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The World Heritage Convention (WHC) is the most comprehensive and
widely ratified among UNESCO treaties on the protection of cultural
and natural heritage. The Convention establishes a system of
identification, presentation, and registration in an international
List of cultural properties and natural sites of outstanding
universal value. Throughout the years the WHC has progressively
attained almost universal recognition by the international
community, and even the International Criminal Tribunal for the
Former Yugoslavia has recently considered sites inscribed in the
World Heritage List as "values especially protection by the
international community." Besides, the WHC has been used as a model
for other legal instruments dealing with cultural heritage, like
the recently adopted (2003) Convention on the Safeguarding of
Intangible Cultural Heritage. During its more than 30 years of
life, the Convention has undergone extensive interpretation and
evolution in its scope of application. Operational Guidelines,
which are the implementing rules governing the operation of the
Convention, have been extensively revised. New institutions such as
the World Heritage Centre, have been established. New links, with
the World Bank and the United Nations, have developed to take into
account the economic and political dimension of world heritage
conservation and management. However, many legal issues remain to
be clarified. For example, what is the meaning of "outstanding
universal value" in the context of cultural and natural heritage?
How far can we construe "universal value" in terms of
representivity between the concept of "World Heritage" and the
sovereignty of the territorial state? Should World Heritage reflect
a reasonable balance between cultural properties and natural sites?
Is consent of the territorial state required for the inscription of
a World Heritage property in the List of World Heritage in Danger?
What is the role of the World Heritage Centre in the management of
the WHC? No comprehensive work has been produced so far to deal
with these and many other issues that have arisen in the
interpretation and application of the WHC. This Commentary is
intended to fill this gap by providing article by article analysis,
in the light of the practice of the World Heritage Committee, other
relevant treaty bodies, as well as of State parties and in the hope
that it may be of use to academics, lawyers, diplomats and
officials involved in the management and conservation of cultural
and natural heritage of international significance.
The mission of the The Italian Yearbook of International Law is to
make available to the English speaking public the Italian
contribution to the literature and practice of international law.
Volume XXVII of the Italian Yearbook of International Law features
a Symposium on sanctions and restrictive measures in international
law. There follows a Focus section on the ILC's work on the
identification of customary international law. As in every volume
the following sections, each containing a wealth of new
information, are included: Notes and Comments; Practice of
International Courts and Tribunals; notes and reports on the most
recent Italian practice of international law; as well as indices
and book reviews.
When does international law allow a State or group of States to
adopt trade measures in order to "coerce" another State to comply
with its international obligations to ensure respect for human
rights? In answering this question this book draws together complex
areas of international law which include the rules prohibiting
interference in the internal affairs of sovereign States, the rules
regulating extra-territorial exercises of jurisdiction, the law of
State responsibility and the international legal rules requiring
the protection of human rights and regulating international trade.
The literature on "Trade and ..." issues invariably focuses on a
limited number of these areas, or approaches the issues from an
international relations or economic perspective. This book will
assist specialists in international human rights law and
international trade law, academic and government lawyers who advise
on or implement international trade policy and those studying the
use of human rights related trade measures.
As with any rapid technological development, the biotechnology
revolution is putting great strains on the ability of law to adapt
to new challenges and threats. Although there is general agreement
on the need to regulate biotechnology in many different fields of
human activity (agriculture, life sciences, forensic science)
domestic law remains deeply divided over the best approach to take.
This book is the first attempt at covering the most pressing legal
issues raised by the impact of biotechnologies on different
categories of international norms. Through the contribution of a
selected group of international scholars and experts from
international organizations, the book addresses 1) the
international status of genetic resources, both in areas of
national jurisdiction and in common spaces such as the
international sea bed area and Antarctica; 2) the relevance of
environmental principles in the governance of modern
biotechnologies; 3) the impact of biotechnologies on trade rules,
including intellectual property law; 4) the human rights
implications, especially in the field of human genetics; and 5) the
intersection between general international law and regional
systems, especially those developed in Europe and Latin America.
The overall objective of the book is to provide an up-to-date
picture of international law as it stands today and to stimulate
critical reflection and further research on the solutions that will
be required in years to come.
The idea of cultural heritage as an 'international public good' can
be traced back to the Preamble of the 1954 Hague Convention for the
Protection of Cultural Property in the Event of Armed Conflict,
according to which "damage to cultural property belonging to any
people whatsoever means damage to the cultural heritage of all
mankind". How this idea of cultural heritage as a global public
good can be reconciled with the effective enforcement of protection
norms is the subject of this study. Bringing together world experts
in protecting cultural heritage, Enforcing International Cultural
Heritage Law examines the different ways that cultural heritage
property can be protected, including protection at the
international level, enforcement in domestic courts, and the role
of alternative dispute resolution mechanisms. The book is divided
into three sections. The first section assesses international law
and analyses the interaction between international and domestic
norms of public and private law. It discusses the different methods
of international enforcement, the role of international and mixed
criminal tribunals and courts, and the means for protecting
cultural heritage in times of armed conflict. The second section
addresses the role of national courts, discussing such topics as:
barriers to domestic enforcement of international norms, the
refusal to enforce foreign law, the difficulty of territorial
boundaries in relation to underwater heritage, and the application
of criminal sanctions by domestic courts. The final section of the
book surveys alternatives to the legal enforcement of the norms
protecting cultural heritage, including arbitration, soft law, and
diplomacy.
This book follows and complements the previous volume Biotechnology
and International Law (Hart, 2006) with its specific focus being
human rights. It is the result of a collaborative effort which
brings together a select group of experts from academia and from
international organisations with the purpose of discussing the
extent to which current activities in the field of biotechnology
can be regulated by existing international human rights principles
and standards. It also discusses what gaps, if any, need to be
identified and filled with new legislative initiatives. Instruments
such as the UNESCO declarations on the human genome (1997) and on
bioethics and human rights (2005) have become part of customary
international law, but what is the relevance of these instruments
with respect to traditional concepts of state responsibility and
the functioning of domestic remedies against misuse of
biotechnologies? This book analyses what legislative initiatives
are needed, and examines the pros and cons of a race toward the
adoption of new ad hoc legislation in an area of such rapid
technological development. proliferation of different regulatory
regimes is also analysed. The various contributions ask what are
the core human rights principles that define the boundaries of
legitimate use of biotechnology? They also question what is the
legal status of human genetic material and what are the
implications of the definition of the human genome as 'common
heritage of humanity' for the purpose of patenting of genetic
inventions? These and other questions are the focus of a
fascinating collection of essays which, together, help to map this
emerging field of enquiry.
This volume presents a critical analysis of transatlantic relations
in the field of environmental governance and climate change. The
work focuses on understanding the possible trends in the evolution
of global environmental governance and the prospects for breaking
the current impasse on climate action. Drawing on research
involving experts from eleven different universities and
institutes, the authors provide innovative analyses on policy
measures taken by the EU and the US, the world's largest economic
and commercial blocs, in a number of fields, ranging from general
attitudes on environmental leadership with regard to climate
change, to energy policies, new technologies for hydrocarbons
extraction and carbon capture, as well as the effects of extreme
weather events on climate-related political attitudes. The book
examines the way in which the current attitudes of the EU and the
US with regard to climate change will affect international
cooperation and the building of consensus on possible climate
policies, and looks to the future for international environmental
governance, arguably one of the most pressing concerns of
civilisation today. This book, which is based on research carried
out in the context of the EU-financed FP7 research project
TRANSWORLD, will appeal to academics, policy makers and
practitioners seeking a deeper understanding of the challenges
resulting from climate change.
This volume presents a critical analysis of transatlantic relations
in the field of environmental governance and climate change. The
work focuses on understanding the possible trends in the evolution
of global environmental governance and the prospects for breaking
the current impasse on climate action. Drawing on research
involving experts from eleven different universities and
institutes, the authors provide innovative analyses on policy
measures taken by the EU and the US, the world's largest economic
and commercial blocs, in a number of fields, ranging from general
attitudes on environmental leadership with regard to climate
change, to energy policies, new technologies for hydrocarbons
extraction and carbon capture, as well as the effects of extreme
weather events on climate-related political attitudes. The book
examines the way in which the current attitudes of the EU and the
US with regard to climate change will affect international
cooperation and the building of consensus on possible climate
policies, and looks to the future for international environmental
governance, arguably one of the most pressing concerns of
civilisation today. This book, which is based on research carried
out in the context of the EU-financed FP7 research project
TRANSWORLD, will appeal to academics, policy makers and
practitioners seeking a deeper understanding of the challenges
resulting from climate change.
In international law, as in any other legal system, respect and
protection of human rights can be guaranteed only by the
availability of effective judicial remedies. When a right is
violated or damage is caused, access to justice is of fundamental
importance for the injured individual and it is an essential
component of the rule of law. Yet, access to justice as a human
right remains problematic in international law. First, because
individual access to international justice remains exceptional and
based on specific treaty arrangements, rather than on general
principles of international law; second, because even when such
right is guaranteed as a matter of treaty obligation, other norms
or doctrines of international law may effectively impede its
exercise, as in the case of sovereign immunity or non reviewability
of UN Security Council measures directly affecting individuals.
Further, even access to domestic legal remedies is suffering
because of the constraints put by security threats, such as
terrorism, on the full protection of freedom and human
rights.
This collection of essays offer seven distinct perspectives on the
present status of access to justice: its development in customary
international law, the stress put on it in times of emergency, its
problematic exercise in the case of violations of the law of war,
its application to torture victims, its development in the case law
of the UN Human Rights Committee and of the European Court of Human
Rights, its application to the emerging field of environmental
justice, and finally access to justice as part of fundamental
rights in European law.
In international law, as in any other legal system, respect and
protection of human rights can be guaranteed only by the
availability of effective judicial remedies. When a right is
violated or damage is caused, access to justice is of fundamental
importance for the injured individual and it is an essential
component of the rule of law. Yet, access to justice as a human
right remains problematic in international law. First, because
individual access to international justice remains exceptional and
based on specific treaty arrangements, rather than on general
principles of international law; second, because even when such
right is guaranteed as a matter of treaty obligation, other norms
or doctrines of international law may effectively impede its
exercise, as in the case of sovereign immunity or non reviewability
of UN Security Council measures directly affecting individuals.
Further, even access to domestic legal remedies is suffering
because of the constraints put by security threats, such as
terrorism, on the full protection of freedom and human
rights.
This collection of essays offers seven distinct perspectives on
the present status of access to justice: its development in
customary international law, the stress put on it in times of
emergency, its problematic exercise in the case of violations of
the law of war, its application to torture victims, its development
in the case law of the UN Human Rights Committee and of the
European Court of Human Rights, its application to the emerging
field of environmental justice, and finally access to justice as
part of fundamental rights in European law.
This book offers a systematic analysis of the interaction between
international investment law, investment arbitration and human
rights, including the role of national and international courts,
investor-state arbitral tribunals and alternative jurisdictions,
the risks of legal and jurisdictional fragmentation, the human
rights dimensions of investment law and arbitration, and the
relationships of substantive and procedural principles of justice
to international investment law.
Part I summarizes the main conclusions of the 24 book chapters and
places them into the broader context of the principles of justice,
global administrative law and multilevel constitutionalism that may
be relevant for the administration of justice in international
economic law and investor-state arbitration. Part II includes
contributions clarifying the constitutional dimensions of
transnational investment disputes and investor-state arbitration,
as reflected in the increasing number of arbitral awards and amicus
curiae submissions addressing human rights concerns. Part III
addresses the need for principle-oriented ordering and the
normative congruence of diverse national, regional and worldwide
legal regimes, focusing on the pertinent dispute settlement
practices and legal interpretation methods of regional economic
courts and human rights courts, which increasingly interpret
international economic law with due regard to human rights
obligations of the governments concerned.
Part IV includes twelve case studies on the potential human rights
dimensions of specific protection standards (e.g. fair and
equitable treatment, non-discrimination), applicable law (e.g.
national and international human rights law, rules on corporate
social accountability), procedural law issues (e.g. amicus curiae
submissions) and specific fundamental rights (e.g. the protection
of human health, access to water, and protection of the
environment). These case studies discuss not only the still limited
examples of human rights discourse in investor-state arbitral
awards; they also probe the potential legal relevance of
investor-state arbitration for the judicial recognition,
interpretation and balancing of primary rules, such as of
investment law and human rights law, in the light of the principles
of justice as defined by national and international law.
This book offers a systematic analysis of the interaction between
international investment law, investment arbitration and human
rights, including the role of national and international courts,
investor-state arbitral tribunals and alternative jurisdictions,
the risks of legal and jurisdictional fragmentation, the human
rights dimensions of investment law and arbitration, and the
relationships of substantive and procedural principles of justice
to international investment law.
Part I summarizes the main conclusions of the 24 book chapters and
places them into the broader context of the principles of justice,
global administrative law and multilevel constitutionalism that may
be relevant for the administration of justice in international
economic law and investor-state arbitration. Part II includes
contributions clarifying the constitutional dimensions of
transnational investment disputes and investor-state arbitration,
as reflected in the increasing number of arbitral awards and amicus
curiae submissions addressing human rights concerns. Part III
addresses the need for principle-oriented ordering and the
normative congruence of diverse national, regional and worldwide
legal regimes, focusing on the pertinent dispute settlement
practices and legal interpretation methods of regional economic
courts and human rights courts, which increasingly interpret
international economic law with due regard to human rights
obligations of the governments concerned.
Part IV includes twelve case studies on the potential human rights
dimensions of specific protection standards (e.g. fair and
equitable treatment, non-discrimination), applicable law (e.g.
national and international human rights law, rules on corporate
social accountability), procedural law issues (e.g. amicus curiae
submissions) and specific fundamental rights (e.g. the protection
of human health, access to water, and protection of the
environment). These case studies discuss not only the still limited
examples of human rights discourse in investor-state arbitral
awards; they also probe the potential legal relevance of
investor-state arbitration for the judicial recognition,
interpretation and balancing of primary rules, such as of
investment law and human rights law, in the light of the principles
of justice as defined by national and international law.
The growth in scope and importance of the private military and
security industry in the past decade has challenged the role of the
state as the main provider of defence and security functions. At
the same time it has put under stress the state's authority to
properly oversee the conduct of private contractors and has raised
the question of whether existing rules of domestic law and
international law are adequate to ensure their accountability in
the event of abuse. This book addresses this question through the
lens of international human rights law and international
humanitarian law. It presents a systematic analysis of the way in
which these two bodies of international law, applicable in times of
peace and in the event of armed conflict, may be interpreted and
implemented in a way so as to fill possible accountability gaps.
Human rights and humanitarian law obligations are analysed from the
point of view of their applicability to the states involved, to
international organizations, and to the companies and their
individual employees. Victims' access to civil remedies and the
criminal prosecution of private contractors, as well as new policy
issues, such as the use of private contractors in the fight against
piracy, are also covered in the book.
This Handbook provides a cutting edge study of the fast developing
field of international law on the protection of cultural heritage
by taking stock of the recent developments and of the core concepts
and current challenges. The legal protection of cultural heritage
has come under renewed focus from the international community and
states since the 1990s. This is evidenced by the adoption of a
range of international instruments. Countries are also enacting
cultural heritage legislation or overhauling existing laws within
their own national territory. Contributions address the protection
of immovable and movable, tangible and intangible cultural heritage
in peacetime and in the event of armed conflict as well as the
interaction between specific regimes of cultural heritage
protection with other fields of international law, including
international criminal law, human rights and humanitarian law,
environmental law, international trade, investments, and
intellectual property. The last part of the Handbook covers diverse
regional systems of heritage protection.
Almost fifty years have passed since the adoption of the Convention
Concerning the Protection of the World Cultural and Natural
Heritage (the UNESCO World Heritage Convention). With its 194
States Parties, it is the most widely ratified convention within
the family of UNESCO treaties on the protection of cultural
heritage. The success of this Convention and its almost universal
acceptance by the international community of states is due to the
great appeal that recognising certain properties as “world
heritage” has for national governments. Since the publication of
the first Commentary, new problems have arisen in the management of
world heritage sites. It has become increasingly difficult to
properly monitor the conservation of the ever-growing mass of sites
inscribed in the World Heritage List, and to resolve disputes over
the formal designation of contested world heritage properties - a
problem that has led to the withdrawal of the United States and
Israel from UNESCO. New frontiers are now being explored for the
expansion of the world heritage idea over marine areas beyond
national jurisdiction, and the monopoly of the State in the
identification, delineation, and presentation of world heritage
properties is being increasingly challenged in the name of
indigenous peoples' rights and by local communities claiming
ownership over contested cultural sites. At the same time, the
regime of world heritage protection has infiltrated other areas of
international law, especially international economic law,
investment arbitration, and the area of international criminal law.
This second edition critically examines the World Heritage
Convention against this dynamic evolution of international heritage
law to help academics, lawyers, diplomats, and officials interpret
and apply the norms of the Convention after half a century of
uninterrupted implementing practice by State Parties and Treaty
Bodies.
After the completion of the Uruguay Round and the adoption of the
1994 agreement establishing the WTO,the place of international
trade in the context of the international legal order has radically
changed. International trade law has become a subject of
wide-spread interest, cutting across traditional boundaries, and
engaging diverse political and legal concerns. One consquence of
this development is increasing concern with the legitimacy of the
WTO process, which in turn has led to the WTO becoming the focus of
rancorous protest by, among others, environmental NGOs, trade
unions, and human rights activists. This collection of essays by
leading scholars and lawyers engaged in the policy-making process,
addresses the underlying tensions and dilemmas of the WTO process
and its impact upon the environment and human rights in particular.
The contributors search for a balance between, on the one hand,
legitimate free trade interests and, on the other, the role and
limits of unilateral measures as an instrument to protect
non-commercial values. The essays thus range over a host of topical
questions including: trade in GMOs, biosafety in intellectual
property rights, technology transfer and environmental protection,
trade and labour rights, child labour standards, the EU and WTO,
MERCOSUR, and many other topics. The contributors include: Thomas
Schoenbaum, Andrea Bianchi, Chris McCrudden, Michael Spence, Sarah
Cleveland, Patricia Hansen, Riccardo Pavoni, and Francesco
Francioni.
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