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WTO Dispute Settlement Mechanism(4)/刘成伟

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Chapter IV
Function of Panels: Art. 11 of the DSU


OUTLINE


I Introduction
II Application of Art. 11 as a General Standard of Review
III Review in “neither de novo nor total defence”
IV Allegation against Panels’ Standard of Review
V Exercise of Judicial Economy





I Introduction
The function of panels is expressly defined in Art. 11 of the DSU, which reads as follows:

“The function of panels is to assist the DSB in discharging its responsibilities under this Understanding and the covered agreements. Accordingly, a panel should make an objective assessment of the matter before it, including an objective assessment of the facts of the case and the applicability of and conformity with the relevant covered agreements, and make such other findings as will assist the DSB in making the recommendations or in giving the rulings provided for in the covered agreements. Panels should consult regularly with the parties to the dispute and give them adequate opportunity to develop a mutually satisfactory solution.”

This provision suggests that the function of panels is to make an objective assessment such as to assist the DSB in making the recommendations or in giving the rulings provided for in the covered agreements. However, how do panels fulfill their functions as provided in Art. 11 of the DSU? It is the issue that we will touch on in this chapter. In this chapter, the author explores on the standard of review issue under the WTO, i.e. “an objective assessment”; as well as on the exercised judicial economy principle developed in panel’s review.
With regard to the standard of review issue, the GATT/WTO dispute settlement procedures have increasingly confronted questions concerning the degree to which an international body, under the GATT/WTO, should “second guess” a decision of a national government agency concerning economic regulations that are allegedly inconsistent with an international rule. It seems clear that the international agreement doesn’t permit a national government’s determination always to prevail, otherwise the international rules could be easily evaded or rendered ineffective. But should the international body approach the issues involved without any deference to the national government? It has been argued in the GATT/WTO proceedings that panels should respect national government determinations, up to some point. That “point” is the crucial issue that has sometimes been labelled the “standard of review”.1
Of course, this issue is not unique to the GATT/WTO. Naturally, the standard-of-review issue is one that many legal systems face. “The standard-of-review question is faced at least implicitly whenever sovereign members of a treaty yield interpretive and dispute settlement powers to international panels and tribunals. Moreover, as national economies become increasingly interdependent, and as the need for international cooperation and coordination accordingly becomes greater, the standard-of-review question will become increasingly important.” 2 And “it can be seen that the standard-of-review question is a recurring and delicate one, and one that to some extent goes to the core of an international procedure that must (in a rule-based system) assess a national government’s actions against treaty or other international norms”. 3
However, for the immediate purpose, we want to focus below on the more particular question of the proper standard of review for a WTO panel when it undertakes to examine a national government’s actions or rulings that engage the question of consistency with the various WTO agreements and are subject to the DSU procedures.

II Application of Art. 11 as a General Standard of Review
Under the WTO jurisprudence, it’s demonstrated that Art. 11 of the DSU has been applied as a general standard of review. Art. 11 suggests that the function of panels is to make “an objective assessment” so as to assist the DSB in making the recommendations or in giving the rulings provided for in the covered agreements.
For example, in US-Shirts and Blouses (DS33), the Panel rules that, “although the DSU does not contain any specific reference to standards of review, we consider that Article 11 of the DSU which describes the parameters of the function of panels, is relevant here”. 4
And the application of Art. 11 as a general standard of review under the DSU is analyzed systematically in EC-Hormones (DS26/DS48) where the Appellate Body rules that: 5
“The first point that must be made in this connection, is that the SPS Agreement itself is silent on the matter of an appropriate standard of review for panels deciding upon SPS measures of a Member. Nor are there provisions in the DSU or any of the covered agreements (other than the Anti-Dumping Agreement) prescribing a particular standard of review. Only Article 17.6(i) of the Anti-Dumping Agreement has language on the standard of review to be employed by panels engaged in the ‘assessment of the facts of the matter’. We find no indication in the SPS Agreement of an intent on the part of the Members to adopt or incorporate into that Agreement the standard set out in Article 17.6(i) of the Anti-Dumping Agreement. Textually, Article 17.6(i) is specific to the Anti-Dumping Agreement.
[…]
We do not mean, however, to suggest that there is at present no standard of review applicable to the determination and assessment of the facts in proceedings under the SPS Agreement or under other covered agreements. In our view, Article 11 of the DSU bears directly on this matter and, in effect, articulates with great succinctness but with sufficient clarity the appropriate standard of review for panels in respect of both the ascertainment of facts and the legal characterization of such facts under the relevant agreements […]”
In sum, for all but one of the covered agreements, Art. 11 of the DSU sets forth the appropriate standard of review for panels. As stated on more than one occasion, Art. 11 of the DSU, and, in particular, its requirement that “a panel should make an objective assessment of the matter before it, including an objective assessment of the facts of the case and the applicability of and conformity with the relevant covered agreements”, sets forth the appropriate standard of review for panels examining the consistency or inconsistency of alleged measures under the WTO jurisprudence. And the only exception is the Agreement on Implementation of Article VI of the General Agreement on Tariffs and Trade 1994, in which a specific provision, Art. 17.6, sets out a special standard of review for disputes arising under that Agreement(to be discussed in subsequent chapter).6

III Review in “neither de novo nor total defence”
In EC-Hormones (DS26/DS48), in the view of the European Communities, “the principal alternative approaches to the problem of formulating the ‘proper standard of review’ so far as panels are concerned are two-fold. The first is designated as ‘de novo review’. This standard of review would allow a panel complete freedom to come to a different view than the competent authority of the Member whose act or determination is being reviewed. A panel would have to ‘verify whether the determination by the national authority was…correct (both factually and procedurally)’. The second is described as ‘deference’. Under a ‘deference’ standard, a panel, in the submission of the European Communities, should not seek to redo the investigation conducted by the national authority but instead examine whether the ‘procedure’ required by the relevant WTO rules had been followed”.7 In this respect, the Appellate Body rules that:8
“So far as fact-finding by panels is concerned, their activities are always constrained by the mandate of Article 11 of the DSU: the applicable standard is neither de novo review as such, nor ‘total deference’, but rather the ‘objective assessment of the facts’. Many panels have in the past refused to undertake de novo review, wisely, since under current practice and systems, they are in any case poorly suited to engage in such a review. On the other hand, ‘total deference to the findings of the national authorities’, it has been well said, ‘could not ensure an 'objective assessment' as foreseen by Article 11 of the DSU’.”
The ruling is confirmed on many other occasions. For example, the Panel on US-Underwear (DS24) finds that: 9
“In our opinion, a policy of total deference to the findings of the national authorities could not ensure an ‘objective assessment’ as foreseen by Article 11 of the DSU. This conclusion is supported, in our view, by previous panel reports that have dealt with this issue, and most notably in the panel report on the ‘Transformers’ case.
The panel in the ‘Transformers’ case was confronted with the argument of New Zealand that the determination of ‘material injury’ by the competent New Zealand investigating authority could not be scrutinized by the panel. The ‘Transformers’ panel responded to this argument as follows:
‘The Panel agreed that the responsibility to make a determination of material injury caused by dumped imports rested in the first place with the authorities of the importing contracting party concerned. However, the Panel could not share the view that such a determination could not be scrutinized if it were challenged by another contracting party. On the contrary, the Panel believed that if a contracting party affected by the determination could make a case that the importation could not in itself have the effect of causing material injury to the industry in question, that contracting party was entitled, under the relevant GATT provisions and in particular Article XXIII, that its representations be given sympathetic consideration and that eventually, if no satisfactory adjustment was effected, it might refer the matter to the CONTRACTING PARTIES, as had been done by Finland in the present case. To conclude otherwise would give governments complete freedom and unrestricted discretion in deciding anti-dumping cases without any possibility to review the action taken in the GATT. This would lead to an unacceptable situation under the aspect of law and order in international trade relations as governed by the GATT’.”
In short, for the panel to adopt a policy of total deference to the findings of the national authorities could not ensure an “objective assessment” as foreseen by Art. 11 of the DSU. This conclusion is supported, in our view, by previous panel reports that have dealt with this issue. However, panels do not see their review as a substitute for the proceedings conducted by national investigating authorities, either. For example, in Argentina-Footwear (DS121), the Panel doesn’t consider that they have the mandate to conduct a de novo review: 10
“This approach is consistent with the reports of panels reviewing national investigations… The panel on United States - Anti-dumping Duties on Import of Salmon from Norway concluded that it should not engage in a de novo review of the evidence examined by the national investigating authority.
The panel on United States - Underwear followed this approach by noting, however, that it did not see its ‘review as a substitute for the proceedings conducted by national investigating authorities or by the Textiles Monitoring Body (TMB). Rather…the Panel's function should be to assess objectively the review conducted by the national investigating authority, in this case the CITA. We draw particular attention to the fact that a series of panel reports in the anti-dumping and subsidies/countervailing duties context have made it clear that it is not the role of panels to engage in a de novo review. In our view, the same is true for panels operating in the context of the ATC, since they would be called upon, as in the cases dealing with anti-dumping and/or subsidies/countervailing duties, to review the consistency of a determination by a national investigating authority imposing a restriction under the relevant provisions of the relevant WTO legal instruments, in this case the ATC. …’
Accordingly, the panel on United States - Underwear decided, ‘in accordance with Article 11 of the DSU, to make an objective assessment of the Statement issued by the US authorities … which, as the parties to the dispute agreed, constitutes the scope of the matter properly before the Panel without, however, engaging in a de novo review. … an objective assessment would entail an examination of whether the CITA had examined all relevant facts before it, whether adequate explanation had been provided of how the facts as a whole supported the determination made, and, consequently, whether the determination made was consistent with the international obligations of the United States’.
The panel on United States - Shirts and Blouses also stated that ‘[t]his is not to say that the Panel interprets the ATC as imposing on the importing Member any specific method either for collecting data or for considering and weighing all the relevant economic factors upon which the importing Member will decide whether there is need for a safeguard restraint. The relative importance of particular factors including those listed in Article 6.3 of the ATC is for each Member to assess in the light of the circumstances of each case’.
These past GATT and WTO panel reports make it clear that panels examining national investigations in the context of the application of anti-dumping and countervailing duties, as well as safeguards under the ATC, have refrained from engaging in a de novo review of the evidence examined by the national authority.”
However, as emphasized by the Appellate Body, although panels are not entitled to conduct a de novo review of the evidence, nor to substitute their own conclusions for those of the competent authorities, this does not mean that panels must simply accept the conclusions of the competent authorities. In this respect, the phrase “de novo review” should not be used loosely. If a panel concludes that the competent authorities, in a particular case, have not provided a reasoned or adequate explanation for their determination, that panel has not, thereby, engaged in a de novo review. Nor has that panel substituted its own conclusions for those of the competent authorities. Rather, the panel has, consistent with its obligations under the DSU, simply reached a conclusion that the determination made by the competent authorities is inconsistent with the specific requirements of the covered Agreement. 11
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  摘要:在人民法院的人员构成中,院长、庭长的地位特殊、职责重大。他们既属于审判人员,也是审判人员的管理者;既要履行审判职责,也要履行与其职务相适应的其他职责。由于院长、庭长直接指导办案,直接管理法官,因而在审判管理工作中,其审判管理责任也更大,特别是在法院内部的层级管理中,更是发挥着不可替代的核心作用。面对新的形势和任务,如何抓好审判管理工作,不断提高法院科学管理的水平,实现向管理要公正、要效率、要形象、要公信的目标,已经成为院长、庭长当前必须加以考虑的问题。

  
  一、强化院长、庭长行使审判管理权的迫切性

  准确把握法院管理的中心工作,遵循司法活动内在规律,建立符合审判规律和特点的审判管理机制,是不断深化法院改革的一项重要内容。然而,司法实践中,在院长、庭长行使审判工作的监督管理方面存在脱节和弱化趋势,制约了保障审判组织依法独立行使裁判权等措施的实施。

  (一)院长庭长管理行政化管理浓厚

  法院管理是涵盖审判管理、人事管理和司法政务管理的一个有机体系,而院长庭长分别作为法院、业务庭的代表人,其职责必然包含对审判业务、工作人员和后勤保障事务的管理,三种管理权归集于一身。目前,院长、庭长管理行政化倾向浓厚,院长庭长三种管理权的边界模糊不清,过多的事务性管理工作已经成为影响其充分行使审判管理权的主要障碍。审判管理权难以真正发挥作用。同时,审判管理的范围、程序长期缺乏制度性框架,权责难以明晰,导致院长庭长的审判管理权处于自发行使、各自为政状态。

  (二)院长庭长审判管理权呈局限性

  院长庭长行使审判管理权的主要手段是听取重大疑难案件的汇报,履行法定的程序转换、审限延长审批职责等,审判管理的方式、途径单一,范围、内容具有局限性。有的仅在问题暴露后才进行管理,缺乏事前、事中管理;有的院长庭长在签发裁判文书时仅仅是作文字把关;有的管理思维模式固定,只是关注案件质量和效率;院长庭长的审判管理取决于其自觉性和其实质影响力,制度化、规范化不足。

  (三)院长庭长审判管理权边缘化

  “一五改革”后,院长庭长处在一个十分尴尬的地位,除了对需提交审判委员会讨论的案件进行审查外,对其他案件过问的正当性在很多时候都会遭到法官的质疑,被认为是干预了审判组织的独立裁判权,其结果是不想管的院长庭长正好借此机会撒手不管,而想管的院长庭长又不知道如何管,院长庭长的审判管理职责边缘化。 

  二、院长庭长行使审判管理权的定位

  构建院长庭长的审判管理权,需要明确其与审判权的界限,理顺与其他层级主体审判管理权的关系。

  (一)理顺院长庭长审判管理权与其他层级主体审判管理权的关系

  审判管理权从行使主体来讲,包括法院内部不同层级主体对审判执行工作的管理,也包括上级法院对下级法院的指导。基层法院的审判管理主要包括审判组织、审判机构、职能机构三个层级主体的管理。 审判委员会、合议庭及独任审判员作为审判组织,在组织内部分别享有相应的审判管理职能,如审判长行使对庭前准备工作的组织、督促和检查等管理职能。法院、业务庭作为审判机构,其审判管理权由其代表人院长庭长行使。院长庭长的审判管理不仅包括重大疑难复杂个案的微观管理、案件程序控制的中观管理,还包括对整个庭、分管的业务条线、甚至整个法院审判工作的宏观管理。职能机构则是专项行使审判管理职能的业务部门,如综合行使审判管理职能的机构,即成立审判管理办公室。职能机构主要通过案件流程管理、案件质量评查、审判质效评估等手段实现专项或综合的管理职能,其工作成果体现为质量评查报告、质效评估数据等形式。

  在审判组织、审判机构、职能机构三个层级主体的审判管理中,审判组织即要对组织内部审判事务实施管理,也要接受院长庭长和职能机构的审判管理。从审判管理权发展的历程来看,职能机构行使的审判管理权是院长庭长审判管理权的让与和整合,两者存在一定的交叉关系。 院长庭长行使审判管理职能需要借助职能机构的管理成果,对本部门的审判执行情况分析,查找问题并提出对策,并不断健全审判管理制度。职能机构管理的对象是全院的审判工作,因此,院长庭长也要树立接受管理的理念,在部门内部积极配合职能机构开展审判管理工作。由此可见,三个层面审判管理权的协作、配合砌建了审判管理的大楼,三者不可混淆、不可替代。

  (二)明晰审判权与审判管理权的界限

  审判权、审判管理权是司法运行中性质截然不同的两种权限,两者在权力主体、依据、程序、目的方面均存在显著差异。同时,两者也存在相互配合、相互制约的依存关系。审判管理权衍生、从属于审判权,是对审判权的监督、制约,同时也保障审判权的良性运行。审判权作为裁判权,具有独立性,天然地抵抗外来的干预,审判管理权也因而受到审判权的反向制约。因此,审判管理权的行使应尊重审判权的自然特性,遵循其规律,对于涉及审判权行使的方面,如法官对实体权利义务的裁断,适时、克制、不介入。为此,需要科学界定审判管理权的边界,厘清和明确审判管理的范围和内容,也就是要健全和完善案件流程管理、质量评查、审判质效评估、监督指导等审判管理制度,以规范审判管理权的行使和切实发挥审判管理的作用。

  三、加强院长庭长行使审判管理权的建议

  院长庭长审判管理权与审判组织、职能机构审判管理权的重要区别是管理范围的差异。审判组织属于自负其责,职能机构则是对全院的审判工作进行中观管理,而院长庭长的审判管理则辐射了微观、中观、宏观管理三个部分。院长庭长审判管理范围的广泛性决定了管理手段的多元化,需要并必将借助于案件质量评查、案件流程管理和审判质效评估“三位一体”的审判管理系统 ,构建点、线、面管理相结合的审判管理体系。

  (一)以重大个案管理为重点,加强点上管理

  院长庭长的点上管理,是指以个案管理为重点,加强对重大、疑难、复杂或者新类型的案件、当事人反映强烈的群体性纠纷、有可能矛盾激化的案件等的管理,对案件实体裁决依法行使监督指导权,并做到管理到位但不越权、不越位。一方面要充分尊重审判组织和审判人员对个案的独立裁判权,庭长不同意合议庭意见的,可以建议合议庭进行复议,并以书面形式明确提出需要复议的问题和理由;合议庭复议后,庭长仍不同意合议庭意见的,可以提交分管院领导提请院长决定提交审判委员会讨论,但不得改变合议庭的意见。另一方面院长庭长采取列席合议庭评议、听取汇报、查阅案卷等方式对案件进行审批和审核,着重审查案件争议的事实是否查清,认定争议事实的证据是否充分,程序是否合法,法律适用是否正确,案件的处理结果是否公平、合理,是否符合法律效果和社会效果的有机统一。 

  (二)以审判流程管理为依托,实现线上管理

  目前,各地法院普遍建立起审判流程管理制度,并由业务部门负责案件信息录入,由审判管理办公室等职能部门对信息录入的及时性、准确性、全面性进行督查。院长庭长的线上管理,则可依托审判流程管理系统,以节点控制为核心,着重对案件的立案、送达、开庭、裁判、执行、归档、上诉移送等审判流程节点进行监管,从而达到对案件全程的动态跟踪和事中管理。在整个流程运行中,庭长应及时将立案庭移交来的案件进行分配,合理配置本庭的法官资源,确定案件承办人、合议庭组成人员等,对于重大案件,可以决定亲自参加审判;院长庭长应强化审限监控,及时对预警案件进行催办和督办,履行好程序转换、程序延长等事项的审批和重点管理,提高办案效率。

  (三)以案件质量评查和审判质效评估为载体,抓好面上管理

  案件质量评查应由职能机构承担,如案件质量评查办公室,基层法院则大部分由审监庭承担,对案件立案、审判、执行的程序、实体以及法律文书、案卷归档的质量进行全面监督,对上级法院改判或发回重审的案件、再审改判案件等进行重点评查。案件评查中发现的问题往往在质量评查通报中予以反映。同时,质效评估数据系统应由审判职能机构负责,如成立审判管理办公室,定期对审判质效评估数据进行提取、分析和通报,以实时反映审判执行工作动态。

  院长庭长的面上管理以全面掌握审判执行工作基本态势为基础,进行综合指导,对此,应注重借助质量评查结果和质效评估数据。一是针对质量评查中发现的问题,开展针对性的调查研究工作,并组织专题研讨、专项培训,预防和减少类似错误。二是仔细研判审判质效评估数据,分析审判执行整体运行态势,作为优化审判指导监督、实现科学管理的依据;定期召开院务会或工作例会,研究审判质效评估数据及其变化,认真查找审判执行工作中存在的问题,尤其注意抓住案件审判执行中的倾向性、苗头性问题,深入研究背后的实质原因,提出改进措施和建议,并督促落实改进。三是定期主持召开审判长联席会、典型或新类型案例评析会,统一同类案件裁判的价值取向和法律适用。四是定期主持召开二审改判、发回重审案件、涉诉信访案件例会,分析研究存在的普遍性问题,提出解决方案并督促落实。五是组织常规培训、法官讲坛和庭审观摩等活动,开展新的法律法规及司法解释的学习,相互交流审判经验,研讨实践中的疑难问题,提高法律适用能力。 

安徽省农村卫生室管理试行办法

安徽省人民政府


安徽省农村卫生室管理试行办法
省人民政府



第一条 为了加强农村基层卫生室的管理,发展农村医疗卫生事业,保障人民群众身体健康,特制定本办法。
第二条 凡有条件的村,应建立村卫生室。村卫生室是农村基层卫生福利事业单位,受村民委员会领导。
第三条 村卫生室可以在原大队卫生室基础上举办,也可以根据当地实际情况,采取毗邻村联合办、乡(镇)卫生院固定设点、乡村医生联合办,乡村医生承包等多种形式。
开办村卫生室应报经乡(镇)卫生院审查同意,并接受其业务指导。
第四条 村卫生室应坚持预防为主、防治结合的方针,坚持为群众健康服务的方向。群众就医,可为实行合作医疗、医疗保险、看病收费以及群众自愿接受的其他办法。
第五条 村卫生室的任务是:
(一)宣传和贯彻执行国家卫生工作的方针、政策和法规,宣传、普及卫生常识;
(二)指导本村的爱国卫生运动,承担本村疾病预防、计划免疫和疫情普查、上报任务;
(三)诊断、治疗一般疾病和进行急救处理;
(四)指导计划生育、妇幼保健和进行科学接生;
(五)完成卫生部门交办的其它任务。
第六条 村卫生室人员,由村民委员会在下列人员中聘用:
(一)已取得证书的乡村医生;
(二)经县(市)卫生局考核合格的卫生员;
(三)退休、退职的医务人员。
村卫生室的人数,视服务范围的大小而定,一般为二至三人,其中应有女性。聘用人员需报乡(镇)卫生院备案。
第七条 村卫生室人员必须做到:
(一)努力学习国家卫生工作的方针、政策和法规,树立良好的医德医风,做好文明服务;
(二)努力学习和钻研业务,不断提高防病治病的业务水平;
(三)积极参加卫生部门和卫生工作者协会组织的各项活动。
第八条 村卫生室人员的报酬,从以下渠道解决:
(一)开展医疗业务的收入;
(二)从事防疫、保健的劳务收入;
(三)经济条件较好、群众自愿实行合作医疗的地方,可以从集体公益金中给予补助或由群众自愿集资给予补助。
第九条 村卫生室应当建立健全各项管理制度:
(一)医疗、护理、保健、预防接种和计划生育筹项工作,必须严格执行技术操作规程,认真做好登记和原始记录。发生医疗事故和差错,应如实上报乡(镇)卫生院,按有关规定处理。
(二)严格执行县以上人民政府规定的医疗收费标淮和药品价格,积极采用中草药、针灸、推拿等经济有效的传统疗法,合理诊治,合理用药。
(三)按照《药品管理法》的规定,加强药品管理,保证用药安全。
(四)建立财务收支帐目,收费应有单据和存根。集体力、联合办的卫生室应适当提留积累,用于发展卫生事业。
第十条 村卫生室实行独立核算、自主管理。其一切合法权益受法律保护,任何人不得侵犯,不得平调其财产和资金。违者,依法查处。
第十一条 村民委员会应当支持并检查督促村卫生室完成卫生工作任务。乡(镇)卫生院应负责组织技术交流,培训技术人员,并帮助解决具体技术问题。对不符合行医条件以及管理不善的村卫生室,乡 镇)卫生院有权提出批评,并限其改正。
第十二条 本办法自发布之日起施行。由省卫生厅负责解释。




1986年8月23日