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1 Horizontal Direct Effect of Directives: Reform Long Overdue? By Beatrice Grasso Introduction Since its introduction in the European legal system, the principle of direct effect has generated very conflicting opinions. On the one hand, in fact, it is seen as fundamental to protect citizens’ rights in a decentralised system of enforcement such as that of the European Union; 1 on the other, however, it has been identified as an inappropriate exercise of judicial activism on part of the Court of Justice of the European Union (previously known as European Court of Justice; hereinafter referred to as ‘Court of Justice’ or ‘the Court’), leading to the excessive erosion of individual Member States’ sovereignty. 2 This issue became particularly controversial with respect to directives, which, because of their nature, are more dependent on Member States’ willingness to implement them promptly and correctly, with disagreements emerging especially in relation to their potential to confer rights directly on individuals. 3 In light of the great importance of the principle of direct effect, particularly in relation to directives, and its potential repercussions on the rights and obligations of individual citizens, this article seeks to provide a critical evaluation of said principle and of the alternative means developed by the Court of Justice in order to mitigate disadvantages caused to individuals by the absence of horizontal direct effect for directives. In order to achieve this objective, a brief overview of the development of direct effect will be provided firstly. Subsequently, consideration will be given to the reasons why the Court of Justice refused horizontal direct effect for directives. In the final part, alternative means of redress available to individuals will be identified and their effectiveness assessed. It is here submitted that, although the alternative methods developed by the Court to mitigate the effects of its decision not to allow individuals to rely on direct effect of directives in proceedings which do not involve public entities can be fairly effective if taken jointly, they tend to generate considerable uncertainty and impose a 1 Alina Kaczorowska, European Union Law (3rd edn, Routledge 2013) 264. 2 Asterios Pliakos and Georgios Anagnostaras, ‘Who is the Ultimate Arbiter? The Battle Over Judicial Supremacy in EU law’ (2011) 36 EL Rev 109, 113. 3 Thomas König and Brooke Luetgert, ‘Troubles with Transposition? Explaining Trends in MemberState Notification and the Delayed Transposition of EU Directives’ (2009) 39 Brit J of Pol Sc 163, 164165.
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Page 1: Horizontal Direct Effect of Directives, Reform Long Overdue? · Horizontal Direct Effect of Directives: Reform Long Overdue? By Beatrice Grasso Introduction Since its introduction

 

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Horizontal Direct Effect of Directives: Reform Long Overdue?

By Beatrice Grasso

Introduction

Since its introduction in the European legal system, the principle of direct effect has generated very

conflicting opinions. On the one hand, in fact, it is seen as fundamental to protect citizens’ rights in

a decentralised system of enforcement such as that of the European Union;1 on the other, however,

it has been identified as an inappropriate exercise of judicial activism on part of the Court of Justice

of the European Union (previously known as European Court of Justice; hereinafter referred to as

‘Court of Justice’ or ‘the Court’), leading to the excessive erosion of individual Member States’

sovereignty.2

This issue became particularly controversial with respect to directives, which, because of their

nature, are more dependent on Member States’ willingness to implement them promptly and

correctly, with disagreements emerging especially in relation to their potential to confer rights

directly on individuals.3 In light of the great importance of the principle of direct effect, particularly

in relation to directives, and its potential repercussions on the rights and obligations of individual

citizens, this article seeks to provide a critical evaluation of said principle and of the alternative

means developed by the Court of Justice in order to mitigate disadvantages caused to individuals by

the absence of horizontal direct effect for directives.

In order to achieve this objective, a brief overview of the development of direct effect will be

provided firstly. Subsequently, consideration will be given to the reasons why the Court of Justice

refused horizontal direct effect for directives. In the final part, alternative means of redress available

to individuals will be identified and their effectiveness assessed. It is here submitted that, although

the alternative methods developed by the Court to mitigate the effects of its decision not to allow

individuals to rely on direct effect of directives in proceedings which do not involve public entities

can be fairly effective if taken jointly, they tend to generate considerable uncertainty and impose a

                                                                                                               1  Alina  Kaczorowska,  European  Union  Law  (3rd  edn,  Routledge  2013)  264.  

2  Asterios  Pliakos  and  Georgios  Anagnostaras,   ‘Who  is  the  Ultimate  Arbiter?  The  Battle  Over  Judicial  Supremacy  in  EU  law’  (2011)  36  EL  Rev  109,  113.  

3   Thomas   König   and   Brooke   Luetgert,   ‘Troubles   with   Transposition?   Explaining   Trends   in  Member-­‐State  Notification  and  the  Delayed  Transposition  of  EU  Directives’  (2009)  39  Brit  J  of  Pol  Sc  163,  164-­‐165.  

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greater financial burden on individuals and States alike than horizontal direct effect otherwise

would. Despite the shortcomings of such doctrine, and the disagreements it generates, it is here

contended that, on balance, its introduction in EU law would be a highly necessary and long

overdue one.

Origin of the principle of direct effect

The concept of direct effect was first introduced by the Court of Justice in the landmark case of Van

Gend en Loos.4 This principle, which is not included in any of the Treaties, was, however, not

wholly invented by the Court of Justice, but was rather the transposition and reformulation of a pre-

existing principle of public international law.5 The general rule in public international law provides

that international treaties do not confer rights directly on individuals: it is, in fact, the governments’

task to introduce such provisions into national legislation, so as to carry out their obligations under

any treaty.6 An exception to this rule is nevertheless present, and was identified by the Permanent

Court of International Justice (PCIJ) in its judgment in the Danzig case as far back as 1928, where it

held that some treaties – now commonly referred to as ‘self-executing’ – could confer direct and

personal rights on individuals, but only if it was the parties’ express intention to adopt a treaty to

create individual rights and obligations enforceable by municipal courts.7

In Van Gend, which concerned the introduction of a new custom duty in contrast with the

provisions then contained in the EEC Treaty, the Court of Justice converted the Danzig exception

into one of the basic principles of EU law, by holding that a sufficiently clear, precise and

unconditional Treaty provision could be capable of conferring directly enforceable rights upon

individuals.8 This was possible because the (then) European Economic Community constituted a

‘new legal order of international law’ for the sake of which States had willingly restricted their

                                                                                                               4   Case   26/62  Van   Gend   en   Loos   v   Nederlandse   Administratie   der   Belastingen   [1963]   ECR   1,  [1963]  CMLR  105.  

5  Alina  Kaczorowska,  European  Union  Law  (3rd  edn,  Routledge  2013)  264.  

6  Case  Concerning  Jurisdiction  of  the  Courts  of  Danzig  (Advisory  Opinion)  PCIJ  Rep  Series  B  No  15.  

7  ibid.  

8   Case   26/62  Van   Gend   en   Loos   v   Nederlandse   Administratie   der   Belastingen   [1963]   ECR   1,  [1963]  CMLR  105,  130;  Case  43/75  Defrenne  v  Sabena  [1976]  ECR  455,  [1976]  2  CMLR  98,  112;  Case  57/65  Alfons  Lütticke  GmbH  v  Hauptzollamt  Sarrelouis  [1966]  ECR  205,  Opinion  of  AG  Gand,  216;  Case  2/74  Reyners  v  Belgium  [1974]  ECR  631,  Opinion  of  AG  Mayras,  659-­‐661.  

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sovereign rights in certain fields.9 In reaching this conclusion, the Court of Justice rejected the

Danzig suggestion that such an interpretation should be based on the intention of the parties, but

rather applied, as it usually does, a teleological approach of interpretation,10 striving to give effect

to the spirit of the Treaties and achieving the objectives set therein, rather than adopting the strictly

textual interpretative approach endorsed by the PCIJ.11 As the intention behind the Treaties was to

create an internal market, it was necessary to ensure consistency in their application and

enforcement in all Member States if this objective was ever to be achieved.12 The fact that the

creation of an internal market directly concerns individual citizens within the Union meant that they

had themselves become subjects of this ‘new legal order’ as much as Member States, therefore

rendering it necessary for them to be able to enforce their rights and obligations and access

remedies before their national courts in all matters governed by EU law.13

Although Van Gend only introduced direct effect for Treaty articles creating obligations for States

towards individuals in a vertical relationship (‘vertical direct effect’), the doctrine was later

substantially expanded to comprise also Treaty articles which placed duties on other individuals,

thereby rendering them enforceable also in horizontal relationships (‘horizontal direct effect’).14

Over the years, the Court of Justice gradually expanded the scope of the principle, establishing that

regulations could also have direct effect, both vertically15 and horizontally.16 As for directives, they

posed a particular problem: given that they are not directly applicable but only require Member

States to achieve a particular result, thus leaving them wide discretion as to the methods used,17 it

                                                                                                               9   Case   26/62  Van   Gend   en   Loos   v   Nederlandse   Administratie   der   Belastingen   [1963]   ECR   1,  [1963]  CMLR  105,  129.  

10  R  v  Henn  [1980]  2  All  ER  166,  [1980]  2  WLR  597  (HL)  635  (Lord  Diplock).  

11   Case   26/62  Van  Gend   en   Loos   v  Nederlandse  Administratie   der  Belastingen   [1963]  ECR  1,  [1963]  CMLR  105,  129.  

12  ibid.  

13  ibid;  Alina  Kaczorowska,  European  Union  Law  (3rd  edn,  Routledge  2013)  266.  

14  Case  43/75  Defrenne  v  Sabena  [1976]  ECR  455  

15  Case  C-­‐93/71  Leonesio  v  Ministero  dell’Agricoltura  e  Foreste  [1972]  ECR  287,  para  22;  Case  43/71  Politi  v  Ministero  delle  Finanze  [1971]  ECR  1039,  para  9  

16  Case  C-­‐253/00  Munoz  v  Frumar  [2002]  ECR  I-­‐7289,  para  28.  

17   Consolidated   Version   of   the   Treaty   on   the   Functioning   of   the   European   Union   (TFEU)  [2010]  OJ  C83/01,  art  288.  

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was initially thought that they would not be capable of fulfilling the Van Gend criteria.18 The same

issue initially seemed to arise also in relation to decisions and general principles, as they too are not

directly applicable, that is, they require further implementing legislation to be passed in order for

them to take effect in the various Member States.19

Introducing direct effect of directives

A change in stance came with the case of Grad,20 where the Court of Justice conceded that non-

directly applicable provisions, such as directives or decisions, may have direct effect, provided their

‘nature, background and wording’ were capable of doing so.21 The Court of Justice relied on the

doctrine of effectiveness (generally referred to by its French name, effet utile) to guide its

interpretation of the law. Under this doctrine, if the purpose of a provision has been clearly

identified, any subsequent interpretation of the specific terms of the provision itself must be

interpreted so as to guarantee that the provision will retain its overall effectiveness.22

In Grad, the Court adopted the view that the introduction of direct effect for non-directly applicable

provisions was needed to ensure that the effet utile of such measures would not be weakened by the

fact that nationals of Member States could not invoke certain provisions in national courts, despite

the obligation that these provisions placed on Member States to act in a particular way.23 It was

therefore necessary to promote integration and to reinforce legal safeguards for individuals in

national courts by granting direct effect also to decisions and, potentially, directives.24

Subsequently, the Court of Justice confirmed this possibility in the case of Van Duyn.25 Miss Van

Duyn, a Dutch national, sought to work at the British Headquarters of the Church of Scientology,

but was refused leave to enter the country by British immigration authorities on grounds of public                                                                                                                18  AJ  Easson,  ‘The  “Direct  Effect”  of  EEC  Directives’  28  ICLQ  319,  323-­‐324,  328.  

19  ibid.  

20  Case  9/70  Grad  v  Finanzamt  Traunstein  [1970]  ECR  825.  

21  ibid,  para  6.  

22  Nial   Fennelly,   ‘Legal   Interpretation   at   the  European  Court   of   Justice’   (1996)  20  Fordham  Int’l  L  J  656,  674.  

23  Case  9/70  Grad  v  Finanzamt  Traunstein  [1970]  ECR  825,  para  5.  

24  Case  9/70  Grad  v  Finanzamt  Traunstein  [1970]  ECR  825,  Opinion  of  AG  Roemer,  847;  see  also  Case  33/70  SpA  SACE  v  Ministero  delle  Finanze  [1970]  ECR  1213,  para  15.  

25  Case  41/74  Van  Duyn  v  Home  Office  [1974]  ECR  1337.  

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policy, as the UK Government took the view that the Church’s activities had harmful effects on

those involved. It was, however, not unlawful to work for the Church of Scientology per se, and

Miss Van Duyn had not personally committed any violation of the existing British policies. One of

the grounds on which she challenged the decision of the British authorities to refuse her leave to

enter the country was that, on the basis on art 3(1) of Directive 64/22126 (now art 27(2) of Directive

2004/38),27 any measures taken by Member States on the basis of public policy must be based

exclusively on the personal conduct of the individual. As the directive had not yet been

implemented by the UK, however, it became necessary to consider whether, as Miss Van Duyn

argued, it could have direct effect.

Once again, the Court focused on the need to ensure the effectiveness of the whole system of

Community law, and held that the effet utile of obligations being imposed on Member States would

be invalidated if individuals could not rely on them,28 and it would be inappropriate to allow a State

to place reliance on its failure to implement a directive to curtail individual rights.29 Moreover, such

conduct would be incompatible with the binding effect of directives,30 and with the Member States’

duty under the Treaties to fulfil their obligations resulting from acts of institutions of the Union, and

to facilitate the achievement of the Union’s tasks.31

a. Vertical direct effect

Directives will therefore be capable of having vertical direct effect if, taking account of their

wording and nature,32 the Van Gend criteria are met, that is, they are clear, precise, unconditional

                                                                                                               26   Council  Directive   (EEC)  64/221  on   the   co-­‐ordination  of   special  measures   concerning   the  movement   and   residence   of   foreign   nationals   which   are   justified   on   grounds   of   public  policy,  public  security  or  public  health  [1964]  OJ  P56/850.  

27   Council   Directive   (EC)   2004/38   on   the   right   of   citizens   of   the   Union   and   their   family  members   to  move  and   reside   freely  within   the   territory  of   the  Member  States   [2004]  OJ  L158/77.  

28  Case  41/74  Van  Duyn  v  Home  Office  [1974]  ECR  1337,  para  2.  

29   ibid,   para   12;   Case   148/78  Pubblico  Ministero   v   Ratti   [1979]   ECR   1629,   para   21.   This   is  known  as  the  ‘estoppel  argument’,  see  Paul  P  Craig,  ‘Directives:  Direct  Effect,  Indirect  Effect  and  the  Construction  of  National  Legislation’  (1997)  22  EL  Rev  519,  520.  

30  TFEU   [2010]  OJ  C83/01,   art  288;   see  Case  148/78  Pubblico  Ministero   v  Ratti   [1979]  ECR  1629,  para  20.  

31  Consolidated  Version  of  the  Treaty  on  European  Union  (TEU)  [2008]  OJ  C115/13,  art  4(3).  

32  Case  41/74  Van  Duyn  v  Home  Office  [1974]  ECR  1337,  para  12.  

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and leave little or no discretion to Member States.33 A particular problem was nevertheless posed by

the fact that directives give rise to such discretion by definition, seen that they leave national

authorities in each Member State free to choose the form and methods by which the provision will

be implemented.34 It was therefore difficult to see how they could ever be directly effective without

at the same time depriving States of their right to choose the specific means of implementation.35

This obstacle was nonetheless soon overcome. Referring to previous case-law, the Court of Justice

held that Member States’ freedom to choose the preferred method to give effect to a directive would

remain unaffected until the time limit set for implementation had expired.36 Once this has lapsed,

however, individuals will be able to rely on a directive which meets all other criteria in proceedings

against the State.37 Furthermore, due consideration had to be given to the principle of supremacy of

Union law, which has also been developed by the Court of Justice in its jurisprudence throughout

the years.38 Despite the fact that no express provision has been included in any of the Treaties in

relation to this principle, its existence was acknowledged in 2007 by the Treaty of Lisbon, which

introduced Declaration 17 to confirm the status of supremacy as a ‘cornerstone principle of

                                                                                                               33  Case  148/78  Pubblico  Ministero  v  Ratti  [1979]  ECR  1629,  Opinion  of  AG  Reischl,  1651.  

34  TFEU  [2010]  OJ  C83/01,  art  288.  

35   Paul   P   Craig,   ‘Directives:   Direct   Effect,   Indirect   Effect   and   the   Construction   of   National  Legislation’   (1997)   22   EL   Rev   519,   519-­‐520;   Nicolas   Bernard,   ‘The   Direct   Effect   of  Directives:  Retreating  From  Marshall  (No  1)?’(1995)  24  ILJ  97,  98.  

36  Case  9/70  Grad  v  Finanzamt  Traunstein  [1970]  ECR  825,  para  13.  

37   Case   148/78   Pubblico   Ministero   v   Ratti   [1979]   ECR   1629,   para   22;   Case   8/81   Becker   v  Finanzamt  Münster-­‐Innenstadt  [1982]  ECR  53,  paras  24-­‐25.  

38  Notably  Case  26/62  Van  Gend  en  Loos  v  Nederlandse  Administratie  der  Belastingen  [1963]  ECR  1,  [1963]  CMLR  105,  129;  Case  6/64  Costa  v  ENEL  [1964]  ECR  1141,  [1964]  CMLR  425,  455;   Case   11/70   Internationale   Handelsgesellschaft   mbH   v   Einfuhr-­‐   und   Vorratsstelle   für  Getreide   und   Futtermittel   [1970]   ECR   1125,   para   3;   Case   106/77   Amministrazione   delle  Finanze   dello   Stato   v   Simmenthal   SpA   [1978]   ECR   629,   para   17.   For   a   more   thorough  examination  of  the  way  this  principle  has  developed  and  its  acceptance  in  national  courts,  see  Raffaele  Mauro  Petriccione,  ‘Supremacy  of  Community  Law  Over  National  Law’  (1986)  11  EL  Rev  320;  Asterios  Pliakos  and  Georgios  Anagnostaras,   ‘Who  Is  the  Ultimate  Arbiter?  The   Battle   Over   Judicial   Supremacy   in   EU   Law’   (2011)   36   EL   Rev   109;   and   HRW  Wade,  ‘Sovereignty:  Revolution  or  Evolution?’  (1996)  112  LQR  568.  

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Community law’.39 Therefore, in accordance with this principle, directives found to have direct

effect will take precedence over any conflicting provisions of national law.40

b. Horizontal direct effect

This extension of the scope of direct effect was not well received by Member States, prompting

several criticisms of the Court of Justice, and even accusations of judicial activism.41 Concerned

with the possible consequences of further ill-received judgments and desiring to minimise the risk

of defiance from Member States,42 the Court of Justice rather unsurprisingly decided to restrict the

scope of the principles it had established, notably by refusing to further extend them so as to allow

for directives to have horizontal direct effect.43 The most evident result of this decision was that,

while citizens could rely upon this principle to enforce their rights against the State, they were

precluded from doing so in any proceedings involving other individuals – term which, for the

purposes of this area of law, includes both natural and legal persons.

The Court attempted to officially justify this change in stance by adopting a strictly textual

interpretation of the Treaties, in stark contrast with its previous reliance on the teleological

approach, used consistently for many years.44 The main argument that the Court of Justice put

forward was that, as directives were addressed to Member States, they could not in themselves

place obligations directly on individuals.45 Any such obligation would, moreover, be unjust, since

                                                                                                               39   Declaration  concerning  primacy  (No  17)  annexed  to  the  Final  Act  of  the  Intergovernmental  Conference   which   adopted   the   Treaty   of   Lisbon   (signed   13   December   2007)   [2012]   OJ  C326/346.  

40  Case  36/75  Rutili  v  Ministre  de  l’Intérieur  [1975]  ECR  1219,  para  16.  

41   Geoffrey   Garrett,   R   Daniel   Kelemen   and   Heiner   Schulz,   ‘The   European   Court   of   Justice,  National   Governments,   and   Legal   Integration   in   the   European   Union’   (1998)   52  International  Organization  149,   160.   For   a  more  detailed  discussion  of   the   allegations  of  judicial   activism  of   the  COURT  OF   JUSTICE,   see  Takis  Tridimas,   ‘The  Court  of   Justice  and  Judicial  Activism’  (1996)  21  EL  Rev  199;  and  Lord  Howe  of  Aberavon,  ‘Euro-­‐justice:  Yes  or  No?’  (1996)  21  EL  Rev  187,  190-­‐194.  

42  ibid,  161.  

43   Case   152/84  Marshall   v   Southampton   and   South-­‐west   Hampshire   Area   Health   Authority  [1986]  ECR  723,  para  48.  

44  TFEU  [2010]  OJ  C83/01,  art  288.  

45  ibid;  Case  152/84  Marshall  v  Southampton  and  South-­‐west  Hampshire  Area  Health  Authority  [1986]  ECR  723,  Opinion  of  AG  Slynn,  734;  AJ  Easson,  ‘The  “Direct  Effect”  of  EEC  Directives’  28  ICLQ  319,  344.  

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individuals would not be informed of new provisions, given that – at the time – directives did not

have to be published in the Official Journal.46

This was nevertheless difficult to accept as a truly insurmountable obstacle, inasmuch as directives

were usually published anyway47 and, even in the case where they were not, it would have sufficed

to identify publication as a pre-requisite to direct effect to eliminate this particular injustice towards

individuals.48 Notwithstanding this, a similar argument is now untenable, since publication on the

Official Journal has been made compulsory also for directives in 1992, under the Maastricht

Treaty.49 Furthermore, it was claimed that to allow directives to have horizontal direct effect would

dim the difference between them and regulations, as established in the Treaties,50 and would give

rise to legal uncertainty, contrary to the principles and sprit of Union law.51 These arguments, albeit

highly criticised,52 might nonetheless have been accepted by commentators, had the Court of Justice

itself not eroded them through subsequent judgments.53

Notwithstanding this, it soon became clear that this established restriction of the scope of direct

effect had given rise to manifest injustice and discrimination, as it meant that, for instance,

individuals working in the public sector were de facto afforded more rights vis-à-vis their

employers than those working in the private sector. This issue was clearly displayed in two cases

involving the same directive, which the Court of Justice heard on the same day: the cases of Von

Colson54 and Harz.55 Both cases involved German women who argued they had been discriminated

                                                                                                               46   Case   152/84  Marshall   v   Southampton   and   South-­‐west   Hampshire   Area   Health   Authority  [1986]  ECR  723,  Opinion  of  AG  Slynn,  734.  

47  Case  9/70  Grad  v  Finanzamt  Traunstein  [1970]  ECR  825,  Opinion  of  AG  Roemer,  848.  

48   Paul   P   Craig,   ‘Directives:   Direct   Effect,   Indirect   Effect   and   the   Construction   of   National  Legislation’  (1997)  22  EL  Rev  519,  521.  

49  Now  codified  in  TFEU  [2010]  OJ  C83/01,  art  297(2).  

50  ibid.  

51  Case  C-­‐201/02  R  (on  the  application  of  Wells)  v  Secretary  of  State  for  Transport  [2004]  ECR  I-­‐723,  para  56.  

52  Nicolas  Bernard,   ‘The  Direct  Effect  of  Directives:  Retreating  From  Marshall  (No  1)?’(1995)  24  ILJ  97,  99.  

53  Albertina  Albors-­‐Llorens,   ‘Keeping  Up  Appearances:  the  Court  of  Justice  and  the  Effects  of  EU  Directives’  (2010)  69  CLJ  455,  456.  

54  Case  14/83  Von  Colson  v  Land  Nordrhein  Westphalen  [1984]  ECR  1891.  

55  Case  79/83  Harz  v  Tradax  [1984]  ECR  1921.  

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against on grounds of gender when applying for a job, the only difference being that Von Colson

had applied for a job in the public sector, whereas Harz had applied for a job in the private sector.

However, as a result of the Court of Justice’s judgment in Marshall,56 where it had refused

horizontal direct effect for directives, only Von Colson would be able to exercise her rights deriving

from Union law.57 This blatant unfairness prompted the Court of Justice to attempt to diminish the

adverse effects its decision was having on the enforcement of citizens’ rights.

Alternative doctrines mitigating the lack of horizontal direct effect

So as to overcome the practical repercussions of its decision, the Court took the opportunities

offered by a number of cases to start developing a series of alternative means to guarantee

protection of individual rights in national courts.58

a. The broad interpretation given to the meaning of ‘State’

In order to mitigate the effects of its refusal to extend horizontal direct effect to directives, the Court

of Justice firstly proceeded to broaden the scope of vertical direct effect by expanding the definition

of State so as to include its emanations. The Court, in fact, soon recognised that directives fulfilling

all other criteria could be relied upon by individuals in actions against bodies which were under the

control of the State or which had exceptional powers, such as tax authorities,59 local and regional

authorities,60 authorities responsible for the maintenance of security and public order,61 and public

health services.62

                                                                                                               56   Case   152/84  Marshall   v   Southampton   and   South-­‐west   Hampshire   Area   Health   Authority  [1986]  ECR  723  

57  Case  14/83  Von  Colson  v  Land  Nordrhein  Westphalen  [1984]  ECR  1891.  

58  Case  C-­‐555/07  Seda  Kücükdeveci  v  Swedex  GmbH  &  Co  [2010]  ECR  00,  Opinion  of  AG  Bot,  para   58;   Case   C-­‐91/92  Faccini   Dori   v   Recreb   Srl   [1994]   ECR   I-­‐3325,   Opinion   of   AG   Lenz,  paras  31-­‐32;  Case  C-­‐282/10  Dominguez  v  Centre  Informatique  du  Centre  Ouest  Atalntique  et  Préfet  de  la  Région  Centre  [2012]  ECR  0,  Opinion  of  AG  Trstenjak,  para  65.  

59  Case  C-­‐221/88  ECSC  v  Acciaierie  e  Ferrerie  Busseni  SpA  [1990]  ECR  I-­‐495,  para  23.  

60  Case  103/88  Fratelli  Costanzo  SpA  v  Comune  di  Milano  [1989]  ECR  1839,  paras  30-­‐31  

61  Case  222/84  Johnston  v  Chief  Constable  of  the  Royal  Ulster  Constabulary  [1986]  ECR  1651,  para  57  

62   Case   152/84  Marshall   v   Southampton   and   South-­‐west   Hampshire   Area   Health   Authority  [1986]  ECR  723,  para  50  

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The Court subsequently provided clearer guidance for national courts as to the interpretation of the

meaning of State in the landmark case of Foster v British Gas,63 where it followed the Advocate

General’s suggestion that ‘State’ ought to be construed widely.64 In its judgment, the Court held that

directives could always be relied upon against ‘a body, whatever its legal form, which has been

made responsible, pursuant to a measure adopted by the State, for providing a public service under

the control of the State and has for that purpose special powers beyond those which result from the

normal rules applicable in relations between individuals’.65

It follows from this definition that, for the purposes of EU law, the term “public body” goes beyond

its normal understanding in the narrow sense, to include also various emanations of the State itself.

In order to satisfy the test, a body must meet the three criteria identified in the quote above, that is,

it must be placed under the control of the State to provide a public service and to that end must have

been endowed with special powers.66 Subsequent developments have determined that the Foster test

is not to be applied as a statutory definition, but a more purposive approach should be adopted by

courts in construing “State”,67 which eventually led to the finding that privatised undertakings could

also be considered State authorities.68 The full extent of the significance of this conclusion can be

better appreciated if it is considered that it stands in sharp contrast with earlier cases, which only a

few years before had conclusively established that nationalised companies were incapable of

meeting the Foster criteria.69

Although generally this development was positively received,70 doubts have consistently been

raised as to its fairness. It is, in fact, difficult to reconcile the Court’s desire not to penalise

individuals for a failure of their national government with its subsequent attribution of

responsibility on authorities or private bodies which bear no responsibility in a central                                                                                                                63  Case  C-­‐188/89  Foster  v  British  Gas  [1990]  ECR  I-­‐03313.  

64  Case  C-­‐188/89  Foster  v  British  Gas  [1990]  ECR  I-­‐03313,  Opinion  of  AG  Van  Gerven,  para  8.  

65   Case   C-­‐188/89   Foster   v   British   Gas   [1990]   ECR   I-­‐03313,   para   20.   However,   note   the  difference  in  formulation  in  para  18.  

66  Alina  Kaczorowska,  European  Union  Law  (3rd  edn,  Routledge  2013)  285.  

67  National  Union  of  Teachers  v  Governing  Body  of  St  Mary’s  Church  of  England   Junior  School  [1997]  3  CMLR  630  (CA)  [44]-­‐[45]  (Schiemann  LJ).  

68  Griffin  v  South  West  Water  Services  [1995]  IRLR  15  (Ch)  16  (Blackburne  J).  

69  Doughty  v  Rolls  Royce  plc  [1992]  1  CMLR  1045  (CA)  [27]  (Mustill  LJ).  

70  Nicholas  Grief,   ‘Direct  Effect  of  Directives  and  Organs  of   the  State’  (1991)  16  EL  Rev  136,  142.  

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government’s failure to implement a directive.71 Moreover, this approach still did not eliminate the

inherent inequality resulting from the difference in treatment afforded to individuals dealing within

the public sector as opposed to those dealing in the private.72

b. The principle of indirect effect

To remedy the injustice it had, perhaps unwillingly, generated, the Court of Justice subsequently

developed what has become known as the principle of ‘indirect effect’, by which national courts are

required to interpret domestic legislation, considered in its entirety,73 in conformity with Union

law,74 a principle which has been argued to represent a logical conclusion deriving from the

established supremacy of EU law.75 Driven by the need to ensure the effet utile of EU law, and

based on the presumption that all Member States wish to comply with their obligations under the

Treaties,76 this interpretative obligation exists regardless of whether the provision in question is

capable of having direct effect,77 thereby including directives enforced against individuals, and

irrespective of whether the national law pre- or post-dates it.78

Adopting once again a textual approach to the interpretation of the Treaties,79 the Court of Justice

bypassed its own objections to horizontal direct effect of directives. The Court reasoned that one of

the factors precluding the existence of horizontal direct effect was that a directive could not ‘of

                                                                                                               71   KPE   Lasok,   ‘Can   Persons   Other   Than  Member   States   Be   Bound   by   the   “Direct   Effect”   of  Directives?’  (1990)  1  ICCLR  195,  196;  Paul  P  Craig,   ‘The  Legal  Effect  of  Directives:  Policy,  Rules  and  Exceptions’  (2009)  34  EL  Rev  349,  356.  

72   Case   C-­‐91/92  Faccini  Dori   v   Recreb   Srl   [1994]   ECR   I-­‐3325,  Opinion   of   AG   Lenz,   para   51;  Nicolas  Bernard,  ‘The  Direct  Effect  of  Directives:  Retreating  From  Marshall  (No  1)?’(1995)  24  ILJ  97,  99.  

73  Cases  C-­‐397-­‐401/01  Pfeiffer  v  Rotes  Kreuz  [2004]  ECR  I-­‐8835,  para  115.  

74  Case  14/83  Von  Colson  v  Land  Nordrhein  Westphalen  [1984]  ECR  1891,  para  28;  Case  79/83  Harz  v  Tradax  [1984]  ECR  1921,  paras  27-­‐28.  

75  Alina  Kaczorowska,  European  Union  Law  (3rd  edn,  Routledge  2013)  287.  

76  TEU  [2008]  OJ  C115/13,  art  4(3);  Case  C-­‐334/92  Wagner  Miret  v  Fondo  de  Garantía  Salarial  [1993]  ECR  I-­‐6911,  para  20.  

77  ibid.  

78  Case  C-­‐106/89  Marleasing  SA  v  La  Comercial  Internacional  de  Alimentacion  SA  [1990]  ECR  I-­‐04135,  para  8.  

79  TFEU  [2010]  OJ  C83/01,  art  288.  

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itself’ impose an obligation on individuals.80 This rendered the operation of indirect effect between

individuals acceptable due to the fact that the obligation in question is not technically imposed by

the directive itself, but rather by national law which is merely interpreted in light of the directive.81

This reasoning has been taken a step further by the judgment in Mangold,82 where the Court of

Justice found that, if a directive could be interpreted as solely codifying a general principle of

Union law, national courts should ensure the effectiveness of the principle by allowing individuals

to rely on the principle itself, even though the directive may not be suitable to have direct effect and

the date for implementation has not passed.83

Despite the fact that the introduction of the principle of indirect effect constituted a giant leap

forward by the Court of Justice in circumventing the lack of horizontal direct effect of directives,

there are limits to the effectiveness of this principle. The Court itself, by stating that courts have to

interpret national law ‘as far as possible’ in conformity with EU law,84 recognised the existence of

natural boundaries.85 Moreover, in order to abide by the general principles of legal certainty and

non-retroactivity,86 pre-existing national law cannot be interpreted in light of a directive which has

not yet been transposed if that would have the effect of imposing an obligation or aggravating the

criminal liability of an individual.87 Furthermore, the effectiveness of this doctrine of consistent

                                                                                                               80   Case   152/84  Marshall   v   Southampton   and   South-­‐west   Hampshire   Area   Health   Authority  [1986]  ECR  723,  para  48.  

81  Paul  P  Craig,  ‘The  Legal  Effect  of  Directives:  Policy,  Rules  and  Exceptions’  (2009)  34  EL  Rev  349,  358.  

82  Case  C-­‐144/04  Mangold  v  Helm  [2005]  ECR  I-­‐9981,  followed  in  Case  C-­‐378/07  Angelidaki  v  Organismos  Nomarkhiaki  Aftodiikisi  Rethimnis   [2009]  ECR  I-­‐3071  and  Case  C-­‐279/09  DEB  Deutsche  Energiehandels-­‐  Und  Beratungsgesellschaft  MbH  v  Germany  [2011]  2  CMLR  21.  

83  Case  C-­‐144/04  Mangold  v  Helm  [2005]  ECR  I-­‐9981,  para  78.  For  a  critique  of  this  case,  see  Dagmar  Schiek,  ‘The  ECOURT  OF  JUSTICE  Decision  in  Mangold:  a  Further  Twist  on  Effects  of  Directives  and  Constitutional  Relevance  of  Community  Equality  Legislation’   (2006)  35   ILJ  329.  

84  Case  C-­‐106/89  Marleasing  SA  v  La  Comercial  Internacional  de  Alimentacion  SA  [1990]  ECR  I-­‐04135,  para  8.  

85  Case  C-­‐91/92  Faccini  Dori  v  Recreb  Srl  [1994]  ECR  I-­‐3325,  Opinion  of  AG  Lenz,  para  37.  

86  Case  C-­‐105/03  Criminal  Proceedings  Against  Maria  Pupino  [2005]  ECR  I-­‐05285,  para  44.  

87   Case  C-­‐168/95  Criminal  Proceedings  Against   Luciano  Arcaro   [1996]  ECR   I-­‐4705,  para  42;  Joined   Cases   C-­‐387/02,   C-­‐391/02   and   C-­‐403/02   Criminal   Proceedings   Against   Silvio  Berlusconi,  Sergio  Adelchi,  Marcello  Dell’Utri  and  Others  [2005]  ECR  I-­‐3565,  para  74.  

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interpretation rests largely on the ability and the willingness of national courts to reach a favourable

outcome for individuals.88

It has also been argued that the application of indirect effect generates greater uncertainty than

horizontal direct effect would.89 Some commentators, in fact, maintain that, if the latter were

approved, by virtue of the primacy of EU law, individuals would have no doubt as to the fact that a

clear, precise and unconditional directive would take precedence over any conflicting national

provisions, once the deadline for implementation had passed.90 As things currently stand, however,

individuals wishing to understand their rights and obligations need to examine the whole body of

domestic law and attempt to foresee whether and how a court might interpret it in light of a

directive, even when this would not be fit for direct effect.91

c. The principle of State liability

Given these weaknesses, the Court of Justice attempted to find another way to safeguard individual

rights. The occasion came with the case of Francovich,92 which concerned a directive incapable of

direct effect93 in a situation where there was no national law which could be interpreted in

conformity with it.94 In its judgment, the Court found that, because certain provisions of Union law

were capable of generating rights and obligations for individuals, and national courts were required

to ensure the full efficacy of such provisions, their value would be undermined if individuals were

                                                                                                               88   See,   for   example,  Duke   v  GEC  Reliance   Ltd   [1988]  AC  618   (HL)  641   (Lord  Templemann);  followed  in  Finnegan  v  Clowney  Youth  Training  Programme  Ltd  [1990]  2  AC  407  (HL)  416-­‐417  (Lord  Bridge  of  Harwich)  and  Porter  v  Cannon  Hygiene  [1993]  IRLR  329  (NI  CA)  para  13  (Kelly  LJ).  However,  note  Litster  v  Forth  Dry  Dock  and  Engineering  Co  Ltd   [1990]  1  AC  546  (HL)  559  (Lord  Oliver  of  Aylmerton)  and  Webb  v  EMO  Air  Cargo  (UK)  Ltd  [1995]  1  WLR  1454  (HL)  1459-­‐1460  (Lord  Keith  of  Kinkel).  

89  Paul  P  Craig,  ‘The  Legal  Effect  of  Directives:  Policy,  Rules  and  Exceptions’  (2009)  34  EL  Rev  349,  360.  

90  ibid.  

91  ibid,  360-­‐361;  Paul  P  Craig,  ‘Directives:  Direct  Effect,  Indirect  Effect  and  the  Construction  of  National  Legislation’  (1997)  22  EL  Rev  519,  523-­‐524.  

92  Case  C-­‐6/90  Francovich  and  Bonifaci  v  Italy  [1991]  ECR  I-­‐05357.  

93  ibid,  para  26.  

94  ibid,  para  34.  

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unable to recover damages for losses caused by Member States’ failure to comply with Union law.95

It was thus inherent in the spirit of the Treaties that Member States should be obliged to make good

any loss or damage for which they were responsible.96 This obligation was, however, subject to

certain conditions:97 firstly, the directive should entail the grant of rights to individuals; secondly,

those rights should be identifiable on the basis of the provisions; and thirdly, there must be a causal

link between the breach of the State’s obligations and the loss and damage suffered by the

individual.98

The Court further developed this principle in following cases, eventually slightly modifying its

original formulation of the qualifying criteria. While maintaining both the need for the relevant

provision to intend to confer rights upon individuals and the requirement to establish a causal link

between the State’s breach and the individual’s loss, the Court further narrowed the test by

establishing that the breach also needed to be sufficiently serious,99 and found that the decisive test

to determine this was to consider whether the State or Community institution concerned ‘manifestly

and gravely disregarded the limits on its discretion’.100

In the case of Factortame,101 the Court of Justice, further gave some indications as to what factors

national courts should take into account when identifying a sufficiently serious breach, which

include the clarity and precision of the provision breached, whether the damage was caused

intentionally or involuntarily, and whether any error in law was excusable.102 Following cases

further clarified this by identifying whether a sufficiently serious breach had occurred in specific

situations. Thus, it is now apparent that a serious breach will always be found in cases of non-

implementation of directives,103 for breaches of a Treaty article,104 or when the violation persists

                                                                                                               95  ibid,  paras  31-­‐33.  

96  ibid,  paras  35-­‐36.  

97  ibid,  para  40.  

98  ibid.  For  a  more  detailed  discussion  of  the  judgement  in  Francovich  and  its  significance,  see  Josephine   Steiner,   ‘From   Direct   Effects   To   Francovich:   Shifting   Means   of   Enforcement   in  Community  Law’  (1993)  18  EL  Rev  3.  

99  Joined  Cases  C-­‐46/93  and  C-­‐48/93  Brasserie  du  Pêcheur  SA  v  Germany  and  R  v  Secretary  of  State  for  Transport  ex  parte  Factortame  [1996]  ECR  I-­‐01029,  para  51.  

100  ibid,  para  55.  

101  R  v  Secretary  of  State  for  Transport  ex  parte  Factortame  [1996]  ECR  I-­‐01029.  

102  ibid,  paras  55-­‐57.  

103  Case  C-­‐178/94  Dillenkofer  and  Others  v  Germany  [1996]  ECR  I-­‐04845,  para  29  

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despite a judgment establishing the existence of an infringement of EU law.105 If the case in

questions concerns a directive, it will also be necessary to consider whether the error made was

excusable or not.106

Despite the existence of such guidelines, determining whether a sufficiently serious breach had

occurred has often proven to be problematic for national courts.107 This situation has been further

complicated by the fact that the principle has been extended to cover breaches committed by all

branches of government108 as well as private parties,109 generating great uncertainty as to who will

bear responsibility for individual losses.110

Although the principles of State liability and effective judicial protection have been applauded as

the most effective alternative to direct effect,111 they still present considerable weaknesses. The

main problem seems to lie in the fact that the issue of causation and the quantification of damages

are left to national courts to determine according to domestic provisions.112 This means that, very

often, national procedural rules and the strictness of the test to determine the seriousness of the

breach will result in individuals not receiving an effective remedy, if at all, as occurred, for

                                                                                                                                                                                                                                                                                                                                                                               104  Case  C-­‐5/94  R  v  Ministry  of  Agriculture,  Fisheries  and  Food  ex  parte  Hedley  Lomas   [1996]  ECR  I-­‐2553,  para  28  

105  R  v  Secretary  of  State  for  Transport  ex  parte  Factortame  [1996]  ECR  I-­‐01029,  para  57.  

106  Case  C-­‐392/93  R  v  HM  Treasury  ex  parte  British  Telecom  [1996]  ECR  I-­‐1631,  paras  42-­‐45.  For   a  more   detailed   analysis,   see   Adam  Cygan,   ‘Defining   a   Sufficiently   Serious   Breach   of  Community  Law:  the  House  of  Lords  Casts  Its  Nets  Into  the  Waters’  (2000)  25  EL  Rev  452.  

107   Nicholas   Emiliou,   ‘State   Liability   Under   Community   Law:   Shedding   More   Light   on   the  Francovich  Principle?’  (1996)  21  EL  Rev  399,  409.  

108  Comprising  courts,  see  Case  C-­‐224/01  Gerhard  Köbler  v  Austria  [2003]  ECR  I-­‐10239,  para  32;  Case  173/03  Traghetti  del  Mediterraneo  SpA  v  Italy  [2006]  ECR  I-­‐5177,  para  46.    

109  Case  C-­‐453/99  Courage  Ltd  v  Crehan   [2001]  ECR   I-­‐6297,  para  26.  For  an  analysis  of   the  significance   of   Courage   and   its   implications,   see   Sara   Drake,   ‘Scope   of   Courage   and   the  Principle   of   “Individual   Liability”   for   Damages:   Further   Development   of   the   Principle   of  Effective  Judicial  Protection  by  the  Court  of  Justice’  (2006)  31  EL  Rev  841.  

110  For  a  more  detailed  discussion  of   the   issue,  see  Roy  W  Davis,   ‘Liability   in  Damages   for  a  Breach   of   Community   Law:   Some   Reflections   on   the   Question   of   Who   to   Sue   and   the  Concept  of  “the  State”’  (2006)  31  EL  Rev  69.  

111   Nicholas   Emiliou,   ‘State   Liability   Under   Community   Law:   Shedding   More   Light   on   the  Francovich  Principle?’  (1996)  21  EL  Rev  399,  405-­‐406.  

112  Joined  Cases  C-­‐46/93  and  C-­‐48/93  Brasserie  du  Pêcheur  SA  v  Germany  and  R  v  Secretary  of  State  for  Transport  ex  parte  Factortame  [1996]  ECR  I-­‐01029,  para  65.  

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instance, in Francovich itself.113 Although the Court of Justice has attempted to mitigate this effect,

going against its own judgments, by determining in some cases whether, on the facts, causation

could be found,114 this approach does not seem viable in the long term. Moreover, this type of

action is not advantageous for individuals, as it involves supplementary litigation costs and lengthy

procedures.115

d. The principle of incidental effect

In its quest for effective individual protection, the Court of Justice also developed what has become

known as “incidental” effect of directives. Faithful to its reasoning in Marshall, the Court found

that, although directives cannot impose obligations on private individuals, they can nonetheless

create rights.116 An individual will then be able to rely on an unimplemented directive as a defence

in legal actions against other individuals.117 However, this approach has been strongly criticised as

lacking consistency and fairness: to allow one party to gain the benefit of a directive, in fact,

automatically imposes an obligation on the other party, thus generating uncertainty as to which

duties will be imposed on them.118 In light of this, its actual application in proceedings, and

consequently its significance in providing an effective alternative to horizontal direct effect, has

been very limited.

                                                                                                               113  Elspeth  Deards,   ‘Brasserie  du  Pêcheur:  Snatching  Defeat  From  the  Jaws  of  Victory?’(1997)  22   EL   Rev   620,   624-­‐625;   Sara   Drake,   ‘Scope   of  Courage   and   the   Principle   of   “Individual  Liability”   for   Damages:   Further   Development   of   the   Principle   of   Effective   Judicial  Protection  by  the  Court  of  Justice’  (2006)  31  EL  Rev  841,  862.  

114   Case  C-­‐319/96  Brinkmann  Tabakfabriken  GmbH   v   Skatteministeriet   [1998]  ECR   I-­‐05255,  para  29.  

115  Case  C-­‐316/93  Vaneetveld  v  Le  Foyer  SA  [1994]  ECR  I-­‐00763,  Opinion  of  AG  Jacobs,  para  30;  Paul  P  Craig,   ‘Directives:  Direct  Effect,   Indirect  Effect  and  the  Construction  of  National  Legislation’  (1997)  22  EL  Rev  519,  537  

116  Case  C-­‐194/94  CIA  Security  International  SA  v  Signalson  SA  and  Securitel  SPRL  [1996]  ECR  I-­‐2201,   paras  49-­‐50;   Case  C-­‐443/98  Unilever   Italia   SpA   v   Central   Food   SpA   [2000]  ECR   I-­‐7573,  paras  49-­‐50.  

117  Case  C-­‐194/94  CIA  Security  International  SA  v  Signalson  SA  and  Securitel  SPRL  [1996]  ECR  I-­‐2201,  para  55.  

118  Paul  P  Craig,  ‘The  Legal  Effect  of  Directives:  Policy,  Rules  and  Exceptions’  (2009)  34  EL  Rev  349,  365-­‐369.  

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Conclusion

On balance, the alternative means developed by the Court of Justice to alleviate the lack of

horizontal direct effect of directives appear, if taken jointly, to have been fairly successful in

ensuring remedies for individuals affected by Member States’ breaches of their Union

obligations.119 Nevertheless, their significant drawbacks cannot be neglected, and have indeed

prompted calls to allow horizontal effect for directives.120

An interesting argument has been advanced to abandon entirely the distinction between horizontal

and vertical effect, as the former truly never exists: it has, in fact, been contended that even when an

action is between two private parties, it will always be a ‘trilateral’ action brought in front of a

court.121 Since the court’s duty is to interpret the law, which is set out in the directive, and courts

are public bodies exercising a constitutional function, the relationship existing between the parties

will always be a vertical one between the State (embodied by the court) and private individuals.122

Therefore, given the inexistence of purely horizontal relationships, all directives should

automatically be allowed direct effect.123

This rather revolutionary view, however, has as of yet not been embraced. For the time being, the

Court of Justice has maintained its position, especially in view of continued opposition by Member

States to an expansion of the principle,124 notwithstanding the fact that it would reduce their liability

in damages when these could be attributed to individuals instead.125 It is strongly hoped, however,

that the Court will in the future be willing to accept horizontal direct effect for directives in the                                                                                                                119  Takis  Tridimas,   ‘Horizontal  Effect  of  Directives:  a  Missed  Opportunity’   (1994)  19  EL  Rev  621,  633.  

120  Case  C-­‐91/92  Faccini  Dori   v  Recreb  Srl   [1994]  ECR   I-­‐3325,  Opinion  of  AG  Lenz,  para  73;  Case  C-­‐316/93  Vaneetveld  v  Le  Foyer  SA  [1994]  ECR  I-­‐00763,  Opinion  of  AG  Jacobs,  para  36;  Case   C-­‐271/91  Marshall   v   Southampton   and   South-­‐west   Hampshire   Area  Health   Authority  [1993]  ECR  I-­‐4367,  Opinion  of  AG  Van  Gerven,  para  12.  

121   KPE   Lasok,   ‘Can   Persons  Other   Than  Member   States   Be   Bound   by   the   “Direct   Effect”   of  Directives?’  (1990)  1  ICCLR  195,  196;  Paul  P  Craig,   ‘The  Legal  Effect  of  Directives:  Policy,  Rules  and  Exceptions’  (2009)  34  EL  Rev  349,  197.  

122  ibid.  

123  ibid,  198.  

124   Case   C-­‐91/92  Faccini   Dori   v   Recreb   Srl   [1994]   ECR   I-­‐3325,   Opinion   of   AG   Lenz,   para   6;  Takis   Tridimas,   ‘Horizontal   Effect   of   Directives:   a  Missed  Opportunity’   (1994)   19   EL  Rev  621,  635.  

125   Paul   P   Craig,   ‘Directives:   Direct   Effect,   Indirect   Effect   and   the   Construction   of   National  Legislation’  (1997)  22  EL  Rev  519,  538.  

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interest of coherence and uniformity of Union law, and to enhance judicial protection for

individuals.126

References

Domestic Cases (United Kingdom)

Doughty v Rolls Royce plc [1992] 1 CMLR 1045

Duke v GEC Reliance Ltd [1988] AC 618 Finnegan v Clowney Youth Training Programme Ltd [1990] 2 AC 407

Griffin v South West Water Services [1995] IRLR 15 Litster v Forth Dry Dock and Engineering Co Ltd [1990] 1 AC 546

National Union of Teachers v Governing Body of St Mary’s Church of England Junior School [1997] 3 CMLR 630

Porter v Cannon Hygiene [1993] IRLR 329 R v Henn [1980] 2 All ER 166, [1980] 2 WLR 597

Webb v EMO Air Cargo (UK) Ltd [1995] 1 WLR 1454

European Union Cases

Case 26/62 Van Gend en Loos v Nederlandse Administratie der Belastingen [1963] ECR 1, [1963] CMLR 105 Case 6/64 Costa v ENEL [1964] ECR 1141, [1964] CMLR 425

Case 57/65 Alfons Lütticke GmbH v Hauptzollamt Sarrelouis [1966] ECR 205 Case 9/70 Grad v Finanzamt Traunstein [1970] ECR 825

Case 11/70 Internationale Handelsgesellschaft mbH v Einfuhr- und Vorratsstelle für Getreide und Futtermittel [1970] ECR 1125

Case 33/70 SpA SACE v Ministero delle Finanze [1970] ECR 1213 Case 43/71 Politi v Ministero delle Finanze [1971] ECR 1039

Case C-93/71 Leonesio v Ministero dell’Agricoltura e Foreste [1972] ECR 287 Case 2/74 Reyners v Belgium [1974] ECR 631

Case 41/74 Van Duyn v Home Office [1974] ECR 1337 Case 36/75 Rutili v Ministre de l’Intérieur [1975] ECR 1219

Case 43/75 Defrenne v Sabena [1976] ECR 455, [1976] 2 CMLR 98 Case 106/77 Amministrazione delle Finanze dello Stato v Simmenthal SpA [1978] ECR 629

Case 148/78 Pubblico Ministero v Ratti [1979] ECR 1629

                                                                                                               126  Takis  Tridimas,   ‘Horizontal  Effect  of  Directives:  a  Missed  Opportunity’   (1994)  19  EL  Rev  621,  636.  

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Case 8/81 Becker v Finanzamt Münster-Innenstadt [1982] ECR 53

Case 14/83 Von Colson v Land Nordrhein Westphalen [1984] ECR 1891 Case 79/83 Harz v Tradax [1984] ECR 1921

Case 152/84 Marshall v Southampton and South-west Hampshire Area Health Authority [1986] ECR 723

Case 222/84 Johnston v Chief Constable of the Royal Ulster Constabulary [1986] ECR 1651 Case 103/88 Fratelli Costanzo SpA v Comune di Milano [1989] ECR 1839

Case C-221/88 ECSC v Acciaierie e Ferrerie Busseni SpA [1990] ECR I-495 Case C-106/89 Marleasing SA v La Comercial Internacional de Alimentacion SA [1990] ECR I-04135 Case C-188/89 Foster v British Gas [1990] ECR I-03313

Case C-6/90 Francovich and Bonifaci v Italy [1991] ECR I-05357 Case C-271/91 Marshall v Southampton and South-west Hampshire Area Health Authority [1993] ECR I-4367 Case C-91/92 Faccini Dori v Recreb Srl [1994] ECR I-3325

Case C-334/92 Wagner Miret v Fondo de Garantía Salarial [1993] ECR I-6911 Joined Cases C-46/93 and C-48/93 Brasserie du Pêcheur SA v Germany and R v Secretary of State for Transport ex parte Factortame [1996] ECR I-01029 Case C-316/93 Vaneetveld v Le Foyer SA [1994] ECR I-00763

Case C-392/93 R v HM Treasury ex parte British Telecom [1996] ECR I-1631 Case C-5/94 R v Ministry of Agriculture, Fisheries and Food ex parte Hedley Lomas [1996] ECR I-2553 Case C-178/94 Dillenkofer and Others v Germany [1996] ECR I-04845

Case C-194/94 CIA Security International SA v Signalson SA and Securitel SPRL [1996] ECR I-2201

Case C-168/95 Criminal Proceedings Against Luciano Arcaro [1996] ECR I-4705 Case C-319/96 Brinkmann Tabakfabriken GmbH v Skatteministeriet [1998] ECR I-05255

Case C-443/98 Unilever Italia SpA v Central Food SpA [2000] ECR I-7573 Case C-453/99 Courage Ltd v Crehan [2001] ECR I-6297

Case C-253/00 Munoz v Frumar [2002] ECR I-7289 Case C-224/01 Gerhard Köbler v Austria [2003] ECR I-10239

Cases C-397-401/01 Pfeiffer v Rotes Kreuz [2004] ECR I-8835 Case C-201/02 R (on the application of Wells) v Secretary of State for Transport [2004] ECR I-723

Joined Cases C-387/02, C-391/02 and C-403/02 Criminal Proceedings Against Silvio Berlusconi, Sergio Adelchi, Marcello Dell’Utri and Others [2005] ECR I-3565

Case C-105/03 Criminal Proceedings Against Maria Pupino [2005] ECR I-05285 Case 173/03 Traghetti del Mediterraneo SpA v Italy [2006] ECR I-5177

Case C-144/04 Mangold v Helm [2005] ECR I-9981

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Case C-378/07 Angelidaki v Organismos Nomarkhiaki Aftodiikisi Rethimnis [2009] ECR I-3071

Case C-555/07 Seda Kücükdeveci v Swedex GmbH & Co [2010] ECR 00 Case C-279/09 DEB Deutsche Energiehandels- Und Beratungsgesellschaft MbH v Germany [2011] 2 CMLR 21 Case C-282/10 Dominguez v Centre Informatique du Centre Ouest Atalntique et Préfet de la Région Centre [2012] ECR 0

Journal Articles

Albors-Llorens A, ‘Keeping Up Appearances: the Court of Justice and the Effects of EU Directives’ (2010) 69 CLJ 455

Anagnostaras G, ‘The Quest for an Effective Remedy and the Measure of Judicial Protection Afforded to Putative Community Rights’ (2007) 32 EL Rev 727

Arnull A, ‘The Direct Effect of Directives: Grasping the Nettle’ (1986) 35 ICLQ 939 Arnull A, ‘The Duke Case: an Unreliable Precedent’ [1988] PL 313

Bernard N, ‘The Direct Effect of Directives: Retreating From Marshall (No 1)?’(1995) 24 ILJ 97 Craig PP, ‘Francovich, Remedies and the Scope of Damage Liability’ (1993) 109 LQR 595

Craig PP, ‘Directives: Direct Effect, Indirect Effect and the Construction of National Legislation’ (1997a) 22 EL Rev 519

Craig PP, ‘Once More Unto the Bench: the Community, the State and Damages Liability’ (1997b) 113 LQR 67

Craig P, ‘The Legal Effect of Directives: Policy, Rules and Exceptions’ (2009) 34 EL Rev 349 Cygan A, ‘Defining a Sufficiently Serious Breach of Community Law: the House of Lords Casts Its Nets Into the Waters’ (2000) 25 EL Rev 452 Davis RW, ‘Liability in Damages for a Breach of Community Law: Some Reflections on the Question of Who to Sue and the Concept of “the State”’ (2006) 31 EL Rev 69 Deards E, ‘Brasserie du Pêcheur: Snatching Defeat From the Jaws of Victory?’(1997) 22 EL Rev 620 Drake S, ‘Scope of Courage and the Principle of “Individual Liability” for Damages: Further Development of the Principle of Effective Judicial Protection by the Court of Justice’ (2006) 31 EL Rev 841

Easson AJ, ‘The “Direct Effect” of EEC Directives’ 28 ICLQ 319 Emiliou N, ‘State Liability Under Community Law: Shedding More Light on the Francovich Principle?’ (1996) 21 EL Rev 399 Fennelly N, ‘Legal Interpretation at the European Court of Justice’ (1996) 20 Fordham Int’l L J 656

Garrett G, Kelemen RD and Schulz H, ‘The European Court of Justice, National Governments, and Legal Integration in the European Union’ (1998) 52 International Organization 149

Grief N, ‘Direct Effect of Directives and Organs of the State’ (1991) 16 EL Rev 136 Howells GG, ‘European Directives: the Emerging Dilemmas’ (1991) 54 MLR 456

König T and Luetgert B, ‘Troubles with Transposition? Explaining Trends in Member-State Notification and the Delayed Transposition of EU Directives’ (2009) 39 Brit J of Pol Sc 16

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Lasok KPE, ‘Can Persons Other Than Member States Be Bound by the “Direct Effect” of Directives?’ (1990) 1 ICCLR 195 Lord Howe of Aberavon, ‘Euro-justice: Yes or No?’ (1996) 21 EL Rev 187

Petriccione RM, ‘Supremacy of Community Law Over National Law’ (1986) 11 EL Rev 320 Pliakos A and Anagnostaras G, ‘Who Is the Ultimate Arbiter? The Battle Over Judicial Supremacy in EU Law’ (2011) 36 EL Rev 109 Prechal S, ‘Adieu a la Directive?’(2005) 1 ECL Rev 481

Schiek D, ‘The ECOURT OF JUSTICE Decision in Mangold: a Further Twist on Effects of Directives and Constitutional Relevance of Community Equality Legislation’ (2006) 35 ILJ 329

Steiner J, ‘Coming to Terms With EEC Directives’ (1990) 106 LQR 144 Steiner J, ‘From Direct Effects To Francovich: Shifting Means of Enforcement in Community Law’ (1993) 18 EL Rev 3 Tridimas T, ‘Horizontal Effect of Directives: a Missed Opportunity’ (1994) 19 EL Rev 621

Tridimas T, ‘The Court of Justice and Judicial Activism’ (1996) 21 EL Rev 199 Von Bogdandy A, ‘Pluralism, Direct Effect, and the Ultimate Say: on the Relationship Between International and Domestic Constitutional Law’ (2008) 6 IJCL 397 Wade HRW, ‘Sovereignty: Revolution or Evolution?’ (1996) 112 LQR 568

Legislation

Consolidated Version of the Treaty on European Union [2008] OJ C115/13

Consolidated Version of the Treaty on the Functioning of the European Union [2010] OJ C83/01 Council Directive (EEC) 64/221 on the co-ordination of special measures concerning the movement and residence of foreign nationals which are justified on grounds of public policy, public security or public health [1964] OJ P56/850

Council Directive (EC) 2004/38 on the right of citizens of the Union and their family members to move and reside freely within the territory of the Member States [2004] OJ L158/77

Declaration concerning primacy (No 17) annexed to the Final Act of the Intergovernmental Conference which adopted the Treaty of Lisbon (signed 13 December 2007) [2012] OJ C326/346

Texts

Arnull A, The European Union and its Court of Justice (2nd edn, OUP 2006)

Brown LN and Kennedy T, The Court of Justice of the European Communities (5th edn, Sweet & Maxwell 2000)

Craig PP and de Búrca G (eds), EU Law: Text, Cases and Materials (4th edn, OUP 2008) de Búrca G and Weiler JHH (eds), The European Court of Justice (OUP 2001)

Foster N, EU Law Directions (3rd edn, OUP 2012) Kaczorowska A, European Union Law (3rd edn, Routledge 2013)

Tridimas T, The General Principles of EU Law (2nd edn, OUP 2007) Weatherill S and Beaumont P, EU Law (3rd edn, Penguin 1999)

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