Abstract: This article aims to examine the legality of trade measures addressing environmental conditions of production (PPMs) in the context of non-discrimination provisions under the General Agreement on Tariffs and Trade (GATT)1 and the Agreement on Technical Barriers to Trade (TBT Agreement).2 It shows that the notion of de facto discrimination is still a sensitive subject in the analysis of origin-neutral measures, including those based on environmental PPMs. Much of the discussion regarding PPMs focuses on the issue of ‘like products’. The interpretation of ‘likeness’ has also served to classify PPMs into the two categories of product related and non-product related. Such distinction rests on how the PPM affects the final product. However, it is important to analyse to what extent these measures can accord less favourable treatment to like products. The author argues that this requires a competition analysis. This article also elucidates how depending upon the applicable law (the TBT Agreement or the GATT) PPMs are likely to face different legal challenges, particularly in terms of less favourable treatment. The author also assesses the possibility of transposing concepts such as ‘legitimate regulatory distinctions’ stemming from the TBT jurisprudence into GATT cases involving PPMs, and whether there will be an additional ‘test’ for PPMs characterised as TBT measures. This article is based on an extensive literature review and doctrinal legal research.
Keywords:International trade law and the environmentInternational trade law and the environment, non-discrimination obligations under the GATT and the TBT Agreement non-discrimination obligations under the GATT and the TBT Agreement, processes and production methods processes and production methods, de facto discrimination de facto discrimination, WTO jurisprudence WTO jurisprudence.
Resumen: Este artículo tiene como objetivo examinar la legalidad de medidas restrictivas al comercio basadas en consideraciones ambientales relacionadas con los métodos de producción (PPM). Ello teniendo en cuenta obligaciones de no discriminación incorporadas en el Acuerdo General sobre Aranceles Aduaneros y Comercio (GATT) y el Acuerdo sobre Obstáculos Técnicos al Comercio (Acuerdo OTC). El artículo analiza cómo el concepto de discriminación de facto continúa representando uno de los mayores retos para la legalidad de las restricciones al comercio basadas en PPM ambientales (incluso cuando son neutras en el origen). Gran parte del debate sobre los PPM se centra en la interpretación del concepto de ‘productos semejantes’. Dicha interpretación también ha servido para forjar la clasificación de los PPM en dos categorías: ‘relacionados con el producto’ y ‘no relacionados con el producto’. Tal distinción se basa en cómo el PPM afecta el producto final. Con todo, resulta necesario analizar hasta qué punto las medidas basadas en consideraciones ambientales clasificadas como PPM pueden ofrecer un trato menos favorable a los productos semejantes importados. Lo que requiere de un análisis de competencia. Uno de los argumentos de la autora es que, dependiendo del acuerdo aplicable (OTC o GATT), los PPM podrían enfrentar diferentes retos jurídicos, particularmente en lo que respecta al trato menos favorable. La autora también evalúa la posibilidad de transponer conceptos tales como ‘distinciones reglamentarias legítimas’, que emergen de la jurisprudencia sobre OTC en casos analizados bajo el GATT que involucren PPM. Finalmente, debate la posibilidad de pruebas o tests adicionales para los PPM cuando estos son caracterizados como medidas OTC. Este artículo es producto de una investigación de carácter doctrinal y revisión de literatura.
Palabras clave: derecho del comercio internacional y medio ambiente, obligaciones sobre no discriminación en el GATT y el Acuerdo OTC, procesos de producción sostenibles, discriminación de facto, jurisprudencia de la OMC.
Resumo: Este artigo tem como objetivo examinar a legalidade de medidas restritivas ao comércio baseadas em considerações ambientais relacionadas com os métodos de produção (PPM). Isto tendo em conta obrigações de não discriminação incorporadas no Acordo Geral sobre Tarifas Alfandegárias e Comércio (GATT) e o Acordo sobre Obstáculos Técnicos ao Comércio (Acordo OTC). O artigo analisa como o conceito de discriminação de facto continua representando um dos maiores desafios para a legalidade das restrições ao comércio baseadas em PPM ambientais (inclusive quando são neutras na origem). Grande parte do debate sobre os PPM centra-se na interpretação do conceito de ‘produtos semelhantes’. Dita interpretação também tem servido para forjar a classificação dos PPM em duas categorias: ‘relacionados com o produto’ e ‘não relacionados com o produto’. Tal distinção baseia-se em como o PPM afeta o produto final. Contudo, resulta necessário analisar até que ponto as medidas baseadas em considerações ambientais classificadas como PPM podem oferecer um trato menos favorável aos produtos semelhantes importados. O que requere de uma análise de concorrência. Um dos argumentos da autora é que, dependendo do acordo aplicável (OTC ou GATT), os PPM poderiam enfrentar diferentes desafios jurídicos particularmente no que diz respeito ao trato menos favorável. A autora também avalia a possibilidade de transpor conceitos tais como ‘distinções regulamentares legítimas’, que emerge da jurisprudência sobre OTC em casos analisados sob o GATT que envolvam PPM. Finalmente, debate a possibilidade de provas ou testes adicionais para os PPM quando estes são caracterizados como medidas OTC. Este artigo é produto de uma pesquisa de carácter doutrinal e revisão de literatura.
Palavras-chave: direito do comércio internacional e meio ambiente, obrigações sobre não discriminação no GATT e o Acordo OTC, processos de produção sustentáveis, discriminação de facto, jurisprudência da OMC.
Artículos
Sustainable Production and Trade Discrimination: An Analysis of the WTO Jurisprudence
Producción sostenible y no discriminación comercial: un análisis de la jurisprudencia de la OMC
Produção sustentável e não discriminação comercial: uma análise da jurisprudência da OMC
Received: 13 February 2017
Accepted: 24 October 2017
There can be little doubt that the legality of environmental Process and Production Methods (PPMs) is a crucial issue in the context of the trade and environment relationship. PPMs can be regarded as regulatory choices associated with a wide range of environmental concerns. However, in trade disputes, challenged measures involving policy objectives addressing production issues in the conservation of natural resources tend to focus on fishing/harvesting techniques affecting animal species. US-Tuna (Mexico),3US-Tuna (EEC),4US-Shrimp,5US-Tuna II (Mexico)6 and EC-Seal Products7 show that concerns stemming from fishing and hunting techniques have been mainly associated with the protection of marine wildlife. The concept of ppms is not without ambiguities. In principle, it refers to measures prescribing the use of a specific production technique as a condition for market access. It follows that the product in question has to fulfil certain criteria associated with the use of particular PPMs in order to be allowed in the market, or to qualify for a tariff8 or non-tariff advantage such an exclusive label. In this sense, PPMs can be correctly interpreted as conditions for market access or tariff benefits. Such conditions may be mandatory9 or voluntary.10 They may also prescribe the production technique either in a positive or a negative way. That is to say, they may establish how the product must be produced, or, in contrast, how the product must not be produced.11
In spite of the above, it can be argued that the concept may also encompass measures adopted as a response to the way in which a certain PPM is perceived. This means that, the PPM can be regarded as the motivation behind the measure rather than as a requirement for market access. This is arguably the case of the Seal Regime of the European Union (EU Seal Regime) prohibiting the import and placing on the market of seal products. Such measure was adopted as a response to the “inhumane killing of the seals”,12 or in other words, to the “cruel” hunting methods employed when killing the seals. In this dispute, the EU alleged that the purpose of the Seal Regime was “not to ensure that a seal product fits a product characteristic or related process or production method” but rather to prohibit the sale of seal products.13 That was equivalent to saying that the Seal Regime did not prescribe PPMs. However, one could ask whether the exceptions provided in the seal regime, particularly the one related to indigenous communities, may amount to market access requirements based on PPMs.14
The initial stage of the debate about environmental PPMs was particularly shaped by the so-called product-process doctrine. Under the product-process doctrine, product distinctions based on the characteristics of the production method or the producers were regarded as a priori illegitimate.15 It was feared that allowing product distinctions based on PPMs rather than the physical characteristics or quality of products would create a loophole in the GATT.16 It is worth stressing that the product-process doctrine has been criticised in the literature. For instance, the opinion of Irwin is that it emerged from a “creative interpretation” of a GATT panel (i. e., US-Tuna) that gradually took on a life of its own. He points out that although the product-process doctrine was never explicitly proposed or endorsed by WTO Members, it still represents a challenge for PPMs.17
The basis for the product-process doctrine lies in the interpretation of the concept of ‘like products’ in Article III of the GATT.18 Although this issue is discussed below in further detail, it is important to mention here that in the assessment of likeness, adjudicatory bodies evaluate different factors such as the physical properties of the products, quality, end-uses, consumers’ tastes and habits, tariff classification,19 and also, competitive relationship between products.20 The interpretation of ‘likeness’ in the context of the product-process doctrine has also served to classify PPMs into the two categories of product related and non-product related.21 Such distinction rests on how the PPM affects the final product. Whilst the former affects the characteristics of the finished product, the latter does not. This is a fundamental distinction since the first consideration that has to be born in mind, when examining discrimination claims, is whether imported and domestic products are like products.
The category of product related PPMs (PR-PPMS) usually refers to processes affecting the expected physical characteristics of finished products (e. g., composition, colour, size, design features and functionality). These process-based concerns are associated with the impact of the method of production on the safety and quality of the product.22 It follows that in respect of concerns dealing with PR-PPMs, the process has a direct impact on the product characteristics. Consequently, it is possible to establish a nexus between process and the expected product attributes (e. g., safety considerations regarding the use of hormones in meat production, or pesticide residues in non-organic agricultural production). The main purpose of PR-PPMs can be therefore to achieve desirable quality/safety attributes in the product that are highly dependent on the production process.
In contrast, the category of non-product related PPMs (NPR-PPMs), which is the subject of this article, refers to other environmental or societal preferences stemming from the production stage (e. g., sustainably sourced products, animal welfare standards, carbon footprint and fair trade) that do not affect the external physical characteristics of products. In this type of measure, importance is attributed to life cycle considerations and environmental impacts associated with a certain production method. NPR-PPMs reflect existing social and environmental values that might inform purchase or consumption decisions.23
The classification of PPMs in terms of product-related (PR) and non-product related (NPR) may also influence the perception of likeness. PR-PPMs could be said to have an impact on the likeness assessment of imported vs. domestic products insofar as the products could be deemed unlike because of different physical characteristics. This ultimately would imply that the distinction based in the PPM is not unlawful because products are not “like”, particularly insofar as the PPMs may have an impact on the physical characteristics or the quality of the products. However, the same conclusion for NPR-PPMs is less clear.24 Should all criteria point to likeness between the products because the PPM does not affect the physical characteristics, end uses or product classification, the prima facie conclusion would be that products are “alike”. Therefore, a panel should assess whether the distinction based on the NPR-PPM has a detrimental impact on the competitive relationship between the products. Arguably, the only likeness criterion that could be affected by the PPM would be the consumers’ perception.25 However, it remains difficult to conclude that products that would otherwise be like (because all criteria point to likeness) are unlike on the basis of consumers’ preferences for a PPM, especially if the PPM is not incorporated into the product. In principle, the only manner in which consumers may be aware of the PPM is through a label, which is ultimately the result of governmental intervention. This governmental intervention can be expressed by means of mandatory or voluntary labelling schemes.
A question that remains to be answered is whether the traditional classification of PPMs as product-related and non-product related is still useful. This issue has been discussed by commentators such as Charnovitz,26 Pauwelyn,27 Howse and Regan,28 and Howse and Levy.29 As the distinction between PR-PPMs and NPR-PPMs has not yet been examined by WTO adjudicatory bodies,30 it is still uncertain whether the generic term ‘PPMs’ encompasses both categories or, conversely, whether NPR-PPMs should be considered as product characteristics. This is certainly a systemic issue that should be addressed either by the membership or by WTO adjudicatory bodies (if brought by a member in a future dispute). It should be emphasised that measures such as the one scrutinised in US-Tuna II (Mexico) can be regarded as a classic example of what the scholarly literature considers an environmental NPR-PPM. However, such a distinction was not addressed in the dispute. The panel agreed with the United States that the phrase “they apply to a product, process or production method”,31 means that “labelling requirements and other elements listed in the second sentence must relate to and concern “a product, process or production method”.32 It also agreed that the “labelling requirements laid down in the us dolphinsafe labelling provisions apply to’ a product, namely tuna products”. In other words, it considered the measure as “product related”.33
What seems to be clear is that non-discrimination obligations under the GATT and the TBT Agreement remain as an important challenge for the legality of measures based on environmental NPR-PPMs, in particular, the concept of ‘like products’ and the interpretation of de facto discrimination. This article analyses the scope of the legal tests for this type of measure in the context of Articles I and III of the GATT, and Article 2.1 of the TBT Agreement. In addition, it discusses the intersection between Article III and Article XI of the GATT for the purposes of characterising environmental NPR-PPMs as border measures or as domestic regulations. This article also draws attention to the fact that, although measures based on environmental NPR-PPMs may not contain any explicit reference to the origin of the products (i. e., not be facially discriminatory), they can nonetheless violate GATT and TBT provisions. Special attention is given to the concepts of ‘even-handedness’ and ‘legitimate regulatory distinctions’ stemming from the recent TBT jurisprudence. In particular, to the question of whether such concepts can illuminate the analysis of claims under GATT. Whether the concepts of ‘even-handedness’ and ‘legitimate regulatory’ distinctions only relate to the interpretation of the TBT Agreement as a possible lex specialis to GATT is a question of extensive debate. However, as discussed below, the recent ruling of the Appellate Body in EC-Seal Products has significantly clarified this issue. The most apparent consequence of such clarification is that the analysis of non-discrimination obligations under the GATT and the TBT Agreement follows different legal standards. Hence, depending under which agreement environmental NPR-PPMs are scrutinised, they may face different challenges in terms of consistency with non-discrimination obligations.
In the scholarly discussion about the legality of PPMs, one of the arguments put forward is that this type of measure may violate the principle of Most-Favoured-Nation (MFN) Treatment provided for in Article I:1 of the GATT. In recent reports, the Appellate Body has interpreted this provision broadly as protecting expectations “of equal competitive opportunities for like imported products from all Members”.34
It is often argued that the legality of measures based on environmental NPR-PPMs under Article I of the GATT depends to a large extent on the definition of the term ‘like products’.35 As suggested above, the issue of likeness has been one of the fundamental questions addressed in the legal analysis of process-based distinctions in the context of non-discrimination obligations under the GATT.36 In the recent US-Tuna II (Mexico) dispute, the panel followed the general or traditional approach for the determination of likeness, and also referred to the metaphor of the accordion, stressed in Japan-Alcoholic Beverages II.37 According to the panel, the products at issue shared “common physical characteristics and properties, end uses and tariff classification”. In other words, the panel concluded that the products were “in essence the same products, processed in a different country”.38 In addition, it also considered the relevance of “consumer preferences” when conducting the like products analysis, for instance when noting that American consumers had certain preferences related to the ‘dolphin-safe’ status of the tuna product.39 The panel emphasised that such preferences were a priori relevant for the likeness assessment insofar as “consumer preferences, including preferences relating to the manner in which the product has been obtained, may have an impact on the competitive relationship between these products”.40 However, after an examination of consumer preferences in relation to the dolphin-safe status of tuna products, the panel was not persuaded that such a criterion would affect the likeness of the products compared.41 It is worth mentioning that, although the measure at issue was based on a NPR-PPM, it was never contended among the parties that the product shared the same physical characteristics and properties.42 Thus, it can be argued that in the likeness analysis, the criterion related to the physical characteristics of the products was not as contentious as the one related to consumer perceptions.
Despite the fact that the question of likeness is fundamental in the analysis of non-discrimination obligations in the GATT and the TBT Agreement, it is not the only challenge for the legality of environmental NPR-PPMs. A violation of such obligations has to consider not only whether the imported and domestic products are alike, but also whether the imported products are treated less favourably than domestic like products.43 Hence, even if it is accepted that NPR-PPMs do not render products unlike, a panel has still to determine whether the measure affords less favourable treatment to the imported like products. A key question under this analysis is therefore whether environmental NPR-PPMs can modify the “conditions of competition in the relevant market to the detriment of imported products”.44 However, such detrimental impact has to be attributed to the governmental measure and not to other factors such as private choice.45 In this sense, it can be argued that the challenges for the legality of environmental NPR-PPMs under “non-discrimination” obligations in the GATT do not only relate to the definition of likeness but also to the idea of “less favourable treatment”. Such challenges may be even higher, provided that the notion of less favourable treatment, as currently interpreted by the Appellate Body, is highly focused on detrimental impact on competitive opportunities.46
It is generally accepted that a measure that is origin-contingent can violate Article I:1, provided that it discriminates between trading partners.47 As established in Colombia-Ports of Entry, this provision prohibits members from addressing certain concerns through the use of measures applied on the basis of origin.48 An important question is therefore whether origin-neutral environmental NPR-PPMs can be consistent with Article I:1 of the GATT.49 However, environmental PPMs might also risk being found inconsistent with Article I:1 of the GATT even when they do not facially discriminate or incur disparate impacts. The jurisprudence is clear that origin neutral measures can nonetheless violate non-discrimination obligations when they have a detrimental impact on the competitive opportunities for imported like products (i. e., they are de facto discriminatory).50 It follows that a measure based on PPMs can violate Article I:1 of the GATT irrespective of whether it is facially discriminatory or not.
A similar logic applies in cases involving claims under Article 2.1 of the TBT Agreement. The US-Tuna II (Mexico) dispute is particularly relevant for the purposes of identifying the challenges for origin neutral environmental NPR-PPMs in the context of the ‘non-discrimination’ obligation in the TBT Agreement.51 It is important to note that a violation of Article 2.1 of the TBT occurs when two conditions are met. The first condition is that the measure at issue has to fall within the scope of the TBT Agreement. The second condition is that the measure at issue accords less favourable treatment to like products (i. e., domestic or originated in any other WTO Member).52 The panel in US-Tuna II (Mexico) stated that the concept of equal treatment “does not necessarily imply identity of treatment for all products, but rather an absence of inequality to the detriment of imports from any Member”.53 In consequence, the panel found a similarity between the requirement of equal treatment in TBT Agreement, and the non-discrimination obligations in the GATT (Article I:1 and III:4).54 In addition, it also observed that the interpretation of concepts such as ‘less favourable treatment’ and ‘like products’ in the GATT provide further guidance for the interpretation of similar concepts in the context of the TBT Agreement.55
The panel in US-Tuna II (Mexico) analysed the level of discrimination in the US “dolphin safe” labelling provisions, and observed that when allowing the use of the “dolphin safe” label, the measures at issue distinguished between products on the basis of “capture method”, instead of the origin of the products.56 For the panel, this did not necessarily imply that the measure accords less favourable treatment to Mexican tuna products, as any fleet operating anywhere in the world had to comply with the same requirements.57 It was clear for the panel that the “dolphin safe” labelling provisions did not discriminate on the basis of the origin of the products,58 or, in other words, that the environmental measure was origin neutral. The panel also noted that the impact of the measure depended on several factors not related to the origin of the product, inter alia, “fishing and purchasing practices, geographical location, relative integration of different segments of production, and economic and marketing choices”.59 However, the Appellate Body did not agree with the panel, stressing that in such an interpretation, the panel appeared to “juxtapose factors that are related to the nationality of the product” with other factors such as those referenced above.60 In consequence, the Appellate Body reversed the panel’s finding related to “less favourable treatment” under Article 2.1 of TBT Agreement, stressing that “origin neutral” measures can be de facto discriminatory.61 It therefore becomes apparent that the interpretation of de facto discrimination in the context of “origin neutral” TBT measures remains very similar to the interpretation of the same concept in the context of the GATT jurisprudence.
In sum, although environmental NPR-PPMs may not contain any explicit reference to origin, they can nonetheless violate Article I:1 of the GATT when they are de facto discriminatory. This issue is of great significance in the context of the trade and environment debate, particularly since environmentally motivated trade barriers are likely to be origin-neutral. This gives rise to questions such as to what extent the expansive interpretation of de facto discrimination in origin-neutral measures may constrain the regulatory autonomy of WTO members, particularly in the field of environmental protection.62 Ehring observes that concerns related to the potential risk of excessive scrutiny of domestic regulation by WTO adjudicatory bodies “have to be balanced against the interest of preventing de facto discriminatory trade barriers”.63
In the light of the above, it can be argued that an expansive interpretation of de facto discrimination in the assessment of domestic regulations amounts to one of the greatest challenges for the legality of environmental NPR-PPMs. Although such measures are usually origin neutral, they may be regarded as causing detrimental impact on competitive opportunities of imported products. However, the jurisprudence under the TBT Agreement has consistently emphasised that such detrimental impact can be justifiable when stemming exclusively from “legitimate regulatory distinctions”. Whether ‘legitimate regulatory distinctions’ can be taken into account when a measure violates non-discrimination provisions under the GATT it is a matter of recent debate.
Another challenge for the legality of environmental NPR-PPMs stems from the ‘National Treatment’ obligation incorporated in Article III of the GATT and Article 2.1 of the TBT Agreement. It can be said that, although Article III of the GATT provides a context for interpretation of the ‘National Treatment’ obligation enshrined in Article 2.1 of the TBT Agreement,64 the legal standard under Article 2.1 of the TBT Agreement, namely the concept of ‘legitimate regulatory distinctions,’ does not seem to apply to claims under Article I and III of the GATT.65 These issues are addressed below.
The first paragraph of Article III articulates the general principle that informs the interpretation of each of the paragraphs in that provision. This principle states that “internal measures should not be applied so as to afford protection to domestic production”.66 Similar to Article I:1 of the GATT, the “National Treatment” provision in Article III also applies to de facto discriminatory measures, including those regarded as origin-neutral.67 However, it is worth noting that while paragraph 2 applies to internal taxes and other charges (i. e., fiscal internal measures), paragraph 4 relates to internal regulations (i. e., non fiscal internal measures). In this sense, Article III:2 of the GATT can apply to those measures aiming at promoting the use of sustainable PPMs by means of taxation or other charges. This would be the case for taxes imposed on the basis of how the product has been produced, for example, taxes on carbon intensive products.68 In contrast, Article III:4 of the GATT applies to “non-tax internal regulations”.69 It is clear that internal regulations can be enacted in order to promote sustainable practices of production and consumption. Such internal regulations may seek to reduce negative environmental externalities and to ensure availability of sustainable products. However, when such regulations, other than tax related, have a considerable impact on imported goods, they can be scrutinised under the terms of this particular provision. It can be argued that a violation of the “National Treatment” obligation in Article III of the gatt would depend on the definition of ‘likeness’.70 This issue is of great relevance in the context of NPR-PPMs, particularly considering that the product-process debate stems from the interpretation of the concept of like products in Article III of the GATT.71 As noted above, the central principle of the so-called “like product test”72 is that internal taxes and other regulatory measures have to treat like products equally. The second paragraph of the Note Ad Article III also refers to “directly competitive or substitutable products”.
The debate concerning to the application of Article III:4 to NPR-PPMs can be traced back to the early US-Tuna cases brought under the GATT dispute settlement system. In such disputes the panel considered that harvesting regulations intended to reduce the incidental taking of dolphins did not regulate the sale of tuna. In this approach, the panel suggested that the measures at issue were outside of the scope of the Note Ad Article III of the GATT. As a consequence, the panel proceeded to perform its analysis under the terms of Article XI and Article XX of the GATT. However, when interpreting Article III:4, and therefore, addressing the issue of likeness, the panel in US-Tuna (Mexico) stated that “regulations governing the taking of dolphins incidental to the taking of tuna could not possibly affect tuna as a product”.73 In addition, the same panel stated that Article III:4 of the GATT obliged “the United States to accord treatment to Mexican tuna no less favourable than that accorded to United States tuna, whether or not the incidental taking of dolphins by Mexican vessels corresponds to that of United States vessels”.74 Although the issue of like products was not analysed in depth, the panel in US-Tuna (Mexico) suggested, inter alia, that NPR-PPMs measures were not covered by Article III, and also that production methods do not affect the likeness of products. A similar approach was followed by the panel in US-Tuna (EEC).75
Environmental NPR-PPMs can sometimes be regarded as border measures or quantitative restrictions, covered by the terms of Article XI instead of Article III:4. This particular provision provides for a general elimination of quantitative restrictions and is considered one of the cornerstones of the GATT.76 Article XI therefore applies to “measures prohibiting or restricting the importation, exportation or sale for export of products other than measures that take the form of duties, taxes or other charges”.77 Environmental NPR-PPMs can violate Article XI when they are articulated in measures such as bans or quotas. A common example is when a WTO member adopts a quantitative restriction of a certain product on the basis of its compliance with desirable environmental practices. It is important to mention that Article XI and the term ‘restrictions’ are considered to be broad in scope.78 Pauwelyn observes that policy instruments restricting trade can be classified in terms of “border measures” or “market access restrictions” which affect products at the border, and “behind the border measures” or “domestic regulations” which affect products once they have cleared customs. While the former fall within the scope of provisions such as Article II and XI, the latter are usually scrutinised under the terms of Article III.79 According to Pauwelyn, the consequences of this distinction are vital, particularly because quantitative restrictions are prima facie prohibited by Article XI. In contrast, pursuant to Article III, WTO members can enact domestic regulations on the sole condition that they do not discriminate between imported and domestic products.80
It should be emphasised that WTO adjudicatory bodies have interpreted the concept of ‘restrictions’ broadly, noting that certain import restrictions do not need to be imposed or administered at the border in order to fall within the scope of Article XI.81 It therefore becomes apparent that the characterisation of a measure as an import restriction or as an internal requirement is not without difficulties. The jurisprudence in Colombia-Ports of Entry also shows that, in order to establish a violation of Article XI, a panel has to evaluate the design, structure, and architecture of the measure at issue. Furthermore, an assessment under Article XI will consider the potential adverse effects of the measure on imports, rather than the resulting impact on trade flows.82 Some commentators suggest that, when a measure applies to both domestic and imported products, it should be considered as an internal regulation for the purposes of Article III, and in consequence that Article XI does not apply.83
As argued above, the characterisation of an environmental NPR-PPM as an import ban or as a domestic regulatory requirement depends on the interpretation of the scope of the Note Ad Article III.84 It is also worth noting that the Note Ad Article III applies to domestic measures enforced at the time or point of importation.85 The US-Tuna and US-Tuna (EEC) reports appeared to suggest that environmental measures based on NPR-PPMs could not be covered by the Ad Note in Article III (i. e., did not constitute internal regulations). In both cases, it was held that the measure at issue distinguished between products on the basis of harvesting practices.
The interaction between Article III and Article XI was not examined in the US-Shrimp dispute. However, in the view of Howse and Regan, the report seemed to reaffirm that NPR-PPMs should be reviewed under Article XI instead of Article III.86 Despite the fact that the measure at issue was characterised as a quantitative restriction for the purposes of Article XI, the above-mentioned authors argue that such finding did not define the legal status of process-based measures.87 In other words, that from this decision it does not follow that measures based on PPMs shall be invariably scrutinised in the context of Article XI.88 It remains unclear whether such measures should be scrutinised under the terms of Article XI instead of Article III. On the other hand, it is clear that when a measure violates Article XI it can be nonetheless justified under Article XX of the GATT.
Although neither the panel report in US-Tuna (Mexico) nor the report in US-Tuna (EEC) were adopted, they served to shape the early stage of the debate concerning PPMs in the context of the GATT,89 particularly in the light of important concepts such as like products and less favourable treatment under Article III. The opinion of Van Den Bossche is that, although it may be possible to argue that NPR-PPMs are covered by Article XI and not by Article III:4 of the GATT, “the broad scope of application given to Article III:4 in the case law to date pleads against the exclusion of measures regulating NPR-PPMs from the scope of application of Article III:4”.90 Environmental measures based on NPR-PPMs might be found incompatible with Article III:4 of the GATT when they provide less favourable treatment to imported products than to domestic like products, particularly, when modifying the conditions of competition for imported products.
The question of whether in a GATT analysis, environmental NPRPPMs are covered by Article XI or by Article III would depend on the particular/factual characteristics of the measure at issue (i. e., design and structure). It should be recalled that the design and operation of a trade measure could be particularly complex. For example, it can be composed by prohibitive and permissive aspects, that is to say, be articulated as an import ban with exceptions. EC-Seal Products shows that while prohibitive aspects of the Seal Regime gave rise to claims under Article XI, the discriminatory aspects of the measure with respect to the exceptions for the Inuit Communities and for Marine Resource Management exceptions were challenged under Article I and III.
The principle of ‘National Treatment’ in Article III of the GATT is also present in Article 2.1 of the TBT Agreement. It should be said that in disputes involving the application of the TBT Agreement, the requirements of Article 2.1 of the TBT Agreement have been interpreted in the light of the jurisprudence under Article III:4 of the GATT. This is no surprise as both provisions refer to like products and treatment no less favourable.91 However, it was not until EC-Seal Products that the Appellate Body clarified that, although such provisions “should be read in a coherent and consistent manner”, the legal standards in Articles 1:1 and III:4 of the GATT, and Article 2.1 of the TBT Agreements, do not have identical meanings.92 The adjudication of claims under Article 2.1 of the TBT Agreement requires an assessment of the following elements: first, whether the measure at issue falls within the scope of the TBT Agreement; second, whether the imported and domestic products can be regarded as like products; and third, whether the measure at issue accords less favourable treatment to imported products.93 As discussed below, in the assessment of likeness under the TBT Agreement, adjudicatory bodies have followed a similar approach to the one of the GATT. However, the analysis of less favourable treatment in Article 2.1 needs to take into consideration the regulatory purpose of the measure. In US-Clove Cigarettes the Appellate Body held that assessment of less favourable treatment in Article 2.1 involves an examination of “whether the detrimental impact of a measure on the competitive opportunities of like products stems exclusively from a legitimate regulatory distinction”.94
It is worth noting that the panel in US-Clove Cigarettes was of the opinion that the regulatory purpose of the measure had to permeate and inform the likeness analysis.95 This gave rise to the question of whether in such an approach the panel attempted to revive the “aims and effects test” that was controversial in the context of the GATT jurisprudence.96 In spite of the above, the Appellate Body disagreed with the panel that the regulatory objective must inform the likeness analysis. It emphasised that a “purpose-based approach” poses difficulties,97 and clarified that the assessment of likeness both under Article 2.1 of the TBT Agreement and Article III: 4 of the GATT is about the “nature and extent” of the competitive relationship between products. The Appellate Body nonetheless stated that, in the assessment of likeness, the regulatory purposes underlying the measure can be relevant insofar as they can affect the competitive relationship between products.98 In addition, it referred to the importance of a competition-based approach when interpreting the concept of like products for the purposes of establishing less favourable treatment.99
The approach above has proven to be controversial in the literature. The opinion of Mavroidis is that in US-Clove Cigarettes, US-Tuna II (Mexico) and US-COOL,100 the Appellate Body has been transplanting its previous case law under Article III of the GATT into Article 2.1 of the TBT Agreement. He argues that interpreting the concept of like products in the same way as it is interpreted under the GATT (i. e., from a market perspective) leads to a wrong sequence in the analysis.101 It follows, in his opinion, that the analysis of like products should be understood as an analysis of policylikeness instead of market-likeness.102 Referring to US-Tuna II (Mexico), Mavroidis suggests that the appropriate question is not whether tuna and dolphin safe tuna are like products, but rather whether the respondent “has applied the dolphin-safe label in non-discriminatory manner across goods of different origin that meet the necessary regulatory requirements to have access to the label”.103 Mavroidis’s argument is therefore that likeness in the TBT Agreement “concerns the treatment of two products that pursue the same objective”,104 that is to say, a comparison between two policy-like goods (i. e., domestic ‘dolphin safe tuna’ vis-à-vis imported ‘dolphin safe tuna’).
The argument presented by Mavroidis has a clear significance for the analysis of the measures based on environmental NPR-PPMs in the context of the TBT Agreement. The most obvious consequence would be that the products compared for the purposes of determining likeness, are those pursuing like-policy objectives, namely those produced pursuing similar regulatory preferences associated with environmental protection. While this appears to be an interesting possibility, it is not without difficulties, particularly when measures pursue several and even conflicting objectives.105 As suggested above, the approach in the definition of likeness is fundamental insofar as it determines the category of products that should be compared when establishing less favourable treatment.
After conducting the likeness test, in which adjudicatory bodies have opted for the traditional criteria and a competition-based approach, the next step is thus to determine whether the domestic and imported products are treated differently. In the analysis of claims under Article 2.1 of the TBT Agreement, the panel has to evaluate whether the different treatment “modifies the conditions of competition to the detriment of the imported products”.106
Measures drawing distinctions between like products do not necessarily involve less favourable treatment. Arguably, the likeness between two products, for example, one “sustainably” produced and another one that has been produced with polluting methods, does not necessarily imply a violation either of Article III of the GATT or Article 2.1 of the TBT Agreement. In principle, a complainant has still to demonstrate a “less favourable treatment”. This was confirmed by the Appellate Body in EC-Asbestos when stating that a WTO member “may draw distinctions between products which have been found to be ‘like’, without, for this reason alone, according to the group of ‘like’ imported products ‘less favourable treatment’ than that accorded to the group of ‘like’ domestic products”.107
As observed above, the panel in US-Tuna II (Mexico) stated that “equality of treatment […] does not necessarily imply identical treatment for all products, but rather an absence of inequality to the detriment of imports from any Member”.108 However, the Appellate Body established that the concept of ‘equal treatment’ requires an examination of the detrimental impacts of the measure in the conditions of competition in the relevant market (i. e., to the groups of imported products).109 It is important to mention that in US-Clove Cigarettes, the Appellate Body emphasised that, insofar as the nature of “technical regulations” is to “establish distinctions between products according to their characteristics or their related processes and production methods”, such distinctions should not be interpreted as an expression of a less favourable treatment accorded to imported products.110 This approach was also confirmed in US-Tuna II (Mexico). In these cases, the Appellate Body held that Article 2.1 should not be read as meaning that “any distinctions, in particular ones that are based exclusively on particular product characteristics or on particular processes and production methods, would per se constitute ‘less favourable treatment’”.111 This assertion can be understood as confirming that distinctions based on PPMs, at least in the context of the TBT Agreement, do not per se constitute less favourable treatment.
The TBT Agreement seeks to achieve the balance between trade liberalisation and the regulatory autonomy of WTO members adopting technical regulations, standards and conformity assessment procedures.112 This regulatory autonomy plays an important role in the interpretation of the non-discrimination obligation under Article 2.1, particularly in the analysis of less favourable treatment. In US-Clove Cigarettes, the Appellate Body observed that possible detrimental effects in the competitive relation between domestic and imported products does not per se amount as less favourable treatment when stemming from “legitimate regulatory distinctions”.113 The same approach has been confirmed by the Appellate Body in the dispute US-COOL, which came after the cases US-Tuna II (Mexico) and US-Clove Cigarettes. The concept of legitimate regulatory distinctions is not defined as such, however, the Appellate Body in US-COOL provided the following explanation:
[…] where a regulatory distinction is not designed and applied in an even handed manner —because, for example, it is designed or applied in a manner that constitutes a means of arbitrary or unjustifiable discrimination— that distinction cannot be considered “legitimate”, and thus the detrimental impact will reflect discrimination prohibited under Article 2.1. In assessing even handedness, a panel must “carefully scrutinise the particular circumstances of the case, that is, the design, architecture, revealing structure, operation, and application of the technical regulation at issue”.114
The concept of ‘legitimate’ in the context of Article 2.1 evokes the language used in the chapeau of Article XX of the GATT. However, the Appellate Body has stressed the differences between both provisions. In EC-Seal Products, it held that, despite the similarities between Article 2.1 of the TBT Agreement and the chapeau of Article XX of the GATT, the legal tests in both provisions are not the same. According to the Appellate Body, the analysis under Article 2.1 requires the examination of whether detrimental impacts stem from legitimate regulatory distinctions rather than discrimination against imported products. On the other hand, the analysis under the chapeau is rather about the manner in which the measure is applied, that is to say, in a way that “that would constitute a means of arbitrary or unjustifiable discrimination”.115 Furthermore, it was also noted that Article 2.1 of the TBT Agreement and the chapeau of Article XX of the GATT have a different function and scope.116
It should be noted that, as in Article I:1 and Article III:4 of the GATT, Article 2.1 of the TBT Agreement also prohibits both de facto and de jure discrimination.117 In US-COOL, the Appellate Body referred to the concept of ‘even-handed measures’ when addressing the concept of discrimination and less favourable treatment. In doing so, the Appellate Body suggested that, although some technical regulations may have a “de facto detrimental impact on imports”, they do not necessarily violate Article 2.1 when such a detrimental impact stems from a legitimate regulatory distinction. However, in the event that regulatory distinctions “are not designed and applied in an even-handed manner, the detrimental impact can be interpreted as discriminatory treatment prohibited by Article 2.1, and therefore, the regulatory distinction cannot be regarded as ‘legitimate’”.118 In this sense, it is clear that “even-handedness” conditions the legitimacy of regulatory distinctions. As noted above, a panel must evaluate whether a regulatory distinction is even-handed by scrutinising in depth the particular circumstances of the measure, that is to say, its design, architecture, revealing structure, operation, and application.119
It follows that in a TBT case, a declared policy objective aiming to address environmental concerns related to PPMs can be scrutinised ab initio under Article 2.1 of the TBT Agreement. Such an approach does not seem to exist in the GATT jurisprudence, particularly since a “policy-test” is usually conducted by a panel when assessing whether the measure can be justified under the general exceptions of Article XX of the GATT.120 In the light of the WTO jurisprudence discussed above, it becomes apparent that a measure based on environmental NPR-PPMs can be consistent with the national treatment obligation, provided that it does not discriminate either de jure or de facto, and provided that the possible negative effects on the conditions of competition for imported products stem exclusively from “legitimate regulatory distinctions”. It is worth noting that in US-Tuna II (Mexico), the panel concluded that Mexico failed to demonstrate less favourable treatment, considering that the measure was origin neutral. However, the Appellate Body reversed this finding, stating inter alia, that the detrimental effects of the measure on Mexican products did not “stem exclusively from a legitimate regulatory distinction”.121
In US-Tuna II (Mexico) the respondent had to demonstrate that the difference in labelling conditions122 was a legitimate regulatory distinction, and also that the detrimental impact of its measure originated in such distinction rather than reflecting discrimination.123 The Appellate Body was not persuaded that the measure was even-handed by the United States, even accepting that the fishing method of setting on dolphins was harmful to dolphins. According to the Appellate Body, even though the measure fully addressed the adverse effects on dolphins resulting from the fishing method of setting on dolphins located in the Eastern Tropical Pacific (ETP), the measure did not address similar risks derived from fishing methods other than setting on dolphins outside the ETP.124 Hence, it was expected that if the United States was concerned about both “observed” and “unobserved” dolphin mortality, it should “calibrate” the risks for other dolphins outside the ETP. In other words, the measure had to be equally applied both in and outside the ETP. These factors led the Appellate Body to conclude that the different requirements applied to tuna products for the purposes of access to the US dolphin-safe label were discriminatory (i. e., offered less favourable treatment). It follows that the United States could not demonstrate that the detrimental impact of the dolphin-safe labelling provisions on Mexican tuna products derived exclusively from a legitimate regulatory distinction.125
A question that arose in EC-Seal Products was whether the concept of ‘legitimate regulatory distinctions’ developed in the jurisprudence of Article 2.1 of the TBT Agreement could be transposed in the interpretation of non-discrimination obligations under the GATT.126 The Appellate Body recently addressed this question and confirmed that the standard of Article 2.1 does not apply to claims under Articles I.1 and III:4 of the GATT.127
The Appellate Body has developed different tests for non-discrimination provisions under the GATT and the TBT Agreement. This article has elucidated the scope of such legal tests and therefore, identified key challenges for measures based on environmental NPR-PPMs scrutinised under Articles I:1 and III:4 GATT, on the one hand, and under Article 2.1 of the TBT Agreement, on the other hand. Much of the discussion regarding environmental NPR-PPMs focuses on the issue of “like products”; however, it is clear that even in the case that environmental NPR-PPMs do not affect the likeness of products, a panel has still to determine whether the measure affords less favourable treatment to imported like products. Moreover, when a measure based on environmental NPR-PPMs falls within the scope of the TBT Agreement, a panel has also to evaluate whether its detrimental impact on the competitive opportunities of imported products (e. g., attributed to de facto discrimination) “stems exclusively from a legitimate regulatory distinction”.
It can be argued that depending on which provisions apply, measures based on environmental NPR-PPMs are likely to face different legal challenges, particularly in terms of less favourable treatment. Should these measures be scrutinised under Article 2.1 of the TBT Agreement, a panel has to assess whether the detrimental impact competitive opportunities for like imported products stems exclusively from a legitimate regulatory distinction. As observed by the Appellate Body, a distinction cannot be considered legitimate when it “constitutes a means of arbitrary or unjustifiable discrimination”. In assessing whether the measure is even-handed, a panel needs to take into consideration the specific circumstances of the measure, that is to say, its design, architecture, revealing structure, operation, and application.128 However, if the panel decides that the measure based on environmental NPR-PPMs needs to be scrutinised under the GATT,129 the question is therefore whether a legitimate environmental purpose can be considered when evaluating the detrimental impact caused by the measure. The approach of the Appellate Body in EC-Seal Products seems to confirm that in the significance given to “regulatory distinctions”, different legal parameters apply both to the GATT and the TBT Agreement. It can be argued that in a GATT case, the policy analysis for measures based on environmental NPR-PPMs should be included in Article XX and not in Article III. As argued below, regulatory preferences for sustainable PPMs are more likely to be confronted with the member’s right to regulate trade pursuant to Article XX (g) of the GATT.
One may think that transposing the language of “legitimate regulatory distinctions” in the analysis of the national treatment’ obligations under the GATT would give NPR-PPMs better chances to pass the initial tests under the GATT.130 Particularly because regulatory objectives associated with PPMs can qualify as legitimate regulatory purposes. However, this possibility seems unlikely in the light of the recent jurisprudence. It can be said that the test under Article III of the GATT as interpreted by the Appellate Body heavily relies on competitive relationship or detrimental impact. Unsurprisingly, some commentators have regarded this test as Draconian and “pro-trade bias”.131 In fact, the evidence is strong that such test is very difficult to satisfy and usually the defendant has to look for a justification under Article XX.
Although the consideration of “legitimate regulatory distinctions” may be regarded as an interesting innovation with potential impacts for the legality of NPR-PPMs, it appears only to apply to measures falling within the scope of the TBT Agreement. It is also important to bear in mind that the premise for developing the concept of legitimate regulatory distinctions is that technical regulations, by their very nature, establish distinctions between products according to their characteristics or production methods.132 Furthermore, it seems also that the absence of a provision similar to Article XX in the TBT Agreement contributed to the development of this concept.
A further question emerging from this discussion is whether there will be an additional “test” for environmental NPR-PPMs characterised as TBT measures.133 This is because the purpose of the measure can be analysed in two different occasions, that is to say, in the context of Article 2.1 and then in Article 2.2. It should be also recalled that a policy objective could be relevant in the assessment of likeness when it affects the competitive relationship between products. As noted above, the subject of regulatory purposes and likeness gives rise to the issue of the categories of products that should be compared for the purposes of establishing discriminatory treatment. Referring once again to the example of US-Tuna cited by Mavroidis, one may ask whether the comparison under the like product analysis should refer to all tuna products, or only to tuna caught in a dolphin friendly manner.134 It seems nonetheless that, in the assessment of likeness, both under the TBT and the GATT jurisprudence, adjudicatory bodies have opted for the traditional criteria and a competition-based approach. This article has not examined further emerging challenges stemming from the current interpretation of the chapeau of Article XX of the GATT and Article 2.2 of the TBT Agreement, since these will form the subject of another article.
Para citar este artículo: Calle Saldarriaga, M. A., “Sustainable
production and trade discrimination: an analysis of the WTO jurisprudence”, Anuario
Colombiano de Derecho Internacional (ACDI), 2018, 11, pp. 221-258. DOI:
dx.doi.org/10.12804/revistas.urosario.edu.co/acdi/a.6543