Vertical division of competences as a limit for the Court’s interpretation of EU law – Distinction between Union competences and institutional powers – Distinction between ‘Verbandskompetenz’ and ‘Organkompetenz’ – Principles of conferral, subsidiarity, and proportionality – Article 5 TEU – Retained powers – ‘Compétences encadrées’ – Jurisdiction – Judicial function – Difference between legislating and adjudicating – Judicial development of the law – ‘Rechtsfortbildung’ – Deference – Margin of appreciation
Introduction
Can the division of competences between the Union and its member states be invoked to limit the Court’s interpretation of EU law? Must the Court’s interpretative activity respect the principles of conferral, subsidiarity, and proportionality, like the Union’s legislative and executive branches? And can member states shield certain areas of national competences, say in education, health, and social policy or criminal, nationality, and civil status law, against judicial interpretations of EU law? This article offers a clear answer: no.
To many legal scholars, this may appear self-evident. Some 35 years ago, Koen Lenaerts stressed that ‘there simply is no nucleus of sovereignty that the Member States can invoke, as such, against the Community’ – more precisely, against its law.Footnote 1 Those learned scholars will not find this piece particularly innovative and might be tempted to put it aside. Nonetheless, two reasons justify revisiting this issue.
First, the competence confusion runs deep. Arguments from competence constraints recur with striking persistence. And second, such claims are voiced with increasing sophistication. Some scholars have formulated comprehensive frameworks to constrain the Court’s interpretative activity.Footnote 2 Being a political actor, the effects of its jurisprudence should be compared to those of legislation and therefore subject to analogous constraints. On that basis, these scholars challenge the allegedly ‘conventional view’ that principles governing the vertical division of competences do not constrain the Court’s interpretation of EU law.Footnote 3 Upon closer examination of the literature, however, this ‘conventional view’ is often presupposed rather than spelled out. The present contribution seeks to fill this void: it makes the case against invoking the vertical division of competences against the Court’s interpretation of EU law.
Before diving into these issues, three important but often blurred distinctions should be recalled. First, this article does not concern the Court’s review of whether other EU institutions stick to their competences.Footnote 4 In this context, the vertical division of competences plays a central role. Instead, it will assess whether the Court itself is limited, when interpreting EU law, by the vertical division of competences between the member states and the Union. Second, German legal scholarship often distinguishes between interpretation (‘Auslegung’) and the active, progressive, or creative development of the law (‘Rechtsfortbildung’). Leaving the clarity of this distinction aside, the Court of Justice does not neatly distinguish between these two activities. Instead, both are treated synonymously as ‘interpretation’.Footnote 5 And third, arguments from competence constraints are broader and at the same time narrower than claims raised under the banner of ‘judicial activism’. On the one hand, they concentrate on the Union’s vertical, federal relationship to the member states, thus leaving the horizontal, inter-institutional relationship to the Union’s political branches aside. On the other hand, they go beyond calls for judicial restraint by submitting the Court to legal limits resulting from the vertical division of competences.
This article argues that the Union’s competence constraints cannot be invoked against the Court’s interpretation of substantive EU law. It will make its case in three steps. The article will begin by highlighting the relevance of this study. In four controversial areas, the protection of Union values, the effects of Union citizenship as well as the Union’s equality and internal market law, objections based on competence constraints are persistently invoked against the Court’s interpretative activity. While articulated in very different ways, these objections boil down to the following claim: when interpreting EU law, especially provisions containing obligations for the member states, the Court is not only constrained by its institutional powers in Article 19 TEU (the Court’s ‘Organkompetenz’), but by the Union’s competences as a legal order (the Union’s ‘Verbandskompetenz’). Two broader, interconnected approaches can be distinguished. The Court is either supposed to be bounded by the principles of conferral, subsidiarity, and proportionality in Article 5 TEU (principles-based constraints) or by the overall division of competences between the Union and its member states (areas-based constraints).
In a second step, this article will put these claims to the test. Starting with principles-based constraints, it will demonstrate that Article 5 TEU was never intended to address the Court’s interpretative activity. Even though the provision’s wording seems open to such a reading, both systematic arguments and drafting history suggest that these limitations were meant to constrain only the Union’s legislative and executive branches. Moreover, any alleged comparability of the Court’s judicial and the Union’s legislative activity does not justify applying these constraints in an undifferentiated manner to both institutions. Moving to area-based competence constraints, this article will show that the Union’s ‘Verbandskompetenz’, which is broadly delineated in Articles 2-6 TFEU and specifically conferred in the Treaties’ legal bases, can neither limit, procedurally, the Court’s jurisdiction, nor, substantively, the scope and content of the EU law that is interpreted.
Ultimately, the principle of conferral can have only a very limited impact in constraining the Court: what remains is the Court’s ‘Organkompetenz’, its jurisdiction expressed in the articles following Article 251 TFEU and the Court’s mandate under Article 19(1) TEU to ‘ensure that in the interpretation and application of the Treaties the law is observed’. As such, the Court’s interpretative practice is subject to the limits of adjudication: institutionally, it may not cross the threshold of Treaty change or positive legislation, and methodologically, it must abide by the constraints of legal interpretation.
This leads to the third and last step, which sketches how we could assess the Court’s activity instead. Arguments advanced under the banner of the vertical division of competences must be articulated through different channels. In particular, neither the member states’ autonomy nor their competences are an end in themselves. They always serve certain aims. Institutionally, we allocate competences to a specific entity for certain reasons, such as capacity or legitimacy. And substantively, we exercise competences to achieve certain objectives. By focusing on these reasons behind the division of competences, we might reformulate arguments currently advanced as competence constraints.
Calls for competence constraints
The Court has played a fundamental role as an ‘engine of integration’. Its interpretations of EU law were a central driver for the Union’s constitutional development. At the same time, they have expanded the reach of EU law deep into the member states’ legal orders. Hence, the Court has always faced calls to show greater respect for the Union’s competence constraints. Taking stock of over 60 years of jurisprudence, a group of prominent constitutional judges stressed that ‘the Court has not taken the principle of conferral … seriously, and imaginatively flouted the limits set by the Treaties’.Footnote 6 This critique and its underlying assumptions can be traced in four controversial areas.
Union values
The first example relates to the mobilisation of the Union’s common values. Confronted with the overhaul of the Polish judiciary, the Court started to operationalise these values through more specific Treaty provisions. Based on Articles 2 and 19(1)(2) TEU, which oblige the member states to ensure effective legal protection in the fields covered by Union law, Luxembourg established EU requirements for the independence of national courts.Footnote 7
The Polish government at the time objected by referring to the Union’s competence constraints. The Court cannot ‘alter the substance of the principle of conferral or the extent of the European Union’s powers’.Footnote 8 As the organisation of the national judiciary is ‘a competence reserved exclusively to the member states’, its interpretation of Articles 2 and 19(1)(2) TEU could not be sustained.Footnote 9 The captured Constitutional Tribunal followed suit, rejected Luxembourg’s intervention, and stressed that the institutions, including the Court, can enforce member state obligations under EU law only within the scope of the Union’s competences.Footnote 10
However, doubts were harboured by EU institutions as well. In 2014, the Council’s legal service asserted that apart from the procedure foreseen in Article 7 TEU, violations of EU values ‘may be invoked against a Member State only when it acts in a subject matter for which the Union has competence’.Footnote 11 Surprisingly, even the Commission’s legal service found it hard to resist such arguments. In its infringement procedures against violations of LGBTQI rights by Hungary,Footnote 12 the Commission raised a breach of Article 2 TEU as self-standing plea. During the hearing, the situations in which Article 2 TEU can be invoked were discussed. In an attempt to backpedal, the legal service’s Director General stressed that ‘there needs to be a link to the Union’s competences – always’.Footnote 13
Despite the Court’s evolving case law, legal scholarship continues to invoke such competence constraints. Benedikt Riedl, for instance, stressed that the Court can only establish EU standards for national measures and review their compliance when these measures fall within the ambit of the Union’s competences. Beyond this limitation, the Court’s activity is not covered by the principle of conferral. As the Union’s competences do not include the organisation of national courts, ‘the ECJ cannot claim to control judicial organization that falls within the core of national constitutional structures’.Footnote 14
Union citizenship
Similar concerns are raised with regard to the judicial development of Union citizenship, especially its impact on the member states’ nationality laws. Even though the rules pertaining to nationality are a national competence, they are not shielded from the impact of EU law. With regard to the loss of nationality, the Court has stated in Rottmann that the national legal frameworks must comply with principles of EU law, such as proportionality.Footnote 15 This was criticised by many scholars as a ‘creeping usurpation of competences’ by the Court. As long as the member states have not expressly transferred their law-making powers in the area of nationality law, the EU and its institutions – including the Court – should not have ‘any direct or indirect authority in this area’.Footnote 16 Despite this criticism, the Court has continued to spell out specific EU requirements in considerable detail, including time limits, procedures, and assessments.Footnote 17 According to Ferdinand Weber, this ‘process of judicial densification’ might cross the threshold from adjudication to legislation thus leading – if not in law, then in fact – to an EU competence in the area of nationality.Footnote 18
Particularly controversial is the question of whether EU law contains requirements for the acquisition of nationality as well. In infringement proceedings against the Maltese ‘golden passports’, the Court interpreted Article 20(1) TFEU as prohibiting member states from conferring their nationality – and by implication Union citizenship – in the absence of a ‘special relationship of solidarity and good faith’ to the person concerned.Footnote 19 In its defence, Malta had argued that the ‘Member State competence on the acquisition of nationality … must be exercised with due respect to EU law’ – but only ‘in the fields of EU competence’. The broader the Court’s review, ‘the higher the risk that the European Union will exceed its competences’.Footnote 20 The Advocate General also stressed the member states’ exclusive competence in this area and warned that EU requirements for the acquisition of nationality would lead to ‘a wholly unlawful erosion of Member States’ competence in a highly sensitive field’.Footnote 21
Similar reactions emerged from legal scholarship. Some argued that the Commission’s plea would ‘sacrifice’ the vertical division of competences.Footnote 22 Without ‘compétence en la matière’, the Union and its law is in no position to exert an ‘influence sur le droit étatique de la nationalité’.Footnote 23 Any contrary interpretation by the Court could be understood as ‘Kompetenzüberschreitung’.Footnote 24 More nuanced, Daniel Sarmiento and Guillermo Íñiguez suggested that the Court’s ability to review the member states’ frameworks governing naturalisation should be limited to cases of a sufficient degree of seriousness. This proposal is based on one central reasoning: ‘to protect the division of competences between the Union and its Member States … set out in Articles 2 to 6 TFEU’.Footnote 25
Equality law
A further, admittedly dated, but still impressive example can be found in the area of equality law. In Kreil, the Court was asked to decide whether the Community’s equal treatment directiveFootnote 26 prohibited discrimination based on sex in armed forces. In Germany, women were barred from serving in military positions involving the use of arms. Several governments argued that ‘Community law does not in principle govern matters of defence, … which remain within the Member States’ sphere of sovereignity’.Footnote 27 The Court, by contrast, stressed that even though ‘it is for the Member States … to take decisions on the organisation of their armed forces’, such decisions are not ‘bound to fall entirely outside the scope of Community law’.Footnote 28 Ultimately, it simply applied the directive. By implication, the full exclusion of women from all military posts was deemed disproportionate.
This provoked an outcry among German politiciansFootnote 29 and legal scholars,Footnote 30 which was almost unanimously framed in competence terms. In this spirit, Rupert Scholz, law professor and former minister of defence, underlined in the German Bundestag that ‘this judgment represents a clear breach of competence on the part of the European Court of Justice’.Footnote 31 This seems to have made an impression on the Court. In Kreil’s aftermath, it started mitigating the impact of Community law on the organisation of the member states’ armed forces. Nonetheless, a later ruling confirmed that ‘decisions of the Member States concerning the organisation of their armed forces cannot be completely excluded from the application of Community law, particularly where observance of the principle of equal treatment … is concerned’.Footnote 32
Internal market
The final example relates to the internal market. Today, it is a commonplace that the Court has interpreted EU law, in particular the fundamental freedoms, so as to apply to basically all areas of sensitive member state competences, be it security, education, healthcare, or social policy.Footnote 33 As these cases will be analysed below in more detail, it suffices to briefly recall one particularly influential strand of critique. Early on, scholars started to notice an asymmetry of negative and positive integration.Footnote 34 On the one hand, the Court’s broad interpretation of the fundamental freedoms precludes restrictive national measures, including measures related to education, healthcare, or social policy. On the other hand, the Union might not always have a competence to re-regulate the respective issues at the EU level. Denys Simon describes the ensuing void as ‘compétences abolies’.Footnote 35 Neither the member state nor the Union can regulate the area. In consequence, the Court’s broad interpretation of fundamental freedoms may not only curtail national competences but also generate deregulatory effects.Footnote 36
In an attempt to contain these developments, scholars have sought to apply the principles that govern the Union’s vertical division of competences – conferral, subsidiarity, and proportionality – to Luxembourg’s interpretative activity. Thomas Horsley, for instance, criticised the Court’s ‘systematic disregard’ for the principle of conferral when exercising its interpretive choices.Footnote 37 Along similar lines, Vilija Vėlyvytė has assessed whether the Court observes the limits of EU competence when interpreting the Treaty provisions on the internal market.Footnote 38
Conceptual clarifications
In sum, many plead for constraining the Court’s interpretation of EU law by recourse to the vertical division of competences. All this shows that arguments from competence constraints are very much alive and kicking. Before engaging with these arguments, however, we should briefly clarify the central concepts of this investigation, namely ‘competences’ and ‘competence constraints’.
Unravelling the Treaty framework: Union ‘competences’ and institutional ‘powers’
The Treaties themselves appear to distinguish between competences of the Union as a legal order and powers of specific institutions. German scholarship conceptualises this distinction as ‘Verbands-’ and ‘Organkompetenz’,Footnote 39 whereas in France the distinction between ‘compétence’ and ‘pouvoir’ seems more common.Footnote 40 The distinction becomes apparent when comparing the wording of Article 5(2) TEU, which states that ‘the Union shall act only within the limits of the competences conferred upon it’,Footnote 41 with Article 13(2) TEU, which stipulates that ‘each institution shall act within the limits of the powers conferred on it’.Footnote 42
Both notions, Union ‘competences’ and institutional ‘powers’, are interconnected. First, both are, broader and narrower, expressions of the same principle: conferral. Often, the principle of conferral is located in Article 5(1) and (2) TEU and associated with the vertical division of competences between Union and member states, whereas Article 13(2) TEU is understood as an expression of the ‘institutional balance’, and thus the horizontal division of powers between the institutions.Footnote 43 This might indicate that each has a different thrust. The Court, however, has located the principle of conferral not only in Article 5 TEU,Footnote 44 but also in Article 13(2) TEU.Footnote 45 Many scholars therefore understand Article 13(2) TEU as a specific expression,Footnote 46 while some even doubt whether the institutional balance is laid down in that provision at all.Footnote 47
Second, Union ‘competences’ and institutional ‘powers’ ultimately derive from the same provisions: legal bases. At first glance, one might be tempted to locate the Union’s ‘Verbandskompetenz’ in Articles 2-6 TFEU, whereas the institutions’ ‘Organkompetenzen’ are to be found in the specific provisions scattered across the TEU and TFEU.Footnote 48 Yet, there are good reasons to assume that Articles 2-6 TFEU have little binding force. Article 2(6) TFEU states that the ‘scope of and arrangements for exercising the Union’s competences shall be determined by the provisions of the Treaties relating to each area’. Accordingly, the catalogue in Articles 2-6 TFEU does not contain any legal basis itself; it is indicative rather than constitutive, clarifying rather than constraining.Footnote 49 And indeed, a central aim of establishing this ‘catalogue’ was clarity.Footnote 50 To delineate the Union’s ‘Verbandskompetenz’, one cannot rely on Articles 2-6 TFEU but must identify the relevant legal bases in the Treaty framework.Footnote 51
In consequence, the Union’s ‘Verbandskompetenz’ contains the institutions’ ‘Organkompetenzen’: it is the sum of the institutions’ individual powers. In this sense, both present concentric circles. When an institution acts within the limits of its conferred powers, it also acts within the limits of the Union’s ‘Verbandskompetenz’. Can this logic also be reversed and applied to cases of transgressions? At first sight, there may be situations where an institution transgresses the confines of its powers without exceeding the Union’s competences, for instance, when an institution merely usurps the powers of another one. While this creates a horizontal problem for the institutional balance, it does not necessarily affect the vertical division of competences. However, this presupposes that institutional powers are merely a horizontal allocation of competences. That is not the case. Every provision conferring a ‘power’ to an institution always contains a horizontal and vertical delineation.Footnote 52 Article 19(1) TEU, for example, confers the authoritative interpretation of the Treaties to the Court of Justice, not the Union legislature (horizontal delineation) nor national apex courts (vertical delineation).
Unravelling arguments from competence constraints: principles-based and area-based approaches
On this basis, we come to the question which lies at the heart of this contribution: which constraints are relevant for the Court? To start with, it seems clear that the Court is bound by the ‘powers’ conferred on it, its ‘Organkompetenz’ under Article 19 TEU and the provisions following Article 251 TFEU. In this respect, the vertical division of competences is evidently relevant for the Court’s interpretative activity. The disagreement emerges with regard to constraints which go beyond the Court’s institutional powers and which are somehow derived from the Union’s ‘Verbandskompetenz’. Two different approaches can be distinguished: principles-based and area-based constraints on the Court’s interpretation.
One group of scholars argues that the Court’s interpretation of EU law is – or should be – constrained by certain overarching principles governing the vertical division of competences, namely those enshrined in Article 5 TEU: conferral, subsidiarity, and proportionality.Footnote 53 These principles should not only bite when the Court reviews acts adopted by other Union institutions, but also when it comes to its own interpretation of EU law. Another group of approaches departs from the principle of conferral as well, but seeks to constrain the Court’s interpretation by reference to substantive areas that have not been conferred to the Union.
The previously outlined examples provide ample evidence for the latter approach. Regarding the case law on EU requirements for the independence of member state courts, Benedikt Riedl argued that the Court of Justice ‘ignores substantive national areas of competence’. He suggested that ‘the more national areas of competence are affected, the more the ECJ must include the principle of conferral in its interpretation’.Footnote 54 Regarding the impact of EU law on the member states’ nationality laws, Ulli Jessurun d’Oliveira stressed that ‘[a]s long as the member states have not expressly, in the Treaty, transferred their lawmaking powers in the area of nationality law’, the EU and therefore the Court do not ‘have any direct or indirect authority in this area’.Footnote 55 More broadly, Thomas Horsley suggested that the Court should ‘determine the scope of Union competence in specific substantive areas simply by looking, generally, for the existence of any Union competence in that field set out in the Treaties in order to establish judicial competence to act’.Footnote 56 By further proposing to link the Court’s ‘judicial competence’ directly to the ‘existence of legislative competence in particular fields’,Footnote 57 the Court’s interpretation would be limited to the powers of other institutions.
The following two sections will put these two claims to the test and demonstrate why neither principles-based nor area-based constraints on the Court’s interpretation of EU law can be sustained. Ultimately, the Court’s interpretation is only constrained by its ‘powers’ in the sense of Article 13(2) TEU – its jurisdiction and judicial function expressed in Article 19 TEU and the Articles following Article 251 TFEU.
Conferral, subsidiarity, and proportionality: principles-based constraints on the Court’s interpretation?
The central principles governing the existence and exercise of Union competences can be found in Article 5 TEU. According to the principle of conferral in Article 5(1) and (2) TEU, ‘the Union shall act only within the limits of the competences conferred upon it by the Member States in the Treaties’. This principle echoes throughout the entire Treaty framework and is expressed in a range of provisions, such as Articles 3(6) and 4(1), or the previously mentioned Article 13(2) TEU. In the Court’s words, it even constitutes one of the ‘characteristics … relating to the constitutional structure of the EU’.Footnote 58 Moreover, when exercising its competences, the Union shall respect the principles of subsidiarity (Article 5(3) TEU) and proportionality (Article 5(4) TEU).
As noted before, many scholars argue that these principles apply to the Court’s interpretation of EU law. Yet, a closer look reveals that Article 5 TEU was drafted with the Union’s legislative and executive branches in mind. Constraining the Court’s interpretative activity was not an aim pursued by the Treaty makers. Also beyond the drafters’ intention, it seems neither normatively desirable nor practically feasible to apply the principles in Article 5 TEU to the Court’s interpretation of EU law. Ultimately, the principle of conferral can bind the Court only to a very limited extent, namely by conferring upon it the power to interpret the law within the limits of its jurisdiction and judicial function.
Inconclusive text
Starting with the wording, Article 5(2) TEU stipulates that ‘the Union shall act only within the limits of the competences conferred upon it’. Similarly, ‘the Union’ shall observe the principle of subsidiarity (Article 5(3) TEU), whereas ‘Union action’ shall respect the principle of proportionality (Article 5(4) TEU). The ‘Union’ comprises all institutions mentioned in Article 13 TEU, including the Court. Article 5 TEU refers to any kind of Union ‘acts’ or ‘action’, which includes interpretations by the Court.Footnote 59 At first glance, this suggests that the constraints of Article 5 TEU apply to the Court as well. Yet, reading these three paragraphs in their systematic context may alter this perception. From the outset, Article 5(2)-(4) TEU should be approached under the premise of consistency. As all three paragraphs refer to ‘the Union’, this notion should be understood consistently throughout the provision. If ‘the Union’ in one paragraph does not include the Court, this is a strong indication that the same applies to the other paragraphs as well.
Starting with Article 5(2) TEU, the notion of ‘competences’ could be understood as excluding the Court’s activity. Throughout the Treaty framework, ‘competences’ are juxtaposed with the notions of ‘powers’, ‘tasks’, or ‘legal basis’. The provisions on the Court employ the notion of ‘jurisdiction’ (see Articles 263, 267-276 TFEU or Article 24 TEU). This could indicate that the Court’s ‘powers’ are not framed in terms of ‘competence’ but rather ‘jurisdiction’. Still, the other language versions of the TFEU denote that the Court is ‘zuständig’ or ‘compétente’. Further, legal scholarship and national courts often use the notions of ‘jurisdiction’ and ‘competences’ synonymously.Footnote 60 As such, there seems to be no clear-cut distinction between the Court’s ‘powers’, ‘competences’, and ‘jurisdiction’.
Article 5(3) and (4) TEU provide a clearer picture. Some have argued that subsidiarity and proportionality apply – or should apply – to the Court.Footnote 61 Still, subsidiarity and proportionality seem to pose limits for the Union’s legislative and executive branches, which the Court is mandated to police, but no limit for the Court’s own interpretation of EU law.Footnote 62 Article 5(3) and (4) TEU state that the institutions shall apply the principles of subsidiarity and proportionality as laid down in Protocol No. 2. Even if its Article 1 stresses that ‘each institution shall ensure constant respect’ for these principles, it eventually applies only to legislative acts. The Court is merely mentioned as a controlling institution in Article 8, not as an institution bound by subsidiarity and proportionality. And finally, Article 5(3) TEU clarifies that subsidiarity does not apply to the Union’s areas of exclusive competence. As the Court’s jurisdiction is exclusive, many reject applying that principle to Luxembourg’s judicial activity.Footnote 63
Against this backdrop, Article 5(3) and (4) TEU do not seem to cover the Court’s interpretation of EU law. By implication, the same would apply to the principle of conferral in Article 5(2) TEU. While certainly ambivalent, the provision’s wording and system provide a first indication.
Lacking intention
This indication can be corroborated with the drafting history, which suggests that Article 5 TEU was adopted with the Union legislature in mind. The EEC Treaty already contained in its Article 4 a precursor of the later principle of conferral, stressing that ‘each of these institutions shall act within the limits of the powers conferred upon it by this Treaty’. The Single European Act added that the institutions ‘shall exercise their powers and jurisdiction under the conditions and for the purposes provided for by the Treaties’ (Article 3).Footnote 64 Maastricht indicated an important shift. It not only introduced the limits of subsidiarity and proportionality but shifted from powers of single institutions to powers of the entire Community.Footnote 65 This might be a first hint of what has been described as the Union’s ‘Verbandskompetenz’, its competence as a legal order.
In the following rounds of Treaty revision, there was a constant intention to tighten the competence constraints on the Union. However, none of these attempts related to the Court. On the contrary. In Amsterdam, the Court’s limited jurisdiction over the TEU was broadened.Footnote 66 Even though the Union’s judicial system was subject to a major overhaul in Nice, these reforms aimed at securing its functioning after the prospective ‘big bang’ enlargement. Overall, the Court’s activity was framed in positive terms.Footnote 67 In addition, many delegations suggested expanding the Court’s jurisdiction or strengthening its constitutional role, rather than constraining its activity.Footnote 68
The issue of competences was raised with greater force in the aftermath of Nice.Footnote 69 The Laeken Declaration of 15 December 2001 noted the need to ‘clarify, simplify and adjust the division of competence’. Further, it stressed the need ‘to ensure that a redefined division of competence does not lead to a creeping expansion of the competence of the Union or to encroachment upon the exclusive areas of competence of the Member States’. Eventually, these calls resulted in the drafting of today’s competence catalogue in Articles 2-6 TFEU (at the time, Articles I-13 to I-15 of the Constitutional Treaty), and Article I-11 of the Constitutional Treaty – today’s Article 5 TEU.
What is remarkable is that the Court’s activity was completely detached from this debate.Footnote 70 Despite the increasing debate on the Court’s ‘judicial activism’Footnote 71 or court-driven ‘mutations’ of the Union’s competences,Footnote 72 there was little mention of reforming the Union’s judiciary.Footnote 73 The Court itself only warranted a discussion circle, which was proposed by the Convention President at a rather late stage of the drafting process. Valery Giscard d’Éstaing noted during the plenary meeting of 21 January 2003 that he was
un peu préoccupé par le fait qu’on n’a pas beaucoup entendu d’interventions … concernant la Cour de justice. C’est pourtant une grande institution du système qui est affectée comme les autres par l’évolution en cours de l’Union.Footnote 74
As regards the drafting of the Union’s competences, the Convention adopted a narrow understanding focusing on legislative competences.Footnote 75 The Court’s interpretative activity was not framed, let alone problematised in terms of competences. This is demonstrated by the reports that were conducted prior to the Convention.Footnote 76 Neither the plenary debates devoted to issues of competences,Footnote 77 nor the final report of Working Group VFootnote 78 on competences mentioned any limits for the Court. Critical overtones emerged merely in one statement by David Heathcoat-Amory, a British MP, who criticised during a plenary debate that ‘judicial activism by the European Court has extended the reach of the European Union into areas which were not anticipated when the text was drawn up’.Footnote 79 Beyond this isolated instance, intrusions by the Court into sensitive national policy areas were not discussed.
As regards the Court, the drafters were rather concerned with expanding its jurisdiction.Footnote 80 First, some stressed the need for its stronger involvement in reviewing the exercise of the Union’s competences by other institutions. In this sense, Working Group I on the Principle of Subsidiarity did not suggest holding the Court accountable to these constraints, but rather ‘broadening the possibility of referral to the Court of Justice on grounds of non-compliance with the principle of subsidiarity’.Footnote 81 Even if some delegates pondered withdrawing this power from the Court and establishing a ‘Constitutional Council’, a ‘Subsidiarity court’, or a ‘Kompetenzgerichtshof’,Footnote 82 these proposals were eventually discarded. In any case, many of them concerned an additional check for the competences of other institutions, not the Court’s own interpretative activity. This applies especially to those proposals that wanted to include a competence chamber within the Court or develop Luxembourg into a fully-fledged constitutional court.Footnote 83
Second, many delegates called for extending the Court’s jurisdiction to the ‘third pillar’ (police and judicial cooperation in criminal matters),Footnote 84 the ‘second pillar’ (common foreign and security policy)Footnote 85 and acts by the European Council.Footnote 86 Also Working Group X on Freedom, Security and Justice noted that ‘the limited jurisdiction of the Court is no longer acceptable’.Footnote 87 And finally, the discussion circle on the Court focused on expanding individual access to the Court by redrafting today’s Article 263(4) TFEU (then Article 230(4) EC-Nice).Footnote 88 These suggestions found their way also into the plenary, which discussed broadening the standing requirements for individuals.Footnote 89
Eventually, the Constitutional Treaty performed a significant shift from limited to full jurisdiction of the Court. While the Court’s jurisdiction over the TEU-Nice was excluded save for the expressly mentioned grounds in Article 46 TEU, the Constitutional Treaty changed this configuration and established the Court’s ‘jurisdiction by default’ in Article I-29 (later Article 19(1) TEU-Lisbon). Exceptions, such as those in the Common Foreign and Security Policy, needed to be expressly included in the Treaties.
All this demonstrates that the drafters of Article 5 TEU had no intention of constraining the Court. We can only speculate on the reasons. The Treaty of Nice had just seen a major overhaul of the Union’s judicial system. Were the drafters fed up with reforming the Court? Some argued that the Tobacco case, in which the Court stipulated certain limits for adopting acts based on today’s Article 114 TFEU, had a calming influence.Footnote 90 Still, this decision relates only to the review of the competences of other Union institutions, not the Court’s far-reaching interpretations itself. So why did the Convention invest so much time on establishing a competence catalogue and practically none on the possible effect of the Court’s jurisprudence on the member states’ competences? Franz Mayer suggested that most Convention members simply did not realise its impact.Footnote 91 Yet, there could be a different explanation: the drafters may have simply endorsed the Court’s expansive case law.
Questionable (non-)comparability
In sum, there are good reasons to assume that the principles of conferral, subsidiarity, and proportionality were never intended to address and constrain the Court’s interpretation of the Treaties.Footnote 92 For that reason, many scholars shift gear from textual constraint to normative claim. They argue that the Court’s interpretation should be bound by the principles in Article 5 TEU. This normative claim is based on two arguments: first, these scholars claim a structural comparability of the Court’s judicial and the Union’s legislative activity; and second, some argue for a non-comparability with constitutional courts at the national level.
Starting with the latter argument, constitutional courts are usually constrained solely by the letter of the law, which they are tasked to interpret, not by the division of competences among different levels of authority in the respective legal order. However, the Court of Justice is different – or so Vilija Vėlyvytė claims. According to her, it cannot be compared to constitutional courts at the national level, as Luxembourg ‘operates in a polity whose own powers are constrained’. The Union’s mandate is ‘confined to the specific areas of competences conferred upon the EU and restricted by the constitutional principles which govern the exercise of those competences’. Thus, the Court is placed in an ‘institutional position that excludes it from some of the constitutional protections enjoyed by national constitutional courts’.Footnote 93
This claim can be countered by changing the lens through which we look at the Union. The EU might not be a state, but it is a federal system. As such, the Union has always been compared to federations, the Court of Justice to federal apex courts.Footnote 94 Under such a lens, there is little comparative evidence to sustain Vėlyvytė’s argument. The German constitutional court, for instance, operates in a federal context between Bund and Länder. Yet, it would never reduce the intensity of its review in light of the division of competences under Articles 70-74 of the German constitution. For instance, when reviewing the compliance of a Land with the fundamental rights guarantees enshrined in the federal constitution, it is of no relevance whether the measure under review falls into an area in which the Länder retain an exclusive competence, such as police or education.
True, pluralism and diversity within the EU exceed most federal states. And true, the Union has no ‘Kompetenz-Kompetenz’, as it can only act within the powers transferred by the member states. And it is equally true that the application of certain provisions of EU law to the member states, such as the Charter under its Article 51(1), are limited. Nonetheless, the Court of Justice has been conferred a mandate to interpret EU law. In this respect, there is no difference to other federal apex courts that derive their mandate from the federal constitution as well. Where the empowerment comes from – member states or a constituent power – is secondary. Its limits are governed by the respective constitutional text. At the EU level these limits flow institutionally from the Court’s mandate in Article 19 TEU and substantively from the respective provisions of EU law which are to be interpreted.
This leads to the second argument, the alleged comparability of the Court and the legislature. According to Thomas Horsley, the Court has become ‘the most powerful supranational policymaking institution’. The effects of Luxembourg’s decisions within the member states are ‘functionally equivalent’ to the Union’s legislative activity. Due to this comparability, the principle of conferral should act as a ‘brake on judicial lawmaking’. And even though this limitation is stipulated nowhere in the Treaties, Horsley argues that the Court is under the ‘constitutional responsibility’ to observe the limits that apply to the Union’s legislative activity.Footnote 95 Similarly, Vilija Vėlyvytė referred to the Court’s ‘regulatory capacity’, which makes a situation where the Court is exempt from competence constraints that apply to the rest of the EU’s institutional framework ‘constitutionally unacceptable’.Footnote 96 Based on this structural comparability, one might contemplate the need for a greater sensitivity of the Court to competence, subsidiarity, and proportionality constraints.
Yet, this argument seems questionable for several reasons. Can we really equate the Court’s judicial activity to that of the legislature? Both have a considerable impact on the member states. Further, nobody will seriously question that the Court is a political actor.Footnote 97 Like any constitutional or apex court, it is a hybrid that straddles the legal and political spheres.Footnote 98 Nevertheless, several features justify a different treatment of courts and legislators.
In terms of procedure, Luxembourg is not the master of its docket. It has no right of initiative and is called upon by litigating parties or referring judges. These litigants and courts frame the case and thus the procedural and substantive context, in which the Court is bound to decide. For instance, in procedures under Articles 258 and 263 TFEU the Court cannot go beyond the ‘moyens’ raised by the litigants. It cannot decide ultra petita.Footnote 99 And also in preliminary references, there is a strong ‘power of the first word’.Footnote 100 Although the Court can reformulate the questions posed by referring judges and provide them with the answers it deems necessary,Footnote 101 it is bound by the case presented to it.Footnote 102 At the EU level, however, this distinguishing feature of courts might be levelled as the Union legislature lacks a right of initiative as well. Article 17(2) TEU reserves this power to the Commission, a monopoly reinforced through Article 293 TFEU. Nevertheless, the legislature can request the Commission to submit a proposal (Articles 225 and 241 TFEU). In this context, Commission President von der Leyen pledged to act on such requests and submit proposals, leading to an indirect right of initiative.Footnote 103 Moreover, legislative proposals may change beyond recognition during the negotiations in trilogues.Footnote 104
In terms of reasoning, the Court is subject to methodological constraints. One might argue with many legal crits or realists that legal methods can easily be manipulated, allowing judges to arrive at almost any outcome.Footnote 105 In this spirit, legal methodology has been accused of merely concealing, as a kind of smokescreen, underlying political, moral, or ideological preferences. Indeed, choices among legal methods are inevitably determined by a judge’s background assumptions. Still, legal methodology exerts a disciplining effect on the interpreter.Footnote 106 Whereas the legislature can resort to a wide spectrum of pragmatic or ethical reasons, including political expediency, preference, or ideology,Footnote 107 submitting political issues to a court goes hand in hand with a ‘change of arena’.Footnote 108 The reasoning in this arena differs from reasoning based on morality, politics, or economics. Judges cannot simply base their interpretation on any kind of considerations but must translate them into a specifically legal reasoning. As H.L.A. Hart noted, ‘judges do not just push away their law books and start to legislate without further guidance from the law’.Footnote 109
Failing practicability
Even if one were to follow these claims, the principles of conferral, subsidiarity, and proportionality seem difficult to apply to judicial interpretations. As such, it comes as no surprise that many proposals do not go beyond tentative sketches. Horsley, for instance, suggested a ‘conferral assessment’ when the Court interprets EU law. Its judicial activity could ‘be linked directly to the existence of legislative competence in particular fields’. The details, though, are deferred to further research.Footnote 110 Also Vėlyvytė’s proposal to show greater ‘sensitivity’ to competence constraints remains fuzzy. She argues that the Court should contextualise the fundamental freedoms in light of the principle of conferral.Footnote 111 Eventually, her plea breaks down to an interpretation that remains faithful to the letters of the Treaties and a call for judicial restraint when interpreting the Union’s internal market law. But do we need the principles of conferral, subsidiarity, and proportionality as a basis for this restraint? Or does it already flow from the Court’s judicial function?
Similar doubts concern the operationalisation of subsidiarity and proportionality. Taking Article 5(3) and (4) TEU literally, there is little room for applying these principles to the Court’s interpretation of EU law. How should the Court assess whether the objectives of the ‘proposed action’ – in this case: its interpretation of EU law – ‘cannot be sufficiently achieved by the member states’ (Article 5(3) TEU)? And how should we assess whether ‘the content and form of Union action’ – again: the Court’s interpretation of EU law – exceeds ‘what is necessary to achieve the objectives of the Treaties’ (Article 5(4) TEU)?Footnote 112 Unlike legislative measures, such as regulations, directives, or decisions, there are no less intrusive means to choose from: there are just judicial decisions whose form usually depends on the procedural route taken by the parties. Hence, we might end up, yet again, with a call for judicial restraint.
Union ‘competences’: area-based constraints on the Court’s interpretation?
Subjecting the Court’s interpretation to area-based competence constraints faces strong objections as well. The following section will start by showing that such constraints cannot limit the Court’s jurisdiction and must therefore be applied to the substantive law which is to be interpreted, namely by restricting its scope of application. Yet, this approach conflates two different categories, institutional competences and substantive scope. Moreover, it ignores consolidated jurisprudence. Since 1961, the Court has held that the member states must respect their obligations under EU law when exercising national competences that have not been transferred to the Union. This case law has been consistently applied to all areas of sensitive member state competences, ranging from taxation, healthcare, or social security to issues of criminal, nationality, or civil status law. While there has been critical scholarship in this respect, the respective concerns could be dissociated without much loss of meaning from the vertical division of competences and rearticulated under the Court’s institutional constraints in Article 19 TEU.
Jurisdictional versus substantive constraints
To start with, it is unclear how to put area-based competence constraints into practice. Abstractly, we may differentiate between limits to the Court’s jurisdiction and limits to the substantive EU law that is interpreted by the Court. Several reasons speak against jurisdictional constraints based on the Union’s ‘Verbandskompetenz’.Footnote 113 Indeed, it is difficult to envision how such a jurisdictional limitation could work. Should the Court conduct a two-tiered assessment each time it interprets the member states’ obligations under EU law? In that case, it could interpret the pertinent EU law only after verifying the Union’s competences in the area at stake. Beyond the Union’s competences, the Court would be required to decline its jurisdiction and dismiss the reference or action as inadmissible.
Such jurisdictional limitations cannot be squared with the Treaties. The Court has a general jurisdiction under Article 19(1) TEU. Exceptions need to be expressly stipulated, such as Article 269 TFEU with regard to the Article 7 TEU procedure or Article 275(1) TFEU with regard to Common Foreign and Security Policy provisions. These examples exclude the Court’s jurisdiction over specific provisions, not their application and interpretation in ill-defined subject matters or vaguely delineated policy fields. Neither can such exceptions be read into the provisions conferring jurisdiction in specific procedures. Article 258 TFEU unequivocally states that the Court shall assess whether a member state has failed to fulfil any ‘obligation under the Treaties’ – without qualification. Pursuant to Article 267(1) TFEU, its mandate covers the ‘interpretation of the Treaties’ – again without qualification. The only condition is that the interpretation must be ‘necessary’ to enable the referring court to give judgment. The Court must declare a reference inadmissible if there is no ‘connecting factor’ between the dispute and the provisions of EU law whose interpretation is sought.Footnote 114 This can be the case if EU law is not applicable to the main proceedings. Still, the Court polices these limits extremely leniently and rejects such references only if the conditions of the respective provisions of EU law are evidently not met (e.g. the lack of a cross-border element when interpreting fundamental freedoms).Footnote 115 This threshold is certainly not met where the interpretation of EU law concerns a field of competences not conferred upon the Union.
Ultimately, declining jurisdiction based on a lack of the Union’s ‘Verbandskompetenz’ could be perceived as a betrayal of the spirit of cooperation that underpins the preliminary reference procedure, as a ‘déni de justice’ that disregards the Court’s task under the Treaties. However, even if the Union’s ‘Verbandskompetenz’ cannot constrain the Court’s jurisdiction, it might be able to pose a substantive constraint on EU law and thus indirectly on the Court’s interpretation.
Institutional competences versus substantive scope
By introducing another, highly ambivalent notion, Loïc Azoulai argued that – according to the member states’ will expressed in the Treaty framework – ‘the scope of EU law … should correspond strictly to the competences attributed to the EU’.Footnote 116 Such a limitation would conflate ‘scope’ and ‘competence’. Yet, the two concepts serve different functions.Footnote 117
A provision’s scope is a substantive delimitation. By defining its scope, we seek to answer the question of ‘when?’, i.e. in which situations, a provision applies. In very simple terms, the notion refers to the conditions that must be fulfilled before a provision’s normative command kicks in. This scope can be defined in various ways, including a provision’s subject matter (ratione materiae), the actors addressed, empowered, or obliged (ratione personae) as well as to its temporal (ratione temporae) or geographical application (ratione loci). These delimitations are not necessarily spelled out in the respective provision itself, but can also be expressed in other, systematically related ones.
Some provisions of EU law feature the particularity of a ‘derived’ scope. For instance, the obligation to guarantee effective judicial protection before national courts bites only ‘in the fields covered by Union law’ (Article 19(1)(2) TEU), the prohibition of discriminations based on nationality ‘within the scope of application of the Treaties’ (Article 18 TFEU), and Charter rights ‘within the scope of European Union law’ (Article 51(1) of the Charter as interpreted in Åkerberg Fransson). Thus, the scope of these provisions depends on the scope of others. Overall, it must be stressed that there is not one scope of EU law, but rather a multiplicity.Footnote 118 National areas that are not covered by this sum of scopes are often referred to as ‘purely internal situations’.Footnote 119
Competences, by contrast, address a very different set of questions. They usually determine which institution (‘who?’) is entitled to adopt an act (‘what?’), taking a certain form, following a certain procedure or satisfying certain conditions (‘how?’). In this sense, competences can fulfil several interrelated functions. Some might focus on their constitutive function by defining competences as ‘power-conferring norms’,Footnote 120 others on their constraining function by referring to a ‘bounded set of tasks’.Footnote 121 Others again might concentrate on the distributive function and distinguish between a functional (who shall legislate, adjudicate, execute, etc?) or a substantive allocation (who shall address which subject matter?).Footnote 122
In federal systems, such as the EU, this distribution defines, horizontally, the institution (Commission, Council, Parliament, Court), and, vertically, the level empowered to act (EU or member states). In this context, some assume that competences have a protective function as well: they preserve a space for autonomy and pluralism of the federal sub-entities.Footnote 123 Yet, no matter which function is placed at the centre, the ‘who?’ will always be a defining feature of a competence. Unlike a substantive provision containing a prohibition or command, a competence cannot be thought of without an institution called to exercise it. To sum up, competences address institutions – they are institutional constraints.
Certainly, there can be interplays between the two notions. On the one hand, EU competences can limit the scope of secondary law. Competences determine what kind of provision with what kind of scope the Union can adopt in the first place. By implication, the institutional constraints posed by competences have substantive spill-over effects. On the other hand, the exercise of EU competences can have a triggering function at the level of primary law. This applies to the previously mentioned provisions featuring a derived scope of application, such as Article 18 TFEU or the Charter. The obligations contained in these provisions apply within the scope of other EU law, including secondary law. In the context of Article 18 TFEU, some cases suggest that the mere existence of an EU competence can bring a matter within the scope of EU law.Footnote 124 At least with regard to the Charter, the Court took a more limited stance, stating that ‘the mere fact that a national measure comes within an area in which the European Union has powers cannot bring it within the scope of EU law’.Footnote 125
Aside from these spill-overs, however, competences cannot constrain the substantive scope of EU law. Some might object by resorting to Article 51(2) of the Charter, which states that the Charter ‘does not extend the field of application of Union law beyond the powers of the Union’. This oddly phrased provision connects scope (‘field of application’) and competences (‘powers’) and seems to limit the Charter’s scope to areas in which the Union has such ‘powers’. So far, few scholars have tried to make sense of this connection.Footnote 126 According to the explanations, the provision shall prevent a circular reading of the Charter’s scope. Under Article 51(1), the Charter applies to the member states when they ‘implement’, respectively act within the scope of EU law. Article 51(2) merely clarifies that acting within the substantive areas covered by the Charter does not trigger that scope. Instead, the member states must act within the scope of other EU law.Footnote 127
Still, some scholars argue that the Union’s division of competences and the principle of conferral unfold a substantive, protective function for the member states’ autonomy, which can constrain the scope of EU law. But even these voices recognise the lack of any Treaty provision in support of such an understanding.Footnote 128 Loïc Azoulai explains this void with particular assumptions regarding the Treaty makers’ terminology. In his view, the drafters did not think in terms of ‘scope of application’ but rather in terms of ‘allocation of competences’. By repeatedly limiting the Union’s competences they intended to limit the impact of EU law.Footnote 129 As this view finds no expression in the travaux, it remains a rather shaky assumption.
Existence versus exercise of national competences
The Court itself has never accepted that the division of competences poses any limits to the substantive scope and content of Treaty provisions. On the contrary. It has consistently ruled that the exercise of the member states’ retained powers can fall into the scope of and thus be subject to the obligations under EU law. The notion of ‘retained powers’ comprises not only the member states’ exclusive powers (e.g. nationality, civil status, armed forces) but also those fields in which the Union has only limited competences (e.g. education, health, taxation).Footnote 130 National laws falling within these areas are ‘framed’ by EU law; respective member state competences become ‘compétences encadrées’.Footnote 131
This jurisprudence is even older than primacy and direct effect, dating back to 1961. The Court had to decide whether Article 67 of the ECSC Treaty, which allowed the High Authority to intervene against impairments of competition in the coal and steel industry, allowed action against national measures taken in the area of social and fiscal policy. While the Court stressed that the member states ‘remain in full control’ of these policy fields, Article 67 was ‘designed to enable the jurisdiction of the Community to impinge on national sovereignty in cases where, because of the power retained by the member states, this is necessary to prevent the effectiveness of the Treaty from being considerably weakened’.Footnote 132
On that basis, the Court started to slowly distinguish between the existence and the exercise of the member states’ competences.Footnote 133 In Casagrande, it ruled on the access of migrant workers’ children to educational grants in the host state. According to Article 12 of Regulation 1612/68 such children had to be admitted to that state’s education system ‘under the same conditions as the nationals of that state’. Germany rejected the applicant’s claim, referring to its retained powers in matters of education. The Court admitted that ‘educational and training policy is not as such included in the spheres which the Treaty has entrusted to the Community institutions’. Nevertheless, ‘it does not follow that the exercise of powers transferred to the Community is in some way limited if it is of such a nature as to affect the measures taken in the execution of a policy such as that of education and training’.Footnote 134 This case law was noticed early on as an important expansion of EU law’s impact.Footnote 135
Over the years this formula became ever more concise. In Commission v United Kingdom, for instance, the Court stressed that even though ‘competence to determine the conditions for the registration of vessels is vested in the member states’, the ‘powers retained by the member states must be exercised consistently with Community law’, in this case non-discrimination and the freedom of establishment.Footnote 136 Since then, the case law has steadily increased. Today, the Court’s formula can be summarised as follows:
although EU law does not detract from the competence of the member states in matters of [X], member states must, when exercising that competence, comply with EU law and, in particular, with the provisions relating to [Y].Footnote 137
This formula operates irrespective of how ‘X’ and ‘Y’ are defined, meaning which national competences and which provisions of EU law are at stake. Starting with ‘X’, the Court has consistently applied this approach to most areas of sensitive member state competence. This includes matters such as education,Footnote 138 healthcare,Footnote 139 social security,Footnote 140 or direct taxation,Footnote 141 where the EU has only very limited competences, but also criminal law,Footnote 142 extradition,Footnote 143 acquisition, loss, and recognition of nationality,Footnote 144 collective labour law,Footnote 145 membership of political parties,Footnote 146 surnames,Footnote 147 marriage,Footnote 148 and other issues relating to civil status,Footnote 149 where the EU has no competence. As seen above, even the organisation of armed forces is not excluded.Footnote 150 Very similar developments can be observed with regard to the member states’ procedural law, remedies, and enforcement of EU law, which is increasingly subject to EU constraints as well.Footnote 151 Confronted with attacks on judicial independence in the member states, the Court extended this rationale to the organisation of the national judiciary. Even though it falls within the competence of the member states, ‘the fact remains that, when exercising that competence, the member states are required to comply with their obligations deriving from EU law’.Footnote 152 This rationale applies even to the member states’ ‘constitutional models’ in general. In its 2022 RS judgment the Court stressed that EU law does not require the member states to adopt a ‘particular constitutional model’ governing the relationship among the branches of power: ‘However, in choosing their respective constitutional model, the member states are required to comply, inter alia, with the requirement that the courts be independent’.
The obligations under EU law apply with the same intensity in all these policy areas, irrespective of whether the EU has certain supportive competences or none at all. A closer look at the case law might question this assertion, as the Court uses different formulations in different fields. In education, social security, or healthcare, for instance, the member states must ‘comply’ with EU law when exercising their competences.Footnote 153 Regarding direct taxation and the registration of vessels, these competences must be exercised ‘consistently’ with EU law.Footnote 154 In matters of nationality, the national rules must have ‘due regard’ to EU law.Footnote 155 In criminal law, EU law only sets ‘certain limits’ to the powers of member states.Footnote 156 And with regard to extradition and the organisation of armed forces, the member states’ decisions are not ‘bound to fall entirely outside the scope’ of EU law.Footnote 157 At first glance, these terminological nuances indicate a different intensity of obligations according to the area at stake. Yet, the terminology is not consistent in all language versions and can change over time.Footnote 158 Further, the obligation to ‘comply’ extends not only to those areas where the Union has some kind of supportive competence, but also to highly sensitive areas, such as civil status or the organisation of the national judiciary.Footnote 159 As such, the Court does not seem to distinguish according to the sensitivity of the competences at stake.
With regard to ‘Y’, the Court has applied its case law both to obligations under primary and secondary law. As Advocate General Maduro stressed in Rottmann, it would be ‘wrong to assume that … only certain Community rules – essentially the general principles of law and the fundamental rights – are capable of being invoked against the exercise of State competence … In theory, any rule of the Community legal order may be invoked …’.Footnote 160 In this spirit, the Court has applied its formula also to obligations stemming from secondary legislation.Footnote 161 This is surprising. As secondary law requires – unlike the Treaties themselves – a legal basis, interpreting legislation in that manner might lead to an extension of the respective ‘competence’.Footnote 162 In this sense, Vilija Vėlyvytė notes that the Court ‘unlocks the legislative mandate for the EU to regulate areas that fall outside its explicit sector-specific legislative competence’.Footnote 163 However, in most of these cases, such as Casagrande, the respective secondary legislation gives expression to underlying general principles, namely non-discrimination, which has the rank of primary law.
To conclude, the scope of EU law, including its interpretation, application, and enforcement by the Court, has always been indifferent to the attribution of competences. All this is well-studiedFootnote 164 and ‘hardly shocking’.Footnote 165 Support can be found on the international plane. In principle, international law acknowledges ‘domaines réservés’ that remain subject to the domestic jurisdiction of states. However, their determination depends, just like in the EU context, on the rule of international law that is to be interpreted and applied. Once an area has been ‘regulated by international law’, it can no longer be considered a ‘domaine réservé’.Footnote 166 While some suggest interpreting international rules ‘in dubio mitius’ to protect the states’ sovereignty,Footnote 167 the growing body of international law has not only led to an erosion of the ‘domaine réservé’,Footnote 168 but has rendered the concept ‘outdated if used as a complete shield for entire policy areas’.Footnote 169 If this applies to the much less integrated international legal system, it must apply a fortiori to the highly integrated EU legal order.
Totalisation without limits?
Nonetheless, one might inquire whether there are any limits to these far-reaching obligations. Azoulai argued that EU law has become – in the hands of the Court – a ‘total law’.Footnote 170 Is this totalisation without limits? First, the previously mentioned case law usually requires the member states to observe obligations under EU law from other, substantively unrelated areas. Examples are compliance with fundamental freedoms in matters of direct taxation or non-discrimination in extradition law. This would exclude the judicial development of EU requirements in the respective area itself. Yet, the Court has already moved away from this conception. In cases concerning judicial independence, it derived EU law requirements for the organisation of the national judiciary directly from Article 19(1)(2) TEU.
Second, the respective obligations under EU law were primarily negative. In the area of criminal law, for instance, the Court emphasised that EU law ‘sets certain limits’ to the competences of the member states.Footnote 171 Still, the distinction between negative and positive is hardly clear cut. Any positive obligation can ultimately be turned into a negative one and vice versa. For instance, the positive obligation to introduce procedural safeguards in a member state’s legal framework governing the loss of nationality can be turned – if formulated accordingly – into a negative prohibition to withdraw a Union citizen’s nationality without these guarantees.Footnote 172 Further, the largest part of the case law refers not to negative ‘limits’ but to the member states’ general ‘compliance’ with EU law.
Finally, one may wonder whether there is any limitation as to the specificity of the obligations flowing from EU law in areas of member state competences. By imposing detailed EU standards in the respective areas, the Court might shift from adjudicating to actually legislating. As the EU has no legislative competence in this respect, one might suspect an incremental ‘competence creep’. The case law on the loss of nationality illustrates this well. The Court not only polices outer limits for the member states’ nationality laws but has started to spell out the details of time limits, procedures, and assessments in considerable detail. Even if the Court continues to interpret primary law – namely Article 20 TFEU – its decisions might reach the same specificity and effect as a legislative harmonisation.Footnote 173 In very similar terms, the president of the Bundesverfassungsgericht pleaded for more restraint with regard to Luxembourg’s case law on the independence of national courts: ‘If the power of … the CJEU … to review the member states’ judiciaries is too stifling, it risks the danger of introducing a regulatory power that is not provided for in the Treaties “through the back door”.’Footnote 174 This is what Vilija Vėlyvytė described as the Court’s ‘regulatory capacity’.Footnote 175
Ultimately, however, this concern can be dissociated without much loss of meaning from the vertical division of competences. The Court has a general jurisdiction under Article 19(1) TEU to interpret and apply the Treaties. And it is exactly here, at the level of its ‘Organkompetenz’, that we should locate any problem. While its interpretation can lead to the development of the law, the Court is tasked to adjudicate, not to legislate.
Institutional ‘powers’: where the Court’s constraints really are
The previous sections have demonstrated why neither principles- nor area-based competence constraints can limit the Court’s activity. The only way in which the principle of conferral in Article 5(1) and (2) TEU applies to the Court is by limiting it to the powers which have been conferred upon it. This ‘Organkompetenz’ poses two essential constraints, namely in terms of jurisdiction and judicial function.
Jurisdictional constraints
Procedurally, the Court’s jurisdiction is stipulated in much detail in the provisions following Article 251 TFEU. The Court has handled these limitations very differently. The standing requirements in actions for annulment, for instance, are strictly policed. Under Article 263(4) TFEU, individuals can only challenge acts taken by EU institutions if they are of direct and individual concern to them. Since Plaumann, the Court interpreted this provision in very narrow terms.Footnote 176 The rationale behind this narrow conception is that individuals should challenge EU acts primarily in national courts, which can then refer to Luxembourg.Footnote 177 Despite fierce critique both from within the Court and legal scholarship,Footnote 178 the Court has not altered its position. In UPA it stated that ‘[w]hile it is, admittedly, possible to envisage a system of judicial review of the legality of Community measures of general application different from that established by the founding Treaty … it is for the Member States … to reform the system currently in force’.Footnote 179 By broadening the standing requirements for individuals, the Court would ‘go beyond the jurisdiction conferred by the Treaty’.Footnote 180
At the same time, the Court has consistently broadened its jurisdiction in the Common Foreign and Security Policy. By exception to the Court’s general jurisdiction, Article 24(1)(2) TEU and Article 275(1) TFEU exclude judicial review of acts adopted in this policy area. This ‘carve out’, in turn, is subject to a so-called ‘claw back’ in Article 275(2) TFEU, which established the Court’s jurisdiction regarding actions for annulment against restrictive measures. During the past decade, the Court has combined a narrow reading of the carve out with a broad interpretation of the claw back.Footnote 181 While the latter includes the Court’s jurisdiction to hear preliminary rulingsFootnote 182 and actions for damages regarding restrictive measures,Footnote 183 the carve out does not exclude reviewing CFSP acts related to staff matters or public procurement.Footnote 184 This case law culminated in KS and KD v Council, according to which the ‘carve out’ excludes the Court’s jurisdiction only regarding measures directly related to ‘political or strategic choices’ in the CFSP.Footnote 185 As such, fundamental rights violations occurring in the ‘day-to-day management’ of CFSP measures, such as missions, can be brought before the Court.
This extension was largely justified by interpreting the respective Treaty provisions in light of the rule of law, a value enshrined in Article 2 TEU.Footnote 186 In KS and KD v Council, for instance, the Court stressed that the ‘basic principles of the EU legal order’, including ‘respect for the rule of law and fundamental rights, values expressed in Article 2 TEU’, form the ‘context’ in which to interpret the Court’s jurisdiction.Footnote 187 This reasoning is expressed even more strongly in Advocate General Ćapeta’s Opinion. Confronted with the choice of whether to ‘strictly abide by the wording of the Treaties’, which limits the Court’s jurisdiction, or whether to ‘give preference to EU constitutional principles’,Footnote 188 she chose the latter path. Even if the principle of the rule of law cannot ‘lead to the modification of the Treaties by the EU Courts’, it nonetheless obliges the Court to interpret primary law in its light.Footnote 189
The Court underlined in KS and KD v Council that the principle of conferral also applies in the CFSP. Admitting all appeals by individuals once they claim a fundamental rights violation would deprive the carve out of its effectiveness and infringe the principle of conferral.Footnote 190 Still, conferral is not insulated. Instead, it is embedded in a thick constitutional context and must be accommodated especially with the Union’s constitutional core in Article 2 TEU.Footnote 191 The member states not only decided to confer powers upon the Union to attain certain objectives (Articles 1(1) and 3 TEU) but also founded that Union on certain values (Article 2 TEU). Thus, it seems plausible to interpret the Union’s powers, including its limitations, in light of the Union’s values.
Functional constraints
Moving from jurisdiction to function, the Court is entrusted with a judicial mandate. According to Article 19(1) TEU, it ‘shall ensure that in the interpretation and application of the Treaties the law is observed’. This ‘interpretation and application’ leaves ample room for judicial development. As EU law is characterised by a special, evolutive dynamic, its creative judicial development has been an accepted feature of the Court’s legal reasoning since the very beginning.Footnote 192 In this spirit, the Bundesverfassungsgericht noted early on that
there can be little doubt that the member states wished to equip the Community with a court to which the paths of legal development, which have been shaped over centuries by common European legal tradition and culture, should be open. In Europe, the judge was never merely ‘la bouche qui prononce les paroles de la loi’.Footnote 193
While the line between legislating and adjudicating remains notoriously elusive,Footnote 194 the German constitutional court has formulated two limits for any judicial development of the law. Substantively, the Court may not ignore the Treaty makers’ clearly recognisable decisions and create ‘new rules without a sufficient connection to the existing legal framework’.Footnote 195 In this sense, the Court shall neither adjudicate contra legem, nor cross the line of Treaty amendment. Methodologically, the mandate conferred in Art. 19(1) TEU ‘is exceeded where the traditional European methods of interpretation … are manifestly disregarded’.Footnote 196 As such, the principle of conferral does not preclude the Court ‘from refining the law by means of methodically bound case law’.Footnote 197 Or formulated in Solange terms: ‘as long as the Court of Justice applies recognised methodological principles’, the judicial development of the law by the Court of Justice of the European Union has to be accepted.Footnote 198
This constraint was also central to the Bundesverfassungsgericht’s decision in Honeywell, so far the only newer case in which it assessed whether the Court’s interpretation of EU law itself is ultra vires.Footnote 199 Under review was the Court’s development of a new general principle prohibiting age discrimination: the notorious Mangold decision. The Second Senate noted that, on top of the aforementioned confines of legal methods, an ‘essential limitation on judicial development of the law at the EU level is the principle of conferral’.Footnote 200 Even if it ‘were presumed that the Court of Justice had developed the law in a way that was no longer methodologically tenable, such interpretation of the law would only constitute an evident violation of the principle of conferral if it de facto created new competences’.Footnote 201 This seems as if Karlsruhe accepted principles-based or even area-based competence constraints for the Court’s development of the law. Later on, however, the Second Senate rejected that the Court created a ‘new competence’ in Mangold as the EU legislature had adopted Directive 2000/78 based on Article 19 TFEU. Hence, the crucial point was that the Court did not usurp the legislature’s function. With other words: it did not transgress the dividing line between adjudicating and legislating.Footnote 202
What remains of competence constraints?
This article has made the case against constraining the Court’s interpretation of EU law by recourse to principles- or area-based competence constraints. The Union’s ‘Verbandskompetenz’, its overall competences as a legal order, plays only a very limited role for the Court’s interpretative activity. Instead, constraints can rather be found in the Court’s ‘Organkompetenz’, its jurisdiction and function. Especially its judicial function is the place to voice criticism with regard to the Court’s interpretation of EU law. Although it seems like an elusive constraint, most judges, including those in Luxembourg, are well aware of the limits set by their judicial mandate.Footnote 203
Still, many critics of the Court will not be reassured by this recourse to judicial ethos and might ask: Who watches the watchmen?Footnote 204 My answer is twofold. First, the Court is embedded in a tightening context of control. Its decisions are subject to extensive scrutiny by a whole epistemic community of courts, politicians, practitioners, academics, and the publicFootnote 205 and often require enforcement by member state institutions. These two factors exert a constant pressure to persuade.Footnote 206 Over the years, this justificatory pressure has increased. Decisions by national constitutional courts, such as PSPP, testify to that. And as former Constitutional Judge Susanne Baer noted, ‘courts are not suicidal’.Footnote 207 They are very aware of reactions to their rulings in law, politics, and society at large. Second, submitting the Court’s interpretation of substantive EU law to competence constraints does not remedy the lack of any institutional supervision. It would merely add another layer of constraints, which the Court would be called to police by itself.
In consequence, the central question is how to persuade the Court of arguments relating to member state competences. The remaining part of this article will briefly explore two avenues that might fuse such considerations into the Court’s interpretation of EU law. It departs from the premise that neither competences nor the member states’ autonomy are an end in themselves. Even though we tend to forget this amidst heated struggles over losses and gains of authority in federal systems, the naked, formal authority to decide a certain issue has no value in itself. Institutionally, the allocation of competences always serves specific reasons. We empower a certain entity not for its own sake but because it has a greater capacity or stronger legitimacy. Substantively, the exercise of competences – in other words, the decisions taken by the competent entity – serve certain aims as well.
Substantive: from ‘competence constraints’ to ‘legitimate interests’
Starting with the latter, we should concentrate on the ends to which competences are exercised. Member states usually need to justify restrictions of or derogations from EU law. In this context, they can advance legitimate interests. Some scholars argue that competences can be such a legitimate interest. Seen from this perspective, Articles 36, 45(3), 52, 62, or 65 TFEU would become a space for member states to defend ‘national policy preferences’.Footnote 208 In other words, these policy preferences would acquire, irrespective of their content, a self-standing value.
According to Loïc Azoulai, the Court embraced this view.Footnote 209 In Marks & Spencer it accepted the ‘preservation of the allocation of the power to impose taxes’ as a ground to justify restrictions of fundamental freedoms.Footnote 210 And in Watts the ‘medical competence’ of a state was invoked as an admissible ground of justification.Footnote 211 However, these instances do not seem to prove Azoulai’s point. In Marks & Spencer, the Court did not rely on the vertical division of competences, but on the horizontal ‘allocation of the power to impose taxes between Member States’.Footnote 212 And in Watts, the Court did not refer to ‘medical competence’ in terms of ‘authority’, but in terms of ‘expertise’.Footnote 213
In my view, the Court has never accepted ‘competences’ for their own sake as a ground of justification. Instead, it has focused on the underlying interests that the exercise of these competences seeks to foster or protect.Footnote 214 Selected examples from all areas of ‘retained competences’ may support this point. In Bressol, quotas for foreign medical students could not be justified by invoking the national competence in the area of education, but by ‘maintaining a balanced high-quality medical service open to all’ – mainly by reserving university spots for those persons that will stay in that member state to work in its healthcare system.Footnote 215 In Petruhin, the admitted ground to justify a different treatment of nationals and other Union citizens in matters of extradition was not their competence in this area but preventing the ‘risk of impunity’.Footnote 216 In Kreil, the legitimate interest was not the member states’ competence to organise their armed forces, but ‘public security’.Footnote 217 In Tjebbes, a member state’s rules on the loss of nationality and Union citizenship could not be justified by simply relying on their sovereign prerogatives in these matters, but only to ‘protect the special relationship of solidarity and good faith’ between them and their nationals.Footnote 218 And – most clearly – the Court expected the respective member state in Mirin to invoke a legitimate interest beyond its competences in matters of civil status that would justify prohibiting the recognition of changes in legal gender identity obtained in another member state.Footnote 219
All these considerations can be invoked either under explicit derogations, under ‘mandatory requirements’ or ‘overriding reasons’ in the public interest, or under provisions such as Article 4(2) TEU that allow for derogations in terms of ‘national security’ or even ‘national identity’. Within these grounds, member states might be afforded a certain degree of discretion.Footnote 220 Yet, I would argue that this discretion does not follow from the member states’ competences in the field, but rather from the lack or indeterminacy of EU standards. Moreover, the exercise of this discretion is again subject to compliance with EU law.Footnote 221 Invoking national competences without an underlying legitimate interest, by contrast, is similar to invoking objectives of a ‘purely economic’ or ‘purely administrative nature’. Both have been consistently rejected by the Court as a justification.Footnote 222 In conclusion, we simply should stop referring to national competences when justifying restrictions of or derogations from EU law. They have no added value.
Institutional: from ‘vertical’ to ‘horizontal’ constraints
Moving to the institutional perspective, a possible trajectory for future development could be to shift our focus when assessing national measures in sensitive policy fields. Instead of understanding these situations vertically as federal conflicts between two levels, we could translate them into more horizontal terms. What member states seek to protect in such situations should not be understood as the naked authority to act, but rather as democratic choices in fields that are important for social integration and social cohesion.Footnote 223 Fixing the conditions for the conferral of nationality or redistributive choices in the field of education, healthcare, or social security might be choices that require a close involvement of the stakeholders of the respective society.
When it comes to such ‘political, economic and social choices’ at the EU level, the Court has granted the legislature a ‘broad discretion’.Footnote 224 Instead of scrutinising the substantive policy choice, the Court conducts a process-oriented review.Footnote 225 And there are good reasons for such an approach. Institutionally, the Court might be a hybrid, political and legal, even a representative institution. Nevertheless, its democratic legitimacy is more fragile than that of a democratically accountable legislature. In addition, the EU legislature seems often better equipped than the Court to conduct complex and controversial balancing processes between different social interests and decide on the EU’s course of action in an inclusive and transparent manner. As such, there are arguments from legitimacy and from capacity in favour of the EU legislature.Footnote 226
Eventually, the Court’s relationship with the member states’ political processes is not so different from the one between the Court and the Union’s political process. Certainly, there are reasons to apply different standards to EU and member state legislation.Footnote 227 By reviewing national legislation strictly and EU legislation more leniently, the Court can incentivise re-regulation at the EU level and thus boost the political process. However, just as the Court keeps an eye on the EU legislative processes, it could include such processes at the member state level in its reasoning. Comparable conceptualizations have been advanced with regard to the European Court of Human Rights’ margin of appreciation. Besides claims that national institutions are better placed to decide certain issues (arguments from expertise and proximity), the margin of appreciation is often based on arguments from subsidiarity.Footnote 228 However, more recent scholarship has started to reconceptualise this doctrine not in terms of subsidiarity, but rather in terms of democracy, namely when procedures at the national level feature a strong democratic pedigree.Footnote 229 In this spirit, the ECtHR has been more lenient in granting a margin of appreciation if the respective processes satisfy a certain democratic quality.Footnote 230 Some have termed this a ‘democracy-enhancing approach’.Footnote 231 By applying a similar reasoning, the Court might show greater respect for member state choices of a sensitive nature for the society concerned if they are the outcome of an inclusive, transparent, democratic law-making process.Footnote 232
For some, this will be nothing but a ‘querelle de mots’, a formalistic struggle over words. Indeed, some may ask what difference it makes whether one refers to national competences or the reasons behind them. First, there might be situations where no such reasons are to be found. In this case, invoking member state competences is unveiled as an empty signifier. Second, words matter. They convey concepts, which in turn have a bearing on our understanding of reality. As seen above, subjecting the Court’s interpretation to principles- or area-based competence constraints could make a great difference. It would change the way we look at EU law itself and open new avenues for the member states to shield their policies against its impact.
Against this backdrop, this article was a plea for conceptual clarity. We should stop invoking the vertical division of competences against the Court’s interpretations. Institutionally, we can hold the Court accountable by assessing whether it has transgressed its judicial function. Substantively, we can refer to legitimate interests to limit the impact of EU law in a given area or work towards translating democratic concerns into a larger margin of appreciation for member states. Flagging concerns in these terms may make an impression on the Court. Insisting on competences will certainly not. This was true in 1961, and it remains true today.
Acknowledgements
I wish to thank Matthias Ruffert, Vilija Vėlyvytė, and Ferdinand Weber as well as Lena Kaiser, Jasper Kamdradt, and Andreas Knecht for their feedback, inspiration, and critique.