. In the first and second groups of cases, the manufacturers and distributors have entered into an agreement with DSD for the take-back and recovery of certain packaging. In the third group of cases, the manufacturers and distributors are holders on the territory of another Member State of a licence to use the Der Grüne Punkt logo.
192. DSD itself set up that system, which requires that that logo be affixed to all packaging, even where some of the packaging is not taken back by the system. Those manufacturers and distributors therefore do not use the Der Grüne Punkt trade mark improperly, but merely fulfil their obligation to affix that logo to all packaging, whether or not it is taken back by the DSD system.
193. Furthermore, the Court of First Instance correctly observed, at paragraph 156 of the judgment under appeal, that the essential function of the Der Grüne Punkt trade mark is to inform the consumer that the packaging bearing that trade mark can be taken back by the DSD system.
194. Since the Der Grüne Punkt logo appears on the packaging, the essential function of the trade mark is satisfied, since the consumer is informed that the packaging can be placed in DSD’s containers. Therefore, contrary to the appellant’s assertion at the hearing, the trade mark is not ‘destroyed’.
195. Moreover, I consider that the Der Grüne Punkt trade mark does not fit into the classic scheme of trade mark law.
196. A trade mark assists the consumer to make an informed choice about the good or service offered by that trade mark. If, for example, the consumer has already purchased a good or a service and derived a certain satisfaction from it, for instance because that good or service was of good quality, the trade mark will serve that consumer as a reference point for future purchases of the same goods or services. The trade mark therefore guides the consumer’s choice.
197. In the context of the DSD system, however, the Der Grüne Punkt trade mark does not in my view have the function of guiding the consumer as to the choice of the product purchased. As the Court of First Instance pointed out at paragraph 156 of the judgment under appeal, the trade mark serves to identify the packaging that may be treated by the DSD system.
198. To my mind, when the consumer purchases a good bearing the Der Grüne Punkt logo, that consumer has chosen that good on account of, for example, the quality which it guarantees and not because he knows that the good can be collected by the DSD system. It can readily be imagined, for example, that a consumer will buy eggs produced by biological farming methods because that system of production excludes the use of pesticides and synthetic fertilisers and thus ensures the quality sought by that consumer, and not because the packaging bears the Der Grüne Punkt logo informing him of the possibility that that packaging can be taken back by the DSD system.
199. The situation would be otherwise, in my view, if the Der Grüne Punkt logo indicated that the product on which it appears is a recyclable product or a product which has already been recycled. It can reasonably be supposed that some consumers, wishing to respect the environment, will prefer to choose products whose packaging is recyclable or has already been recycled. In such a case, a logo which indicates that the packaging of the product bought has been recycled undeniably has an impact on the consumer’s choice. That is the case, for example, of a ream of paper on which there is a logo informing the consumer that the paper has been recycled. The consumer will then make an activist choice.
200. In the present case, however, the Der Grüne Punkt logo does not indicate that the packaging is recyclable. It indicates only that the packaging can be taken back by the DSD system, where it will be sorted and recovered if such a possibility exists. (16)
201. Accordingly, I consider that the Court of First Instance was entitled to find at paragraphs 156 and 160 of the judgment under appeal that, on the one hand, ‘“for the market in question” [the] mark “says no more than that the product thus identified may be collected via the DSD system” and gives no indication as to the quality of the service offered’ and that, on the other hand, that ‘the Trade Mark Agreement concerns only users of that logo, namely manufacturers and distributors of packaging which use the DSD system, and not consumers’.
202. Thus, the Court of First Instance did not in my view infringe Community trade mark law by stating at paragraph 161 of the judgment under appeal that the Der Grüne Punkt trade mark could not benefit from the exclusivity claimed.
203. Consequently, I consider that the fourth plea must be rejected as unfounded.
E – Fifth plea, alleging infringement of Article 82 EC
1. Arguments of the parties
204. In the context of its fifth plea, DSD maintains that the Court of First Instance infringed Article 82 EC.
205. The appellant submits that the Court of First Instance did not state sufficient reasons for its analysis and, moreover, distorted the evidence before it when holding that DSD adopted abusive conduct in issuing licences to use the Der Grüne Punkt logo independently of the use of the DSD system and requiring payment of a fee for the licence even where the licensee proves that it did not use the DSD system.
206. Furthermore, in DSD’s submission, the decision at issue amounts to requiring it to grant a licence to the participating undertakings for the packaging which is neither taken back nor recovered by its system. However, the conditions necessary for the grant of a compulsory licence, as laid down in the case-law of the Court, are not satisfied in the present case. By not explaining in what way the refusal to grant a compulsory licence constitutes an abuse of right, the Court of First Instance therefore made an error of law.
207. In the alternative, the appellant contends that, even though it granted a licence to participating undertakings merely to use the logo, the judgment under appeal would authorise them to participate in the DSD system for a very small quantity of packaging, whereas DSD could not require, by way of consideration, an appropriate fee and could not verify that such a process was legitimate. In particular, the appellant would be unable to verify whether the reasons which, according to the decision at issue, make it necessary to affix the Der Grüne Punkt trade mark to all its packaging (notably in the light of the additional economic costs which selective marking would entail) were satisfied.
208. So far as the first argument is concerned, the Commission contends that the applicant has not explained in what way the findings of the Court of First Instance are not supported by adequate reasoning, how they are contrary to the evidence in the file and how they misinterpret national law.
209. As regards the second argument, the Commission submits that the Court of First Instance dealt with DSD’s argument relating to the imposition of a compulsory licence and established that such a licence was not imposed on DSD.
210. As for DSD’s alternative argument, the Commission contends that, in this case, the question of a compulsory licence does not arise. It observes that, as the Court of First Instance confirmed, the decision at issue provides that, if an undertaking participates in the DSD system for small quantities of packaging, a fee is justified only in proportion to that low level of participation.
211. Landbell and BellandVision observe that the decision at issue and the judgment under appeal are not based on the hypothesis of a licence to use the Der Grüne Punkt logo independently of the use of the DSD system, but are concerned with the amount of the fee attaching to the services provided.
212. In Vfw’s submission, the fifth plea is based on a misunderstanding of the subject-matter of the dispute, as it is not the Commission’s intention to impose on DSD an obligation to grant the licence, but solely to prevent DSD from using its dominant position to exclude competition from other systems.
213. Interseroh observes that at no part of the judgment under appeal did the Court of First Instance suggest that DSD should offer a licence to use the Der Grüne Punkt logo independently of the use of its system. Nor did that judgment place DSD under any obligation to grant licences. The abuse found by the Court of First Instance is based solely on the fact that DSD offers licences to use that logo only in conjunction with the obligation to pay a fee for using its service, even though the participating undertakings did not make use of the DSD system for certain packaging marked with the DSD logo.
2. Assessment
a) The first argument put forward in support of the fifth plea
214. I consider that, as the Commission has submitted, the first argument put forward in support of the fifth plea must be rejected.
215. In effect, the appellant merely states that the Court of First Instance infringed Article 82 EC in concluding, without stating sufficient reasons, contrary to the evidence in the file and in a way that misinterpreted national law, that the appellant adopted abusive conduct. The appellant sets out no legal argument in support of that argument and merely refers, in a footnote, to paragraph 20 of the appeal, which states that ‘[t]he findings of the judgment [under appeal] are therefore manifestly contradictory. The Court of First Instance does not make a definitive finding on whether the conduct at issue constitutes an abuse of a dominant position’.
216. In accordance with the case-law referred to at point 141 of this Opinion, an appeal must state precisely the contested elements of the judgment which the appellant seeks to have set aside and also the legal arguments specifically advanced in support of the appeal.
217. That is manifestly not the position in the present case. I am therefore of the view that the first argument put forward in support of the fifth plea must be rejected as inadmissible.
b) The second argument put forward in support of the fifth plea
218. By its second argument, the appellant submits that the decision at issue and the judgment under appeal oblige it to grant a licence to participating undertakings for packaging which is not taken back or recovered by its system. The appellant maintains that, by failing to explain how the refusal to grant a compulsory licence would constitute an abuse of a dominant position, the Court of First Instance therefore made an error of law.
219. To my mind, the appellant is mistaken as to the characterisation of the abuse which it is found to have committed. I consider, in the light of the analytical approach which it took, that the Court of First Instance, contrary to the appellant’s contention, did not identify the abuse as being based on DSD’s refusal to grant a compulsory licence, and correctly set out the reasons why DSD was accused of abusing its dominant position.
220. I note that, at paragraphs 176 to 183 of the judgment under appeal, the Court of First Instance responded to the argument which DSD had submitted to it in the context of its second plea, namely that Articles 3 and 4(1) of the decision at issue are disproportionate, because they oblige DSD to grant to third parties a licence to use the Der Grüne Punkt trade mark, even where they do not participate in the DSD system.
221. The Court of First Instance thus explained the reasons why it considered that the decision at issue, by Articles 3 and 4(1), did not oblige DSD to grant licences to the undertakings participating in its system for the packaging which was not taken back by that system, but sought to put an end to the abuse by requesting it not to charge a fee for a service which it did not supply.
222. In effect, at paragraph 178 of the judgment under appeal, the Court of First Instance recalled that the abuse by DSD consisted, according to the decision at issue, in requiring payment of a fee for the total quantity of packaging carrying the Der Grüne Punkt logo and put into circulation in Germany. The Court went on to state that ‘[a]ccording to [that] decision, the fee cannot be required when the manufacturers and distributors of packaging which use the DSD system for only some of the packaging put into circulation in Germany show that they fulfil the take-back and recovery obligations laid down in the Ordinance through competitor exemption systems or self-management solutions ([first and second groups of cases]). Similarly, the fee cannot be required when the manufacturers and distributors of packaging which have not used the DSD system in Germany, but put into circulation in that country standardised packaging which they also put into circulation in another Member State for which they participate in a take-back system using the Der Grüne Punkt logo, show that they fulfil the obligations under the Ordinance through competing exemption systems or self-management solutions ([third group of cases])’.
223. In the light of those factors, the Court of First Instance stated at paragraph 180 of the judgment under appeal that the obligations imposed by Articles 3 and 4(1) of the decision at issue do not concern third parties but manufacturers and distributors of packaging which have entered into contracts with DSD or which hold a licence in another Member State to use the mark Der Grüne Punkt in the context of a take-back and recovery system using that logo.
224. At paragraph 181 of the judgment under appeal, the Court of First Instance considered that ‘those obligations do not seek to force DSD to grant a licence to use the mark Der Grüne Punkt without any restriction in time, but merely to require it not to charge a fee on the total amount of packaging bearing [that] logo where it is shown that all or only some of that packaging has been taken back or recovered through another system’.
225. The Court of First Instance concluded, at paragraph 182 of the judgment under appeal, that ‘as long as the users of the Der Grüne Punkt logo prove that the quantities of packaging for which they do not use the DSD system have actually been taken back and recovered by the exemption system(s) or self-management solution(s) which they use, [DSD] cannot claim that it is disproportionate to ask it not to be paid for a service which it does not provide’.
226. To my mind, it follows from that analysis that the Court of First Instance correctly identified the abuse of a dominant position by DSD and properly explained that the decision at issue did not have the effect of requiring DSD to grant a compulsory licence to participating undertakings, but of putting an end to the abuse where it has been demonstrated that the packaging bearing the Der Grüne Punkt logo had been taken back by a system other than DSD’s.
227. Consequently, I consider that the fifth plea is unfounded and must also be rejected.
F – Sixth plea, alleging breach of Article 3 of Regulation No 17 and of the principle of proportionality
1. Arguments of the parties
228. In support of its sixth plea, DSD takes issue with the Court of First Instance for having undertaken an analysis which was insufficiently reasoned and contrary to the evidence in the file, and for having breached Article 3 of Regulation No 17 and the principle of proportionality. DSD submits, in the first place, that the Packaging Ordinance and trade mark law preclude any requirement on its part to grant a licence to use the Der Grüne Punkt logo; yet the measures imposed by Article 3 et seq. of the decision at issue, which fail to take into account the fact that DSD does not grant separate licences to use the logo, amount precisely to imposing such an obligation on the appellant.
229. In the second place, DSD submits that the Ordinance and trade mark law preclude it being prevented from requiring its customers to place on packaging which bears the Der Grüne Punkt logo but is not disposed of by the DSD system a notice which enables the distinctive effect of that logo to be neutralised. By rejecting, at paragraph 200 of the judgment under appeal, DSD’s argument that packaging bearing the Der Grüne Punkt logo and disposed of by the DSD system must be capable of being distinguished from packaging bearing the same logo but not disposed of by that system, the Court of First Instance disregarded the fact that Article 3 of the decision at issue constitutes a breach of Article 3 of Regulation No 17 and of the principle of proportionality.
230. The Commission contends that DSD’s first argument, that the Packaging Ordinance and trade mark law preclude it being required to grant a licence to use the Der Grüne Punkt logo, is based on an incorrect premiss, namely that the Court of First Instance relied on the hypothesis of a separate licence to use that logo.
231. Furthermore, with respect to the second argument, the Commission maintains that the Court of First Instance was correct to find that neither the Packaging Ordinance nor trade mark law requires the identification of the different types of packaging for allocation to the DSD system or to another system.
232. Vfw submits that DSD has not sufficiently supported the arguments which it has presented in the context of the present plea.
233. Landbell and BellandVision contend that this plea is inadmissible, since an appeal must state precisely the contested elements of the judgment which the appellant seeks to have set aside or the decision which it seeks to have annulled and also the legal arguments specifically advanced in support of the appeal.
2. Assessment
234. As regards the first argument put forward in support of the sixth plea, whereby the appellant claims that the decision at issue requires the appellant to grant a licence to use the Der Grüne Punkt trade mark, and which is similar to the argument examined in the context of the fifth plea, I refer to the assessment which I made in the context of that plea.
235. Consequently, I consider that the first argument put forward in support of the sixth plea must be rejected as unfounded.
236. By its second argument, DSD takes issue with the Court of First Instance for having rejected its argument that packaging bearing the Der Grüne Punkt logo and disposed of by the DSD system must be capable of being distinguished from packaging on which that logo is affixed but which is not disposed of by that system. DSD maintains that the Court of First Instance’s analysis in that regard was insufficient and contrary to the evidence in the file and constituted a breach by that Court of Article 3 of Regulation No 17 and of the principle of proportionality.
237. By this, I understand that DSD maintains that the mere requirement of an effective explanatory note making it possible to neutralise the distinctive effect of the Der Grüne Punkt trade mark on the packaging which is not taken back by the DSD system would be a measure that was appropriate, proportionate and consistent with Article 3 of Regulation No 17.
238. To my mind, the Court of First Instance was correct to reject the complaint relating to the disproportionate nature of Article 3(1) of the decision at issue in that it does not envisage the possibility of placing explanatory notes on the packaging.
239. At paragraph 200 of the judgment under appeal, the Court of First Instance explained that ‘[s]uch notes are based on the idea that it would be possible to distinguish packaging bearing the Der Grüne Punkt logo, which is part of the DSD system, from that to which [that] logo is indeed affixed but which is not part of the DSD system and which should thus be the subject of a note aimed at drawing the consumer’s attention. However, as has been pointed out (see paragraphs 131 to 138 [of the judgment under appeal]), the specific rules for the operation of mixed systems are not based on the identification of packaging by consumers, who remain free to decide which system they are going to bring the packaging back to, but on the allocation of total material to be recovered’.
240. That analysis by the Court of First Instance is in my view consistent with what is stated in the judgment under appeal. We have seen, at point 48 of this Opinion, that it is not possible to determine in advance what route will be taken by an item of packaging. A plastic bottle may well be purchased on the German market and then thrown away in a container in France belonging to a competitor of DSD. As the Commission has indicated, the consumer’s conduct cannot be determined in advance. Accordingly, an explanatory note on packaging bearing the Der Grüne Punkt logo and taken back by a system competing with the DSD system could not have the effect expected of it, since it would be impossible to separate products bearing that logo which are taken back by the DSD system from those bearing the same logo which are taken back by a competitor system.
241. Furthermore, I note that, at the hearing, Landbell stated that, in practice, collection, sorting and recovery take place independently of whether the packaging bears a mark indicating to which system it belongs. It is bulk quantities of material that are divided between the different systems. DSD did not dispute that practice.
242. Consequently, I consider that the sixth plea must be rejected as unfounded.
G – Seventh plea, alleging a procedural irregularity
1. Arguments of the parties
243. In the context of its seventh plea, the appellant claims that there has been a procedural irregularity. It submits that the Court of First Instance substituted its own reasoning for that of the Commission. The appellant also maintains that any addition of new findings by the Court of First Instance constitutes a breach of its right to be heard.
244. In support of its plea, DSD takes issue with the Court of First Instance for having made new findings, based on the assertions made by the parties at the hearing. The appellant thus refers to answers given to detailed questions which the Court of First Instance had put, either barely three weeks before the hearing or during the hearing, without indicating what consequences it proposed to draw from those answers or in what way those questions were connected with the findings made in the decision at issue. On the basis of those questions and answers, the Court of First Instance made new fundamental findings on the way in which the mixed systems function, which were not to be found in the decision at issue and which were not mentioned by the Commission or by DSD.
245. DSD has in mind, in particular, two findings, namely the finding that the packaging entrusted to DSD may come under an exemption system and at the same time under a self-management solution, and the finding that the Packaging Ordinance provides numerous correction mechanisms allowing manufacturers and distributors to assume the obligations arising under the Ordinance by attributing packaging ex post facto to a self-management solution or an exemption system.
246. The Commission, supported by Vfw, Landbell and BellandVision, contends that the paragraphs of the judgment under appeal to which the present plea refers contain nothing new by reference to the matters already considered during the administrative procedure and during the written procedure before the Court of First Instance.
2. Assessment
247. The appellant takes issue with the Court of First Instance for having made new findings which are not to be found in the decision at issue and for having thus substituted its own reasoning for that of the Commission. Those findings are, in DSD’s submission, the finding that it is possible to have recourse to an exemption system and a self-management solution, and also the finding that the Packaging Ordinance provides numerous correction mechanisms which allow manufacturers and distributors to fulfil their obligations under the Ordinance by attributing packaging ex post facto to a self-management solution or an exemption system.
248. I consider that this plea must also be rejected.
249. I would observe that the Court of First Instance, at paragraphs 44 to 46 of the judgment under appeal, described how the decision at issue dealt with the possibility of combining more than one take-back and recovery system.
250. More specifically, the Court of First Instance stated at paragraph 45 of the judgment under appeal that ‘[t]he … decision [at issue] sets out several facts enabling the finding that it is possible to use mixed systems. Thus, [that] decision states that it is apparent from the observations of the German authorities (recital 20 of the … decision [at issue]) that the Ordinance makes it possible to combine a self-management solution and an exemption system by participating in an exemption system only for the taking-back of some of the packaging put into circulation. … The … decision [at issue] also points out that it is apparent [from] an earlier response of the German authorities that Article 6(3) of the Ordinance does not imply that it is possible to use only one system. It was never the intention of the German authorities that only one exemption system should be created in the whole of the country or in each Land (recital 23 of the … decision [at issue])’.
251. The Court of First Instance also observed, at paragraph 46 of the judgment under appeal, that ‘[DSD] does not dispute that a manufacturer or distributor of packaging may use a mixed system’.
252. As regards the findings of the Court of First Instance set out at paragraphs 137 and 139 of the judgment under appeal, according to which the Packaging Ordinance makes it possible to use correction mechanisms, I would observe that, although the Court of First Instance did not expressly cite the recitals to the decision at issue to which it referred, it stated, at paragraph 9 of the judgment under appeal, that ‘the ninth sentence of Paragraph 6(1) of the Ordinance states that, if a distributor does not comply with his take-back and recovery obligations by means of a self-management solution, he must do so by means of an exemption system’, and a statement to the same effect is also found at recital 21 to the decision at issue.
253. Accordingly, in finding, at paragraph 137 of the judgment under appeal, that, if the recovery rate by the self-management solution is not achieved, the manufacturer or distributor can buy a quantity of packaging sufficient to reach that rate, the Court of First Instance did not substitute its own reasoning for that of the Commission, as that element clearly emerges from the decision at issue.
254. The appellant also takes issue with the Court of First Instance for having made a new finding when it held that manufacturers and distributors could fulfil their obligations under the Packaging Ordinance by attributing packaging ex post facto to a self-management solution.
255. As I stated at points 160 to 163 of this Opinion, the appellant, to my mind, is mistaken as to the meaning to be ascribed to paragraph 137 of the judgment under appeal. In the analysis which it carried out at paragraphs 134 to 137 of the judgment under appeal, the Court of First Instance proceeds from the premiss that a distributor participates in two systems, one a self-management solution and the other an exemption system. It is thus not a question of the ex post facto use of a self-management solution, but of correcting the quantities of material attributed to the different systems by allowing a distributor which participates in a self-management solution and an exemption system to request the exemption system to reimburse the fee incorrectly levied for the packaging taken back by the self-management solution.
256. Furthermore, the Court of First Instance stated at paragraph 138 of the judgment under appeal that ‘concrete expression has been given to those rectification possibilities in a compensation agreement, referred to at the hearing, which enables different system operators to share the quantities of material recovered by the collection undertakings to which they have recourse in respect of the quantities of the material for which they are responsible under the contracts signed with manufacturers and distributors of packaging’.
257. Consequently, in the light of those factors, I consider that the seventh plea must also be rejected as unfounded.
H – Eighth plea, alleging breach of the right to have the case dealt with within a reasonable time
1. Arguments of the parties
258. By its eighth plea, the appellant maintains that the Court of First Instance committed a procedural irregularity and adversely affected the appellant’s interests by failing to have regard to the fundamental right to have a case dealt with within a reasonable time, as recognised by Article 6 of the European Convention for the Protection of Human Rights and Fundamental Freedoms, signed in Rome on 4 November 1950 (‘the ECHR’), and by Article 47 of the Charter of Fundamental Rights of the European Union, proclaimed in Nice on 7 December 2000 (OJ 2000 C 364, p. 1; ‘the Charter’).
259. According to the appellant, the proceedings, which lasted five years and nine months, seem at first sight to be considerable. In that regard, it cites the judgment in Sumitomo Metal Industries and Nippon Steel v Commission . (17) The appellant contends that such periods can be justified only by exceptional circumstances, within the meaning of the judgment in Baustahlgewebe v Commission , (18) which is not the position in the present case.
260. The appellant therefore requests the Court to set aside the judgment under appeal, in accordance with the first sentence of Article 58(2) and the first sentence of the first paragraph of Article 61 of the Statute of the Court of Justice.
261. The arguments which the appellant puts forward in support of this plea will be described in the context of my assessment.
262. The Commission contends that, according to the case-law of the Court, even the excessive length of proceedings cannot entail a judgment being set aside if the duration of the proceedings did not affect the outcome of the proceedings. (19) It maintains that there is no relationship between the length of the proceedings and their outcome and that the length of the proceedings would be further prolonged if the judgment were to be set aside.
263. Vfw observes that DSD has suffered no disadvantages on account of the length of the proceedings, since it has been able to continue its activities and its position on the market has not been significantly weakened. Furthermore, even on the assumption that the appellant’s interests were adversely affected, to set aside the judgment under appeal would be disproportionate.
264. Landbell and BellandVision recall that the reasonableness of the length of the proceedings must be assessed in the light of the circumstances of the case. In the present case, DSD invented significant complexity by long developments which were substantively distorting and even untrue with respect to trade mark law.
2. Assessment
265. It follows from consistent case-law that, as far as procedural irregularities are concerned, pursuant to Article 225 EC and the first paragraph of Article 58 of the Statute of the Court of Justice, appeals are limited to points of law. According to the latter provision, an appeal may lie on grounds of lack of competence of the Court of First Instance, a breach of procedure before it which adversely affected the interests of the appellant as well as infringement of Community law by the Court of First Instance. (20)
266. Thus, the Court of Justice has jurisdiction to verify whether a breach of procedure adversely affecting the appellant’s interests was committed before the Court of First Instance and must satisfy itself that the general principles of Community law and the Rules of Procedure applicable to the burden of proof and the taking of evidence have been complied with. (21)
267. It should be noted that Article 6(1) of the ECHR provides that in the determination of his civil rights and obligations or of any criminal charge against him, everyone is entitled to a fair and public hearing within a reasonable time by an independent and impartial tribunal established by law. (22)
268. The general principle of Community law that everyone is entitled to fair legal process, which is inspired by those fundamental rights, and in particular the right to legal process within a reasonable period, is applicable in the context of proceedings brought against a Commission decision imposing fines on an undertaking for infringement of competition law. (23) It is thus for the Court of Justice, in an appeal, to consider pleas on such matters concerning the proceedings before the Court of First Instance. (24)
269. The duration of the proceedings had as a starting point the lodging at the Registry of the Court of First Instance of DSD’s application for annulment on 5 July 2001 and ended on 24 May 2007, the date on which the judgment under appeal was delivered. The proceedings before the Court of First Instance therefore lasted approximately five years and nine months.
270. Inspired by the principles identified by the European Court of Human Rights, the Court held in Baustahlgewebe v Commission that the reasonableness of the period covered by the proceedings must be appraised in the light of the circumstances specific to each case and, in particular, the importance of the case for the person concerned, its complexity and the conduct of the applicant before the Court of First Instance and that of the competent authorities. (25)
271. I shall examine those three criteria in turn in the light of the decision in Baustahlgewebe v Commission .
a) The importance of the case
272. The Court has held that, in the case of proceedings concerning infringement of competition rules, the fundamental requirement of legal certainty on which economic operators must be able to rely and the aim of ensuring that competition is not distorted in the internal market are of considerable importance not only for an applicant himself and his competitors but also for third parties in view of the large number of persons concerned and the financial interests involved. (26)
273. Where the stakes are high for the undertaking concerned and, in particular, where the stakes are high in financial terms, the case must therefore be dealt with rapidly. If we take, for example, the case of an undertaking which, pursuant to a Commission decision, is required to disclose information relating to one of its products in order that competing undertakings can develop their products, there can be no doubt that that decision and the proceedings initiated by the undertaking will have an impact on the latter’s activity, as an action against a Commission decision does not have suspensory effect.
274. The same applies where the Commission decides to impose a fine on the undertaking which it considers liable for the infringement.
275. The question which arises in the present case is therefore whether the case was really of the utmost importance for DSD, to the point at which the survival of its economic activity may have been at stake. I do not consider that it was.
276. Unlike the undertaking involved in Baustahlgewebe v Commission , DSD was not fined by the Commission. In that regard, the Commission observes in its response that it has already fully explained its position at point 148 of its statement of objections (27) and that it does not envisage imposing periodic penalty payments either.
277. Nor, to my mind, was the decision at issue of such a kind as to affect the appellant’s activity. The purpose of that decision was to put an end to an abuse consisting in charging a fee for all the packaging placed on the market by the participating undertaking, even for the part of the packaging which is not actually taken back by the DSD system. That is why that decision provides that, where it is proved that the packaging is not taken back by that system, the fee is not payable for that part of the packaging.
278. The agreements which DSD signed with the participating undertakings are therefore not called into question and its activity is able to function normally. DSD is merely asked not to charge a fee for a service which it does not provide.
279. The importance of the case is therefore, in my view, real for DSD, as it necessarily has an impact on that undertaking, but it is not fundamental, as it does not threaten the economic survival of its activity.
280. However, that circumstance cannot have the effect that the appellant is deprived of its right to fair process within a reasonable time, in particular, where, as we shall see, the complexity of the case did not in my view require proceedings lasting five years and nine months.
b) The complexity of the case
281. It follows from the case-law of the European Court of Human Rights and of this Court that the complexity of a case must be determined on the basis of a number of factors.
282. The European Court of Human Rights has held that the economic nature of the offences does not, in itself, make the proceedings especially complex. It has also noted that an amendment of the law applicable to the main proceedings made the investigating judge’s task easier. The European Court of Human Rights has also observed that the case involved four persons, connected with companies engaged in the same line of business, and that there was no evidence of the use of legal structures sophisticated enough to have impeded the investigators’ work to any great extent. It concluded that the length of the proceedings could not be justified by the complexity of the case. (28)
283. In Baustahlgewebe v Commission , the Court of Justice took into account, in determining the complexity of the case, the number of persons concerned by the Commission decision and the fact that the appellant’s application was one of 11, submitted in three different languages, which were formally joined for the purposes of the oral procedure. (29) The Court also observed that the procedure concerning the appellant called for a detailed examination of relatively voluminous documents and points of fact and law of some complexity. (30)
284. In FIAMM and Others v Council and Commission , (31) the Court of Justice stated that the considerable length of the proceedings before the Court of First Instance was capable of being largely explained by a combination of objective circumstances relating to the number of parallel cases successively brought before that Court and to the importance of the legal questions raised by them. (32)
285. In the context of the present case, it should be noted that DSD, which is the undertaking to which the decision at issue was addressed, was the only applicant. Furthermore, the proceedings took place in a single language, namely German.
286. It is, admittedly, an indisputable fact that the Court of First Instance, in the cases brought before it, is required to deal with complex points of fact and law.
287. However, I consider that the present case was not of such legal complexity that a period of five years and nine months was justified.
288. In effect, I would point out that, while it is true that the system provided for by the Packaging Ordinance and the system set up by DSD may be difficult to assimilate at first sight, it none the less remains that the facts of the present case are not as complex as, for example, the facts with which the Court of First Instance may have to deal in cases involving cartels and concerted practices.
289. Furthermore, the legal question in the present case is limited to the existence of an abuse of a dominant position, as the question of the actual existence of a dominant position is not disputed. The question of the existence of a dominant position often proves to be difficult and complex, notably because it is necessary to study economic data which in themselves are complex.
290. Accordingly, I consider that the complexity of the present case was not such that the duration of the proceedings of five years and nine months before the Court of First Instance was justified.
c) The conduct of the applicant and that of the competent authorities
291. During the judicial proceedings, the conduct of the applicant may serve to prolong the duration of those proceedings. The Court of Justice therefore examines the nature of that conduct in order to take into account the responsibility of each person for the duration of the proceedings.
292. In Baustahlgewebe v Commission , in order to determine the applicant’s conduct, the Court of Justice examined whether Baustahlgewebe GmbH had sought an extension of the deadline initially set for lodging its reply, in order to determine whether it significantly contributed to prolonging the duration of the proceedings.
293. It should be noted, in the present case, that the procedural documents in the file show that DSD did in fact request an extension of the deadline for lodging its reply and that such extension was granted by decision of 21 November 2001.
294. In my view, however, it was not that request for an extension of the deadline for lodging the reply that significantly contributed to prolonging the duration of the proceedings before the Court of First Instance.
295. As regards the conduct of the competent authority, namely the Court of First Instance, it should be noted that, between notification to the parties of the end of the written procedure, on 9 September 2002, and notice of the hearing, which was served on the parties on 8 June 2006, three years and nine months elapsed. It seems to me that, when the relative complexity of the case and the applicant’s conduct are taken into account, such a period is not justified.
296. In that regard, the Court held in Baustahlgewebe v Commission that the structure of the Community judicial system justifies, in certain respects, the Court of First Instance, which is responsible for establishing the facts and undertaking a substantive examination of the dispute, being allowed a relatively longer period to investigate actions calling for a close examination of complex facts. The Court further stated, however, that that task does not relieve the Community Court established especially for that purpose from the obligation of observing reasonable time-limits in dealing with cases before it. (33)
297. The Court also examined whether any measures of organisation of procedure or measures of inquiry had been adopted during the period between the end of the written procedure and the decision to open the oral procedure. (34)
298. The Court observed that 32 months had elapsed between the end of the written procedure and the decision to open the oral procedure, and 22 months between the close of the oral procedure and the delivery of the judgment of the Court of First Instance. Such periods, in the Court’s view, could be justified only by exceptional circumstances. The Court held that, since there had been no stay of the proceedings before the Court of First Instance, under Articles 77 and 78 of its Rules of Procedure or otherwise, it must be concluded that no such circumstances existed in that case. (35)
299. I note that, in the present case, 45 months elapsed between the end of the written procedure and the decision to open the oral procedure, and that during that period no particular measure of organisation of procedure, and no measure of inquiry, was adopted.
300. Consequently, in the light of all those factors, I consider that even though the importance of the dispute did not imperil the survival of DSD’s economic activity, neither the complexity of the case nor DSD’s conduct justified the proceedings before the Court of First Instance of five years and nine months. In my view, that period must therefore be considered unreasonable.
3. The consequences of the failure to observe the reasonable time requirement before the Court of First Instance
301. The appellant maintains that failure to observe the reasonable time requirement in the proceedings before the Court of First Instance adversely affected its interests within the meaning of the second sentence of the first paragraph of Article 58 of the Statute of the Court of Justice. It claims that such an irregularity justifies setting aside the judgment under appeal, independently of any consequences which it may have on the outcome of the proceedings, in accordance with the first sentence of the first paragraph of Article 61 of the Statute of the Court of Justice.
302. I consider that the eighth plea must be rejected as inoperative.
303. While it is true that, in my view, the duration of the pr oceedings before the Court of First Instance does not correspond with the definition of a reasonable time, I consider that that finding cannot in reality have the setting-aside of the judgment under appeal as a penalty.
304. In that regard, in Baustahlgewebe v Commission the award made for the harm caused by failure to observe the reasonable time requirement was purely compensatory.
305. In the present case, to allow the judgment under appeal to be set aside would amount to authorising DSD to reinstate unlawful conduct which was penalised by the decision at issue on grounds which I have just described as well founded.
306. The penalty for breach of the reasonable time requirement in the proceedings cannot in any case lead to an undertaking being allowed to continue or to resume conduct which has been held to be contrary to the Community rules.
307. Consequently, failure to observe the reasonable time requirement in the proceedings can, where appropriate, give rise solely to a claim for compensation for the harm caused.
308. As regards the nature of that harm, in the present case we are not dealing with a situation comparable to that of an undertaking which, owing to the excessive duration of the proceedings, has suffered economic loss. There is therefore, to my mind, no economic harm.
309. The harm sustained by the appellant consists in this case of the actual breach of a general principle of Community law, namely the right to fair process, of which observance of the reasonable time requirement is one of the components. (36)
310. It will be recalled, in that regard, that Article 6(2) EU provides that ‘[t]he Union shall respect fundamental rights, as guaranteed by the [ECHR]’.
311. Furthermore, according to the consistent case-law of this Court, fundamental rights form an integral part of the general principles of law the observance of which the Court ensures, drawing inspiration from the constitutional traditions common to the Member States and from the guidelines supplied by international treaties for the protection of human rights on which the Member States have collaborated or to which they are signatories. (37)
312. The ECHR has special significance in that respect. (38)
313. To my mind, that right for everyone to have his case dealt with within a reasonable time assumes such importance that the mere fact of depriving a natural or legal person of that guarantee constitutes in itself an independent source of harm.
314. As regards the possible forms of reparation, the means employed by the European Court of Human Rights may, in my view, be transposed to the present case. Thus, recognition of the breach of the principle in question seems to me to constitute ‘just satisfaction’ capable in itself, in the absence of material harm, of making good the harm sustained by the appellant. The European Court of Human Rights has already acknowledged that ‘in the particular circumstances of the case, [the] finding [that a State has violated Article 6(1) of the ECHR] will constitute in itself adequate just satisfaction. (39)
315. However, if DSD takes the view that the mere recognition of a breach of the reasonable time principle in the proceedings does not constitute just satisfaction, it may, in my view, bring an action for damages before the Community Courts according to the general procedure. Pursuant to the second paragraph of Article 288 EC, ‘[i]n the case of non-contractual liability, the Community shall, in accordance with the general principles common to the laws of the Member States, make good any damage caused by its institutions or by its servants in the performance of their duties’.
316. Which court, therefore, would have jurisdiction to deal with such an action?
317. The Community texts make no particular provision for actions for compensation for harm caused by the functioning of the Community judicial system.
318. In Baustahlgewebe v Commission , Advocate General Léger had stated that, in his view, the Court of Justice retained jurisdiction in such disputes, where they related to judicial acts which the Court of First Instance had itself adopted.
319. The following solution was proposed. Since it was not feasible to entrust a judicial body with the task of determining whether its own conduct is wrongful or unlawful, the jurisdiction of the Court of First Instance must be analysed as not extending to actions for compensation relating to judicial acts of that Court itself. In Advocate General Léger’s view, the Court of Justice therefore had jurisdiction in such actions.
320. At the time of the judgment in Baustahlgewebe v Commission , the proposed solution came up against an absolute bar, the jurisdiction of the Court of First Instance, which was not set out in the EC Treaty, was determined by decision of the Council of the European Union according to a specific procedure. (40)
321. However, with the entry into force of the Treaty of Nice, the Court of First Instance now has, by a decision of primary law, exclusive jurisdiction in actions for compensation for damage caused by the institutions or by the servants of the Community in the performance of their duties.
322. Accordingly, as Community primary law now stands, I do not see on what legal basis the Court of Justice might hear this type of action, except by creating a new legal remedy.
323. Consequently, I consider that the Court of First Instance continues to have jurisdiction to hear an action for compensation following harm caused by failure to observe the reasonable time requirement in proceedings before the Community judicature.
324. To my mind, moreover, that solution satisfies the principle of the requirement of an impartial court or tribunal. The concept of impartiality developed by the European Court of Human Rights seems to me to be perfectly compatible with the solution which I propose.
325. The European Court of Human Rights distinguishes two aspects of the concept of impartiality, one subjective and the other objective. (41)
326. The subjective test consists in determining what a particular judge thought in his inner mind in a given circumstance and is therefore concerned with the actual personality of the judge. Subjective impartiality is presumed until there is proof to the contrary. (42) It is therefore difficult to challenge.
327. It is for that reason that the objective impartiality of the court or tribunal will be decisive. The objective test consists in asking whether, quite apart from the judge’s personal conduct, there are ascertainable facts which may raise doubts as to his impartiality. (43) The European Court of Human Rights makes clear, in that regard, that even appearances may be of a certain importance. (44)
328. A study of the case-law of that court shows that it analyses the criterion of objective impartiality on a case-by-case basis. It also stated in Morel v. France that the answer to the question whether a court is objectively impartial depends on the circumstances of the case. (45)
329. None the less, in each case before that court, a main thread can be found, namely that the decisive factor lies in whether the fears of the person concerned can be held to be objectively justified. (46)
330. In the light of that criterion, the European Court of Human Rights has sometimes accepted that the combination of judicial functions and also the combination of judicial and non-judicial functions were not contrary to the principle of objective impartiality, and has sometimes held that such combinations of functions were not permissible.
331. Thus, for example, in Gubler v. France , (47) the impartiality of the disciplinary section of the National Council of the Ordre des médecins was challenged by Mr Gubler. That body had lodged a complaint against Mr Gubler and had adjudicated on that same complaint. Mr Gubler maintained that the disciplinary section had been judge and party.
332. The European Court of Human Rights considered that, since the members of the disciplinary section who had formed part of the composition which adjudicated on the complaint lodged against Mr Gubler were unconnected with the National Council’s decision to lodge such a complaint, the applicant’s doubts as to the independence and impartiality of the members of the disciplinary section could not be objectively justified. (48)
333. In Procola v. Luxembourg , (49) the applicant challenged the impartiality of the Judicial Committee of the Luxembourg Conseil d’État (Council of State) in an action against a grand-ducal regulation. Four of the five members of that committee had initially given an opinion on the draft regulation in the context of their advisory function.
334. The European Court of Human Rights noted that four members of the Conseil d’État had carried out both advisory functions and judicial functions. It held that the mere fact that certain persons successively performed those two types of function in respect of the same decisions was capable of casting doubt on that institution’s structural impartiality, thus justifying the applicant’s doubts. (50)
335. The European Court of Human Rights has also stated that Article 6(1) of the ECHR imposes an obligation on every national court to check whether, as constituted, it is an impartial tribunal. (51)
336. That case-law must also be read in conjunction with the effectiveness of other principles, which are also fundamental, namely the right of access to a court or tribunal and a right to an appeal.
337. As the Community bodies with jurisdiction to hear and determine an action for compensation for the damage caused by the functioning of the Community justice system, one at first instance, the other on appeal, number only two, it seems to me reasonable to accept that they have jurisdiction, subject to the express reservation that the composition dealing with the action is different from the one which adopted the act giving rise to the alleged harm.
338. Admittedly, the judgment delivered by the European Court of Human Rights in Mihalkov v. Bulgaria (52) may give rise to doubt as to the possibility for the Court of First Instance to hear an action for compensation for the damage caused by a Community Court. The Court of Human Rights considered in that case that even if there was no reason to doubt the personal impartiality of the judges of the City of Sofia court, the fact that they were professionally associated with one of the parties to the proceedings (as the liability of the City of Sofia court was at issue) could in itself cause the applicant to have legitimate doubts as to the objective impartiality of the judges and their independence vis-à-vis the other party to the proceedings. (53) In addition, the applicant’s doubts could be strengthened by the fact that, according to the relevant budgetary rules, payment of the compensation which would be awarded to him would have to be charged to the budget of the court of the City of Sofia. (54)
339. I would none the less emphasise that that particular decision cannot be transposed to the present case. Since a State has many courts, an action could easily be assigned to courts which have no connection with the procee dings and are therefore immune to any doubt as to their impartiality. That is not the case at Community level, as we have just seen.
340. If the reasoning of the European Court of Human Rights in that case were to be followed, neither the Court of First Instance nor even the Court of Justice, when the conduct of the latter Court is in issue, would then be able to adjudicate on an action for compensation for the damage caused by a Community Court. That would therefore constitute a denial of justice.
341. To my mind, all those factors argue in favour of retaining the jurisdiction of the Court of First Instance to hear and determine an action of that type.
342. For those reasons, and subject to the conditions mentioned above, I consider that only the general procedure is applicable.
VII – Conclusion
343. In the light of the foregoing considerations, I propose that the Court should:
– dismiss the appeal in its entirety; and
– order Der Grüne Punkt – Duales System Deutschland GmbH to pay the costs, pursuant to Article 69(2) of the Rules of Procedure of the Court of Justice of the European Communities.
(1) .
(2) – Case T‑151/01 Duales System Deutschland v Commission [2007] ECR II‑1607; ‘the judgment under appeal’.
(3) – Waste recovery is not the same as recycling. Recycling is a process for treating waste which allows the component materials of a product to be used in the production cycle of a product. Waste recovery involves using that waste as a raw material.
(4) – Case COMP D3/34493 – DSD (OJ 2001 L 166, p. 1; ‘the decision at issue’).
(5) – First Regulation implementing Articles [81 EC] and [82 EC] (OJ, English Special Edition 1959‑1962, p. 87).
(6) – BGBl. 1991 I, p. 1234.
(7) – Cases COMP/34493 – DSD, COMP/37366 – Hofmann and DSD, COMP/37299 – Edelhoff and DSD, COMP/37291 – Rethmann and DSD, COMP/37288 – ARGE and five others and DSD, COMP/37287 – AWG and five others and DSD, COMP/37526 – Feldhaus and DSD, COMP/37254 – Nehlsen and DSD, COMP/37252 – Schönmakers and DSD, COMP/37250 – Altvater and DSD, COMP/37246 – DASS and DSD, COMP/37245 – Scheele and DSD, COMP/37244 – SAK and DSD, COMP/37243 – Fischer and DSD, COMP/37242 – Trienekens and DSD, COMP/37267 – Interseroh and DSD (OJ 2001 L 319, p. 1).
(8) – See recitals 4, 58 and 59 to the decision at issue.
(9) – See recitals 7, 60 and 61 to the decision at issue.
(10) – See recital 20 to the decision at issue. See also the communication of the German Government to the Commission of 24 May 2000 (Annex K 21 to the application initiating the action). The German Government indicates, in particular, that ‘an individual disposer may however combine take-back “in the vicinity of the business” and collection in the vicinity of the final consumer by participating in a dual system under Paragraph 6(3) of the Packaging [Ordinance] for only part of the packaging which it has placed on the market’.
(11) – See paragraph 111 of the judgment under appeal.
(12) – See, in particular, Joined Cases C‑189/02 P, C‑202/02 P, C‑205/02 P to C‑208/02 P and C‑213/02 P Dansk Rørindustri and Others v Commission [2005] ECR I‑5425, paragraph 426.
(13) – See paragraph 9 of the judgment under appeal.
(14) – OJ 1989 L 40, p. 1.
(15) – See, in particular, Case C‑115/02 Rioglass and Transremar [2003] ECR I‑12705, paragraph 25 and the case-law cited.
(16) – See the website of Eco‑Emballages, the holder of the licence to use the Der Grüne Punkt logo in France (http://www.ecoemballages.fr).
(17) – Joined Cases C‑403/04 P and C‑405/04 P [2007] ECR I‑729, paragraphs 118 and 119.
(18) – Case C‑185/95 P [1998] ECR I‑8417.
(19) – The Commission cites Baustahlgewebe v Commission , paragraph 49.
(20) – Baustahlgewebe v Commission , paragraph 18.
(21) – Ibid., paragraph 19.
(22) – Ibid., paragraph 20.
(23) – Ibid., paragraph 21.
(24) – Ibid., paragraph 22.
(25) – Ibid., paragraph 29.
(26) – Ibid., paragraph 30. See also Eur. Court H.R., Kemmache v. France , 27 November 1991, Series A no. 218, § 60.
(27) – Annex R 24 to the appeal.
(28) – See Eur. Court H.R., Pélissier and Sassi v. France [GC], no. 25444/94, ECHR 1999‑II, § 71.
(29) – Baustahlgewebe v Commission , paragraph 35.
(30) – Ibid., paragraph 36.
(31) – Joined Cases C‑120/06 P and C‑121/06 P [2008] ECR I‑0000.
(32) – Paragraph 213.
(33) – Baustahlgewebe v Commission , paragraph 42.
(34) – Ibid., paragraph 45.
(35) – Ibid., paragraphs 45 and 46.
(36) – See point 268 of this Opinion.
(37) – See, in particular, Case C‑112/00 Schmidberger [2003] ECR I‑5659, paragraph 71.
(38) – Ibid.
(39) – See Eur. Court H.R., Hauschildt v. Denmark , 24 May 1989, Series A no. 154, § 58.
(40) – The jurisdiction of the Court of First Instance was set by the Council, at the request of the Court of Justice and after consulting the European Parliament and the Commission. Council Decision 88/591/ECSC, EEC, Euratom of 24 October 1988 establishing a Court of First Instance of the European Communities (OJ 1988 L 319, p. 1), as amended by Council Decision 93/350/Euratom, ECSC, EEC of 8 June 1993 (OJ 1993 L 144, p. 21), thus provided, in Article 3(1)(c), that the Court of First Instance was to have jurisdiction, at first instance, in actions brought by natural or legal persons seeking to establish the non-contractual liability of the Community for damage caused by its institutions.
(41) – See Eur. Court H.R., Piersack v. Belgium , 1 October 1982, Series A no. 53, § 30.
(42) – See Eur. Court H.R., Hauschildt v. Denmark , § 47.
(43) – Ibid., § 48. See also Eur. Court H.R., Morel v. France , 18 October 2000, § 42.
(44) – Ibid.
(45) – § 45.
(46) – See Eur. Court H.R., Hauschildt v. Denmark , § 48, and Hirschhorn v. Romania , no. 29294/02, ECHR 2007-, § 73.
(47) – See Eur. Court H.R., Gubler v. France , no. 69742/01, 27 July 2006.
(48) – Ibid., §§ 28 and 30. For examples of situations in which the European Court of Human Rights has held that the combination of judicial functions was acceptable, see Eur. Court H.R., Nortier v. the Netherlands , 24 August 1993, Series A no. 267, and Depiets v. France , no. 53971/00, ECHR 2004-I.
(49) – See Eur. Court H.R., Procola v. Luxembourg , 28 September 1995, Series A no. 326.
(50) – Ibid., § 45. For examples of cases in which the combination of judicial functions has been held to constitute a violation of the ECHR, see Eur. Court H.R., Findlay v. the United Kingdom , 25 February 1997, Reports of Judgments and Decisions 1997‑I, and Tierce and Others v. San Marino , nos. 24954/94, 24971/94 and 24972/94, ECHR 2000-IX.
(51) – See Eur. Court H.R., Remli v. France , 23 April 1996, Reports of Judgments and Decisions 1996‑II, § 48.
(52) – See Eur. Court H.R., Mihalkov v. Bulgaria , no. 67719/01, 10 April 2008.
(53) – Ibid., § 47.
(54) – Ibid., § 48.