Droit international général

Marsden on Transnational Internet Law

EAPIL blog - mar, 06/02/2020 - 08:00

Christopher Marsden (University of Sussex) has posted Transnational Internet Law on SSRN.

The greatest, and certainly to a Westphalian nation-state-centered universe most revolutionary, challenge for regulation is the increasing co-operation between national, regional and international networks of regulators, to regulate the Internet. Reidenberg coined the term ‘lex informatica’ to explain its transnational legal nature, based on Berman and Kaufman’s analysis of mediaeval lex mercatoria, rather than Jessup’s transnational law. In Part 2, I briefly consider the technical standards that permit Inter-networking and thus the Internet. Part 3 examines how standards – including commercial and legal standards – have created a transnational lex informatica. In Parts 4-5, I focus on two phenomena of the transnational Internet law evolution. The first is governance by contract for all commercial transactions, even those that are ostensibly free of monetary value, in which the contractors are trading private information for advertising revenue. The second is the ‘open Internet’, laws protecting some aspects of network neutrality.

The paper is forthcoming in Peer Zumbansen (ed.), Oxford Handbook of Transnational Law (OUP 2020). It can be downloaded here.

ASADIP – Its annual conference has been rescheduled and recent activities

Conflictoflaws - lun, 06/01/2020 - 10:35

The American Association of Private International Law (ASADIP) has postponed its annual conference to a later date in 2021, given the current pandemic. The 2021 conference is entitled “Private International Law and Modern Technologies” and will be held on 4-5 November 2021 in Washington DC (USA). The venues of the conference will be Georgetown University and the Organization of American States (OAS). Blockchain technology and its interrelation with PIL features prominently in the general topics to be discussed. For more information, click here.

As regards recent activities, ASADIP has proudly announced the translation into Spanish of the article of Hans van Loon, former Secretary General of the HCCH, entitled “The Global Horizon of Private International Law: Inaugural Lecture” delivered during the Hague Academy’s Private International Law Session of 2015  (published in Recueil des cours Vol. 380, Pages 9-108, apparently only available in book form). The Spanish translation of Hans van Loon’s article is “El horizonte global del Derecho internacional privado” and is fully available here.

 

Yelp and Facebook. The German and Dutch courts on reputational damage, jurisdiction and applicable law.

GAVC - lun, 06/01/2020 - 10:10

Thank you Matthias Lehmann for flagging X v Yelp , held 14 January 2020 at the Bundesgerichthof (German federal court) and to Jef Ausloos for drawing our attention to X and Avrotros v Facebook BV and Facebook Ireland ltd held 15 May 2020. An English summary of that case is here. Note that the Dutch case is one in interlocutory proceedings. Both concern the application of Article 7(2) Brussels IA at the jurisdictional level, and Rome II at the applicable law level, with respect to reputational damage.

In the German Yelp case, a German gym had complained that Yelp’s review algorithm had created a distorted picture of its business. Jurisdiction was established under Article 7(2) Brussels Ia per CJEU Bolagsupplysningen: centre of interests in Germany.  As to applicable law, the pickle is A1(20(g) Rome II which excludes from its scope of application,  “non-contractual obligations arising out of violations of privacy and rights relating to personality, including defamation”.

Under residual German PIL, claimant has a choice between lex locus damni or lex locus delicti commissi. Matthias points to the difficulty:  if companies have ‘personality rights’ within the meaning of Rome II (Bolagsupplysningen clearly suggests they do; but that is a jurisdictional case) then the issue ough to be held exempt from Rome II. Except, a big chunk of unfair trading practices consists of thrashing a competitor’s reputation – and A6 Rome II has a specific lex causae for unfair trading practices.

The German court does not address the issue directly for it held that claimant had made an implicit choice for lex locus damni – German law: the same result as Rome II would have had.

In the Dutch case, the Court likewise holds jurisdiction on the basis of centre of interests,  and then squarely applies A4 Rome II’s genral lex locus damni rule (the action was based against Facebook, arguing that FB was not taking enough measures to block fake/fraudulent bitcoin ads on its platform).

On the choice of court suggestion of Facebook, the court holds that current dispute is not of a contractual nature and that FB’s contractual choice of court and law does not extend to same; it leaves undecided whether the celebrity at issue can be considered a ‘consumer’ for jurisdictional purposes (their FB use I imagine potentially having developed into, or even started as professional use: see the dynamic nature per CJEU C-498/16 Schrems). There must be more argument in there.

Interesting cases, with both courts cutting corners.

Geert.

Court establishes jurisdiction on the basis of A7(2) BIa per Bolagsupplysningen
Then however squarely applies Rome II to what it calls 'reputational damage' – not discussing A1(2)(g) personality rights exception
Compare DE decision reported @eapilorg here https://t.co/0i1OyrK0fM https://t.co/ggBOH1pgMQ

— Geert Van Calster (@GAVClaw) May 28, 2020

COVID-19 and the Right to Respect for Family Life under Article 8 ECHR

EAPIL blog - lun, 06/01/2020 - 08:00

The author of this post is Nadia Rusinova, Lecturer in International/European Private Law at The Hague University of Applied Sciences. This is the sixth in a series of posts aimed to explore the impact of the coronavirus crisis on the phenomena of mobility and exchange that form the constituent elements of private international law, and to discuss the responses that private international law rules provide to the challenges posed by the crisis itself (see the previous contributions by Giovanni Chiapponi, Matthias Lehmann, Tomaso Ferando, Caterina Benini and Aygun Mammadzada). The EAPIL blog welcomes further contributions on such topics, either in the form of comments to the published posts or in the form of guest posts. Those interested in proposing a guest post for publication are encouraged to contact the blog’s editorial team at blog@eapil.org.

Despite the obvious need for extraordinary measures during the pandemic, the restrictions we face as a response to the threat posed by the COVID-19 engage a number of rights, protected under the ECHR (hereinafter, the Convention). Individuals are entitled to fundamental rights protection even – and especially – in case of an emergency. In this sense, we already ask ourselves: are the adopted measures proportionate and targeted, are they required by the exigencies of the situation, are they not inconsistent with other obligations under international law? Do we need new approaches to respond to this unprecedented situation?

The importance of private international law for family issues in an era of globalization is immense and the topic acquires particular significance due to the increasing mobility and internationalization of the child and of the family. The private international law aspects of international child and family law in the context of international child abduction, intercountry adoption, cross-border surrogacy, cross-border relocation, etc. are frequently dealt with in many cross-border cases and these rapid developments must result in the development of uniform guidelines.

Some of the most important are found in the recently published COVID-19 Toolkit of the Hague Conference on Private International Law, also announced in this blog.

With international borders closed and containment measures in place, cross-border movement of people and goods is subject to unprecedented restrictions. In many jurisdictions, children and families remain stranded. Access to government services remains limited. Legal procedures have been delayed or suspended. Without doubt the future judgments and decisions of European Court of Human Rights (hereinafter, the Court) in this context will have an impact on the main issues of private international law, including the recognition and enforcement of foreign judgments.

This post focuses on the potential impact of the COVID-19 measures on the assessment of Article 8 violations in its family life aspect. As this is a complex question, this post explores an issue of how the State responses can be seen as an interference in the family life and whether the States ensured adequate regard for Article 8 rights in the context of the pandemic. In particular, concrete example of how domestic courts apply the imposed measures in handling remote family law proceedings is discussed, and the compliance of these approaches with the requirements of the Convention is analyzed.

In the present abnormal circumstances, the fundamental principles of substantive law remain unchanged. Therefore, the procedural aspect of Article 8 is in the center of this post as closely linked to the rights and interests protected by Article 6 of the Convention.

Background

The legal aspects of a pandemic of this magnitude is still terra incognita for the domestic courts and understandably, for the Court as well. The only judgment so far, which concerns the impact of influenza quarantine seen as an interference in the family life related to a parent-child contact is Kuimov v Russia (2009).

In this case foster homes’ management refused the father to exercise his rights of access to his child on the ground that an influenza quarantine had been introduced, however the applicant could speak to the child on the telephone during this time. After the quarantine in the foster home was lifted, the father could resume his face-to-face meetings with his child.

In its assessment the Court found that the restrictions on the father’s access to the child were imposed with the “legitimate aim of protecting child’s health and rights”. Moreover, the Court accepted the Governments’ explanation that the access to the foster home was restricted due to a quarantine, which did not last an unreasonably long time – around 7 weeks. In addition, the father was allowed to come and see the child through the glass window on a weekly basis. In the circumstances of the case and regard being had to the States’ margin of appreciation, the Court was of the view that there was no violation of Article 8 on account of the restrictions imposed by the authorities on the applicant’s access to the child, in respect of the period of the quarantine.

Current Context

In response to the COVID-19 pandemic, already mid-March it became clear that measures should be taken, and taken fast, by the States in order to protect individual human rights. Further steps need to be taken in the next days, weeks and months, may be even years; we will experience the consequences for long time ahead. The impact of these measures will be widely felt, and some groups will be affected more than others. All in all, these measures entail the broadest mass restriction of liberties our generation have ever seen.

The rights protected by Article 8 of the Convention make no exception. On the contrary – family life and particularly parent-child relationships suffer to a high extent from the rollercoaster we found ourselves in. As a consequence, the domestic courts are called upon to assess, elaborate and reflect on this situation for years ahead. Naturally, this is the rationale behind the multiple derogations to Article 8. Therefore, even adequately taken in order to respond to the threat posed by COVID-19, these measures will have certain implications on the future assessment of Article 8 violations by the Court as well.

This would be completely new perspective when determining what would constitute a breach of Article 8 in the aforementioned context. The Corona crisis places also the question how is the vulnerability of the children needs to be regarded in the current pandemic. The Court will be asked to adjust to this new setting its child-specific human rights approach, developed with the years, taking into consideration three interrelated concepts: the inherent vulnerability of children, the best interests of the child and the circumscribed children’s autonomy which gradually increases with their evolving maturity (see, among others, M. and M. v Croatia, § 171).

The Court has found that the notion of “family life” under Article 8 of the Convention encompasses de facto “family” ties. The existence or non-existence of “family life” for the purposes of Article 8 is essentially a question of fact depending on the existence of close personal ties. The interferences in parent-child relationships could impact not only the “classical” parental responsibility disputes and child abductions, but foster care and adoption cases as well.

As to the derogations from obligations under the Convention, the Council of Europe acknowledges in the document titled Respecting democracy, rule of law and human rights in the framework of the COVID-19 sanitary crisis: A Toolkit for Member States that the measures taken by the States vary depending upon the specific situation in the States concerned.

The large margin of appreciation of States as regards the existence of emergency and of the required measures is unavoidable. As suggested by Kanstantsin Dzehtsiarou, the magnitude of this crisis will clearly translate into significant margin of appreciation allowed to the authorities. This in turn means that the Court will apply looser test of proportionality and if the measures go beyond what is necessary under this loose test of proportionality, then violations are possible.

Potential violations of Article 8 have already been voiced in domestic court proceedings over the last few weeks. The Court will likely be asked to deal with similar allegations in the future. It is of course uncertain how the Court will look at these allegations and whether the current crisis will affect the interpretation of the Convention. The Kuimov case, a quarantine with a duration of 7 weeks and a limited local impact can hardly compare to the current global pandemic. Thus, the roles and perspectives of different stakeholders in child law in the private international law sphere at international level (parents – mothers and fathers, judges, the children themselves, other relatives, etc.) need to be reconsidered to respond adequately to this new situation.

States’ responses and domestic courts procedural actions – interference in the family life

If we try to foresee how the future case-law will look, the first question is what can be considered as “interference” in the current situation. The primary purpose of Article 8 is to protect against arbitrary interferences with private and family life, home, and correspondence by a public authority (Libert v France, §§ 40-42). This obligation is of a negative kind, described by the Court as the essential object of Article 8 (Kroon and Others v the Netherlands, § 31). However, Contracting States also have positive obligations to ensure that Article 8 rights are respected including as between private parties (Evans v the United Kingdom [GC], § 75).

In this sense, interference in times of Corona, related to the right of family life under Article 8 are clearly present. Firstly, the application of the general, mainly procedural rules, adopted by the state’s authorities in emergency response to the COVID-19, and secondly, to give example of particular application of these responses – the various approaches taken by courts in determining how to deal remotely with the specific case in the context of the pandemic.

States Emergency Responses

Shortly after the seriousness of the situation became clear, many States responded to the threat posed by the COVID-19 by setting the rule that decisions regarding parental responsibility still apply, with the caution that the exercise of parental rights and right of access has to be respected in the health context. Due to the pandemic, courts are mostly closed and, generally, the only applications that can be reviewed in family matters are international child abduction cases, urgent claims to obtain a restraining order in cases of domestic violence and, in some cases, provisional and protective measures. As to pending and future cases – for instance parental disputes that are not yet introduced to the court but still might be urgent, the hearings that were originally set during the “lockdown period” have generally been cancelled or postponed. Lodging new applications is possible, but they are not immediately entertained.

As an example of the emergency measures adopted in some States, a state of health emergency was declared in France for two months from 24 March 2020 until 24 May 2020. During the lockdown, the courts have been dealing only with international child abduction cases and urgent applications for restraining order in cases of domestic violence. In Spain, precautionary measures under Article 158 of the Spanish Civil Code are available at this time only in urgent cases. Deadlines remain suspended until further notice, but since 15 April 2020, it has been permissible to file new applications with the court. In Italy the suspension has some exceptions, namely in the field of family law matters and protection of vulnerable people:
some Juvenile Tribunal procedures take place, like adoption procedures, foreign children without parents procedures, children brought away from their families, and situations of heavy risk for the child; surprisingly the same procedures in front of the Court of Appeal are not explicitly exempted from suspension.

The Approaches of Domestic Courts

In sum, Europe-wide, the message from the governments is that existing judgments on custody and access must be maintained, except where there is a concrete risk to the child’s health because of one of the parents’ behavior or living environment, which may give an opening to a modification. The difficulty arises from the fact that assessment of all particular claims is far not realistic having in mind the dimensions of the pandemic and the limited resources of the courts to react at this moment.

However, the courts soon recognized that regardless the danger of potential contamination, blanket policy that children should follow their usual visitation regimes is inconsistent with a comprehensive analysis of the best interests of the child. Therefore, the presumption is that existing parenting arrangements and schedules should continue, but subject to whatever modifications may be necessary to ensure that all COVID-19 precautions are adhered to, including strict social distancing.

This approach reflected into recent court decisions, concerning the rights protected by Article 8. The health, safety and well-being of children and families remains the courts’ foremost consideration during COVID-19. In many cases, a parent’s personal risk factors (through employment or associations, for example) required controls with respect to their direct contact with a child. A parent’s lifestyle or behavior in the face of COVID-19 (for example, failing to comply with social distancing; or failing to take reasonable health-precautions) raised sufficient concerns about parental judgment that direct parent-child contact would have to be reconsidered.

Compliance of the interference with the requirements of Article 8

Turning to the question how these interferences are to be assessed in the light of the Convention, we should note that like most Convention rights, Article 8 is not absolute. Article 8(2) enumerates the legitimate aims which may justify proportionate interference by a public authority and potential infringement upon the rights protected in Article 8.

At least three of these justifications in the aforementioned context can well be related with the Corona crisis: public safety, protection of the health, and protection of the rights and freedoms of others. In the present situation the purpose of the measures is clearly to limit the spread of the Coronavirus by imposing certain limitations, and it logically seems to constitute “legitimate aim”.

The Court is however quite succinct when it comes to assessing the existence of a legitimate aim within the meaning of Article 8(2) (S.A.S. v France [GC], § 114). Following the rule established in its case-law, in future cases it will be for the respondent Governments to demonstrate that the interference pursued a legitimate aim (Mozer v the Republic of Moldova and Russia [GC], § 194). They will need to show that the particular measure in question aimed at protection of public safety, health, and rights and freedoms of others, depending upon the specific situation in the particular country.

Moreover, the States concerned will need to argue the proportionality of these measures, which might be the greater challenge in this situation. As a principle, the restriction impacting upon fundamental rights is unlikely to be proportionate if a less restrictive method could have been used to achieve this legitimate aim. The concept of proportionality in times of pandemic puts great burden on the authorities, requiring them to strike a fair balance between the interests of the individual whose rights are being impinged upon, and the interests of others or of the community. When life is at stake, like now, that is a particularly difficult balance to strike. In the context of the current pandemic the question is: could these measures be less restrictive?

At this point it is almost impossible to determine the proportionality of the emergency responses, because we must primarily assess the legislative choices underlying it. In addition, the national authorities were forced to make initial assessment in days (if not hours), with all the wide margin of appreciation left to them. In this regard, the Court should give leeway to the Contracting States and their policy makers (see this post by Vassilis P. Tzevelekos at Strasbourg Observers for a discussion on this point).

To summarize whether the potential infringement upon Article 8 is necessary in a democratic society in these pandemic times, we should follow the approach of the Court and balance the interests of the State concerned against the rights of the individual.

In leading Article 8 case, the Court clarified that “necessary” does not have the flexibility of expressions as “useful”, “reasonable”, or “desirable” (which would be nowadays very convenient), but implies the existence of a “pressing social need” for the interference in question (Dudgeon v. the United Kingdom, § 51). In this context, we should note that if such measures are in principle regarded and announced as a temporary, amended frequently according to the developments and are discontinued as soon as circumstances permit, in pandemic situation with this magnitude the pressing social need such measures to be imposed may be considered as present.

Speaking specifically of the discussed domestic courts’ approaches, of course, the substantial compliance with the Convention cannot be assessed altogether as it would always depend on the unique circumstances of the case. From procedural point of view, of particular interest is the question if the remote or hybrid hearing is sufficiently fair to meet the requirements of Articles 6 and 8 of the Convention. For instance, where lies the balance with the potential delay of the proceedings, in case the remote hearing is considered not suitable in the particular case?

Traditionally, in cases concerning a persons’ relationship with his or her child, there is a duty to exercise exceptional diligence, in view of the risk that the passage of time may result in a de facto determination of the matter (Ignaccolo-Zenide v Romania, § 102; Süß v Germany, § 100, Strömblad v Sweden, § 80) By its nature, a remote hearing, if appropriate at all, can replicate some but not all of the characteristics of a fully attended hearing. The parties should always stay alert to ensure that the dynamics and demands of the remote process do not impinge upon the fundamental principles. Remote hearings also place additional, and in some cases, considerable burdens on the participants – for instance, despite the right of translation is not absolute in the view if the Court, the language barrier appears as greater issue than in the traditional hearings, which in a cross-border context could be decisive.

How in this context to assess if the safeguards of Article 8 and Article 6 have been regarded? There is no straightforward answer, but in the present crisis the assumption must be that such a process is capable of being fair and meets the requirements of both provisions.

First of all, when assessing the suitability of the remote process, the courts must seek to ensure that it does not become overloaded by making distinction between those decisions that must be prioritized and those that must unfortunately wait until proper time is available. In some cases, even when it is much more difficult for the judge to watch the reactions of the parties to the evidence and although this is a general disadvantage of the remote hearing, it cannot be considered as major issue. Overall, the technology could be capable of providing a satisfactory hearing and the judge would understandably continue with remote proceeding, when the urgency is prioritized, even at the expense that at the end the usual basic procedural safeguards may have been in some way overlooked. Despite all this, it seems that this could not be assessed as a violation of Article 8 and 6 in cases when a child has been held in limbo for a long time.

Naturally, the suitability of the remote hearing will be raised (among the other issues) as a complaint before the Court. In its case per case analysis the Court should assess it not only as a separate procedural issue, but also in its interplay with the whole emergency situation.

Different factors should be taken into account, such as whether each of the parties could engage sufficiently with the professional evidence to an adequate degree for the process to be regarded as fair, and whether each of the parties have been able to follow and to understand the court hearing and to instruct their lawyers adequately in a timely manner. Checking that the demands and dynamics of the remote hearing did not encroach upon the central principles of a fair proceedings is crucial.

In these cases it would be good practice already now the domestic courts to discuss it in their arguments, relating to the requirements posed by the Convention (see for a good example the ruling of the Family Court of England and Wales in Re S (a child), § 13). Some pandemic-specific caveats should also be considered, for instance the fact that the highly pressured circumstances in which all the participants are working could lead to a chain reaction in the course of which fundamental legal and procedural principles come to be compromised despite the best intentions of a range of dedicated professionals.

As a conclusion, last months and weeks turned upside down the world as we know it. Governments tried to keep human rights and fundamental freedoms at the heart of measures to combat the pandemic, yet forced to take various emergency actions. At this point we can only guess whether these measures comply with the requirements of the Convention. Now, as the outbreak of COVID-19 slows down, it is probably a good moment to see if human rights are not forgotten in such uncertain times – there is still time to exercise more attentive monitoring of the level of protection and to make better choices.

Applicable Law in Insolvency Proceedings at UNCITRAL

EAPIL blog - ven, 05/29/2020 - 08:00

At its fifty-second session, in 2019, UNCITRAL considered a proposal from the European Union on applicable law in insolvency proceedings (A_CN.9_995_E).

UNCITRAL agreed on the importance of the topic, which complemented the significant work already done by UNCITRAL in the area of insolvency law, in particular cross-border insolvency.

However, UNCITRAL also observed that the subject matter was potentially complex and required a high level of expertise in various subjects of private international law, as well as on choice of law in areas such as contract law, property law, corporate law, securities and banking and other areas on which it had not worked recently. Therefore, UNCITRAL agreed that it was essential to delineate carefully the scope and nature of the work that it could undertake.

UNCITRAL requested the Secretariat to organize a colloquium, in cooperation with other relevant international organizations, with a view to submitting concrete proposals for UNCITRAL’s possible future work on such topic, for consideration by the Commission at its fifty-third session, in 2020. The Colloquium is to be conducted on an informal basis, that is, not as an intergovernmental group.

The Colloquium was to be held in New York on 15 May 2020 (see the draft programme here), in cooperation with the Hague Conference on Private International Law.

Due to the postponement of the Working Group V session originally scheduled for 11-14 May 2020, the Colloquium on Applicable Law in Insolvency Proceedings is also postponed. Information on the new date will be communicated by the UNCITRAL Secretariat when possible.

AG Manuel Campos Sánchez-Bordona on the relationship between Rome I and Directive 2018/957 (posting of workers)

European Civil Justice - ven, 05/29/2020 - 00:37

AG Manuel Campos Sánchez-Bordona delivered today his opinion in case C‑620/18 (Hungary v European Parliament and Council of the European Union), which is about the relationship between Rome I and Directive (EU) 2018/957 of the European Parliament and of the Council of 28 June 2018 amending Directive 96/71/EC concerning the posting of workers in the framework of the provision of services. The opinion is available in all EU official languages (save Irish), albeit not in English. Here is the French version :

“VIII. Cinquième moyen : violation du principe de sécurité juridique en conséquence de l’incompatibilité de la directive 2018/957 avec le règlement Rome I

A. Position des parties

189. Le cinquième moyen comporte en réalité deux branches distinctes, sans grand rapport entre elles.

‐      D’une part, le gouvernement hongrois soutient que la directive 2018/957 est contraire au règlement Rome I ainsi qu’aux principes de sécurité juridique et de clarté normative, en ce qu’elle modifie l’application de ce règlement sans en altérer le libellé, ce qui engendre une incertitude juridique considérable quant à sa bonne application.

[…]

190. La Commission, le Conseil, le Parlement européen et les gouvernements des États membres intervenus à la procédure estiment que ce cinquième moyen n’est pas fondé.

B. Appréciation de la première branche du cinquième moyen : relation entre la directive 2018/957 et le règlement Rome I

191. L’article 8, paragraphe 1, du règlement Rome I, établit la règle générale de conflit de lois applicable aux contrats individuels de travail, qui désigne la loi choisie par les parties (conformément aux conditions que ledit règlement précise par ailleurs). À défaut d’un tel choix, « le contrat individuel de travail est régi par la loi du pays dans lequel ou, à défaut, à partir duquel le travailleur, en exécution du contrat, accomplit habituellement son travail. Le pays dans lequel le travail est habituellement accompli n’est pas réputé changer lorsque le travailleur accomplit son travail de façon temporaire dans un autre pays » (article 8, paragraphe 2).

192. L’article 23 du règlement Rome I prévoit une exception à l’applicabilité des règles de conflit de lois établies par ce dernier : si les dispositions du droit de l’Union fixent des règles relatives à la loi applicable aux obligations contractuelles dans certaines matières, ces règles ont priorité (115)

193. Les règles générales du règlement Rome I relatives au choix de la loi applicable cèdent donc le pas aux règles spéciales prévues à cet égard dans des dispositions spécifiques du droit de l’Union (116).

194. Contrairement à ce qu’avance le gouvernement hongrois, je suis d’avis que l’article 3, paragraphe 1, (pour les travailleurs détachés ordinaires) et le nouvel article 3, paragraphe 1 bis (pour les travailleurs détachés pour une longue durée) de la directive 96/71 constituent des règles spéciales de conflit de lois (117), dont l’application doit être combinée avec celle du règlement Rome I (118).

195. Ces deux dispositions de la directive 96/71, qui s’ajoutent à la loi applicable en vertu des règles ordinaires de conflit de lois, imposent les dispositions suivantes du droit de l’État d’accueil :

‐      Les travailleurs détachés ordinaires se voient imposer les dispositions relatives aux conditions (de travail et de protection de la sécurité et de la santé des travailleurs) détaillées dans la liste exhaustive établie à l’article 3, paragraphe 1 ;

‐      Les travailleurs détachés de longue durée se voient imposer, outre les conditions susmentionnées, toutes les autres règles de l’État d’accueil, comme indiqué ci‑dessus (article 3, paragraphe 1 bis).

196. Comme l’indique le Conseil dans ses observations, le processus d’élaboration du règlement Rome I prouve que son article 23 couvre l’exception prévue par la directive 96/71, car la proposition de la Commission contenait en annexe une liste de règles spéciales établies dans d’autres dispositions du droit de l’Union, parmi lesquelles figuraient celles de la directive 96/71 (119).

197. Le considérant 11 de la directive 96/71 confirme cette affirmation, en ce qu’il expose que la convention de Rome, du 19 juin 1980, sur la loi applicable aux obligations contractuelles (remplacée par le règlement Rome I) « ne préjuge pas l’application des dispositions qui, dans des matières particulières, règlent les conflits de lois en matière d’obligations contractuelles et qui sont ou seront contenues dans les actes émanant des institutions des Communautés européennes ou dans des législations nationales harmonisées en exécution de ces actes ».

198. Le considérant 40 du règlement Rome I, qui expose que « [t]outefois, le présent règlement n’exclut pas la possibilité d’insérer des règles de conflit de lois en matière d’obligations contractuelles dans les dispositions de droit communautaire concernant des matières particulières », conduit à la même conclusion.

199. Contrairement à la thèse de la Hongrie, le principe de sécurité juridique n’exige donc pas que la modification de la directive 96/71 opérée par la directive 2018/957 soit accompagnée d’une modification du règlement Rome I.

200. L’article 23 de ce règlement permet aux règles spéciales de la directive 96/71 de coexister avec les règles générales de son article 8 en ce qui concerne les contrats des travailleurs détachés. La relation entre les deux types de règles est suffisamment claire, prévisible et précise et, par conséquent, respecte à suffisance le principe de sécurité juridique (120).

201. Cette conclusion n’est pas contredite, comme le prétend la Hongrie, par le fait que le nouvel article 3, paragraphe 1 bis, troisième alinéa, de la directive 96/71, prévoie une règle anti-fraude pour les cas de détachement de remplacement que j’ai précédemment évoqués (121). Dans ce cas, le contrat de chaque travailleur concerné par le remplacement peut être soumis à la loi d’un pays différent et cette disposition ne fait qu’ajouter une condition visant à prévenir une utilisation frauduleuse de la relation entre la directive 96/71 et le règlement Rome I”.

Source : here

In another opinion delivered on the same day (case C‑626/18, Poland v European Parliament and Council of the European Union, available here), the same AG makes a renvoi to the above paragraphs 191 to 200 in fn. 33 in the following:

“83. Je ne partage pas non plus l’avis du gouvernement polonais lorsqu’il juge le nouveau régime des travailleurs détachés pour une longue durée incompatible avec l’article 9 du règlement Rome I.

84. Cet article fait référence à « l’application des lois de police du juge saisi », mais le nouvel article 3, paragraphe 1 bis, de la directive 96/71 n’est pas une loi de ce type.

85. La relation entre cette directive et le règlement Rome I est définie par l’article 8 (« Contrats individuels de travail ») et l’article 23 (« Relation avec d’autres dispositions du droit communautaire ») de ce dernier (33) ».

PAX Moot semi-finals and finals online on Friday 29 May

Conflictoflaws - jeu, 05/28/2020 - 20:14

The Pax Moot went totally online this year (OK, no surprises there). The case concerns an employment dispute and environmental damage due to mining in an unidentified African country (see the paxmoot website). It raises various issues of jurisdiction, applicable law, freezing orders, parallel proceedings and company structures.

Over the past two days the preliminary rounds took place on an online platform hosted by the University of Antwerp. The Universities of Cologne, Erasmus Rotterdam, Maastricht and Singapore Management University secured places in the semi-finals.

Please join us on 29 May at the links below for the semi-finals and finals. All welcome!

Semi-finals 1, 10.00 – 11.30 CEST: https://eu.bbcollab.com/guest/4a86f539e78642859e773e301ddbb8dd

University of Cologne v. Erasmus University Rotterdam

Judges: Ilse COUWENBERG, Daniel GIRSBERGER and Matthias WELLER

Semi-finals 2, 10.00 – 11.30 CEST: https://eu.bbcollab.com/guest/2d4c41243bf44fdbb3c175b15d0f30cf

Singapore Management University v. Maastricht University

Judges: Hans VAN HOUTTE, María ALVÁREZ TORNÉ and Michael WILDERSPIN

Finals, 13:30-15:00: https://eu.bbcollab.com/guest/b85996765dce4a4db29ad03e4a9b235f

13:30 Welcome words, by Frederik SWENNEN, Dean of the Law Faculty, University of Antwerp

Pleadings

Judges: Horatia MUIR WATT, Alex LAYTON, Hans VAN LOON

Approx. 15:30 Awards and Closing Ceremony

  • A few words about the Case, by Alexander LAYTON QC
  • A few words on behalf of the European Commission, DG Justice, Civil Unit, by Pia LINDHOLM
  • Official results of the 2020 Rounds:
    • Best written submissions, by Horatia MUIR WATT, Competition Initiator and Member of the PAX Team
    • Best oralist, by Daniel CHAN, Executive Secretary of the PAX Team
    • Winner of the 2020 Asser Round, PAX Competition, by Horatia MUIR WATT
  • Farewell words, by Hans van LOON

The Moot Court Competition is organised by the University of Antwerp and the T.M.C. Asser Instituut, as part of the research project on ‘Regulation BIa: a standard for free circulation of judgments and mutual trust in the EU (JUDGTRUST)’, funded by the European Union, DG Justice (JUST-JCOO-AG-2017), in cooperation with Sciences Po Law School.

 

Virtual Workshop Series at the Max Planck Institute in Hamburg

Conflictoflaws - jeu, 05/28/2020 - 16:29

The Max Planck Institute for Comparative and International Private Law in Hamburg is starting a new virtual workshop series in private international law. The first speaker, Mathias Lehmann from Bonn University, will present (in German) on Tuesday, June 2, at 11:00-12:30 via zoom. His topic: Covid-19 and Private International Law (see also here and here). Open to everyone, including doctoral and predoctoral students!

More information (in German) and the link for signing up are here.

Nigeria v Shell et al at the High Court. Yet more lis alibi pendens and cutting some corners on case-management.

GAVC - jeu, 05/28/2020 - 15:03

One does not often see Nigeria sue Shell. Federal Republic of Nigeria v Royal Dutch Shell Plc & Anor [2020] EWHC 1315 (Comm) engages Article 29 Brussels Ia’s lis alibi pendens rule in a period in which (see other posts on the blog) the High Court intensely entertained that section of Brussels Ia. Royal Dutch Shell Plc (RDS) is the anchor defendant for the other EU-domiciled defendants. Quite a few of the defendants are not domiciled in the EU.

The case concerns Nigerian allegations that monies paid by it under an earlier settlement following alleged expropriation, which had led to bilateral investment treaty arbitration under ICSID rules, had been channeled to pay bribes. Nigeria is pursuing the case in the criminal courts in Italy, too.

Nigeria therefore are already pursuing claims in Italy to obtain financial relief against 4 of the defendants including the anchor defendant. Defendants contend that those claims are the same claims as the English ones and that the court should decline jurisdiction in respect of those claims pursuant to A29 BIa. Defendants then further contend that, if the court so declines jurisdiction over the claims against RDS and Eni SpA, the entire proceedings should be dismissed. This is because RDS is the ‘anchor defendant’ under A8(1) BIa in the case of three of the EU-domiciled defendants and under English CPR rules against the other defendants. In the alternative to the application under Article 29, Defendants seek a stay of the proceedings under A30 BIa (related cases) or, in the further alternative as a matter of case management, pending a final determination, including all appeals, of the claim that the FRN has brought in Italy.

Butcher J refers at 41 to the UKSC in The Alexandros, and to Rix J in Glencore International AG v Shell International Trading and Shipping Co Ltd, at 110: ‘broadly speaking, the triple requirement of same parties, same cause and same objet entails that it is only in relatively straightforward situations that art [29] bites, and, it may be said, is intended to bite. After all, art [30] is available, with its more flexible discretionary power to stay, in the case of ‘related proceedings’ which need not involve the triple requirement of art [29]. There is no need, therefore, as it seems to me, to strain to fit a case into art [29].’

Same parties. Per CJEU The Tatry A29 applies to the extent to which the parties before the courts second seised are parties to the action previously commenced. Butcher J correctly holds that the fact that there may be other parties to the second action does not prevent this. Nigeria nevertheless argue that the involvement of the Italian Public Prosecutor in the Italian case, and not in the English case, and its crucial role in the Italian proceedings, means that the proceedings nevertheless are not between the ‘same parties’. Defendants call upon CJEU C-523/14 Aertssen to counter this: there BE and NL proceedings were considered to be caught by A29 even though the BE proceedings concerned criminal proceedings and the Dutch did not.

At 47 Butcher J holds that the prosecutor is not a ‘party’ in the A29 sense and that even it were, it is nevertheless clear from The Tatry that there does not have to be complete identity of the parties to the two proceedings for Article 29 to be applicable. (Ditto Leech J in Awendale v Pixis).

Same cause of action. Nigeria accept that there is no material difference in the facts at issue in the two proceedings, however contends that the legal basis of its claim in England is different.

Butcher J refers to Lord Clarke in The Alexandros, that in order to consider same cause of action, one must look ‘at the basic facts (whether in dispute or not) and the basic claimed rights and obligations of the parties to see if there is coincidence between them in the actions in different countries, making due allowance for the specific form that proceedings may take in one national court with different classifications of rights and obligations from those in a different national court’. Doing that, at 55 he holds that these basic claimed rights in the IT and EN proceedings, which he characterises as being the right not to be adversely affected by conduct of RDS which involves or facilitates the bribery and corruption of the FRN’s ministers and agents, and the right to redress if there is such bribery and corruption’, are the same.

That seems to me an approach which is overly reliant on the similarity of underlying facts. (At 70, obiter, Butcher J splits the claims and suggests he would have held on a narrower similarity of cause of action for some claims and not the others, had he held otherwise on ‘same cause of action’; and at 80 that he would have ordered a stay under Article 30 or on case management grounds on the remainder of the action).

Same object. Nigeria contend that its present proceedings do not have the same objet as the civil claim in the Italian proceedings. It contends that the only claim made in the Italian proceedings is for monetary damages, while in the English action claims are also made of a declaration of entitlement to rescind the April 2011 Agreements, other declaratory relief, an account of profits and tracing remedies.

Butcher J disagrees. Per Lord Clarke in The Alexandros, he holds that to have the same object, the proceedings must have the ‘same end in view’, per CJEU Aertssen at 45 interpreted ‘broadly’. At 61; ‘that ‘end in view’ is to obtain redress for RDS’s alleged responsibility for bribery and corruption…. Further, it is apparent that a key part of the redress claimed in the English proceedings is monetary compensation, which is the (only) relief claimed in the Italian proceedings. On that basis I consider that the two sets of proceedings do have the same objet.’

That the English action also seeks to rescind the original 2011 agreements is immaterial, he finds, for RDS were not even part to those proceedings. Moreover, that aim included in the English action serves to support the argument that if the two sets of proceedings go ahead, (at 64) ‘there would be the possibility of the type of inconsistent decisions which Article 29 is aimed at avoiding’. ‘If the English proceedings were regarded as involving a significantly different claim, namely one relating to rescission, and could go ahead, that would give rise to the possibility of a judgment in one awarding damages on the basis of the validity of the April 2011 Agreements and the other finding that those Agreements were capable of rescission. That would appear to me to be a situation of where there is effectively a ‘mirror image’ of the case in one jurisdiction in the other,..’

At 66 ff Butcher J adopts the to my mind correct view on the application of A29 to proceedings with more than one ‘objet’: one does not look at all claims holistically, one has to adopt a claim by claim approach, in line with CJEU The Tatry. At 68: ‘Difficulties which might otherwise arise from the fragmentation of proceedings can usually be addressed by reference to Article 30..’

At 71 he then concludes that the stay must be granted, and that he has no discretion not to do so once he finds that the conditions of A29 are fulfilled. He also holds that with the case against the anchor defendant stayed, A8(1) falls away. He appreciates at 72 that this may expose Nigeria to limitation issues in the Italian proceedings, however those are of their own making for they were under no obligation to sue in Italy.

 

At 74 ff Article 30 is considered obiter, and Butcher J says he would have stayed under A29. At 77 he notes the continuing debate on the difference at the Court of Appeal between Privatbank and Euroeco. At 75(2) he summarises the distinction rather helpfully as

‘In the Kolomoisky case, it was decided that the word ‘expedient’ in the phrase ‘it is expedient to hear and determine them together’ which appears in Article 28.3 of the Lugano Convention (as it does in Article 30.3 of the Regulation), is more akin to ‘desirable’ that the actions ‘should’ be heard together, than to ‘practicable or possible’ that the actions ‘can’ be heard together: paras. [182]-[192]. In the Euroeco Fuels case, having referred to the Kolomoisky case, the Court of Appeal nevertheless appears to have proceeded on the basis that the court had no discretion to order a stay under Article 30 when there was no real possibility of the two claims being heard together in the same foreign court’

At 75(5) he then without much ado posits that

‘In any event, even if not under Article 30, there should be a stay under the Court’s case management powers, and in particular pursuant to s. 49(3) Senior Courts Act 1981 and CPR 3.1(2)(f). Such a stay would not, in my judgment, be inconsistent with the Regulation, and is required to further the Overriding Objective in the sense of saving expense, ensuring that cases are dealt with expeditiously and fairly, and allotting to any particular case an appropriate share of the Court’s resources. Given that the Italian proceedings are well advanced, and that after the determination of the Italian proceedings English proceedings may well either be unnecessary or curtailed in scope, there appear good grounds to consider that a stay of the English proceedings will result in savings in costs and time, including judicial time.’

Whether such case-management stay under CPR 3.1(2)(f) is at all compatible with the Regulation in claims involving EU domicileds, outside the context of Articles 29-34 is of course contested and, following Owusu, in my view improbable.

Most important lis alibi pendens considerations at the High Court these days.

Geert.

(Handbook of) European Private International Law – 2nd ed. 2016, Chapter 2, Heading 2.2.14.5.

 

More lis alibi pendens.
Article 29/30 Brussels IA. All English claims stayed under Article 29, in favour of pending Italian proceedings. https://t.co/8EaGXfsLWP

— Geert Van Calster (@GAVClaw) May 22, 2020

Mastermelt Ltd v Siegfried Evionnaz SA: Would the Lugano Convention Provide a Level Playing Field for Judicial Cooperation Post-Brexit?

EAPIL blog - jeu, 05/28/2020 - 08:00

The author of this post is Aygun Mammadzada, PhD Researcher at the Institute of Maritime Law of the University of Southampton.

Status quo

Withdrawal of the United Kingdom from the European Union leaves many uncertainties and puzzling effects on civil justice and cross-border judicial cooperation. Upon its departure on 31 January 2020 the United Kingdom ceased to be a member of the Union while remaining subject to the EU law and rulings of the European Court of Justice throughout the transition period under Article 67 of the Withdrawal Agreement. In less than five weeks – by 1 July 2020, the United Kingdom and European Union should decide whether to extend the transition period up to two years, as permitted by the Agreement. However, that has been ruled out by the United Kingdom, which could be altered by another legislation and it seems hardly a case.

Once the transition period ends, the Brussels I bis Regulation will no longer be applicable to jurisdiction, as well as choice of court agreements and the recognition of judgments between the United Kingdom and the Union.

Absent such an instrument, successful operation of the sphere will mostly depend on either Article 33-34 of the Recast Regulation which are not comprehensive enough or domestic rules which prevent uniformity and certainty due to inevitable varieties. This will significantly affect businesses and individuals. Data suggested that in 2018 the UK was the largest legal services market in Europe (valued at approximately £35 bn in 2018).

On the same line, 75% of over 800 claims which were issued at the Admiralty and Commercial Court involved at least one foreign party and in 53% of the case all parties were international. In 2019, 77% of over 600 such claims were international in nature whilst in half of the cases all parties were international. On the same note, despite the fact that the Member States are taking different measures, such as establishing special commercial courts to attract international commercial parties, there is still not any alternative to the London Commercial Court as a leading global centre for international dispute resolution, as discussed by Giesela Rühl. Nonetheless, without any harmonized legal framework applicable to jurisdiction and the recognition of judgments in cross-border civil and commercial cases, parties to international trade might refrain from linking their transactions to English jurisdiction or avoid English choice of court agreements.

Among other measures, the UK has expressed that enhanced judicial cooperation with the EU is part of its global outlook and it will continue adherence to the existing international treaties, conventions and standards in the field. In this ambit, on 8 April 2020, the UK deposited its request for acceding the Lugano Convention of 2007 (see here a comment by Matthias Lehman).

The Convention is still applicable in regard to the UK during the transition period as part of the EU law. Unlike the Hague Convention on Choice of Court Agreements of 2005 which is also among the UK’s Brexit-related channels, the Lugano Convention is not an open treaty. According to Article 72 of the Convention, the UK can become a member only upon the unanimous consent of all of the contracting parties (EU and EFTA states). This brings many uncertainties about the foreseeable status of the UK’s accession request.

The Lugano Convention is mainly mirroring the Brussels regime and therefore, it might enshrine perspectives of cross-border judicial cooperation in civil and commercial matters between the UK and Union. The government perceives the importance of the Convention for the provision of judicial certainty and prevention of multiple court proceedings. Nevertheless, the Convention does not contain new lis pendens provisions that were brought by the Brussels I bis Regulation, hence lacks the same degree of respect to party autonomy and choice of court agreements as ensured by the revised Regulation.

Mastermelt Ltd v Siegfried Evionnaz SA: The relevance of the case

In the recent case of Mastermelt Ltd v Siegfried Evionnaz SA, the High Court decided that the Brussels I bis Regulation does not affect the interpretation of the Lugano Convention. Mr Justice Walksman concluded that unlike the new lis pendens provisions as contained in Article 31(2) of the Brussels I bis Regulation, the Lugano Convention preserves the “court first seized” rule and therefore, regardless of an exclusive jurisdiction agreement the court first seized shall continue the proceedings and rule on its jurisdiction.

This decision is very timely since it triggers nonequilibrium views on the foreseeable membership of the United Kingdom to the Convention. It confirms continuation of the Gasser scenarios and torpedo actions under the Lugano Convention, furthermore, gives rise to the risk of parallel proceedings and irreconcilable judgments.

Factual background

The dispute arose between Mastermelt Limited (Claimant), an English company, and Siegfried Evionnaz SA (Defendant), a Swiss company, over the quality of Mastermelt’s performance of the reclamation services in 2018.

After Siegfried informed Mastermelt about their intention to commence proceedings in Switzerland on the basis of the exclusive jurisdiction clause in favour the Swiss courts contained in Siegfried’s standard terms and conditions of contract (“STC”), the claimant initiated the English proceedings on 5 February 2019 seeking negative declaratory relief against the defendant. Later, on 23 July 2019, Siegfried instituted the Swiss proceedings in the Zurich Commercial Court against Mastermelt and subsequently, on 24 May 2019, applied the English High Court, for a declaration that it had no jurisdiction.

Mastermelt brought another set of Swiss proceedings for a stay in early 2020, which was rejected by the Zurich Commercial Court on 13 February 2020 and advanced to the Federal Supreme Court. As of the date of the hearing in the English High Court, the Supreme Court had not given any ruling on that.

Issues

The English court considered whether the harmonised version of Article 27 of the Lugano Convention applies and if so, it would have had stayed the proceedings until the Swiss court had decided the question of jurisdiction. Subsequently, the court also decided the question of its own jurisdiction and validity of the exclusive jurisdiction agreement.

Analysis

While considering the proper interpretation of Article 27 of the Lugano Convention the court as a primary point conferred that it was not bound by the Swiss court’s decision on the same issue which was relied upon by Siegfried.

Referring to Protocol No 2 to the Lugano Convention, Mr Justice Walksman paid ‘due account’ to the Swiss judgment, however, refused its binding effect. Drawing on the ‘too remote’ nature of the former to be characterized as res judicata, the judge opposed to the defendant’s contention to apply the CJEU’s decision in Gothaer v Samskip. On this line, the High Court resisted the harmonised interpretation of Article 27 of the Lugano Convention as Article 31(2) of the Brussels I bis Regulation and as the first seized court denied staying the proceedings.

Contrary to the defendant’s reasoning, the court determined that although the CJEU’s decision in Gasser was reversed by the new Article 31(2), it was not obsolete and still had limited application outside the Regulation. The court reiterated its conclusion by emphasizing the significance of academic discussion. As stated by Professor Briggs, “the innovation created by 31.2 … does not apply to proceedings within the scope of Lugano II which remains regulated by the original rule of strict temporal priority …”. Professor Joseph also took a similar approach by expressing that “… there is no equivalent provision in the … Convention to Article 31.2 … Therefore, as regards the enforcement of jurisdiction agreements, the court first seized will examine the enforcement of such an agreement, irrespective of whether it is the chosen court…”

These brought continuation of the proceedings and examination of the second issue – jurisdiction of the court first seized. Pursuant to the Convention, if there was an exclusive jurisdiction agreement in the ambit of Article 23 of the Lugano Convention the English court had to dismiss the proceedings in favour of the designated court, otherwise Siegfried’s claim had to be litigated in England as the place of performance according to Article 5.1(a).

Referring to a significant body of the European and English case law (including the CJEU’s rulings in Salotti v Ruwa, Berghoefer v ASA SA, Iveco v Van Hool, Benincasa v Dentalkit and the judgment o the Court Appeal in Deutsche Bank v Asia Pacific), Mr Justice Walksman regarded the existence of an agreement as an independent concept. The court highlighted the reasoning in Powell Duffryn and Aeroflot and stated that a valid agreement should be “clearly and precisely” demonstrated either in a form of “writing” or ‘evidenced in writing’. Moreover, it was asserted that the written form could be evidenced not only in a single document but it could consist of multiple documents such as the seller’s quotation and buyer’s purchase order.

While considering what constituted “writing”, Mr Justice Walksman articulated the tendency of the courts to adopt a flexible approach as in the CJEU’s judgment in Berghoefer and his own earlier decision in R + V Versicherung v Robertson which in turn referred to the decision of the Court of Appeal in 7E Communications v Vertex.

At the same time, he emphasized the importance of the valid agreement in the sense of consent in line with the opinion of the Advocate General Bot in Profit Investment. On this basis it was submitted that an oral agreement of the party to the other party’s STC which included an exclusive jurisdiction agreement would not be sufficient to meet the durability requirement without later written evidence of such putative consent. This view was also supported by academic commentaries and English authorities such as ME Tankers v Abu Dhabi Container Lines [2002] 2 Lloyds 643, Claxton Engineering v TXM [2007] 1WR 2175, Chester Hall v Service Centres [2014] EWHC 2529.

The court admitted that there was a written agreement and manifested consent between the parties on the basis of the purchase orders and STC, which were strongly compelled by prior dealings, later statements and invoices expressly found in the email exchange. It was also maintained that there was “much the better of the argument” satisfying the good arguable case standard for the applicability of Article 23.1(a) and any opposing presumption would be “commercially absurd”.

Upon these observations, Mr Justice Walksman held that the English proceedings had to be dismissed in favour of the exclusively designated Swiss court.

Comments

This decision is of importance for several reasons. It reaffirms the emphasis that has been traditionally placed on party autonomy and authentic consent in English law and practice.  Likewise, it reasserts the exhaustive interpretation of the form requirement of the exclusive jurisdiction agreements within the meaning of the Lugano Convention which might be a useful reference point for the courts post-Brexit provided the UK would have become a member to the framework.

On the other hand, the judgment is particularly sensible at the time of the United Kingdom’s Brexit planning and strategy to continue the Lugano membership. It reveals serious differences between the Brussels I bis Regulation and Convention notwithstanding the equivalent rules existing in both.

Contrary to the remarks favoring the Convention as an “oven ready” option for the United Kingdom, the lack of a mechanism preventing parallel proceedings and irreconcilable judgments frustrates legal certainty, provokes waste of time and expenses, thus, threatens the vital principle of private international law – party autonomy.

Articles 5 and 6 of the Hague Convention on Choice of Court Agreements which enforce parties’ choice and oblige any non-chosen court to stay or dismiss the proceedings, might be helpful in this regard, however only to some limited extent due to its limited scope and application only to the Contracting States, whereas the EFTA states have not ratified the treaty.

In this regard, return of anti-suit injunctions as the measures frequently issued by the English courts in support of exclusive jurisdiction agreements provokes special attention. Indeed, the lack of mutual trust within the Lugano framework might result in the reversal of the West Tankers ruling, however the matter is still uncertain since there has not been any relevant authority for such an implication. All the mentioned points raise considerable doubts over the satisfactory replacement of the Brussels I bis Regulation by the Convention for the post-Brexit UK.

Moreover, unusual obligation to “pay due account” to the case law of other contracting states, as well as the CJEU provided by Protocol No 2 to the Convention broadens skepticism. As indicated by Professor Hess, such language “… does not mean more than looking at the pertinent case-law and giving reasons as to why a deviation is considered to be necessary”. Furthermore, the absence of any sanction upon deviations brings “inherent weakness” of the Protocol and rests its application perspectives solely on “… goodwill and of courtesy of the courts …”.

All these lead to non-uniformity and harbours suspicion against the Convention as a successful post-Brexit means of the UK. These concerns leave further room for discussion about seeking robust solutions and especially reaching a bilateral agreement in this context as advised by Professor Hess. However crucial these items are, they are the subject matter of another study.

All in all, provided the United Kingdom becomes a Contracting State to the Lugano Convention, the Mastermelt ruling alerts the parties to be more careful and get appropriate legal advice while contracting and designating a competent forum for the resolution of their disputes.

Awendale v Pyxis. More Article 29 lis alibi pendens, with focus on ‘same cause of action’, ‘same parties’ and time limits for application.

GAVC - mer, 05/27/2020 - 18:06

Awendale Resources v Pyxis Capital Management [2020] EWHC 1286 (Ch) applies Article 29 Brussels Ia’s lis alibi pendens rule.

Awendale is a company incorporated under the law of the Seychelles and Pyxis is a company incorporated under the law of Cyprus. On 7 November 2017 Infinitum Ventures Ltd, a company incorporated in the British Virgin Islands, issued proceedings in Cyprus against Mr Andreas Andreou, Awendale and Pyxis. Awendale entered an appearance and submitted to the jurisdiction of the Cypriot court. On 24 June 2019 Awendale then issued the Claim Form in the current proceedings and on 20 August 2019 Pyxis filed an acknowledgment of service stating that it intended to defend the claim. Pyxis now applies to stay the English Claim on the basis that it and the Cypriot Claim involve the same cause of action between the same parties and that Article 29 is engaged. 

At 31 Leech J lists the six issues for determination: i) The same cause of action: Are the English Claim and the Cypriot Derivative Claim “proceedings involving the same cause of action”? ii) The same parties: If so, are the English Claim and the Cypriot Derivative Claim “between the same parties”? iii) Seisin: If so, was the Cypriot court first seised? iv) The scope of Article 29: If so, is Article 29 nevertheless inapplicable because of the jurisdiction clause in relevant Loan Agreements? v) The time of application: Is the operation of Article 29 excluded because the stay application was not filed earlier and in accordance with CPR Part 11. vi) Reference to the CJEU: If Pyxis succeeds on the first four issues but fails on the fifth issue, should the Court consider referring a question to the CJEU?

Leech J first, at 32 ff gets Article 31(2)’s priority rule for choice of court (which I discussed the other day in my review of Generali Italia v Pelagic) out off the way: that is because A31(2) is without prejudice to A26 and as noted, Awendale had submitted to the Cypriot courts.

On the determination of the ‘same cause of action‘, he then refers to The Alexandros, and of course to CJEU Gubisch and The Tatry. A discussion ensues as to whether the Cypriot and English proceedings concern two sides of the same coin, which at 42 Leech J decides they do, with at 43 supporting argument from professor Briggs’ litmus test: actions have the same cause if a decision in one set of proceedings would have been a conclusive answer in the other.

The same parties condition may be a bit more exacting (‘same cause of action’ implies some flexibility), however there need not be exact identity of parties. Here, the issue to hold was whether despite seperate legal personalities, the different interests of Infinitum and Pyxis are identical and indissociable which Leech J held they are to a good arguable case standard (and obiter, at 56, to a substantive standard, too). This condition therefore requires some wire-cutting through corporate interests and true beneficiaries of claims.

At 67 ff then follows an extensive discussion of the impact of the English CPR timing rules on the application proprio motu or not of A29. Reference here was made to the Jenard Report, and a contrario to provisions in BIa (including A33). Leech J holds at 78 that a party who fails to apply to stay proceedings under Article 29 within the time limit in CPR Part 11(4) is deemed to have submitted to the jurisdiction.

Eventually Leech J decides to use his discretion to allow Pyxis to apply for a time extension so as they can apply out of time for a stay of proceedings under A29. Unlike what I first tweeted, the stay has not exactly been granted yet, therefore. But it is likely to be. Pyxis made an undertaking  to consent to any stay being lifted if the Cypriot Claim is struck out and Awendale was permitted to apply to set aside the stay if Infinitum fails to take reasonable steps to prosecute or proceed with the Cypriot Claim.

More lis alibi pendens reviews are on their way.

Geert.

(Handbook of) European Private International Law – 2nd ed. 2016, Chapter 2, Heading 2.2.14.5

Lis alibi pendens, Article 29 Brussels Ia everywhere!
Stay granted on the basis of Cypriot proceedings. https://t.co/uCD2z4F4AK

— Geert Van Calster (@GAVClaw) May 23, 2020

PLACE OF PERFORMANCE: A COMPARATIVE ANALYSIS (HART PUBLISHING, 2020) by Chukwuma Samuel Adesina Okoli

Conflictoflaws - mer, 05/27/2020 - 10:47


This book provides an unprecedented analysis on the place of performance. The central theme is that the place of performance is of considerable significance as a connecting factor in international commercial contracts. This book challenges and questions the approach of the European legislator for not explicitly giving special significance to the place of performance in determining the applicable law in the absence of choice for commercial contracts. It also contains, inter alia, an analogy to matters of foreign country mandatory rules, and the coherence between jurisdiction and choice of law. It concludes by proposing a revised Article 4 of Rome I Regulation, which could be used as an international solution by legislators, judges, arbitrators and other stakeholders who wish to reform their choice of law rules.

The table of contents and further information on the book can be found on the publisher’s website: https://www.bloomsburyprofessional.com/uk/place-of-performance-9781509936205/.

Second Issue of 2020’s Journal du Droit International

EAPIL blog - mer, 05/27/2020 - 08:00

The second issue of the Journal du droit international for 2020 is out. It contains one article concerned with private international law and several casenotes.

The article is authored by Djoleen Moya and discusses whether EU choice of law rules allocate normative powers or serve private interests (Conflits intra-européens de lois et conflits de souverainetés). The English abstract reads:

For the past 70 years or so, choice-of-law rules have been considered as rules of private law, dealing primarily with the interests of private persons involved in international situations. This conception, however, is now disputed. According to a growing number of scholars, the solutions deriving from EU law on matters of conflicts of laws would tend to allocate normative powers between Member States and circumscribe their respective legislative sovereignties. In this respect, the Europeanisation of private international law would have reinvented the problem of choice-of-law in terms of conflicts between States, rather than between private persons. On reflection, though, the necessary conditions to consider choice-of-law rules as allocating legislative powers are not met. In particular, the legal regime of choice-of-law rules in EU law looks pretty incompatible with any representation of conflicts of laws as conflicts of sovereignties.

A full table of content of the issue can be accessed here.

Enforcing Outbound Forum Selection Clauses in U.S. State Court

Conflictoflaws - mer, 05/27/2020 - 03:42

Written by John Coyle, the Reef C. Ivey II Distinguished Professor of Law, Associate Professor of Law at the University of North Carolina School of Law, and Katherine C. Richardson, Law Clerk, U.S. Court of Appeals for the Sixth Circuit, 2020-21 Term

 

European legal scholars have long bemoaned the difficulty in identifying “black letter rules” when it comes to U.S. private international law.  One area where this law is famously opaque relates to state enforcement of “outbound” forum selection clauses.  Outbound clauses—which are known as derogation clauses in the rest of the world—state that a dispute must be heard by a court other than the one where the suit was brought.  State courts in the United States generally refused to enforce these provisions prior to 1972.  After the U.S. Supreme Court rendered its seminal decision in The Bremen, however, attitudes began to change.  Today, it is generally acknowledged that state courts are far more likely to enforce outbound forum selection clauses than they were fifty years ago.  To date, however, nobody has attempted to determine empirically the extent to which state court practice has shifted since the early 1970s.  Our new paper seeks to accomplish this goal.

 

State Practice by the Numbers

 

We reviewed every published and unpublished state court decision addressing the enforceability of outbound forum selection clauses decided after 1972.  Our analysis of these decisions revealed the following:

 

  1. State courts in the United States enforce outbound forum selection clauses approximately 77% of the time when one party challenges the enforceability of the clause.

 

  1. The enforcement rate is remarkably consistent across large states in the United States. In California, the enforcement rate was 80%. In Texas, it was 79%. In New York, it was 79%. In Florida, it was 78%.  In Ohio, it was 78%. In Illinois, it was 74%.

 

We are currently gathering data about federal court practice.  Our preliminary results suggest that the enforcement rate is at least as high, if not higher, when the enforceability of an outbound clause is challenged in federal court.

 

In addition to looking at enforcement rates, we also examined the rationales proffered by state courts in cases when they declined to enforce outbound clauses.  Knowing how often state courts enforce these clauses, and more importantly, why they do not enforce them, offers valuable insights for contract drafters, judges, and scholars. We found that when a state court refuses to enforce an outbound clause, it is almost always because the clause is contrary to public policy (8% of all cases) or unreasonable (12% of all cases).  What does it mean, however, for a clause to be contrary to public policy?  And what are the situations when a clause will be deemed unreasonable?  The cases in our data set shed light on both of these questions.

 

Public Policy

 

With respect to public policy, state courts most frequently refuse to enforce an outbound clause because there is a state statute directing them to ignore it.  Forty-nine states have enacted states declaring outbound clauses unenforceable in consumer leases.  Twenty-eight states have enacted statutes announcing a similar rule with respect to clauses in construction contracts.  All told, we identified more than 175 state statutes directing courts to refuse to enforce outbound clauses across a wide range of agreement types.  Our paper includes a detailed chart that shows which statutes are in force in which states.

 

U.S. courts also sometimes refuse to enforce a clause on public policy grounds by citing an “anti-waiver” statute. Anti-waiver statutes provide that certain rights conferred by state law are non-waivable.  When a state court is presented with a contract that contains an outbound forum selection clause, and when the forum court concludes that the courts in the chosen jurisdiction are unlikely to give effect to non-waivable rights conferred by the forum state, the forum court may refuse to enforce the forum selection clause on public policy grounds.  On this account, the enforcement of the clause is contrary to the public policy of the forum not because the legislature has specifically directed the courts to ignore it.  Instead, these clauses go unenforced because their enforcement would result in the waiver of non-waivable rights.

 

Reasonableness

 

The most common basis cited by state courts in refusing to enforce an outbound forum selection clause is a lack of reasonableness. The most common reason why state courts strike down clauses on reasonableness grounds is that the clause would result in duplicative litigation. Courts are reluctant to enforce the clause—and send litigation elsewhere—if it means the plaintiff would have to litigate the same set of facts in two different fora.

 

Second, many state courts refuse to uphold forum selection clauses if it means the plaintiff cannot secure effective relief in the chosen forum. Typical examples of this type of concern include procedural or jurisdictional problems in the chosen forum, claims that are so small as to make it uneconomical for a plaintiff to pay the costs to travel to pursue them, and fora that constitute a “serious inconvenience” to the plaintiff. We should note here that most state courts do not refuse to enforce clauses because it would be expensive for the plaintiff to maintain the lawsuit in another state. However, when the plaintiff presents an extremely small claim or an extreme expense to litigate, some courts will take pity the plaintiff and refuse to enforce the outbound clause.

 

In several other categories of cases, state courts refuse to uphold outbound clauses when (1) the plaintiff has no notice of the clause, or (2) the chosen forum bears no reasonable relationship to the parties. The notice issue arises most frequently in cases of form passage tickets, mostly for cruise lines, and in online “clickwrap” agreements. Some courts have been reluctant to hold plaintiffs responsible for forum selection clauses in these two scenarios when the defendant did not reasonably communicate the clause to the plaintiff. In addition, some courts refuse to uphold outbound clauses against unsophisticated parties where the clause is buried in fine print amid other legal jargon. We note, however, that simply because a forum selection clause is contained in a contract of adhesion does not make it unreasonable. This scenario was obviated by the Supreme Court’s ruling in Carnival Cruise Lines, Inc. v. Shute, where the Court upheld a forum selection clause on the back of a preprinted cruise ticket. Finally, the typical contract defenses, such as fraud, unconscionability, and problems with formation, all apply to forum selection clauses as well, with some variation among the states.

 

From the archives: the professor Arnaud Nuyts study on residual jurisdiction.

GAVC - mar, 05/26/2020 - 21:09

This is  short post for archival purposes: I have been looking in vain in the past few weeks for a copy of prof Nuyts’ 2007 study for the European Commission on ‘residual jurisdiction’ (Review of the Member States’ Rules concerning the “Residual Jurisdiction” of their courts in Civil and Commercial Matters pursuant to the Brussels I and II Regulations). It was no longer on the EC’s studies page and the url which many of us have been using in the past no longer works. So here it is. Courtesy of the European Commission and of prof Nuyts.

Enjoy. It has lost nothing of its topical nature.

Geert.

 

A true game changer and the apex stone of international commercial litigation – the NILR Special Edition on the 2019 HCCH Judgments Convention is now available as final, paginated volume

Conflictoflaws - mar, 05/26/2020 - 17:46

On 2 July 2019, the Hague Conference on Private International Law (HCCH) adopted the 2019 Hague Convention on the Recognition and Enforcement of Foreign Judgments in Civil or Commercial Matters (2019 HCCH Judgments Convention). The instrument has already been described as a true game changer and the apex stone in international commercial litigation.

To celebrate the adoption of the 2019 HCCH Judgments Convention, the Netherlands International Law Review (NILR) produced a special edition entirely dedicated to the instrument.

Volume 67(1) of the NILR, which is now available in its final, paginated version, features contributions from authors closely involved in the development of the instruments. The articles provide deep insights into the making, and intended operation, of the instrument. They are a valuable resource for law makers, practitioners, members of the judiciary and academics alike.

The NILR’s Volume comprises the following contributions (in order of print, open access contributions are indicated; the summaries are, with some minor modifications, those published by the NILR).

Thomas John ACIArb, “Foreword” (open access)

Ronald A. Brand, “Jurisdiction and Judgments Recognition at the Hague Conference: Choices Made, Treaties Completed, and the Path Ahead”

Ron Brand considers the context in which a Hague Convention on Jurisdiction and the Recognition and Enforcement of Foreign Judgments was first proposed in 1992. It then traces the history of the Hague negotiations, both from within those negotiations and in regard to important developments outside the negotiations, through the completion of the 2005 Convention on Choice of Court Agreements and the 2019 HCCH Judgments Convention. The article ends with comments on whether it is advisable to now resume discussion of a separate convention on direct jurisdiction.

Francisco Garcimartín, “The Judgments Convention: Some Open Questions”

Francisco Garcimartín explores some of the open issues that were discussed in the negotiation process but remained open in the final text, such as, in particular, the application of the 2019 HCCH Judgments Convention to pecuniary penalties (2) and negative obligations (4), as well as the definition of the res judicata effect (3).

Cara North, “The Exclusion of Privacy Matters from the Judgments Convention”

Cara North considers on issue of particular focus in the later phases of the negotiations of the Convention, namely, what, if any, judgments ruling on privacy law matters should be permitted to circulate under the 2019 HCCH Judgments Convention. Having acknowledged that privacy is an evolving, broad and ill-defined area of the law and that there are obvious differences in the development and operation of privacy laws and policies in legal systems globally, the Members of the Diplomatic Session on the Judgments Convention determined to exclude privacy matters from the scope of the Convention under Article 2(1)(l). The purpose of this short article is to describe how and why the Diplomatic Session decided to exclude privacy matters from the 2019 HCCH Judgments Convention and to offer some observations on the intended scope of that exclusion.

Geneviève Saumier, “Submission as a Jurisdictional Basis and the HCCH 2019 Judgments Convention”

The 2019 HCCH Judgments Convention establishes a list of jurisdictional filters, at least one of which must be satisfied for the judgment to circulate. One of those is the implied consent or submission of the defendant to the jurisdiction of the court of origin. While submission is a common jurisdictional basis in international litigation, its definition and treatment vary significantly across states, whether to establish the jurisdiction of the court of origin or as a jurisdictional filter at the enforcement stage in the requested court. This diversity is most evident with respect to the mechanics and consequences of objecting to jurisdiction to avoid submission. The 2019 HCCH Judgments Convention adopts a variation on an existing approach, arguably the least complex one, in pursuit of its goal to provide predictability for parties involved in cross-border litigation. This contribution canvasses the various approaches to submission in national law with a view to highlighting the points of convergence and divergence and revealing significant complexities associated with some approaches. It then examines how the text in the 2019 HCCH Judgments Convention came to be adopted and whether it is likely to achieve its purpose.

Nadia de Araujo, Marcelo De Nardi, “Consumer Protection Under the HCCH 2019 Judgments Convention”

The 2019 HCCH Judgments Convention aims at mitigating uncertainties and risks associated with international trade and other civil relationships by setting forth a simple and safe system according to which foreign judgments can easily circulate from country to country. The purpose of this article is to record the historical moment of the negotiations that took place under the auspices of the HCCH, as well as to pinpoint how consumer cases will be dealt with by the Convention under Article 5(2).

Niklaus Meier, “Notification as a Ground for Refusal”

The 2019 HCCH Judgments Convention provides for several grounds for the refusal of recognition, including refusal based on insufficient notification. While this ground for refusal of the 2019 HCCH Judgments Convention seems quite similar to those applied in other conventions, the comparison shows that there are several differences between this instrument and other texts of reference, both with respect to the context of application as well as with respect to the details of the wording. The optional nature of the grounds for refusal under the 2019 HCCH Judgments Convention indicates that its primary focus is the free circulation of judgments, and not the protection of the defendant. The latter’s protection is left to the discretion of the state of recognition: a sign of trust amongst the negotiators of the 2019 HCCH Judgments Convention, but also a risk for the defendant. Practice will show whether the focus of the negotiators was justified.

Junhyok Jang, “The Public Policy Exception Under the New 2019 HCCH Judgments Convention”

The public policy exception is inherently a fluid device. Its content is basically left to each State. A shared public policy is an exception. Therefore, the obligation of uniform interpretation, as provided in Article 20 of the 2019 HCCH Judgments Convention, will have an inherent limit here. Moreover, the 2019 HCCH Judgments Convention leaves some important issues, including procedure, to national rules. Each requested State retains a discretion to invoke the Convention grounds of refusal in a concrete case, and on whether to make an ex officio inquiry or have the parties prove those refusal grounds. The 2019 HCCH Judgments Convention also provides for the concrete applications of the public policy exception, following the model of the 2005 Choice of Court Convention. Here, a purely grammatical reading may create some peripheral problems, especially with the specific defences of conflicting judgments and parallel proceedings. Solutions may be found in the method of purposive interpretation and some general principles, particularly the evasion of the law and the abuse of rights, before resorting to the public policy defence.

Marcos Dotta Salgueiro, “Article 14 of the Judgments Convention: The Essential Reaffirmation of the Non-discrimination Principle in a Globalized Twenty-First Century”

The 2019 HCCH Judgments Convention includes a non-discrimination disposition in Article 14, according to which there shall be no security, bond or deposit required from a party on the sole ground that such a party is a foreign national or is not domiciled or resident in the State in which enforcement is sought. It also deals with the enforceability of orders for payment of costs in situations where the precedent disposition applied, and lays down an ‘opt-out’ mechanism for those Contracting States that may not wish to apply that principle. This article frames the discussion of the non-discrimination principle in the wider context of previous private international law instruments as well as from the perspectives of access to justice, human rights and Sustainable Development Goals (SDGs), understanding that its inclusion in the 2019 HCCH Judgments Convention was an important, inescapable and necessary achievement.

Paul R. Beaumont, “Judgments Convention: Application to Governments” (open access)

The 2019 HCCH Judgments Convention makes the classic distinction between private law matters within its scope (civil or commercial matters) and public law matters outside its scope. It also follows the same position in relation to State immunity used in the Hague Choice of Court Convention 2005 (see Art. 2(5) in 2019 and 2(6) in 2005). The innovative parts of the 2019 HCCH Judgments Convention relate to the exclusions from scope in Article 2 relating to the armed forces, law enforcement activities and unilateral debt restructuring. Finally, in Article 19, the Convention creates a new declaration system permitting States to widen the exclusion from scope to some private law judgments concerning a State, or a State agency or a natural person acting for the State or a Government agency. This article gives guidance on the correct Treaty interpretation of all these matters taking full account of the work of the Hague Informal Working Group dealing with the application of the Convention to Governments and the other relevant supplementary means of interpretation referred to in Article 32 of the Vienna Convention on the Law of Treaties.

João Ribeiro-Bidaoui, “The International Obligation of the Uniform and Autonomous Interpretation of Private Law Conventions: Consequences for Domestic Courts and International Organisations”

This article addresses the issue of the uniform and autonomous interpretation of private law conventions, including of private international law conventions, from the perspective of their Contracting States, particularly their judiciaries, and of the international organizations. Firstly, the author analyses the use of standard uniform interpretation clauses, and the origin of such clauses, in the context of the Hague Conference on Private International Law. The following part the article addresses negative and positive obligations imposed on States and their judiciaries under international law regarding the uniform and autonomous interpretation of international treaties. It is argued that States are not only obliged to refrain from referring to concepts from national laws for the purpose of the interpretation of international law instruments, but also that they face certain positive obligations in the process of applying the conventions. Those include referring to foreign case law, international scholarship, and under certain circumstances, also to travaux préparatoires. Thirdly, the author discusses the role of international organizations—e.g. HCCH, UNCITRAL, UNIDROIT, in safeguarding and facilitating the uniform and autonomous interpretation of private law conventions. It does so by describing various related tools and approaches, with examples and comments on their practical use (e.g. advisory opinions, information sharing, access to supplementary material, judicial exchanges and legislative action).

The NILR’s Special Edition on the 2019 HCCH Judgments Convention concludes with a reproduction of the text of the 2019 HCCH Convention on the Recognition and Enforcement of Foreign Judgments in Civil or Commercial Matters, as adopted on 2 July 2019.

Greek Supreme Court on Choice of Court and Choice of Law in Commercial Agency Agreements

EAPIL blog - mar, 05/26/2020 - 14:00

In a recently reported ruling (No 423/2018, in Chronicles of Private Law, 2019, p. 204), the Greek Supreme Court (Άρειος Πάγος) addressed the thorny issues of choice of forum and choice of law agreements relating to agency and distribution. The judgment basically follows the path paved by the CJEU. However, its analysis is noteworthy, allowing hopes for a shift in the established course of action.

The Facts

A Dutch company entered into a distribution agreement with a Greek company in 2004, followed by an agency agreement in 2007. The agreements included a choice of forum clause granting exclusive jurisdiction to the courts of Amsterdam and a clause stating that the contracts were governed by Dutch law. The Dutch principal terminated the agreements in 2009.

The Greek company started litigation in Athens. The defendant challenged the jurisdiction of the Greek courts on the basis of the choice of court clause. Both first and second instance Greek courts found they lacked jurisdiction.

The Grounds of Appeal

The claimant filed a (final) appeal before the Supreme Court, arguing that the choice of forum clause was abusive, and contrary as such to public policy. The Greek company submitted, among other things, that it had no real negotiating power with the principal, and that the choice of law clause resulted in the circumvention of Greek mandatory provisions.

The Ruling

The Supreme Court confirmed the lower courts’ finding and dismissed the case for want of jurisdiction. The forum selection clause, the Court noted, was agreed upon as a result of sound negotiations, with no abuse on the part of the Dutch company. A draft of the agreement had been previously submitted to the claimant, who had sufficient time to reflect and did not raise any objections or reservations.

The Supreme Court emphasized that the Greek company had a high turnover and significant profits. Its representatives, the Court noted, were familiar with travelling abroad for discussions and negotiations; hence, any difficulty and increased costs associated with the exclusive jurisdiction of Dutch courts did not make litigation before the latter courts impossible or unreasonably burdensome.

The combined choice of Dutch courts and Dutch law, the Court added, did not affect the validity of the choice of forum clause. A circumvention of Greek mandatory law provisions was not established. No abuse of the principal’s position was evidenced. In any case, Dutch law could not be regarded as completely alien to the case, given that the principal is in fact based in the Netherlands.

The Supreme Court finally approved the Athens Court of Appeal decision not to turn to the choice of law clause for the purposes of assessing the validity of the choice of forum agreement. It relied for this on the ruling of the CJEU in Trasporti Castelletti, where the Court of Justice stated that “the national court seised should be able readily to decide whether it has jurisdiction on the basis of the rules of the [Brussels] Convention [of 1968, the predecessor of the Brussels I bis Regulation], without having to consider the substance of the case”, adding that the “substantive rules of liability applicable in the chosen court must not affect the validity of the jurisdiction clause”.

Comment

In a nutshell, the show must go on. In spite of the scepticism voiced in legal scholarship, the foundations of the CJEU ruling in Trasporti Castelletti are too hard to shake, let alone demolish.

Still, the Supreme Court did not refuse to examine the public policy defence raised by the agency, and in fact accepted to discuss the issue of the abusive character of the clause. One may not agree with the result; however the sheer fact that the court dared the step, raises ambitions for a further scrutiny in future cases.

I finish with a suggestion for further reading: Many esteemed colleagues have published notes on the above and subsequent rulings of the Court which followed suit. One of the most recent articles dealing extensively with the issue was authored by Matthias Weller, whose analysis gave me ample food for thought [Matthias Weller, Choice of court agreements under Brussels Ia and under the Hague convention: coherences and clashes, Journal of Private International Law, 2007, 13:1, 91-129, in particular pp. 107-109].

Minois on Characterization in the Private International Law of Obligations

EAPIL blog - mar, 05/26/2020 - 08:00

Maud Minois (University Paris Descartes) has published earlier this year a monograph presenting her Research on Characterization in the Private International Law of Obligations (Recherche sur la qualification en droit international privé des obligations).

The author has provided the following English abstract:

Characterization is traditionally presented as a tool used to ensure legal certainty and rationality of law. We observe, however, that this is not necessarily the case in the context of private international law. For a long time, the lex fori characterization has dominated the international scene, so that it may appear as the most suitable model of qualification. But it does reveal certain shortcomings when applied to contract and tort law. The diversification of sources of the law as well as the rise of autonomous characterizations established by the Court of Justice of the European Union add further complexity to the picture. An efficient model for characterization is needed to restore coherence in private international law. In order to elaborate such a model, two axes of study must be explored successively. First, the model must suit the specificities of private international relations. Second, once proof has been offered for the thesis that autonomous characterization best answers this demand, the question of its generalization should be addressed. It appears that an efficient use of the autonomous qualifications can be made not only at the level of European private international law, but on the contrary, can be extended to private international law of conventional as well as of national sources. On the other hand, this model, as it specifically applies to private international relations has no place in substantive law.

More details are available here, including free access to the table of contents and the introduction of the book.

The CJEU in Reliantco on’consumers’ and complex financial markets. And again on contracts and tort.

GAVC - mar, 05/26/2020 - 01:01

C-500/18 AU v Reliantco was held by the CJEU on 2 April, in the early fog of the current pandemic. Reliantco is a company incorporated in Cyprus offering financial products and services through an online trading platform under the ‘UFX’ trade name – readers will recognise this from [2019] EWHC 879 (Comm) Ang v Reliantco. Claimant AU is an individual. The litigation concerns limit orders speculating on a fall in the price of petrol, placed by AU on an online platform owned by the defendants in the main proceedings, following which AU lost the entire sum being held in the frozen trading account, that is, 1 919 720 US dollars (USD) (around EUR 1 804 345).

Choice of court and law was made pro Cyprus.

The case brings to the fore the more or less dense relationship between secondary EU consumer law such as in particular the unfair terms Directive 93/13 and, here, Directive 2004/39 on markets in financial instruments (particularly viz the notion of ‘retail client’ and ‘consumer’).

First up is the consumer title under Brussels Ia: Must A17(1) BIa be interpreted as meaning that a natural person who under a contract concluded with a financial company, carries out financial transactions through that company may be classified as a ‘consumer’ in particular whether it is appropriate, for the purposes of that classification, to take into consideration factors such as the fact that that person carried out a high volume of transactions within a relatively short period or that he or she invested significant sums in those transactions, or that that person is a ‘retail client’ within the meaning of A4(1) point 12 Directive 2004/39?

The Court had the benefit of course of C-208/18 Petruchová – which Baker J did not have in Ang v ReliantcoIt is probably for that reason that the case went ahead without an Opinion of the AG. In Petruchová the Court had already held that factors such as

  • the value of transactions carried out under contracts such as CFDs,
  • the extent of the risks of financial loss associated with the conclusion of such contracts,
  • any knowledge or expertise that person has in the field of financial instruments or his or her active conduct in the context of such transactions
  • the fact that a person is classified as a ‘retail client’ within the meaning of Directive 2004/39 is, as such, in principle irrelevant for the purposes of classifying him or her as a ‘consumer’ within the meaning of BIa,

are, as such, in principle irrelevant to determine the qualification as a ‘consumer’. In Reliantco it now adds at 54 that ‘(t)he same is true of a situation in which the consumer carried out a high volume of transactions within a relatively short period or invested significant sums in those transactions.’

Next however comes the peculiarity that although AU claim jurisdiction for the Romanian courts against Reliantco Investments per the consumer title (which requires a ‘contract’ to be concluded), it bases its action on non-contractual liability, with applicable law to be determined by Rome II. (The action against the Cypriot subsidiary, with whom no contract has been concluded, must be one in tort. The Court does not go into analysis of the jurisdictional basis against that subsidiary, whose branch or independent basis or domicile is not entirely clear; anyone ready to clarify, please do).

At 68 the CJEU holds that the culpa in contrahendo action is indissociably linked to the contract concluded between the consumer and the seller or supplier, and at 71 that this conclusion is reinforced by A12(1) Rome II which makes the putative lex contractus, the lex causae for culpa in contrahendo. At 72 it emphasises the need for consistency between Rome II and Brussels IA in that both the law applicable to a non-contractual obligation arising out of dealings prior to the conclusion of a contract and the court having jurisdiction to hear an action concerning such an obligation, are determined by taking into consideration the proposed contract the conclusion of which is envisaged.

Interesting.

Geert.

(Handbook of) EU private International Law, 2nd ed. 2016, Chapter 2, Heading 2.2.8.2.

 

 

Local authority B v X: Brussels IIa and (Northern) Cypriot territory.

GAVC - lun, 05/25/2020 - 08:08

I currently have a practice interest in all things Cypriot territory hence Local Authority B v X (Mother) & Ors [2020] EWFC 37 caught my eye even more than had it just involved Brussels IIa.

The application concerns a child, T. He is now about 5 years old. He is a British national; both his parents are British nationals. He was born in Kyrenia in the Turkish Republic of North Cyprus (‘TRNC’), and lived there from his birth in early 2014 until late summer 2018 when he travelled with his mother to the Republic of Cyprus, the southern territory of the island, where he remained until 17 October 2018. On that day, he flew to London, again in the company of his mother. On each occasion on which T and his mother travelled, the mother was the subject of a formal deportation order from the relevant territory of the island of Cyprus. On her arrival in the UK the mother was arrested and taken into custody, where she has remained to date. A police protection order was made in relation to T on his arrival in England, and he was placed into foster care, where he, in turn, has remained.

At issue is whether the Family Court in this country can properly exercise jurisdiction in relation to T.  Cobb J notes that the legal issues in the case are complicated by the internal territorial and political division within Cyprus. The United Kingdom, in accordance with its obligations under international law, has not recognised, and does not recognise, the TRNC as a state, yet the Republic of Cyprus is a Member State of the EU. Further discussion of the territorial issues at 7 ff include references to Protocol 10 of Cyprus’ accession Treaty, and CJEU C-420/07 Apostolides v Orams. (Itself linked to [2010] EWCA Civ 9).

The ensuing complicated jurisdictional questions are summarised at 33-34, with at 53 a resulting finding of lack of habitual residence of T in England, and an A13 BIIa jurisdiction. The mother, who argues for habitual residence in Cyprus, agues that BIA per CJEU Orams treats the TRNC as part of the Member State of the Republic of Cyprus, and so should BIIa. They further contend that given the many direct similarities between the language and the purpose of the two regulations, Brussels 1 and BIIaOrams provides good authority for the argument that T, habitually resident in the TRNC (outside the Government’s effective control) was nonetheless, at the critical point, subject to the provisions of BIIa. At 68ff, Cobb J disagrees.

An interesting judgment for both BIIa and EU external relations law.

Geert.

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