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Books > Law > International law
This book depicts and evaluates, in a European context, the pleas
and actions which parties may make use of to dissolve the parallel
jurisdiction of a national court and an arbitral tribunal. The
author undertakes a thorough comparative analysis of the
motivations for, and practice of, such pleas and actions with
special regard to the major hubs where elaborate arbitration laws
are tried and tested by the arbitration community - Germany,
France, Switzerland, and England. On the basis of four scenarios of
parallel proceedings before national courts and arbitral tribunals,
the analysis tackles such issues and topics as the following:
motivations for initiating parallel proceedings from the various
parties' perspectives; remedies available to parties in situations
of jurisdictional conflicts; effect of the principle of
competence-competence on national courts' review of arbitration
agreements; pleas restricting national courts' exercise of
jurisdiction to a review of core principles (arbitration defence);
self-restraining pleas independent of an arbitration agreement
(plea of litispendence); actions for declaratory relief; actions
aimed at restraining another court's or tribunal's jurisdiction
(anti-suit/anti-arbitration injunctions); pleas invoked to avoid
procedural inefficiencies and inconsistencies (plea of res
judicata); counsel's duty of care and arbitral tribunal's mandate
to issue an enforceable award; and litigation culture versus
arbitration-friendliness. Throughout, the author underlines the
importance and applicability of relevant multinational and
supranational conventions, institutional arbitration rules, the
International Law Association's recommendations, national laws in
force and national courts' case law including the case law of the
European Court of Justice as regards the interface of arbitration
and the Brussels Regulation. In its focus on the jurisdictional
pleas and actions available where proceedings on the same subject
matter and between the same parties are pending both before a
national court and an arbitral tribunal, this book has no peers.
In the early 21st-century, companies pursue their goals with little
regard for national borders. However, it remains true that business
activity is regulated to a significant extent by each national
jurisdiction. This is particularly true of mergers; as anyone knows
who has ever been involved in a transnational merger in multiple
jurisdictions, the knottiest problems and issues arise from
variations in national competition and merger laws. This text
offers an in-depth proposal for an international merger control
regime that is firmly grounded in and supported by a framework of
economic and legal theory. It arrives at its conclusions along
three major avenues: a study of the concepts of global public good
and consumer welfare that underlie the progress of globalization;
detailed analyses of the two most important and highly developed
merger law systems, those of the European Union and the United
States; and a systematic and comprehensive review of the major
existing proposals, both institutional and scholarly, for an
international merger control regime. A special chapter is devoted
to the complex custodial role of the World Trade Organization, both
in its present activity and as it is envisioned in the various
proposals.
This volume investigates who can be considered responsible for
historical emissions and their consequences, and how and why this
should matter for the design of a just global climate policy. The
authors discuss the underlying philosophical issues of
responsibility for historical emissions, the unjust enrichment of
the earlier developed nations, and questions of transitional
justice. By bringing together a plurality of perspectives, both in
terms of the theoretical understanding of the issues and the
political perspectives on the problem, the book also presents the
remaining disagreements and controversies in the debate. Providing
a systematic introduction to the debate on historical emissions and
climate change, this book provides an unbiased and authoritative
guide for advanced students, researchers and policymakers in
climate change justice and governance, and more widely, for anyone
interested in the broader issues of global justice.
This book examines the development of the Spanish patent system in
the years 1826 to 1902, providing a fundamental reassessment of its
evolution in an international context. The Spanish case is
particularly interesting because of this country's location on the
so-called European periphery and also because of the centrality of
its colonial dimension. Pretel gauges the political regulation and
organisation of the system, showing how it was established and how
it evolved following international patterns of technological
globalisation and the emergence of the 'international patent
system' during the late nineteenth century. Crucially, he
highlights the construction and evolution of the patent system in
response to the needs of Spain's technologically dependent economy.
The degree of industrial backwardness in mid-nineteenth-century
Spain set the stage for the institutionalisation of its modern
patent system. This institutionalisation process also entailed the
introduction of a new technological culture, social infrastructure
and narrative that supported intellectual property rights. This
book is important reading to all those interested in the history of
patents and their role in globalisation.
Relations between societal values and legal doctrine are inevitably
complex given the time lag between law and social reality, and the
sociological space between legal communities involved in the
development and application of the law and non-legal communities
affected by it. It falls on open-ended concepts, such as
proportionality, human rights, dignity, freedom, and truth, and on
legal frameworks for balancing competing rights and interests, such
as self-defense, command or corporate responsibility, and
restrictions on freedom of expression, to negotiate chronic
tensions between law and society and to bridge existing gaps. The
present volume contains chapters by leading experts - former judges
on constitutional courts and international courts, and some of the
world's leading criminal law, public law, and international law
scholars - offering their points of view and professional analysis
of legal notions and doctrines that serve as hubs for the
interpretation, application, and contestation of core values, which
in turn constitute building blocks of the rule of law. The shared
perspective on the interplay between values and legal rules in
public law, criminal law, and international law is likely to render
the publication a valuable resource for both theoreticians and
practitioners, law students, and seasoned legal experts working in
diverse legal fields.
This book discusses issues relating to the application of AI and
computational modelling in criminal proceedings from a European
perspective. Part one provides a definition of the topics. Rather
than focusing on policing or prevention of crime - largely tackled
by recent literature - it explores ways in which AI can affect the
investigation and adjudication of crime. There are two main areas
of application: the first is evidence gathering, which is addressed
in Part two. This section examines how traditional evidentiary law
is affected by both new ways of investigation - based on automated
processes (often using machine learning) - and new kinds of
evidence, automatically generated by AI instruments. Drawing on the
comprehensive case law of the European Court of Human Rights, it
also presents reflections on the reliability and, ultimately, the
admissibility of such evidence. Part three investigates the second
application area: judicial decision-making, providing an unbiased
review of the meaning, benefits, and possible long-term effects of
'predictive justice' in the criminal field. It highlights the
prediction of both violent behaviour, or recidivism, and future
court decisions, based on precedents. Touching on the foundations
of common law and civil law traditions, the book offers insights
into the usefulness of 'prediction' in criminal proceedings.
Economic globalization and Compliance with International
Environmental Agreements is an innovative and in depth
consideration of the challenges economic globalization poses for
the effective application of multilateral environmental accords.
The introductory part of the book examines particular challenges of
economic globalization. Part II tackles the interrelationship of
global and regional environmental agreements and free trade
regimes. It first looks at trade and other economic measures
mandated by various environmental agreements, then at environmental
measures in economic agreements. The third part of the book turns
to compliance, analyzing the potential positive and negative impact
of multilateral institutions, states, and transnational corporate
activity. The last chapter considers the impact on compliance of
modern dispute avoidance and dispute settlement mechanisms.
The 1998 Rome Statute, the treaty establishing the International
Criminal Court (ICC), includes a longer list of gender-based crimes
than any previous instrument of international criminal law. The
Statute's twentieth anniversary provides an opportunity to examine
how successful the ICC has been in prosecuting those crimes, what
challenges it has faced, and how its caselaw on these crimes might
develop in future. Taking up that opportunity, this book analyses
the ICC's practice in prosecuting gender-based crimes across all
cases for war crimes, crimes against humanity and genocide in the
ICC up until mid-2018. This analysis is based on a detailed
examination of court records and original interviews with
prosecutors and gender experts at the Court. This book covers
topics of emerging interest to practitioners in this field,
including wartime sexual violence against men and boys, persecution
on the grounds of gender and sexual orientation, and sexual
violence against 'child soldiers'.
How are China's ongoing sovereignty disputes in the East and South
China Seas likely to evolve? Are relations across the Taiwan Strait
poised to enter a new period of relaxation or tension? How are
economic interdependence, domestic public opinion, and the
deterrence role played by the US likely to affect China's relations
with its counterparts in these disputes? Although territorial
disputes have been the leading cause for interstate wars in the
past, China has settled most of its land borders with its
neighbours. Its maritime boundaries, however, have remained
contentious. This book examines China's conduct in these maritime
disputes in order to analyse Beijing's foreign policy intentions in
general. Rather than studying Chinese motives in isolation, Steve
Chan uses recent theoretical and empirical insights from
international relations research to analyse China's management of
its maritime disputes.
This book examines user perceptions of European Union institutions
and compares them to perceptions communicators within these
institutions have of their users. Analysing the images both sides
have through their interaction on the EUROPA website
(www.europa.eu) helps to to show where communicator intentions and
user perceptions do or do not overlap. The timeliness of this issue
could not be more striking than in the current internal and
external debates surrounding the EU (e.g., the "No" votes on the
common constitution). With this in mind, every possible way of
interaction should be reconsidered, in order for citizens to get
more involved and feel more connected. Next to mass media, the
Internet plays an increasingly important role in people's lives.
Even though the Internet may not currently be a dominant source of
information about the RU relative to other mass media outlets, it
continues to increase in importance as part of most people's
everyday life, in particular for the younger generation who turn to
it for information. The main focus of this book is on the
integration of both the user and the communicator perspectives. By
looking at user needs in comparison to the production processes
that determine the information structure of a Web site, the
usability of a Web site is defined. The user experience online in
turn determines the users' perceptions of the institutions and
their attitudes towards the European Union.
The focus of this book is the legal analysis of the evolution of
federal relationships from an asymmetric treaty-constitutional
federation to a de facto unitary state. Questioned is whether it is
worth returning to the asymmetric federative form, while the aim is
to review the origins of federalism in the New Russia, assess the
present de jure and de facto situations and analyze whether Russia
has a chance of reviving federalism. Steps forward on the way to
developed federal relationships in the 1990s have been replaced by
steps backwards owing to unitary tendencies in the 2000s and the
2010s. But is this a sustainable state of affairs? The possible
ways of framing relations between the center and the constituent
units for the next four years and beyond are also discussed. This
book is aimed at researchers and students in the field of
comparative constitutional law, Russian studies and federal and
regional studies. Gulnara R. Shaikhutdinova is Professor and Doctor
of International Law in the Faculty of Law of Kazan (Volga Region)
Federal University, Republic of Tatarstan, Russian Federation.
The modern tendency to restrict international arbitration to
matters of commerce and investment is succumbing to a renewed
recognition of the original impetus for dispute resolution by
arbitration - i.e., matters of public international law, most
importantly the settlement of disputes that pose a threat of
international conflict. Recent developments suggest a renaissance
of public international arbitration, most clearly manifested in the
present flourishing of the Permanent Court of Arbitration (PCA),
the oldest existing dispute settlement institution in international
law. As the calls for the development of new and more appropriate
methods for dispute settlement in international law increased
during the 1990s, the PCA undertook a structural reform and is
today a vital forum for dispute settlement, with scores of
arbitrations currently pending under its auspices. This book - the
most comprehensive study of the institution to date, covering its
history, its present status, and its future prospects - proves the
PCA's contemporary relevance within the international dispute
settlement framework. Among aspects of the PCA's work covered are
the following: how public international arbitration functions in
comparison to other means available for dispute settlement in
international law; the PCA's historical contributions to the
current dispute settlement framework; arbitrations between a state
and a non-state actor that are in whole or in part governed by
public international law; the fields in which public international
arbitration plays a revived role; the PCA's present-day
institutional framework and its current activities; the prospects
for public international arbitration and the PCA in the dispute
settlement framework of the twenty-first century; and proposals to
increase the PCA's activities in future and to sustain and enhance
the institution's ongoing revitalization.
This comprehensive volume of the Elgar Encyclopedia of
Environmental Law provides an overview of the major elements of
energy law from a global perspective. Based on an in-depth analysis
of the energy chain, it offers insight into the impacts of climate
change and environmental issues on energy law and the energy
sector. This timely reference work highlights the need for modern
energy law to consider environmental impacts and promote the use of
clean energy sources, whilst also safeguarding a reliable and
affordable energy supply. Featuring 65 entries written by leading
international scholars and practitioners in the field, the volume
is organised into eight thematic parts, each focusing on a specific
area of the energy sector. Topics covered include international
energy cooperation, the regulation and governance of energy
markets, legal regimes governing renewable energy sources,
regulation of the transport and supply of energy, consumer
protection, and energy savings mechanisms. Providing an
authoritative analysis of key developments in this significant area
of law, this volume will be an invaluable resource for researchers,
academics and students. Its insights into governance and regulation
in the sector will also prove useful to practitioners and
policymakers.
Overshadowed for many years by the Nuremberg trials, the Tokyo
Trial--one of the major events in the aftermath of World War
II--has elicited renewed interest since the 50th anniversary of the
war's end. Revelations of previously hidden war crimes, including
comfort women and biological warfare, and the establishment of
international courts to try Yugoslav and Rwandan war criminals have
added to the interest. This bibliography addressees the renewed
interest in the Tokyo Trial, providing over 700 citations to
official publications, scholarly monographs and journal articles,
contemporaneous accounts, manuscript collections, and Web sites.
Also included are sources on the Trial's influence on international
law and military law and unresolved issues being debated to this
day.
Defining war crimes after the fact, practicing victor's justice
to punish enemies, holding military commanders accountable for
their troops' actions--these were issues confronted in the Tokyo
Trial and other Asia-Pacific war crimes trials. They are still
being investigated, researched, and debated today. This
bibliography helps to illuminate these issues from different
perspectives, providing a variety of ways to locate relevant
English-language sources. The volume also includes citations to
contemporary issues stemming from the Asia-Pacific war crimes
trials--comfort women, biological warfare, and unresolved issues of
reparations and official apologies. The book is a useful guide to
sources on all aspects of the Tokyo Trial.
Increased economic interdependencies and trade flows between
states, innovations in information technology and computer
networks, a global shift toward market economies and regional and
multilateral trade arrangements, have all led to an increasingly
globalized world economy. This book seeks to analyze the inner
penetration of a form of world polity or transnational order -
comprised of part epistemic community, institutional networks,
national laws and multilateral conventions, norms, rules,
principles and transnational ideology - on the traditional notion
of state sovereignty within the international arbitral regime. The
title will interest practitioners and academics with an interest in
international commercial arbitration.
Despite an increasing global awareness of environmental concerns,
setting internationally binding and ambitious commitments has
proven exceedingly complex. As states are seeking alternative
methods to support global environmental protection, this book takes
a closer look at the possibility of using national trade measures
that make market access conditional on the environmental impact of
the production process abroad. Inspired by accepted practice in
other fields of law, Barbara Cooreman illustrates that the
extraterritorial character of these environmental trade measures is
not necessarily inconsistent with WTO law by proposing an
extraterritoriality decision tree for trade measures targeting
foreign production processes. Identifying key challenges through
varied case studies, the author demonstrates that states can indeed
use their market to further environmental progress, when the
state's environment is affected and where a minimum level of
international legal support exists for the environmental concern at
issue. The book shows that current WTO laws leave more room for
action than often thought and concludes that WTO law is no excuse
for environmental inaction. Practical and comparative, this book
will appeal to scholars of both environmental and trade law. It
also offers a valuable tool to aid judges and lawmakers alike in
determining the lawfulness of a measure.
This book analyses the egalitarian foundations of equality law from
a classical liberal perspective by asking two central questions:
does justice ideally demand equality? Are differences in abilities
among people in some sense unfair? The book examines these
questions in the context of racial diversity. Racial justice as a
component of social justice is often considered to be so
emotionally and morally compelling that its implications for
economic freedom are rarely subjected to critical scrutiny. In
defending the classical ideal of formal equality in contexts of
racial diversity this book questions the ethical status of
egalitarian social and moral ideals. Economic Freedom and Social
Justice argues that egalitarian ideals, like all subjective value
judgements, must be subjected to critical intellectual inquiry
rather than treated axiomatically. Drawing upon the legal framework
in the UK and other common law jurisdictions, this book shows some
of the ways in which egalitarian ideals, in addition to resting on
false premises, are costly, harmful, and ultimately inimical to
justice and liberty. The book argues that legal entitlements and
policy guidelines constructed upon notions of racial equity are
wrongly constituted as the main prism through which liberal market
democracies govern private relationships, including the employment
relationship. Written in a clear and forthright style, this book
will be of interest to students and scholars in law, economics,
philosophy and political economy.
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