This paper was originally published in Sankoff & White, Animal Law in Australasia ©
Federation Press Sydney 2009 and appears on this website by kind permission of the
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13
European and International Legislation: A Way Forward for the Protection of
Farm Animals?
Peter Stevenson*
Introduction
The European Union (EU)1 has long been regarded as one of the world’s leading jurisdictions in advancing legislation designed to protect the welfare
of farm animals.2 In direct contrast to both New Zealand and Australia, some
of the worst aspects of industrial livestock production, including veal crates, battery cages for layer hens and sow stalls (gestation crates), have been
banned. While the EU can hardly be considered a ‘haven’ for farmed
animals,3 it is impossible to deny that it has made considerable progress in
enacting legislation designed to make the lives of farm animals better, and
further improvements are likely to come. A major impediment to the adoption of stronger animal protection
legislation by the EU (and other countries) is the free trade legislation of the World Trade Organization (WTO). For example, the EU has largely aban- doned its prohibition on the import of certain furs from countries that use the leghold trap due to fears that it would be inconsistent with the
WTO rules. At the same time the commencement of a prohibition on the
The content of this report does not reflect the official opinion of the European
Commission. Responsibility for the information and views expressed in the report
[therein] lies entirely with the author(s).
* The author would like to thank Edward Miller for his research assistance.
1 The European Union at present comprises 27 Member States: Austria, Belgium, Bul- garia, Cyprus, the Czech Republic, Denmark, Estonia, Finland, France, Germany, Greece, Hungary, Ireland, Italy, Latvia, Lithuania, Luxembourg, Malta, the Nether- lands, Poland, Portugal, Romania, the Slovak Republic, Slovenia, Spain, Sweden and
the United Kingdom. See European Union, <http://en.wikipedia. org/wiki/European_ Union>.
2 Sunstein, C (2003) ‘The Rights of Animals’ (2003) 70 University of Chicago Law Review 387 at 392-393.
3 In particular, as is discussed in greater detail below, most EU farm animals continue to be farmed industrially while many aspects of EU legislation and its
implemen- tation still need to be strengthened.
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marketing of cosmetics tested on animals has been postponed for over 10
years. The conventional view is that, while a WTO member country may
prohibit the use of cruel farming practices in its own jurisdiction, it cannot restrict the import of products derived from these practices in other
countries. In effect this makes it difficult for any country to prohibit an
inhumane system as it runs the risk that its own farmers will be undermined
by lower welfare, and hence cheaper, imports. This article considers both aspects of this equation. First, it examines the
status of various reforms in the European Union and assesses some of the major achievements in animal welfare as well as persistent deficiencies that remain to be addressed. Next, it details the role played in the treatment of animals by international bodies like the WTO and suggests that the free
trade rules promoted by this body, while potentially troublesome, should
not necessarily derail progress in animal welfare reform.
European Union Legislation
Over the past 34 years, the EU has enacted a substantial body of legislation
designed to protect animals on-farm, during transport and at slaughter. In
particular the EU has prohibited the three systems most classically asso- ciated with industrial farming:4 veal crates, battery cages for egg-laying hens
and sow stalls (also known as sow gestation crates). The ban on veal crates
came into force in 2007; the bans on battery cages and sow stalls come into
force in 2012 and 2013 respectively. All of these bans have played a signifi- cant role in improving welfare standards.
EU legislation mainly takes the form of either Directives or Regulations. The Treaty establishing the European Community (TEC) provides that regu- lations are binding in their entirety and are directly applicable in all Member
States.5 This means that on its commencement date a Regulation auto- matically takes effect in each Member State. The Treaty also provides that ‘[a] directive shall be binding, as to the result to be achieved, upon each Member State … but shall leave to the national authorities the choice of form and methods’.6 The key feature of this is that a Directive is binding as to the result to be achieved, but each Member State is free to decide what kind of legislative instrument it employs to transpose the Directive into its domestic legislation (provided that it is binding) and precisely what language it uses (provided that the result mandated by the Directive is achieved).
4 The term ‘industrial farming’ refers here to systems in which animals are: (i) confined
in cages or narrow crates or are kept in overcrowded, barren conditions; (ii) subject to
selective breeding for fast growth rates or high yields; and/or (iii) subject to mutilations such as tail docking or beak trimming in order to adapt them to
systems that fail to respond to their needs.
5 Consolidated Treaty Establishing the European Community [2006] OJ C321 E/1 p 153.
6 Ibid.
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A distinctive feature of EU legislation on the protection of animals is that it is based on scientific research. Before the European Commission draws up
proposed legislation, it receives a detailed report reviewing the relevant scientific literature from the Scientific Panel on Animal Health and Welfare
(SPAHW) of the European Food Safety Authority.7 Indeed, in many cases
legislation requires it to be reviewed by a specified date on the basis of a
report by the SPAHW.8
Recognition as sentient beings
EU legislation on animal protection is underpinned by a Protocol on
protection and welfare of animals that is annexed to the TEC and came into
force in 1999.9 This recognises animals as ‘sentient beings’ and provides that, in formulating and implementing the Community’s agriculture, transport, internal market and research policies, the Community and the Member States ‘shall pay full regard to the welfare requirements of animals’ (Emphasis
added). This Protocol is legally binding as the TEC provides: ‘The protocols
annexed to this Treaty … shall form an integral part thereof’.10
The importance accorded to animal protection by the EU receives fresh
emphasis in the Treaty of Lisbon, which was signed by the Member States in
December 2007 but is yet to be ratified. The Treaty gives greater weight to
the recognition of animals as sentient beings and the obligation to pay full regard to the welfare requirements of animals by incorporating these
provisions into the main body of the Treaty.11
7 This body was formerly called the Scientific Veterinary Committee (SVC). In 1997 the
SVC was replaced by the Scientific Committee on Animal Health and Animal Welfare
(SCAHAW). The SCAHAW’s reports are at <http://europa.eu.int/comm/food/fs/sc/ scah/outcome_en.html#opinions>. In 2003 the SCAHAW was replaced by the Scien- tific Panel on Animal Health and Welfare which has been established by the
new European Food Safety Authority to provide scientific opinions. These reports
are at <www.efsa.europa.eu/EFSA/efsa_locale-1178620753812_ScientificOpinionPublication
Report.htm>. This Panel consists of independent scientists and veterinary experts. Its
reports draw together and analyse a large number of scientific papers and provide a
full review of the scientific literature in certain fields.
8 For example, Art 6 of Council Directive 91/630/EEC laying down minimum standards for the protection of pigs requires the European Commission to produce reports, based on
an Opinion from the Scientific Committee on Animal Health and Welfare, on specific
aspects of pig welfare, such reports to be accompanied, if necessary, by appropriate
legislative proposals.
9 Treaty of Amsterdam amending the Treaty on European Union, the Treaties establishing the European Communities and certain related acts – Protocol annexed to the Treaty of the Euro- pean Community – Protocol on protection and welfare of animals [1997] OJ C340 p 0110.
10 TEC, above n 5, Art 311.
11 Treaty of Lisbon amending the Treaty on European Union and the Treaty establish- ing the European Community. This inserts a new Art 6b into the Treaty establishing
the European Community which is renamed the Treaty on the functioning of the European Union, <www.consilium.europa.eu/uedocs/cmsUpload/cg00014.en07.pdf>.
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Prohibition of veal crates
One of the most reviled production mechanisms in industrial farming is the
veal crate – a small, wooden structure where young calves are kept virtually
from birth until they are killed at around 5-6 months of age. The crates are so
narrow that calves are incapable of turning around from the age of roughly
two weeks. Moreover, in order to produce the ‘white’ veal prized by
gourmets, the calves are fed an unhealthy all-liquid, iron-deficient diet. The crates are no longer legal in the EU. In 1997 the EU enacted the
Calves Directive, which prohibited the use of veal crates from 2007.12 The Directive permits calves to be kept in individual pens until the age of eight weeks, but it requires the pen to be wide enough to enable the calf to turn round.13 From the age of eight weeks the Directive requires calves to be housed in groups.
Since 1998 the use of an all-liquid, iron-deficient diet has also been pro- hibited. EU legislation requires the provision of dietary iron and, for calves over two weeks old, the provision of a daily ration of fibrous food, ‘the quantity being raised from 50 g to 250 g per day for calves from eight to 20 weeks old’.14
Prohibition of battery cages
The battery cage, used by the egg industry as a means of keeping layer hens, is another system that has long been under scrutiny by animal advocates. Normally, four or five hens are crammed into a cage so tiny that the hens
cannot even stretch their wings. A number of European reports have
concluded that the welfare of laying hens is severely compromised in battery
cages.15 Scientific research has established that hens have powerful drives to
lay their eggs in a nest, peck and scratch in the ground, dust-bathe and
perch. None of these natural behaviours is possible in the battery cage.16
12 Council Directive 97/2/EC of 20 January 1997 amending Directive 91/629/EEC laying down
minimum standards for the protection of calves [1997] OJ L 025, p 0024-0025, Art 3(3).
13 Ibid, Art 3(3) provides: ‘The width of any individual pen for a calf shall be at least equal to the height of the calf at the withers, measured in the standing position, and the length shall be at least equal to the body length of the calf, measured from the tip
of the nose to the caudal edge of the tuber ischii (pin bone), multiplied by 1,1’. The effect of this is that the pen must be wide enough to enable the calf to turn round.
14 97/182/EC: Commission Decision of 24 February 1997 amending the Annex to Directive 91/629/EEC laying down minimum standards for the protection of calves [1997] OJ L 076 p 0030-0031, para 11.
15 For example, LayWel report. Welfare implications of changes in production systems for laying hens. Deliverable 4.7: Final report, 28 March 2006, <http://europa.eu.int /comm/food/animal/welfare/farm/laywel_final_report_en.pdf>.
16 Scientific report by Panel on Animal Health and Welfare of European Food Safety
Authority. Annex to (2005) 197 EFSA Journal 1; The welfare aspects of various systems of keeping laying hens.
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Following a 1996 report by the Scientific Veterinary Committee that concluded that battery cages have severe inherent disadvantages for hen
welfare,17 the 1999 Laying Hens Directive prohibited the installation of any
new battery cages from 2003 and prohibited the use of existing battery cages
from 2012.18
Prohibition of sow stalls
Pig production involves two separate herds: the breeding sows whose role
on the farm is to produce piglets, and the fattening pigs who are slaughtered
at the age of 5-6 months for meat. While both types of pigs are commonly
kept in conditions that give rise to concern, the focus of animal welfare
organisations traditionally has been on breeding sows. For several decades, the chosen method of keeping these pigs has been
in ‘sow stalls’, a system widely regarded as among the most inhumane aspects of industrial livestock production. These metal-barred stalls are too narrow for a sow to even turn around. Sows are confined to these stalls for the duration of their 16.5 week pregnancies, and with sows being forced to undergo repeated pregnancies the reality is that most wind up living in the stalls for most of their adult lives. In an alternative version, the back of the stalls are left open and, to prevent the sows from escaping, each one is tethered to the floor by a neck or belly chain.19
The amelioration of this undesirable situation has been a gradual process. The tethering of sows was prohibited by the 1991 Pigs Directive, with the ban coming into force in 2006.20 Then, in 1997 the Scientific Veter- inary Committee published a report condemning sow stalls, concluding that ‘[n]o individual pen should be used which does not allow the sow to turn around easily’.21 The report added that ‘[s]ince overall welfare appears to be better when sows are not confined throughout gestation, sows should preferably be kept in groups’. On the basis of this report, the 2001 Pigs Directive prohibited the installation of any new sow stalls from 2003 and prohibits existing sow stalls from 2013.22 Instead, the Directive requires pregnant sows to be kept in groups.
17 European Commission: Scientific Veterinary Committee, Animal Welfare Section.
Report on the welfare of laying hens. 30 October 1996. Brussels, Belgium.
18 Council Directive 1999/74/EC of 19 July 1999 laying down minimum standards for the protection of laying hens [1999] OJ L 203, p 0053-0057, Art 5.
19 Report of The Scientific Veterinary Committee (1997) The Welfare of Intensely Kept Pigs Doc XXIV/B3/ScVC/0005/1997, European Commission, Brussels, p 26.
20 Council Directive 91/630/EEC of 19 November 1991 laying down minimum standards for the protection of pigs [1991] OJ L 340 p 0033-0038.
21 European Commission: Scientific Veterinary Committee, Animal Welfare Section (1997) Report on the Welfare of Intensively Kept Pigs, <www.europa.eu.int/comm/ food/fs/sc/oldcomm4/out17_en.pdf>.
22 Council Directive 2001/88/EC of 23 October 2001 amending Directive 91/630/EEC laying down minimum standards for the protection of pigs [2001] OJ L 316 p 0001-0004, Art 3.
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Directive on meat chickens
Most EU legislation on farm animals has introduced some worthwhile
welfare reforms. The Broilers Directive – addressing ‘broiler’ chickens, those
raised for meat – is disappointing, however.23 It has simply provided
industrial broiler production with a cloak of legislative respectability, while
failing to impose any significant welfare requirements on the industry.
The two key problems with the industrial broiler industry are severe
overcrowding and the use of fast-growing breeds. Industrially reared broiler
chickens are crammed into huge windowless sheds as a means of maximi- sing profit per bird by reducing the associated cost of raising the chickens. The sheds are so overcrowded that as the birds grow bigger it is virtually
impossible to see the floor, as it is so thickly ‘carpeted’ with chickens. In the
United Kingdom, for example, broilers are commonly stocked at 38 kg/m2
(the average slaughter weight of broilers is around 2.2 kg; thus a stocking
density of 38 kg/m2 is equivalent to about 17 chickens/m2). Up to 50,000
chickens may be crammed into one of these sheds. The Directive sets a maximum stocking density of 33 kg/m2 (which
equates to around 15 chickens/m2).24 However, the Directive goes on to pro- vide that farmers may stock at the higher maximum of 39 kg/m2 (around 18
chickens/m2) provided that they observe certain very modest welfare
requirements. Farmers who keep mortality below around 4% qualify for a ‘reward’; they are allowed to add an extra 3kg/m2 to the upper maximum
stocking density. The upper maximum stocking densities of 39 kg/m2 and 42 kg/m2 are far
too high bearing in mind that the 2000 report of the European Commission’s Scientific Committee on Animal Health and Animal Welfare stressed that the maximum density ‘must be 25 kg/m² or lower for major welfare
problems to be largely avoided’. It added that when chickens are stocked at densities ‘above 30 kg/m², even with very good environmental control systems, there is a steep rise in the frequency of serious problems’.25
Leaving aside for the moment the cramped conditions in which they live, the main welfare problems faced by today’s broilers stem from the fact that they have been pushed (through selective breeding) to reach their slaughter weight in about 39 days, which is around twice as fast as 35 years ago. As a result, the legs fail to keep pace with the rapidly growing body and often buckle under the strain of supporting it.26 Each year in the EU tens of millions of broilers suffer from painful leg disorders. The heart and lungs of
23 Council Directive 2007/43/EC of 28 June 2007 laying down minimum rules for the protection of chickens kept for meat production [2007] OJ L 182 p 0019-0028.
24 Ibid, Art 3.
25 European Commission Scientific Committee on Animal Health and Animal Welfare (2000) Report on the Welfare of Chickens kept for Meat Production (Broilers), March.
26 Ibid.
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these broilers cannot keep pace with the rapid growth either,27 and millions
of EU broilers succumb to heart failure each year. The Directive sidesteps these problems entirely, deferring them by
requiring the Commission to submit a report on these issues by the end of 2010.28 There is good reason to believe that the principal factor behind the
EU’s refusal to enact a strong Directive on broiler chickens was the widely
held belief that WTO rules prevent the EU from restricting imports on
welfare grounds and that, accordingly, if EU farmers were compelled by law
to meet good welfare standards, they would be undercut by lower welfare
imports.29 The validity of this contention is considered in detail below.
Overview of EU legislation
To its credit, the EU has banned the three most harmful aspects of industrial farming: veal crates, battery cages and sow stalls. In each case, however, it has shied away from a thorough approach and has left in place systems that struggle to fulfil the welfare needs of the affected animals. This seems to be
primarily the result of economic considerations: the fear that raising welfare
standards in the EU will increase production costs and leave EU farmers
vulnerable to lower welfare imports from outside Europe. The prohibition of the veal crate system is an important advance.
However, many veal calves in continental Europe continue to be kept in very barren systems with slatted floors and no straw or other bedding, only
a slight improvement on the veal crate.30 This situation has been avoided in
the United Kingdom by an enactment requiring calves to be provided with ‘appropriate bedding’.31
Similarly, the requirement that calves be provided with fibrous food and dietary iron is welcome but the amount of fibrous food (50 g to 250 g per day depending on age) stipulated by the Directive is inadequate. The report of the European Commission’s Scientific Veterinary Committee which pre- ceded the 1997 legislation concluded that calves ‘should receive a minimum
27 Ibid.
28 The decision to delay on the basis of insufficient evidence is not compelling. There is already a very substantial body of scientific research establishing that leg and heart disorders primarily stem from the use of fast-growing breeds: Ibid, and Kestin, SC et al (2001) ‘Relationships in Broiler Chickens Between Lameness, Liveweight, Growth Rate and Age’ Veterinary Record 148 at 195-197.
29 Personal communications with author from officials of several EU Member States during the lengthy negotiations that preceded adoption of the Directive.
30 Compassion in World Farming investigators have found calves being kept in such conditions in the Netherlands, one of the EU’s largest producers of veal: Compassion in World Farming (2007) ‘Fears for British Calves Despite Veal Crate Ban’, <www. ciwf.org/home/news_fears_for_british_calves.shtml>. See also BBC News (UK) (2008) ‘What is Ethical Veal?’, <www.news.bbc.co.uk/2/hi/uk_news/magazine/7200018. stm>.
31 The Welfare of Farmed Animals (England) Regulations 2007, Sched 6, para 8(1). Similar provisions are found in the legislation of the other UK jurisdictions.
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of 100 g of roughage per day from 2 to 15 weeks of age, increasing to 250 g
per day from 15 to 26 weeks of age but it would be better if these amounts were doubled’ (emphasis added).32
Turning to laying hens, the prohibition of battery cages is a crucial reform. Regrettably, however, the Laying Hens Directive permits the use of so-called ‘enriched’ cages. It requires these cages to provide a perch, a nest and litter so that pecking and scratching are possible and a small amount of extra floor space and height as compared with battery cages.33 The limited
space and height in enriched cages and the lack of a complex and interesting
environment are indicative of a system that cannot properly fulfil the birds’ welfare needs.
The EU permits the continued use of enriched cages because of the perception that, when the EU ban on barren battery cages comes into force in 2012, EU producers will lose a considerable portion of market share to imported eggs if they are not able to continue to provide cheap eggs from some form of caged system.
One positive development is that the EU has buttressed its legislation in this field by introducing mandatory labelling of egg packs according to farm- ing method. Egg packs must carry one of the following terms: ‘free range eggs’, ‘barn eggs’ or ‘eggs from caged hens’.34 This legislation is of great im- portance since for the first time it requires an industrially produced product – battery eggs – to be clearly labelled as such. It would be helpful if legislation were introduced to require meat to also be labelled as to farming method.
The ban on sow stalls represents a major reform, but once again it is tempered by the ‘fine print’. The Pigs Directive will continue to permit sows to be kept in sow stalls for the first four weeks after service.35 Still, the sow stall ban provides a major benefit for breeding sows. Most fattening pigs, however, continue to be kept in extremely poor conditions. Scientific research shows that pigs spend 75% of their daylight hours in activity – rooting, investigating and foraging.36 None of these activities is possible for
32 European Commission: Scientific Veterinary Committee, Animal Welfare Section. Report on the welfare of calves. 9 November 1995. Brussels, Belgium, conclusion 23.
33 Laying Hens Directive, above n 18, Art 6.
34 Commission Regulation (EC) No 557/2007 of 23 May 2007 laying down detailed rules for implementing Council Regulation (EC) No 1028/2006 on marketing standards for eggs [2007] OJ L 132 p 5-20, annex I.
35 ‘Service’, in this case, refers to pregnancy. This provision was criticised in a
2007 report by the Scientific Panel on Animal Health and Welfare of the European Food Safety Authority (EFSA), which concluded that allowing sows to be kept in sow
stalls until four weeks after mating severely restricts their freedom of movement and causes stress: Scientific Opinion of the Panel on Animal Health and Welfare on a request from the Commission on animal health and welfare aspects of different housing and husbandry systems for adult breeding boars, pregnant, farrowing sows and unweaned piglets: (2007) 572 EFSA Journal 1.
36 Stolba, A and Wood-Gush, DGM (1989) ‘The Behaviour in Pigs in a Semi-Natural Environment’ 48 Animal Production 419.
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EUROPEAN AND INTERNATIONAL LEGISLATION: A WAY FORWARD?
industrially farmed pigs who are often kept in barren, overcrowded pens
with no straw. Bored and frustrated, pigs turn to the only ‘thing’ in their
environment: the tails of other pigs. They begin to chew and then bite these
tails. To prevent this, farmers dock (slice off) pigs’ tails with pliers or a hot docking iron.
The Scientific Veterinary Committee (SVC) report concluded that the proper way to prevent tail biting is to keep the pigs in good conditions, not to dock their tails.37 The report stressed that tail-biting can largely be prevented by keeping pigs at a stocking density which is not too high and by providing straw or other manipulable materials.38
Based on the SVC report, EU legislation has since 2003:
• required pigs to have permanent access to a sufficient quantity of material such as straw or wood to enable them to engage properly in
their natural investigation and manipulation activities;39
• prohibited routine tail docking. Tail docking may only be carried
out as a last resort once the farmer has tried (and failed) to prevent tail biting by improving the conditions in which the pigs are kept.40
Significant improvements in pig welfare would be achieved if these
provisions were observed. If farmers could no longer rely on tail docking to
prevent tail biting, they would be compelled to introduce better housing
conditions including more space, the provision of straw and improved air
quality. Regrettably, the above provisions are largely ignored by many EU
pig farmers and the Member States have in the main failed to enforce this
legislation.41 A 2007 report by the European Food Safety Authority states
that over 90% of EU pigs continue to be tail docked;42 this is a disturbingly
high level of non-compliance with legislation.
The International Landscape
Although some progress has undoubtedly occurred in the EU, more
stringent measures have been resisted on one primary ground: the risk of being swamped by cheaper, non-welfare friendly alternatives imported from
37 Scientific Veterinary Committee report on pigs, above n 19, recommendation 40.
38 Ibid, s 4.5.2.
39 Commission Directive 2001/93/EC of 9 November 2001 amending Directive 91/630/EEC laying down minimum standards for the protection of pigs [2001] OJ L 316
p 0036-0038, Annex, Chapter I, para 4.
40 Ibid, Annex, Chapter I, para 8.
41 For example, David Burch, President of the UK Pig Veterinary Society wrote in the Society’s Journal in December 2006 that ‘over 80 per cent of UK pigs are tail-docked’, <www.pigvetsoc.org.uk/news/index.php?id=55>.
42 Scientific Report of the Panel on Animal Health and Welfare on the risks associated
with tail biting in pigs and possible means to reduce the need for tail docking considering the different housing and husbandry systems: (2007) 611 EFSA Journal 1.
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abroad. To gauge the merits of this concern, it is necessary to examine a
different source of law altogether: the rules of the General Agreement on
Tariffs and Trade (GATT) enforced through the World Trade Organization
(WTO). If the EU were permitted to impose tariffs or ban imports altogether
where they failed to comply with European standards, it would help to allay
the worries regarding loss of market share by EU farmers. The traditional concern, however, is that such restrictions would violate the substantive
obligations of the GATT and, if the EU imposed them, they would likely be
subject to legal challenges from other WTO members.
Detrimental impact of GATT rules on animal protection measures
The 1994 Marrakesh Agreement establishing the World Trade Organization43
(the WTO Agreement) re-enacted the 1947 General Agreement on Tariffs and Trade as the General Agreement on Tariffs and Trade 1994.44 The World Trade
Organization (WTO) now comprises 153 member countries, and regulates
government actions that affect trade or the conditions of competition for
imports. While market orthodoxy favours progressive trade liberalisation, the stringent nature of the GATT rules tends to deny primacy to wider
policy issues – like animal welfare – that inhibit such liberalisation. Probably the most damaging aspect of the GATT affecting animal
welfare reform is the ‘rule’ that countries may not make distinctions between
products on the basis of the method by which such products are processed
or produced;45 in GATT jurisprudence these are referred to as process or
production methods (PPMs). In practice, this rule is very forbidding as trade
restrictions that the EU (or any other WTO member) might wish to apply are
likely to seek to distinguish between products derived from animals that are
treated inhumanely and those coming from animals treated relatively
humanely – in other words, on the basis of the manner in which the animals
were ‘produced’. Past EU attempts to improve animal protection have been undermined
by the GATT rules. In 1991 the EU adopted a Regulation prohibiting leg- hold traps in the EU and the import of pelts from certain species of wild
fur-bearing animals coming from countries where the animals are caught through the use of leghold traps.46 When the EU Regulation was enacted,
43 Marrakesh Agreement Establishing The World Trade Organization, 1994, <www.
wto.org/english/docs_e/legal_e/04-wto.pdf>.
44 General Agreement on Tariffs and Trade 1947, <www.wto.org/english/docs_e/legal _e/gatt47_e.pdf> and General Agreement on Tariffs and Trade 1994, <www.wto.org /english/docs_e/legal_e/06-gatt.pdf>.
45 This so-called ‘rule’ is discussed in greater detail, below.
46 Council Regulation (EEC) No 3254/91 of 4 November 1991 prohibiting the use of leghold traps in the Community and the introduction into the Community of pelts and manufactured goods of certain wild animal species originating in countries which catch them by means of leghold traps or trapping methods which do not meet international humane trapping standards [1991] OJ L 308 p 0001-0004.
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little thought was given to the GATT rules, as there was no effective enfor- cement mechanism in existence at that time. The 1994 WTO Agreement altered this situation dramatically by introducing effective dispute settle- ment and enforcement mechanisms. By the mid-1990s the EU had become
concerned that the import ban aspect of the leghold trap Regulation would
contravene the GATT rules if it were to distinguish furs on a PPM basis by
according different treatment to fur depending on whether or not the
animals were caught by the leghold trap.47 Accordingly, the EU has not applied its import ban to the three main fur-exporting countries: the United
States, Canada and Russia. Instead it has negotiated weak agreements with
these countries that do little to discourage the use of leghold traps.48
Similarly, a landmark 1993 EU Directive prohibited the marketing of cosmetics containing ingredients or combinations of ingredients tested on animals after 1 January 1998.49 This marketing ban applied both to cosmetics produced within the EU and to imported cosmetics. Here again, the EU became wary of the GATT rules, fearing that it was not permissible to distin- guish in its marketing regulations between cosmetics tested on animals and those not so tested as such a distinction revolves around PPMs.50 As a result, the EU did not bring its marketing ban into force. However, after many years of pressure from the European Parliament and animal protection organisations the EU has now decided to implement its marketing ban. A new Directive prohibits the marketing of cosmetic products and ingredients tested using animals in a phased process starting in 2009 and ending in 2013.51 Still, EU fears about the compatibility of its ban with the GATT rules have resulted in the ban coming into force 11-14 years later than planned.
Turning to farm animals, the GATT rules are making it difficult for the EU to maintain its standards of animal welfare and introduce improvements. As a general rule, enhanced welfare standards such as those enacted for pigs
47 To be clear, the GATT would have no impact on the EU’s ability to ban the leghold
trap in its own jurisdiction. Its only potential impact would be to restrict the EU from
banning the import of products derived from this mechanism.
48 These Agreements are Council Decision 98/142/EC of 26 January 1998 concerning the conclusion of an Agreement on international humane trapping standards between the European Community, Canada and the Russian Federation and of an Agreed Minute between
Canada and the European Community concerning the signing of said Agreement [1998] OJ L 42 p 40-57, and Council Decision 98/487/EC of 13 July 1998 concerning the conclusion of an international Agreement in the form of an Agreed Minute between the European Community and the United States of America on humane trapping standards [1998] OJ L 219 p 26-37.
49 Council Directive 76/768/EEC as amended by Council Directive 93/35/EC of 14 June 1993, amending for the sixth time Directive 76/768/EEC on the approximation of the laws of the Member States relating to cosmetic products [1993] OJ L 151 p 0032-0037.
50 For a detailed analysis of the EU’s concerns about the compatibility of its sales ban
with WTO rules, see De Búrca, G and Scott, J (eds) (2003) The Impact of the WTO on EU decision making in The EU and the WTO: Legal and Constitutional Issues, Hart, Oxford.
51 Directive 2003/15/EC of the European Parliament and of the Council of 27 February 2003 amending Council Directive 76/768/EEC on the approximation of the laws of the Member States relating to cosmetic products [2003] OJ L 66 p 26-35.
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and laying hens involve increased production costs. The danger that its
farmers may be undermined by lower welfare imports makes it difficult for
the EU to enact more meaningful welfare improvements.52
For example, the main reason for the weakness of the EU Broilers
Directive lies in the conventional interpretation of the GATT rules that, while they allow the EU (or any other WTO member) to adopt high animal welfare standards in its own territory, they do not permit it to require
imported products to meet those standards. This led to the fear that, if the
EU were to adopt good welfare standards for meat chickens, it would not be
able to protect its farmers from lower welfare, and hence cheaper, imports. As a result the EU backed away from adopting better standards of chicken
welfare and instead enacted a very weak Directive. The same dilemma arises every time a WTO member wishes to enact
good standards of farm animal welfare: dare it go ahead if its own farmers
may be harmed by lower welfare imports? The validity of this argument concerning the GATT rules is now
examined. It will be argued that the interpretation of the GATT rules that assumes that trade cannot be restricted on welfare grounds is not necessarily
an accurate one. A careful reading of recent case law indicates that GATT
jurisprudence may be more prepared than hitherto to recognise the need to
balance the GATT’s free trade rules and other legitimate public policy con- siderations. In addition, certain member countries have recently been bolder
in introducing animal protection measures and in being prepared to defend
them if challenged.
Principal GATT provisions
The WTO differs from the GATT in that where one party alleges that another
has breached its substantive obligations under the treaty, there is recourse to
a bilateral dispute settlement mechanism. Disputes are referred to a quasi- judicial body known as a panel, while an appeal from a panel’s findings lies
to the Appellate Body of the WTO. The substantive provisions of the GATT of primary concern here are
Arts I, III, XI and XX, all of which define the extent to which countries are
required to keep their markets open to the movement of products from other
countries. Article XI prohibits countries from imposing quantitative bans or restric-
tions on imports or exports, unless sanctioned by other provisions of the GATT. Articles I and III are designed to prevent discrimination in
52 These concerns have been regularly expressed by European politicians See, for
example, (i) a letter dated 20 June 2005 from Caroline Lucas, Member of the European
Parliament, to EU Commissioner for Agriculture, <www.carolinelucasmep.org.uk/ interests/pdf/Boel_AnimalsWTO_Qn_Jun05.pdf> and (ii) statements by Lord Elliott of Morpeth in a House of Lords debate on 3 June 2003, <www.theyworkforyou. com/lords/?id=2003-06-03a.1155.0&s=speaker%3A13226>.
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international trade. Article I provides that each nation must, as regards
imports and exports, treat all other nations as favourably as the ‘most- favoured-nation’. Whereas Art I prevents a country from discriminating
between imports from different nations, Art III prohibits discrimination as
between domestic and imported products. Article III: 1 provides that internal legislation must not be applied ‘so as
to afford protection to domestic production’. Article III: 4 creates a substantial obligation to this effect, stating:
The products of the territory of any contracting party imported into the
territory of any other contracting party shall be accorded treatment no less favourable than that accorded to like products of national origin in respect of all laws, regulations and requirements affecting their internal sale, offering
for sale, purchase, transportation, distribution or use. [Emphasis added]53
A WTO member that wishes to defend a challenged measure will seek to
argue that it should be considered under Art III rather than Art XI. The latter
is an absolute ban on import restrictions, whereas Art III focuses on internal marketing regulations and gives a country scope to argue that the imported
product and the domestic product concerned are not ‘like’ one another
and, thus, that according less favourable treatment to the imported products
does not violate Art III. Where the restriction relates to an animal welfare
measure, for example an EU ban on the sale of battery eggs, the argument would be that the banned product – battery eggs – is not ‘like’ the permitted
product, free range eggs. It is important to recognise that a defending country has to overcome a
two-fold hurdle: first, to show that its challenged measure falls within Art III rather than Art XI and, secondly to establish that the imported and domestic products concerned are not ‘like’ each other.
Assuming that a violation of Art III or XI is upheld, the inquiry then turns to the ‘exceptions’ clause in Art XX. A country that is found to have breached one of the substantive provisions of the GATT may be able to justify this on one of the narrow grounds set out in Art XX.
Process and production methods
Where animal welfare measures are concerned, a key problem lies in the
marked reluctance of the GATT to permit distinctions to be made between
products on the basis of the way in which they are produced, ie on the basis
of their PPMs. Both the issue of whether a challenged measure should be
53 Article I uses language almost identical to Art III: 4, prohibiting countries from
offering import arrangements more favourable to one nation than another in respect of ‘like’ products. While the focus here has been on Art III because this clause is more
likely to arise in the context being discussed, it follows that the analysis would apply
in a similar manner under Art I if the measure in question were challenged on the
basis that it discriminated in respect of imports from different nations, as opposed to
between domestic and imported products.
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considered under Art III or Art XI and that of whether two products can be
differentiated under Art III as not being ‘like products’ turns on the question
of whether PPMs may be taken into account in analysing trade measures. As indicated earlier, the first obstacle to overcome in defending an
animal welfare measure is convincing a WTO panel that the restriction
relates to Art III, rather than Art XI. As indicated earlier, the advantage of having measures examined under Art III is that this Article is not contravened if a country can establish that the imported product is not ‘like’ the domestic product.
The question of which Article applies first arose in two cases involving
the US ban on the import of tuna caught in a way that leads to the incidental killing of dolphins. In US-Tuna I, Mexico argued that the prohibition on the
import of tuna by the US was inconsistent with the Art XI ban on import restrictions.54 The US countered that its measures were internal regulations
that should be examined under Art III (imports to be treated no less favour- ably than like domestic products).55
Assistance in determining whether a challenged measure falls within Arts XI or III is provided by an interpretive Note Ad [to] Art III which provides that certain measures, although applied to imports at the border, fall to be examined as internal regulations under Art III. The Note to Art III states that:
[A]ny law, regulation or requirement of the kind referred to in paragraph 1 [ie affecting, inter alia, the internal sale of products] which applies to an imported product and to the like domestic product and is … enforced in the case of the imported product at the time or point of importation, is nevertheless to be regarded as … a [internal] law, regulation or require- ment … and is accordingly subject to the provisions of Article III.
In US-Tuna I the Panel concluded that the Note to Art III covers only
measures that are applied to the product as such.56 The Panel noted that the
tuna regulations designed to reduce the incidental killing of dolphins could
not possibly affect tuna as a product.57 Consequently, the Panel concluded
that the US import ban was not covered by the Note to Art III and so did not constitute internal regulations falling to be considered under Art III.58
Instead, the Panel found the US import ban to be inconsistent with Art XI.59
A similar approach was taken in the US-Tuna II case.60
54 Report of the Panel on United States – Restrictions on Imports of Tuna, DS 21/R. 3
September 1991, para 3.10.
55 Ibid, para 3.11.
56 Ibid, para 5.14.
57 Ibid, para 5.14.
58 Ibid, para 5.14.
59 Ibid, para 5.18.
60 Report of the Panel on United States – Restrictions on Imports of Tuna, DS 29R. 16 June 1994, paras 5.8-5.10.
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This approach would obviously have significant ramifications for the
possibility of defending measures designed to restrict the sale of certain
products on the basis that they do not comply with a country’s animal welfare standards. Nonetheless, the US-Tuna cases do not provide a
definitive interpretation of Art III and the note to Art III. In neither case was
the Panel report adopted, and the Appellate Body has stated that unadopted
panel reports ‘have no legal status in the GATT or WTO system since they
have not been endorsed through decisions by the contracting parties to
GATT or WTO Members’.61
Taking a different view from the US-Tuna cases, English barrister
Philippe Sands QC has argued that a ban on the sale in the EU of cosmetics
that have been tested on animals enforced with respect to imported cos- metics at the border is not likely to be found to be a quantitative restriction
on trade, but rather an internal measure enforced at the time of importation. Accordingly, it would fall within the scope of Art III: 4 rather than Art XI.62
He states that:
It has been argued [in US-Tuna] that any measure that affects trade in
products on the basis of product characteristics that are not physically
present in the product must be analysed as a prohibited ‘quantitative
restriction’ under Article XI. This argument turns on an interpretation
that Article III: 4 and Ad Article III cover only measures applied to a
product as such, and not non-product related process and production
methods (NPR-PPMs). This interpretation has not been formally accepted by the GATT/WTO, and therefore remains open to argument either way.
In my Opinion, an interpretation of GATT that subjects all NPR-PPMs
to Article XI is not likely to be supported by the text of the GATT. Such an
interpretation is based on broad policy justifications that seek to prohibit an entire category of types of measures on the grounds that if WTO
Members were allowed to make distinctions on the basis of NPR-PPMs, there would result a flood of subjective distinctions that would provide
the means for disguised protectionism. The Appellate Body, in an analo- gous context, has recently rejected this type of categorical approach to
reasoning as constituting an ‘error in legal interpretation’ that cannot be
used to replace a case-by-case assessment of the product and the measure
before the Panel.63 [Emphasis added]
Based on this reasoning, it may well be that certain measures that make PPM distinctions between products derived from animals will fall to be
61 Appellate Body Report Japan – Taxes on Alcoholic Beverages, WT/DS8; DS10; DS11/ AB/R. 1 November 1996, pp 14-15.
62 Opinion by Philippe Sands for the British Union for the Abolition of Vivisection, on
file with the author. In re proposed prohibition of sale of animal-tested cosmetics and
in re the rules of the World Trade Organization. 2 November 2001.
63 Sands is referring to the Appellate Body Report, United States – Import Prohibition of Certain Shrimp and Shrimp Products, WT/DS58/AB/R, adopted 6 November 1998, DSR 1998:VII, 2755, para 122.
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considered under Art III rather than Art XI.64 However, in order to establish
that a measure is compatible with Art III, it will still be necessary to
demonstrate that the imported product is not ‘like’ the domestic product.
Determining likeness under Article III
Article III: 4 stipulates that imported products must be accorded treatment no less favourable than that accorded to like domestic products. At first sight, this seems not to cause any difficulty. Thus, for example, Art III: 4
would not appear to prevent a country from prohibiting both the domestic
production and the import of battery eggs, provided that it ensured that imported free range eggs were treated as favourably as domestic free range
eggs. Most people accept, and these observations are supported by scientific
research, that battery and free range eggs are not ‘like’ each other as the
former are produced in a manner that is inherently inhumane, while the
latter are produced in a system that is relatively humane. However, as we have seen, GATT jurisprudence is usually interpreted as
preventing, when determining whether two products are ‘like’ each other, any consideration being given to PPMs, that is, the way in which they are
produced unless this affects the physical characteristics of the final product.65
Thus, using this interpretive approach, battery and free range eggs are like each other and a country must treat imported battery eggs no less favour- ably than free range eggs even if it has prohibited the production of battery eggs in its own territory.
The first few GATT cases raised on this point supported this inter- pretation. Crucially, the Panel in US-Tuna I, having ruled that the US import ban fell to be considered under Art XI, added that, even if the ban were to be considered under Art III, it would not meet the requirements of that Article.66
The Panel stressed that Art III: 4 ‘calls for a comparison of the treatment of imported tuna as a product with that of domestic tuna as a product. Regulat- ions governing the taking of dolphins incidental to the taking of tuna could not possibly affect tuna as a product’.67 In US-Tuna II the Paned similarly
64 It is beyond the scope of this chapter to explore fully the interaction between Art III: 4
and Art XI, but see Bhala, R (2005) Modern GATT Law: A Treatise on the General Agree- ment on Tariffs and Trade, Sweet & Maxwell, London, Chs 14-15; Nielsen, L (2007) The WTO, Animals and PPMs, Martinus Nijhoff Publishers, Leiden, pp 146, 150-153.
65 It is important to realise that the WTO dispute settlement body is an arbitrational body intended to secure a positive solution to a dispute, and not a court, and so it is not bound by formal rules of stare decisis. Adopted panel reports bind only
those parties involved in the dispute, however they do create a ‘legitimate
expectation’ (Japan-Alcoholic Beverages, above n 61, at 15) for subsequent disputes. In practice, precedent is closely observed and both panels and appellate bodies try
not to deviate from it – see Matsushita, M (2004) The World Trade Organisation: Law, Theory and Practice, Oxford University Press, Oxford, p 25.
66 US-Tuna I, above n 54, para 5.15.
67 Ibid, para 5.15.
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noted: ‘Article III calls for a comparison between the treatment accorded to
domestic and imported like products, not for a comparison of the policies or
practices of the country of origin with those of the country of importation’.68
The two US-Tuna cases made it clear that, from the point of view of the
GATT rules, dolphin-friendly tuna and dolphin-deadly tuna are ‘like pro- ducts’ and that accordingly imported dolphin-deadly tuna must be accorded
treatment no less favourable than dolphin-friendly tuna. More broadly, the
cases indicate that PPMs may not be taken into account in determining the
likeness of two products. Indeed, the proposition from these cases that PPMs
may not be considered in assessing likeness appears to have been elevated
into an absolute, inflexible rule by many who work in the field of trade
policy.69 However, a careful examination of GATT case law shows that an
approach that provides scope for differentiating between products according
to their methods of production remains possible. To begin with, the US-Tuna cases can hardly be considered unassailable
precedents. As indicated earlier, unadopted panel reports have no legal status at the WTO. While no Appellate Body decision has focused squarely on the effect of PPMs in the animal product context, in European Communities- Asbestos the Appellate Body produced a helpful analysis in relation to the term ‘like product’ in Art III: 4, stating that it must be interpreted to give proper scope and meaning to the ‘general principle’ in Art III: 1 which ‘seeks to prevent Members from applying internal taxes and regulations in a manner which affects the competitive relationship, in the marketplace, between the domestic and imported products involved, so as to afford protection to domestic production’.70 The Appellate Body stressed that ‘a determination of ‘likeness’ under Art III: 4 is, fundamentally, a determination about the nature and extent of a competitive relationship between and among products’.71
The Appellate Body recognised the value of the principles for inter- preting the term ‘like products’ laid down in the report of the Working Party on Border Tax Adjustments, which suggested ‘some criteria’ for determining likeness: (i) the product’s properties, nature and quality; (ii) the product’s end-uses in a given market; and (iii) consumers’ tastes and habits which, said the report, ‘change from country to country’.72 It stated that all these criteria must be examined.73 They added that the adoption of this framework
68 US-Tuna II, above n 60, para 5.8.
69 See, for example, Howse, R and Regan, D (2000) ‘The Product/Process Distinction – An Illusory Basis for Disciplining “Unilateralism” in Trade Policy’ 11(2) European Journal of International Law 249; Picciotto, S (2003) ‘Private Rights vs Public
Standards in the WTO’ 10(3) Review of International Political Economy 377.
70 Report of the Appellate Body in European Communities – Measures Affecting Asbestos and Asbestos-Containing Products, WT/DS135/AB/R. 12 March 2001, para 98.
71 Ibid, para 99.
72 Report of the Working Party on Border Tax Adjustments, BISD 18S/97, para 18. Adop- ted on 2 December 1970.
73 EC-Asbestos, above n 70, para 101.
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to aid in the examination of the evidence does not dissolve the duty or the
need to examine, in each case, all of the pertinent evidence.74 The Appellate
Body also emphasised the importance of considering consumers’ tastes and
habits – which, it said, are more comprehensively termed consumers’ perceptions and behaviour – in assessing ‘likeness’.75
The Appellate Body noted that consumers’ tastes and habits are one of the key elements in the competitive relationship between products in the marketplace. The extent to which consumers are willing to choose one product instead of another to perform the same end-use is highly relevant in assessing the ‘likeness’ of those products.76 The Appellate Body pointed out that if there is – or could be – no competitive relationship between products (eg, because consumers view them as different products) a member cannot intervene, through internal taxation or regulation, to protect domestic production.77 So, a key question is whether there is a high degree of sub- stitutability of the products from the perspective of the consumer. If there is not, it may be argued that those products – even though they are similar in some ways – cannot be viewed as ‘like’ each other.78
The belief that there is an inflexible rule that differences in PPMs can never be used to establish that two products are not ‘like’ each other runs counter to the statement by the Appellate Body in Japan-Alcoholic Beverages that panels must use their best judgment when determining likeness and that no single approach would be appropriate to every single case.79 In European Communities-Asbestos, the Appellate Body stressed the need, in determining likeness, for an assessment utilising an unavoidable element of individual, discretionary judgment to be made on a case-by-case basis.80
These cases hold great promise for those seeking to uphold animal welfare measures. If WTO members were permitted to make PPM distinct- ions in their marketing regulations, a country could, for example, not only ban the use of battery cages in its own territory but could also ban the sale of battery eggs. Such a sales ban would apply equally to domestic and impor- ted battery eggs. Regrettably, under current mainstream interpretations of
74 Ibid, para 102. This echoes the Appellate Body’s statements in Border Tax Adjustments:
‘the kind of evidence to be examined in assessing the “likeness” of products will, necessarily, depend upon the particular products and the legal provision at issue’, above n 72, paras 102-103.
75 Ibid, para 101.
76 Ibid, para 117.
77 Ibid, para 117.
78 See similarly Swinbank, A (2006) ‘Like Products, Animal Welfare and the World Trade Organization’ 40(4) Journal of World Trade 687 at 707-708, who notes
that ‘con- sumer preferences are at the heart of market-driven economic systems, and where consumers express preferences for particular process characteristics to be
embedded in goods then producers, and policy-makers must take notice. Otherwise the credibility of the WTO system is itself at stake’.
79 Appellate Body Report, Japan-Alcoholic Beverages, above n 61, DSR 1996:I, 97.
80 EC-Asbestos, above n 70, at para 101.
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the PPM issue a country can ban the sale of domestically produced battery
eggs but cannot restrict the sale of imported battery eggs. The ability of WTO members to enact strong animal protection legis-
lation will continue to be frustrated unless the position under the GATT is
relaxed and countries are permitted to make PPM distinctions. To prevent abuse, the ability to make PPM distinctions could be made subject to certain
provisos. For example, rules or guidelines could provide that PPM distinct- ions must: i) be transparent, non-discriminatory, and proportionate; and
must not constitute a disguised restriction on trade; ii) be science-based; iii) be of importance to a significant proportion of consumers in the country
making the PPM distinction; and iv) relate to a matter of substance – for
example, countries should be able to distinguish between battery eggs and
free-range eggs, but not between two kinds of battery eggs, where one kind
come from cages giving hens just a small amount of additional space.
The Article XX exceptions
Where a measure is found to be inconsistent with the trade obligations
found in Arts I, III or XI, a country may still be able to justify that measure
under Art XX (General Exceptions). In the past, the Art XX exceptions have
been interpreted very narrowly, with panels apparently taking the view that the exceptions should never permit an animal protection measure to take
precedence over the GATT’s substantive free trade provisions.81 However, as
indicated below, recent panel and Appellate Body rulings have recognised
that the Art XX exceptions represent legitimate public policy considerations
and, accordingly, should in certain circumstances enable a country to justify
a measure that would otherwise be inconsistent with the GATT. The Art XX exceptions that may be relevant to animal protection
measures are:
Subject to the requirement that such measures are not applied in a
manner which would constitute a means of arbitrary or unjustifiable dis- crimination between countries where the same conditions prevail, or a
disguised restriction on international trade, nothing in this Agreement shall be construed to prevent the adoption or enforcement by any con- tracting party of measures:
(a) necessary to protect public morals; (b) necessary to protect human, animal or plant life or health; … (g) relating to the conservation of exhaustible natural resources if such
measures are made effective in conjunction with restrictions on domestic production or consumption.82
81 See, for example, Panel report United States – Import Prohibition of Certain Shrimp and Shrimp Products, WT/DS58/R, 15 May 1998, para 7.44.
82 While Art XX(g) is likely to be relevant in certain instances involving endangered species and is thus relevant to some of the discussion that follows, it is
unlikely to play a role in measures relating to farm animals and their welfare.
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In Brazil-Retreaded Tyres the Appellate Body reiterated previous rulings
indicating that a measure a member is seeking to justify under Art XX must be subjected to a two-tiered analysis: first, the measure must be provis- ionally justified under one of the specific exceptions listed in Art XX; and, second, the measure must satisfy the requirements of the ‘chapeau’ of Art XX, the introductory words of the Article that prohibit measures being
applied in a way that constitutes arbitrary or unjustifiable discrimination or
a disguised restriction on international trade.83
Before considering any of the specific exceptions, it is important first to
address concerns that are occasionally raised about the Art XX exceptions
being applied too broadly, with the argument being that their use amounts
to a form of legislative extra-territoriality. Many in the trade policy world
assert that there is a strict rule that, while a WTO member may act to protect animals within its own territory, it may not adopt measures that affect animals located outside its territorial jurisdiction,84 for doing so involves one
country unilaterally forcing their legislation onto another country, which is
viewed as an affront to that nation’s sovereignty. However, as with the issue
of ‘like products’ and PPMs, the position on extra-territoriality is much less
clear-cut and absolute than is often thought to be the case. In US-Tuna I the Panel accepted that the question as to whether Art XX(b)
extends to measures to protect animals outside the jurisdiction of the country taking the measure ‘is not clearly answered by the text of that provision’.85
Moreover, in US-Tuna II the Panel pointed out that the text of Art XX(b) and (g) does not spell out any limitation on the location of the living things to be protected or, in the case of para (g), the natural resources to be conserved.86
The Panel added that under general international law states are not in principle barred from regulating the conduct of their nationals with respect to persons, animals, plants and natural resources outside of their territory.87
The question of extra-territoriality also arose in US-Shrimp. In that case the United States had prohibited the import of shrimp from countries that did not require the use of turtle excluder devices designed to prevent sea turtles from getting caught up and drowning in shrimp nets. The Appellate Body observed that sea turtles are highly migratory animals, passing in and out of waters subject to the rights of jurisdiction of various coastal states and the high seas.88 The Appellate Body recognised that the species of sea-turtles in question are all known to occur in waters over which the United States exercises jurisdiction.
83 Appellate Body Report, Brazil – Measures affecting imports of retreaded tyres,
WT/DS332/AB/R, adopted December 2007.
84 See, for example, Qureshi, AH and Evans, MD (1999) ‘Extraterritorial Shrimps, NGOs and the WTO Appellate Body’ 48 International & Comparative Law Quarterly 199 at 203.
85 US-Tuna I, above n 54, para 5.25.
86 US-Tuna II, above n 60, paras 5.15 and 5.31. 87 Ibid, para 5.17.
88 Report of the Appellate Body in US-Shrimp, above n 63, para 133.
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The Appellate Body stated that it would not rule on whether there is an
implied jurisdictional limit in Art XX(g) and, if so, the nature or extent of that limitation. It concluded: ‘[W]e note only that in the specific circumstances of the case before us, there is a sufficient nexus between the migratory and
endangered marine populations involved and the US for purposes of Article
XX(g )’. The Panels’ central reason in both US-Tuna cases for rejecting the US
defence under Art XX(b) and (g) was that a country could not use trade
measures to compel another country to change its conservation policies.89
However, in US-Shrimp the Appellate Body took a very different approach
stressing, in a passage of major significance, that:
It appears to us, however, that conditioning access to a Member’s domes- tic market on whether exporting Members comply with, or adopt, a
policy or policies unilaterally prescribed by the importing Member may, to some degree, be a common aspect of measures falling within the scope
of one or another of the exceptions (a) to (j) of Article XX. Paragraphs (a) to (j) comprise measures that are recognised as exceptions to substantive obligations established in the GATT 1994, because the domestic policies
embodied in such measures have been recognised as important and
legitimate in character. It is not necessary to assume that requiring from
exporting countries compliance with, or adoption of, certain policies …
prescribed by the importing country, renders a measure a priori incapable
of justification under Article XX. Such an interpretation renders most, if not all, of the specific exceptions of Article XX inutile, a result abhorrent to the principles of interpretation we are bound to apply.90
When US-Shrimp was first considered in 1998 the Appellate Body ruled
against the US import ban, inter alia, because the US applied its measure in a
manner that led to differential treatment as between various exporting
countries. The US decided to comply with the Appellate Body’s ruling not by lifting its import ban, but by changing the way in which it applied the
ban. In 2000, Malaysia requested that a panel be established to examine its
complaint that, by not removing its import ban, the US had failed to comply
with the Appellate Body’s ruling. A panel was formed and in 2001, in a ruling of great importance, the
Panel stated that while a country could not condition access to its markets on
another country adopting essentially the same conservation regime as its
own, it could require would-be exporting countries to adopt programs ‘com- parable in effectiveness’ to its own.91 The Panel’s approach was confirmed as
correct by the Appellate Body which stated that ‘there is an important difference between conditioning market access on the adoption of essentially
the same programme, and conditioning market access on the adoption of a
89 US-Tuna I, above n 54, paras 5.27 & 32 and US-Tuna II, above n 60, paras 5.24-27 & 37.
90 Report of the Appellate Body in US-Shrimp, above n 63, para 121. 91 Report of the Panel in United States – Import Prohibition of Certain Shrimp and Shrimp
Products, WT/DS 58/RW. 15 June 2001, para 5.93.
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programme comparable in effectiveness’.92 The Appellate Body concluded that conditioning market access on the adoption of a program comparable in
effectiveness to that of the importing country is permissible under Art XX. This means parties seeking to achieve a particular policy objective are not necessarily forcing their legislative intent on other parties, since reciprocating
parties are only required to institute measures comparable in effectiveness to
achieve the same policy aims. In some cases, import or marketing restrictions are imposed by countries
that wish to act responsibly in ensuring that consumer demand in their territory does not act as an incentive to practices they believe to be cruel. The
US adopted this position in the Dog and Cat Protection Act of 2000 that bans
the import and export of dog and cat fur products, as well as the manu- facture and sale of such fur products for interstate commerce.93 The Act’s purposes include ensuring ‘that US market demand does not provide an
incentive to slaughter dogs or cats for their fur’. The EU and Australia have
also now banned the import and export of cat and dog fur.94
Right of WTO members to determine their level of protection
The Appellate Body has stated on several occasions that members have the
right to determine the level of protection necessary to achieve the given
policy aim, eg as regards public health or conservation, that they consider
appropriate.95 Indeed, in Brazil-Retreaded Tyres the Appellate Body referred to
the right that WTO members have to determine the level of protection that they consider appropriate in a given context as a ‘fundamental principle’.96
Does animal welfare come within Article XX(b)?
In US-Shrimp the AB held that animals may fall within Art XX(g) as ‘exhaus- tible natural resources’.97 It is not clear whether an animal welfare exception
could be formulated under Art XX(b), as being ‘necessary to protect human, animal or plant life or health’. At least one WTO member – the US – has
interpreted Art XX(b) as including animal welfare. The preamble to the Dog and Cat Protection Act of 2000 states that the import ban is ‘consistent with
provisions of international agreements to which the US is a party that expres-
92 Report of the Appellate Body in United States – Import Prohibition of Certain Shrimp and
Shrimp Products, WT/DS 58/AB/RW. 22 October 2001, para 144.
93 19 USC § 1308 (2000)
94 Regulation (EC) No 1523/2007 of the European Parliament and of the Council of 11 December 2007banning the placing on the market and the import to, or export from, the Community of cat and dog fur, and products containing such fur. OJ L 343, p 0001-0004. Amendments to the Australian Customs (Prohibited Imports) Regulations 1956 (Cth) and Customs (Prohibited Exports) Regulations 1958 (Cth).
95 Report of the Appellate Body in EC-Asbestos, above n 70, para 168.
96 Report of the Appellate Body in Brazil-Retreaded Tyres, above n 83, para 210.
97 Report of the Appellate Body in US-Shrimp, above n 63, para 131.
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sly allow for measures designed to protect the health and welfare of animals’; in the context of the Act this can only be a reference to GATT Art XX(b).
In Brazil-Retreaded tyres the Panel acknowledged that the preservation of animal and plant life and health, which constitutes an essential part of the protection of the environment, is an important value, recognised in the WTO Agreement.98 The Panel stressed that the objective of protection of animal and plant life and health should be considered important. Given this recent development and considering the general scope of the exception, it would appear that the door is still open to allow an animal welfare measure to fall within the scope of Art XX(b).
Public morals exception
Animal welfare concerns might also be raised within the scope of Art XX(a), by contending that attitudes to animals are an issue of public morality. The
public morals exception was considered for the first time in US-Gambling. The Panel stressed that the content of this concept for members can vary in
time and space depending on a range of factors, including prevailing social, cultural, ethical and religious values. It added that the Appellate Body has
stated on several occasions that members, in applying similar societal con- cepts, have the right to determine the level of protection that they consider
appropriate; accordingly, members should be given some scope to define
and apply for themselves the concept of ‘public morals’ in their respective
territories, according to their own systems and scales of values.99 The Panel considered that the term ‘public morals’ denotes standards of right and
wrong conduct maintained by or on behalf of a community or nation.100
The concept of ‘public morals’ has been used in a trade context to include animal welfare. The US Dog and Cat Protection Act of 2000 states in its preamble that ‘the trade of dog and cat fur products is ethically and aesthetically abhorrent to US citizens’. It may well be that a WTO member could successfully defend a trade restriction that requires imported meat or eggs to attain welfare standards similar to those produced domestically under the public morals exception.101
98 Report of the Panel, Brazil-Measures affecting imports of Retreaded Tyres, WT/DS332/R,
para 7.112. 12 June 2007.
99 Panel Report in United States – Measures Affecting the Cross-Border Supply of Gambling and Betting Services. WT/DS285/R. 10 November 2004, para 6.461.
100 Ibid, para 6.465.
101 Some trade experts have resisted extending the scope of a public morality exception to
include animal welfare on the grounds that it may encourage abuse of the exception, providing cover for protectionist practices: Charnovitz, S (1998) ‘The Moral Exception in Trade Policy’ 38 Virginia Journal of International Law 689. This position is not com- pelling, as it is possible to utilise this exception in a constrained manner that does not unduly restrict trade. For further detail on this point, see Thomas, EM (2007) ‘Playing
Chicken at the WTO: Defending an Animal-Welfare Based Trade Restriction’ 34(3) Boston College Environmental Affairs Law Review 605; Nielsen, above n 64.
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‘Necessity’ under Article XX(a) and (b)
While there is considerable potential under Art XX(a) and (b) for countries to
mount successful defences to claims of unfair trade restrictions imposed for
the purposes of animal welfare, measures falling within the scope of these
clauses must still be ‘necessary to’ fulfil the policy objective of protecting
public morals or protecting animal health. Earlier panels have taken a restrictive view in determining what is
‘necessary’, ruling that a measure is necessary only if no alternative which is consistent with – or less inconsistent with – GATT rules is reasonably available to fulfil the policy objective.102 More recently, however, dispute settlement has followed a more balanced approach. In Brazil-Retreaded Tyres the Panel noted that the necessity of a measure should be determined through ‘a process of weighing and balancing a series of factors’, which usually includes the assessment of the following three factors: the relative importance of the interests or values furthered by the challenged measure; the contribution of the measure to the realisation of the ends pursued by it; and the restrictive impact of the measure on international commerce.103
The Panel added that, once all those factors have been analysed, a comparison should be undertaken between the challenged measure and possible alternatives to determine whether a WTO-consistent alternative measure, or a less WTO-inconsistent measure, which the member concerned could reasonably be expected to employ, is available.104 The Appellate Body has stressed that such an alternative measure must be one that is ‘reasonably available’ and that a reasonably available alternative measure must be one that would preserve for the responding member its right to achieve its desired level of protection with respect to the objective pursued.105
The chapeau
Once a measure has been found to come within one of the specific excep- tions listed in Art XX, the Panel must finally consider whether it satisfies the
requirements of the ‘chapeau’ of the Article, the introductory words of the
Article that prohibit measures being applied in a way that constitutes
arbitrary or unjustifiable discrimination or a disguised restriction on inter- national trade
The role of the chapeau is to ensure that the exceptions invoked as of right under Art XX are not applied in a manner that would ‘frustrate or
102 See, for example, Report of the Panel in United States – Section 337 of the Tariff Act of
1930, BISD 36S/386. Adopted on 7 November 1989. 103 Panel report Brazil-Retreaded Tyres, above n 98, para 7.104.
104 Appellate Body in Brazil-Retreaded Tyres, above n 96, para 174.
105 Appellate Body Report, United States – Measures Affecting the Cross-Border Supply of Gambling and Betting Services, WT/DS285/AB/R, adopted 20 April 2005, para 308. For greater detail on the approach to this aspect of Art XX, see Button, C (2004) The Power to Protect: Trade, Health and Uncertainty in the WTO, Hart, Oxford, pp 29-38.
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defeat the legal obligations of the holder of the right under the substantive
rules’.106 In the past the requirements of the chapeau have been interpreted
restrictively, particularly by the Panel in US-Shrimp.107 However, a more bal- anced approach has been developed by the Appellate Body in recent years. In
Brazil-Retreaded Tyres the Appellate Body stressed that the function of the
chapeau is the prevention of abuse of the exceptions specified in Art XX.108 In
US-Shrimp, the Appellate Body stated that ‘the chapeau of Art XX is, in fact, but one expression of the principle of good faith’.109 The Appellate Body
added that the task of interpreting and applying the chapeau is:
[T]he delicate one of locating and marking out a line of equilibrium
between the right of a Member to invoke an exception under Article XX
and the rights of the other Members under varying substantive provisions
(eg, Article XI) of the GATT 1994, so that neither of the competing rights
will cancel out the other and thereby distort and nullify or impair the
balance of rights and obligations constructed by the Members themselves
in that Agreement. The location of this line of equilibrium … is not fixed
and unchanging; the line moves as the kind and the shape of the
measures at stake vary and as the facts making up specific cases differ.110
Conclusion
The EU has enacted important legislation that prohibits some of the worst aspects of industrial livestock production: it has banned veal crates, battery
cages and sow gestation crates. This, however, represents only a start. Most pigs and poultry and many cattle in the EU continue to be farmed indus- trially. Further far-reaching legislation and improved enforcement are
needed to address the health and welfare problems that are inherent in the
industrial production of animals. In addition, the GATT rules remain a major impediment to streng-
thening EU legislation on the protection of animals. As this article seeks to
demonstrate, however, it may well be that governments are taking too
cautious a view of the GATT restrictions and using them as an excuse for not making more meaningful changes to benefit the welfare of animals.
Recently, there have been some positive signs. In 2007, the EU prohibited the placing on the market and the import or export of the fur of cats and dogs and any products containing such fur.111 That same year, two
106 United States – Standards for the Reformulated and Conventional Gasoline, WT/DS2/AB/R
(20 May 1996), para 121.
107 Panel report United States – Import Prohibition of Certain Shrimp and Shrimp Products, WT/DS58/R, 15 May 1998, para 7.44.
108 Appellate Body report in Brazil-Retreaded Tyres, above n 96, para 224.
109 Appellate Body report in US-Shrimp, above n 63, para 158.
110 Ibid, para 159. For further detail on the application of the chapeau, see Button, above
n 105, pp 38-40.
111 Above n 94.
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EU Member States, Belgium and the Netherlands, prohibited trade in pro- ducts derived from seals. The European Commission has said that it will defend these bans if they are challenged by Canada.112 Indeed, the Commis- sion has now brought forward a proposed Regulation for an EU wide
prohibition on the placing on the market, and the import and export, of seal products.113
These moves should be applauded. Moreover, recent cases indicate that WTO panels and the Appellate Body are beginning to develop a more
balanced relationship between the GATT free trade rules and other legiti- mate public policy considerations. It follows that there are many strong
arguments that can be made in defence of animal protection initiatives.
112 CBC.ca (2007) ‘Canada Goes to WTO over BELGIAN, Dutch Seal-Product Ban’, <www.cbc.ca/canada/north/story/2007/09/26/sealwto.html>, 26 September (Office of EU Trade Commissioner Peter Mandelson stating that the EU would defend its Member States before the Geneva-based WTO).
113 Proposal by the European Commission for a Regulation of the European Parliament and of the Council concerning trade in seal products, 23 July 2008, COM(2008) 469
final.
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