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The increase in the European Union's executive powers in the areas
of economic and financial governance has thrown into sharp relief
the challenges of EU law in constituting, framing, and constraining
the decision-making processes and political choices that have
hitherto supported European integration. The constitutional
implications of crisis-induced transformations have been much
debated but have largely overlooked the tension between law and
discretion that the post-2010 reforms have brought to the fore.
This book focuses on this tension and explores the ways in which
legal norms may (or may not) constrain and structure the discretion
of the EU executive. The developments in the EU's post-crisis
financial and economic governance act as a reference point from
which to analyze the normative problems pertaining to the law's
relationship to the exercise of discretion. Structured in three
parts, the book starts by analyzing the challenges to the maxim
that the law both grounds and constrains EU executive and
administrative discretion, setting out the concepts, problems and
approaches to the relation between law and discretion both in
general public law and in EU law. It progresses to analyze how
these problems and approaches have unfolded in EU's financial,
economic and monetary governance. Finally, it moves on from these
specific developments to assess how existing legal principles and
means of judicial review contribute to ensuring the rationality and
legality of EU's discretionary powers.
The limited scope of participation in the making of EU law remains
a continued source of controversy, featuring prominently in recent
institutional and political developments that have been shaping the
EU's constitutional framework - most intensely in the follow up of
the Commission's White Paper on Governance. Yet little attention
has been paid to participation rights as a means of ensuring the
procedural protection of persons affected by EU regulation in its
diverse forms. This is a dimension of the rule of law that has been
largely ignored by EU legislative and judicial bodies. Not only the
legislator, but also the Court of Justice and the Court of First
Instance tend to adhere to excessively formal conceptions of
participation rights that are premised on the right to be heard in
individual procedures, as well as to a restrictive view regarding
the relationships between the citizens and the administration. This
book shows why, in the face of new regulatory developments, these
conceptions are currently inadequate to ensure the legal protection
of rights and interests affected by EU regulation. Combining a
conceptual analysis with thorough empirical scrutiny, this book
assesses the scope of participation rights in EU law against their
rationales and underlying legal values. It makes a case for the
extension of participation rights to new situations and new types
of procedures, in particular those that would generally fall within
the category of rulemaking. It brings distinct normative insights
into a crucial theme of EU administrative law, and makes a topical
and timely contribution to the increasingly notable theme of public
participation in EU regulation. Joanna Mendes' 2009 thesis upon
which Participation in EU Rule-Making is based was awarded the the
European University Institute (Florence) Mauro Cappelletti Prize
for the best doctoral thesis using a methodology of comparative law
The question of which European or international institution should
exercise public authority is a highly contested one. This new
collection offers an innovative approach to answering this vexed
question. It argues that by viewing public authority as relative,
it allows for greater understanding of both its allocation and its
legitimacy. Furthermore, it argues that relations between actors
should reflect the comparative analysis of the legitimacy assets
that each actor can bring into governance processes. Put
succinctly, the volume illustrates that public authority is
relative between actors and relative to specific legitimacy assets.
Drawing on the expertise of leading scholars in the field, it
offers a thought-provoking and rigorous analysis of the long
debated question of who should do what in European and
international law.
The question of which European or international institution should
exercise public authority is a highly contested one. This new
collection offers an innovative approach to answering this vexed
question. It argues that by viewing public authority as relative,
it allows for greater understanding of both its allocation and its
legitimacy. Furthermore, it argues that relations between actors
should reflect the comparative analysis of the legitimacy assets
that each actor can bring into governance processes. Put
succinctly, the volume illustrates that public authority is
relative between actors and relative to specific legitimacy assets.
Drawing on the expertise of leading scholars in the field, it
offers a thought-provoking and rigorous analysis of the long
debated question of who should do what in European and
international law.
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