Meroni doctrine

In European Union (EU) law, the Meroni doctrine, which arose from cases C-9/56 and C-10/56 (Meroni v High Authority [1957/1958] ECR 133), relates to the extent to which EU institutions may delegate their tasks to regulatory agencies.[1] The doctrine is controversial,[1] notably because it would be anachronistic in view of the growing complexity of EU competences.[2]

References

  1. 1.0 1.1 Lelieveldt, Herman; Princen, Sebastiaan (2011). The Politics of the European Union. Cambridge University Press. p. 271. ISBN 1139498398.
  2. Hatzopoulos, Vassilis (2012). Regulating Services in the European Union. Oxford University Press. p. 325. ISBN 0199572666.
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