Niels Kirst, PhD candidate, Dublin
City University
Introduction
On the 3rd of
December 2019, the European Court of Justice (hereafter ‘the Court’ or ‘CJEU’)
gave its final
verdict on the so-called Czech firearms case. In this detailed judgment
which gives guidance on the law-making in the European Union (hereafter ‘the
EU’), the Court touched on many principles of EU law and refined their meaning.
The European Union legislator used its legal powers for the single market (Article
114 TFEU) to adopt Directive
(EU) 2017/853, amend the previous firearms Directive
91/477 and Directive
2008/51/EC, in the aftermath of terrorist attacks in Paris
and Copenhagen. The initial
proposal of the Commission gained steam under the Dutch presidency of the Council
in 2016. Finally, the Directive undergo the Trialogue process before being
approved according to the co-decision procedure by the European Parliament (hereafter
‘the Parliament’) and the Council of the European Union (hereafter ‘the Council‘).
The Parliament approved the amended Directive on 14th of March 2017, while the Council
followed suit on the 25th of April 2017, with only the Czech Republic, Poland
and Luxembourg disagreeing. Critical voices on political participation and
accountability accompanied the legislative process.
The Czech Republic
had specifically harsh aversion towards the Directive, since civilian firearm
ownership has a long tradition in the Czech Republic, and the Czech government,
as well as Czech civil society groups, feared severe consequences for the Czech
economy and the cultural heritage. After being outvoted in Parliament and
Council, the Czech Government decided to challenge the Directive at the CJEU.
It was alleged a breach of the principle of conferral of powers (Article 5 (2)
TEU), of the principle of proportionality (Article 5 (4) TEU), of the principle
of legal certainty and protection of legitimate expectations and finally, of
the principle of non-discrimination. The Czech Republic, supported by Poland
and Hungary in its claim, fired full blast to protect its political interest in
front of the CJEU.
Earlier this year, AG
Sharpston opined
that the claims by the Czech Republic are unfounded and that the Court should
uphold the Directive as it stands (see my analysis of the opinion here).
The most important precedents for this case were the respective claims on the
legal basis against the tobacco Directives from tobacco manufactures (see British
American Tobacco and Philip
Morris Brands). The trade, sale and possession of tobacco in the single
market is situated in a field between health protection and the commerce,
whereas, the sale, trade and possession of firearms is situated in a field between
security and commerce. The critical question the CJEU had to answer was if
Article 114 TFEU is an appropriate legal basis for measures which in large parts
tighten security standards of firearm possession, or if this impinges of the
national sovereignty of the Member States.
First Plea: Breach of the Principle of Conferral of Powers
The Czech Republic
based its first plea on an alleged breach of the principle of conferral of
powers by the European Union legislator. The baseline of this argument
purported by the Czech Republic was that the aims of the new Directive diverted
significantly from the aims of the earlier Directives of 1991 and 2008.
Therefore, Article 114 TFEU did not constitute an appropriate legal basis
anymore. The Czech Republic emphasised that an amended Directive shall not lead
to new objectives which derogate from the original legal basis (Para. 21 – 24).
By moving towards the fight against terrorism with the new Directive, the
European Union legislator had no mandate to adopt these changes under the
umbrella of the internal market competence.
The Court went into
a general discussion on the appropriate legal basis for adopting a Directive or
a Regulation (para. 31 – 33). Respectively, that new legislation might have
several purposes, the Court explained. However, the predominant purpose
determines the appropriate legal basis of the new legislation. These
clarifications were followed by a discussion on the adequate use of Article 114
TFEU (para. 34 – 40), by assessing that the fight against international
terrorism is an objective of general interest for the EU (by analogy health was
identified as general interest in British American Tobacco and Imperial Tobacco). Subsequently, the
Court tried to answer the question, if the safety and prevention of terrorist
attacks had become the predominant purpose of the amended Directive and, if therefore,
the legal basis of Article 114 TFEU was not appropriate anymore.
While the Czech
Republic argued that the Directive should be analysed in isolation. Parliament
and Council argued that the amended Directive has to be seen in light of the
two earlier Directives (Para. 41 – 45). The Court clarified that an amended
Directive must always be assessed in light of its earlier versions. Therefore, Directive
91/477 and the amendments by the new Directive serve as benchmark regarding the
adequate legal basis. Assessing Directive 91/477 and the amendments made by the
contested Directive, the Court concluded that by ‘adjusting the balance between
the free movement of goods and security guarantees, [t]he EU legislature merely
adapted the rule on the possession and acquisition of firearms set out in
Directive 91/477 to changes in circumstances. [emphasis added]’ (para. 53) –
which the EU legislature is entitled to do in its task of safeguarding the
general interests recognised by the Treaty (see also Vodafone
and Others) (para. 38).
Finally, by
pointing to the assessment of the firearms Directive in Buhagiar
and Others the Court found that the predominant purpose of the measures
read in conjunction with the earlier Directive was still ‘the free movement of
goods, approximation of laws, regulations and administrative provisions of the
Member States, whilst circumscribing that freedom with safety guarantees that
are suited to the nature of the goods at issue’ (para. 59). Firearms are
inherently dangerous goods, not only for the user itself (as the Czech Republic
argued in the oral hearing) but also for fellow citizens, therefore, safety, as
general interest recognised by the Treaty, can form a purpose of a Directive
under Article 114 TFEU.
Second Plea: Breach of the Principle of Proportionality
On a different
note, the Czech Republic claimed that the European Union legislator did not
have sufficient information at its disposal when drafting the Directive and
therefore was unable to assess the proportionality of the Directive (para. 65 –
73). This argument was mainly based upon the European Commission skipping an impact
assessment before drafting the Directive. The Commission pledged to carry out
an impact assessment in an interinstitutional agreement with the Parliament
under Article 295 TFEU. However, when the Commission drafted the Directive, it
did not have time for a careful impact assessment and instead relied on the REFIT
evaluation, which was carried out earlier. The Czech Republic contested
that this was insufficient.
The Court
highlighted the broad discretion the EU legislator has in evaluating and
assessing legislative measures (para. 76 – 81). Further, the Court followed the
Opinion of the AG that the pledge to carry out an impact assessment in an
interinstitutional agreement under Article 295 TFEU is a non-binding commitment
(para. 82). The Court reasoned that not conducting an impact assessment cannot
automatically lead to an infringement of the principle of proportionality.
Instead, the availability of existing information can still be sufficient to
have a meaningful assessment of the principle of proportionality (para. 85).
After going through the different studies, which the EU legislator took into
account, the Court found that these studies, among them the REFIT evaluation,
enabled the legislator to make a meaningful assessment of the proportionality
of the new measures (para. 87 – 92).
In the second part
of its second plea, the Czech Republic contested that specific articles of the
new Directive failed the proportionality test of the EU. Namely, that these
measures could have been achieved by less restrictive means (para. 95 – 101).
The Czech Republic criticised in its claim the complete prohibition of
semi-automatic firearms, as well as the stricter requirements for deactivated
and antique firearms (para. 120 and 127). Technical details of the measures
which the Czech Republic contested are omitted at this point but can be found
in the judgement (para. 102 – 104). The Court first clarified that the judicial
review of the proportionality of legislative acts is limited, and that the
Court is not in the position to substitute its assessment for that of the EU
legislature (para. 118). Instead, it is for the Court to define whether the
legislator 'manifestly exceeded' its broad discretion (para. 119).
After going through
the technical details of the new prohibitions of certain types of
semi-automatic firearms, the Court concluded by pointing out that ‘those
institutions [the Council and the Parliament] do not appear to have exceeded
their broad discretion’ by these prohibitions (para. 126). The Court found the
same regarding the proportionality of the new measures regarding deactivated
and antique firearms (para. 131). The requirement of 'manifestly inappropriate
in relation to the objectives' is a high bar to reach for new legislation to be
deemed disproportionate. Therefore, the Court with its limited power and
capacity of review declared the new measures to fulfil proportionality test.
In the last place,
the Czech Republic claimed that the contested Directive interfered with the
right to property as it is enshrined in the Charter of Fundamental Rights
(hereafter ‘the Charter’) (para. 132). The Court reasoned that Article 17 of
the Charter is not an absolute right and may be restricted by limitations which
meet the general interest recognised by the EU or the need to protect the
rights and freedoms of others (para. 134) (in regard to the ‘right to property’
see a comment
on SEGRO, in which the Court
discussed Article 17 of the Charter). The Court found the evidence brought
forward by the Czech Republic insufficient to prove a disproportionate
interference with the right to property as enshrined in the Charter. The Court
concluded that a ban on semi-automatic firearms for safety reasons is in the
general interest which is recognized in the last sentence of Article 17 (1) of
the Charter.
Third Plea: Breach of the Principle of Legal Certainty
and of the Protection of Legitimate Expectations
In its third plea,
the Czech Republic claimed that specific measures of the new Directive impinged
on the principle of legal certainty and legitimate expectations (para. 140 –
143). Specifically, the time requirements of the new Directive would lead to a
retroactive application and the process of entering into force of the Directive
to unattainable expectations on the part of individuals. Regarding legal
certainty, the Court rebutted the argument by pointing out that the classification
of firearms in the new Directive are clear and precise, and do, therefore, not
lead to a retroactive application (para. 149 – 151). Regarding legitimate
expectations of individuals, the Court highlighted that the EU legislator
fulfilled its duties by publishing the contested Directive in the Official
Journal of the European Union in a timely manner. This allowed individuals to
know at which point the new rules will come into force and until when they
could buy which kinds of firearms (para. 153 – 156).
Fourth Plea: Breach of the Principle of
Non-Discrimination
In its fourth and
final plea, the Czech Republic claimed that the so-called ‘Swiss exception’
(Article 6 (6) of the contested Directive), which allows Swiss militia soldiers
to keep their semi-automatic firearms after completing their service with the
Swiss army constitutes a discrimination against other EU nationals (para. 159 –
161). The Court recalled the principle of equality in EU law as requiring that
'comparable situations must not be treated differently and that different
situations must not be treated in the same way unless such treatment is
objectively justified' (para. 164). The Court found that the Swiss
Confederation and the Member States are not comparable regarding the subject
matter of that derogation. The Swiss Confederation 'has the proven experience
and ability to trace and monitor persons and weapons concerned, which gives reason
to assume that the public security and safety objectives' will be achieved
(para. 166). Finally, the Czech Republic failed to bring forward evidence that
there are other states within the Schengen area which fulfil the same system of
mandatory subscription and transfer of military firearms as the Swiss
Confederation. Therefore, the Court rejected the plea (para. 167 – 168).
Comment
This comprehensive
and very detailed judgement closes the legal challenge between the Czech
Republic and the EU. Exhausting legal remedies after being outvoted in the
Council has a long tradition in the EU (see for example Spain
v Parliament and Council). Also, in this case, it is the recurring
storyline. The Czech Republic took legal actions after being outvoted in the
Council and its MEPs had not won in the Parliament. The judicial route is a
logical way to go. However, the question of firearms regulation seems to be of
a more political than a legal nature.
The contested
Directive certainly lays more emphasis on the security requirements for legal
firearms holders. The contested Directive prohibits the possession of
semi-automatic firearms within the European single market by civilian citizens.
The plea of the Czech Republic focused on the outer limits of Article 114 TFEU.
Is this article suitable for tightening of firearms possession, or does it fall
into the area of judicial cooperation in criminal matters and must, therefore,
be adopted under Article 84 TFEU? As known, from the tobacco case-law of the
Court, Article 114 TFEU can be interpreted broadly. Also, in this case, the
Court followed this line of reasoning, by allowing a prominent place of
security as an objective of a Directive which was adopted under the single
market competence of Article 114 TFEU.
The Court affirmed
the legislative mandate of the EU to lower the ceiling for firearm possession
in the EU. Firearms are goods which are sold and purchased on the internal
market; therefore, the EU is the adequate body to regulate, and the internal
market competence is sufficient to harmonise the possession of firearms in the
EU. As a result, Member States have to converge and adjust in their firearm
regulations (if they not already did). Some Member States already have a higher
bar of firearms possessions as the one purported by the Directive, others like
the Czech Republic now have to change their national laws. The consequence is
that also in highly political fields, such as firearms regulation, Member States
have to abide by the qualified consensus on the Council level.
Barnard & Peers:
chapter 12
JHA4: chapter II:7
Photo credit: knowledge@Wharton
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