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Views and News in Private International Law
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Out Now: International Handbook on Shareholders’ Agreements

jeu, 05/17/2018 - 11:23

Sebastian Mock (University of Hamburg), Kristian Csach (Pavol Jozef Šafárik University in Košice) and Bohumil Havel (Institute of Law, Czech Academy of Science, Prague) have published an “International Handbook on Shareholders’ Agreements – Regulation, Practice and Comparative Analysis” addressing various issues of shareholders’ agreements. The book includes general remarks on specific topics related to shareholders’ agreements and numerous country reports. One chapter also specifically deals with cross-border shareholders’ agreements and private international law. More information is available on the website of the publisher (here).

ASIL Commentaries on Private International Law

mar, 05/15/2018 - 14:00

This post has been written by Cristián Giménez Corte, Editor of the ASIL Commentaries on PIL.

We are pleased to present the third issue of Commentaries on Private International Law, the newsletter of the American Society of International Law (ASIL) Private International Law Interest Group (PILIG). As readers of the newsletter know, the name of our newsletter, Commentaries, represents a modest tribute to one of the founding fathers of modern PIL, Joseph Story, by borrowing the name of his seminal book “Commentaries on the Conflict of Laws, foreign and domestic,” and only replacing “Conflict of Laws” with “Private International Law” to better reflect the broader object of our discipline today.

The primary purpose of our newsletter is to communicate news on PIL. Accordingly, the newsletter attempts to transmit information on new developments on PIL rather than provide substantive analysis, with a view to providing specific and concise raw information that our readers can then use in their daily work. These new developments on PIL may include information on new laws, rules and regulations; new judicial and arbitral decisions; new treaties and conventions; new scholarly work; new conferences; proposed new pieces of legislation; and the like.

Commentaries aims to be a truly global newsletter, by reporting news from all major legal systems of the world, which may have different conceptions of PIL. Thus, the PILIG newsletter is framed in a rather broad sense, comprising all types of situations generating potential conflicts of laws and/or jurisdictions, regardless of the “international” or “internal,” or “public” or “private” nature of those conflicting regulations.

To achieve what is perhaps the first comprehensive global approach to PIL, Commentaries includes five sections dealing with regional issues, edited by specialists on the field: Africa, edited by Richard Frimpong Oppong and Justin Monsenepwo Joost; Asia, by Chi Chung, Yao-Ming Hsu and Béligh Elbalti; the Americas by Cristian Giménez Corte and Jeannette Tramhel (Central and South America), and Freddy Sourgens and Mayra Cavazos Calvillo (North America); Europe, by Massimo Benedettelli, Marina Castellaneta, and Antonio Leandro; and Oceania, by Jeanne Huang. We would like to highlight the efforts made by our global editorial team in translating, both linguistically and legally, into English and for a global audience information that was originally in Japanese, Arabic, Portuguese, Spanish, Russian, Italian, French, German, Turkish, Vietnamese, and Chinese.

This third issue of Commentaries covers more countries and includes in greater detail recent developments in our field. Each regional section includes a brief introductory note, and a special chapter devoted to new scholarly work, which is of particular importance for those areas of the world where the dissemination of information on PIL is more difficult. The main developments covered by Commentaries occurred during 2016, including only a few developments occurred in late 2015 and early 2017.

In this third issue, Commentaries continues to develop a section introduced last year. This section is called “Global Conflict of Laws,” edited by Cristián Giménez Corte and Javier Toniollo, presents new developments on PIL that are not necessarily linked to one particular region or country in the world, but that are truly transnational or global.

Commentaries would not have been possible without the tireless support of the PILIG co-chairs, Freddy Sourgens and Kabir Duggal, and the hard and smart work of the section editors mentioned above. In addition, I would like to express our gratitude for the comments, suggestions and help provided by Sheila Ward, Matthew Gomez, and Mitsue Steiner. And I would like also to express our gratitude to Adriana Chiuchquievich, Emilia Gonzalez Cian y Martin Cammarata, for their assistance in the research and edition of the new section “Global Conflict of Laws.”

 

We would appreciate receiving your suggestions, comments and critiques. We welcome your feedback and participation. Please send me an e-mail at cristiangimenezcorte@gmail.com.

 

 

New Article: Jurisdiction Clauses in Canada

mar, 05/15/2018 - 13:03

Tanya Monestier (Roger Williams University School of Law) has published an article (available here) addressing the Supreme Court of Canada’s decision in Douez v Facebook, Inc. (available here).

The abstract reads: Every day, billions of people use the online social media platform, Facebook.  Facebook requires, as a condition of use, that users “accept” its terms and conditions — which include a forum selection clause nominating California as the exclusive forum for dispute resolution.  In Douez v. Facebook, the Supreme Court of Canada considered whether this forum selection clause was enforceable, or whether the plaintiff could proceed with her suit in British Columbia.  The Supreme Court of Canada ultimately decided that the forum selection clause was not enforceable.  It held that the plaintiff had established “strong cause” for departing from the forum selection clause.  The Court premised its decision on two primary considerations: the contract involved a consumer and was one of adhesion, and the claim involved the vindication of privacy rights. The Court’s analysis suffers from several major weaknesses that will undoubtedly cause confusion in this area of law.  This Article will examine those weaknesses, and argue that the Supreme Court of Canada actually abandoned the strong cause test that it claimed to be applying.  The consequence of the Douez decision is that many forum selection clauses — at least in the consumer context — will be rendered unenforceable.  While this may be a salutary development from the perspective of consumer protection, it will undoubtedly have an effect on companies choosing to do business in Canada.

Meanwhile, on the other side of the Atlantic…

mar, 05/15/2018 - 10:23

Delaware’s governor John Carney signed a bill prohibiting marriage before age 18, making it the first US state to ban all child marriage, on May 9, 2018. Heather Barr from Human Rights Watch has more on that topic here.

Towards an EU external strategy against early and forced marriages

mar, 05/15/2018 - 10:21

The Committee on Women’s Rights and Gender Equality of the European Parliament has, on 18 April 2018, adopted an opinion entitled “Towards an EU external strategy against early and forced marriages – next steps” (2017/2275(INI), PE616.622v03-00). The Committee stresses that “child, early and forced marriage is a violation of the human rights enshrined in international standards such as the Beijing Declaration and Platform of Action, the International Conference on Population and Development Programme of Action and the UN Convention on Consent to Marriage, Minimum Age for Marriage and Registration of Marriages and which form part of the core principles embodied in the European Union as an area of security, freedom, justice and human rights, including women’s and girls’ rights”. Although “child marriage is ingrained in some traditions and cultures, […] no culture or religion can justify such a practice, particularly when human rights and the rights of children are at stake.” The Committee “[n]otes that many parents living in distress and extreme poverty in refugee camps feel the need to protect their daughters from the threat of sexual violence by marrying them to older men; stresses however that the EU and its Member States should be united and consistent in their dismissal of the requests of refugees for legal recognition of marriages where one of the alleged spouses is a child or teenager; underlines that refugee status cannot be used as a legal backdoor to recognition of child marriages in Europe”. The full text of the opinion is available here. For a more detailed report, see here.

Summer School on Transnational Commercial Agreements, Litigation, and Arbitration in Vicenza, Italy

lun, 05/14/2018 - 21:00

Pitt Law’s CILE will once more be co-sponsoring the Summer School in Transnational Commercial Agreements, Litigation, and Arbitration in Vicenza, Italy, beginning June 4 and ending June 8, 2018.

All classes will be in English, and as in prior years we expect to have the School approved for up to 24 hours of Pennsylvania Continuing Legal Education credit (22 substantive and 2 ethics). The instructors include Ronald A. Brand (Professor, University of Pittsburgh), Serena Corongiu (Lawyer, AIGA Representative), Francesco Cortesi (Judge, Italian Supreme Court), Aldo Frignani (Professor, University of Turin), Paul Herrup (Department of State, United States of America), Luca Radicati di Brozolo (Professor, Catholic University, Milan; Fountain Court Chambers, London), Francesca Ragno (Professor, University of Veorna), Marco Torsello (Professor, University of Verona), Matteo Winkler (Professor, HEC Paris).

The program is available here

Secured Credit in Europe

lun, 05/14/2018 - 15:29

Teemu Juutilainen from the University of Helsinki has just published an interesting book on “Secured Credit in Europe: From Conflicts to Compatibility” (Hart Publishing, 2018). It sets out to to develop an optimal division of labour between private international law and substantive unification or harmonisation in the area of security rights over tangible movables and receivables:

This monograph seeks the optimal way to promote compatibility between systems of proprietary security rights in Europe, focusing on security rights over tangible movables and receivables. Based on comparative research, it proposes how best to tackle cross-border problems impeding trade and finance, notably uncertainty of enforceability and unexpected loss of security rights. It offers an extensive analysis of the academic literature of more recent years that has appeared in English, German, the Scandinavian languages and Finnish. The author organises the concrete means of promoting compatibility into a centralised substantive approach, a centralised conflicts-approach, a local conflicts-approach and a local substantive approach. The centralised approaches develop EU law, and the local approaches Member State laws. The substantive approaches unify or harmonise substantive law, while the conflicts approaches rely on private international law. The author proposes determining the optimal way to promote compatibility by objective-based division of labour between the four approaches. The objectives developed for that purpose are derived from the economic functions of security rights, the conditions for legal evolution and a transnational conception of justice.

For more information visit the publisher’s website.

Call for Papers on International Business Courts

sam, 05/12/2018 - 22:23

Erasmus School of Law (under the ERC project Building EU Civil Justice) in collaboration with the Max Planck Institute for Procedural Law Luxembourg, and the Montaigne Centre for Rule of Law and Administration of Justice (Utrecht University) hosts the seminar ‘Innovating International Business Courts: A European Outlook’ that will take place in Rotterdam on 10 July 2018.

In relation thereto Erasmus Law Review invites submissions for its upcoming special issue on International Business Courts – a European and Global Perspective on topics relating to court specialization, specifically relating to the development of international business courts in Europe and beyond, and focusing on justice innovation and their relevance for access to justice and the judicial system, including the challenges they may pose for judicial administration, litigants and other stakeholders. Contributions can be theoretical, empirical as well as policy oriented. Interdisciplinary approaches are especially encouraged. The issue will also include papers focusing on the Netherlands, the United Kingdom (England and Wales), France, Germany, and Belgium, and deriving from the seminar.

Authors of selected papers will be exempt from registration fees for the seminar and will have the opportunity to present a poster during the drinks after the seminar.

Please submit an abstract in English of no more than 500 words to Erlis Themeli (themeli@law.eur.nl) and Alexandre Biard (biard@law.eur.nl) before 10 June 2018. Include your name, affiliation, and a link to your research profile. You will be informed on the outcome on 24 June 2018 at the latest. Responsible issue editors are Xandra Kramer (Erasmus University Rotterdam/Utrecht Utrecht) and John Sorabji (University College, London).

The final paper should be 8,000-12,000 words in length (including footnotes) and must comply with the Erasmus Law Review’s Authors Guidelines. Selected papers will go through the regular double-blind peer review process and publication is subject to the outcome of this review process. The deadline for submission of the paper is 1 October 2018.

For more information see the Call for Papers.

Conference: Eurolanguage in Private International Law

sam, 05/12/2018 - 12:40

The Conference “Eurolanguage in Private International Law. Legislating, translating and  applying”, which will take place next June 14 in Tarragona, is an interdisciplinary forum for lawyers and scholars in the field of private international law, comparative law and private law to establish fruitful discussions with scholars and practitioners in the areas of legal language and translation, with the personnel from international institutions, academics and professionals.

The aim is to reflect on the possible establishment and impact of a European legal language framed within the area of private international law (PIL). The ground rules of European PIL are enshrined in European regulations, but also directives, which are discussed in the legislative process using, a priori, the 24 official languages in a context of integral multilingualism. As a result, EU rules in 24 language versions are applicable in all 28 Member States.

The analysis will focus on the linguistic issues pertaining to drafting the EU rules; the tools, techniques, and problems in translating the linguistic versions of the rules; whether interlinguistic coherence is achieved; and the legal-linguistic issues the legal operators of Member States face when applying European rules on PIL norms coexisting with other rules of conventional and domestic origin.

Click here to access the PROGRAM .

Venue: Congress will take place at the Sala de Juntes of Universitat Rovira i Virgili Campus Catalunya. (information to get there is provided here)

 

PAPERS SUBMIT

Topics: The organizers invite proposals on several issues related to the general topic. Check “Call for papers” document on the congress website: http://www.dret-privat.urv.cat/jornades-i-congressos/eurolenguaje/

Formal requirements: 500-600 word-long abstracts and 5 keywords in a MS Word file.

Languages: Spanish and English.

Deadline and address for submissions: Proposals may be submitted until 21 May, 2018. Proposals should be sent to: mireia.eizaguirre@urv.cat, who will confirm reception.

Confirmation of acceptance and oral presentation: All authors will receive an email with the decision by 25 May, 2018: proposals may be accepted to be presented orally (10 minutes); accepted not to be presented orally; or rejected.

Publication: Accepted papers, presented or not, will be published in a collective volume as long as they are positively assessed in the relevant blind review.

REGISTRATION

Registration: authors of accepted proposal should complete registration by 8th June 2018. Registration will be valid after payment on a € 50 fee credited to the account number: BANCO BILBAO VIZCAYA, IBAN: ES9601826035450201605723.

SWIFT: BBVAESMMXXX. Proof of payment should be sent to: mireia.eizaguirre@urv.cat.

Foster care by same-sex registered partners in Greece

sam, 05/12/2018 - 10:06

Following fierce consultations, deliberations and debates, a new law has been passed by the Hellenic Parliament on improving adoption and foster care procedures. The law introduces a new institution: The National Foster Care & Adoption Council, and contains provisions on the requirements and procedures for foster care, thus, enriching the existing landscape embedded in the Civil Code since 1996. It also establishes two national registries:  The National Registry of adoptive applicants and the National Registry of adoptions.

The bone of contention was however the ‘window’ opened by the new legislation under Article 8, i.e. the right of same-sex partners to become foster parents. After a couple of weeks full of tension in the press and the Parliament, the Government moved on and secured the necessary majority for passing the provision.

This is yet another step towards full equivalence of same-sex with heterosexual couples. It was preceded by the introduction of same-sex partnerships in 2015, as an aftermath of the country’s condemnation by the ECHR in the Vallianatos ruling. Still, same-sex marriage is not, and will seemingly not be allowed for quite some time in the future, given that the Supreme Court has ruled out this possibility end last year.

Finally, it should be noted that Greece has recently enacted  legislation allowing the out of court dissolution of marriage in mutual consent, and abolished the compulsory application of Sharia law for Greek Muslims.

Private Divorces – Lecrture on the Consequences of the CJEU decision Sahyouni

sam, 05/12/2018 - 08:53

The IACPIL (Interdisciplinary Association of Private International and Comparative Law) and the University of Vienna invite to a lecture by Prof. Budzikiewicz (in German).

Whereas private divorces were mostly executed outside Europe, nowadays Italian, French as well as Spanish law allow a contractual divorce. The lecture addresses to what extent private divorces can be valid outside the enforcing state. The recognition can be relevant in different cases, e.g. another marriage is aspired or legal questions concerning the right of maintenance, tax law as well as law of succession arise.
The CJEU recently ruled that the Rome III regulation is not applicable to a marriage divorced by a spiritual court in a third country. In this respect the lecture focuses on how private divorces are to be treated with regard to private international law and international procedural law.

The flyer can be found here

Where: University of Vienna, Juridicum, Schottenbastei 10-16, 1010 Vienna, SEM 20
When: 17 May 2018, 6 p.m.
The event is free but registration is required (office@igkk.org).

SSRN: New Paper on “Regulating Offshore Finance”

ven, 05/11/2018 - 02:39

William J. Moon has published an article titled “Regulating Offshore Finance” on SSRN. It can be accessed @ https://papers.ssrn.com/sol3/papers.cfm?abstract_id=3153121.

The abstract is reproduced below:

From the Panama Papers to the Paradise Papers, massive document leaks in recent years have exposed trillions of dollars hidden in small offshore jurisdictions. Attracting foreign capital with low tax rates and environments of secrecy, a growing number of offshore jurisdictions have emerged as major financial havens hosting thousands of hedge funds, trusts, banks, and insurance companies.

While the prevailing account has examined offshore financial havens as “tax havens” that facilitate the evasion or avoidance of domestic tax, this Article uncovers how offshore jurisdictions enable corporations to evade domestic regulatory law. Specifically, recent U.S. Supreme Court cases restricting the geographic scope of federal statutes have created a space for commercial actors to circumvent regulation by incorporating in offshore jurisdictions. Under this jurisprudence, financial transactions completed through offshore commercial entities are often, albeit not categorically, seen as “extraterritorial” transactions beyond the reach of federal statutes. This makes it increasingly difficult for private litigants to bring statutory claims designed to protect the workings of the market, even in cases that are predominantly connected to the United States. After documenting how offshore jurisdictions enable commercial entities to opt out of federal regulatory statutes, this Article critiques the Supreme Court’s recent extraterritoriality jurisprudence that risks breeding a cottage industry of private regulatory evasion.

International Conference: the New Hungarian Arbitration Act – Views from Hungary and Abroad

mer, 05/09/2018 - 17:58

The Department of Legal Studies of the Central European University (CEU) in Budapest and Jeantet & Partners (Paris) are organising a conference on: “The New Hungarian Arbitration Act – Views from Hungary and Abroad” on 17 May, 2018, 12:30pm – 6:30pm. The conference will be followed by a cocktail reception. This event will bring together arbitration experts from ten jurisdictions and seeks to provide a forum for discussion of the recently enacted new Hungarian Arbitration Act. It aims to inform participants of the most significant legislative changes and their practical implications. Particular emphasis will be put on a comparison of the new Hungarian Act with the arbitration laws of other jurisdictions. The organizing committee consists of Markus Petsche, Associate Professor, Department of Legal Studies, CEU; Ioana Knoll-Tudor, Partner, Jeantet & Partners, Paris; Davor Babic, Professor, Faculty of Law, University of Zagreb; and Csongor István Nagy, Professor, Faculty of Law, University of Szeged. For more detailed information regarding the conference program and registration, please click here.

US papers on Conflict of Laws, Global Governance, and International Law

dim, 05/06/2018 - 10:48

Christopher Whytock (Professor of Law and Political Science, UC Irvine) has published a number of interesting papers offering broad perspectives on the conflict of laws.

One is on conflict of laws and global governance and questions how conflict of laws contributes to transnational legal ordering: Whytock, Christopher A., Conflict of Laws, Global Governance, and Transnational Legal Order (March 14, 2018). UC Irvine Journal of International, Transnational, and Comparative Law, Vol.1, 2016; UC Irvine School of Law Research Paper No. 2018-16. Available at SSRN: https://ssrn.com/abstract=3140886

The other is on the interaction between conflict of laws and international law: Whytock, Christopher A., Toward a New Dialogue between Conflict of Laws and International Law (March 21, 2018). American Journal of International Law (AJIL) Unbound, Vol. 110, 2016; UC Irvine School of Law Research Paper No. 2018-22. Available at SSRN: https://ssrn.com/abstract=3145220.

 

HCCH Revised Preliminary Explanatory Report on the Judgments Project is available now

sam, 05/05/2018 - 11:38

A revised Preliminary Explanatory Report on the Judgments Project in both English and French is now available via the Hague Conference website.  This Report has been drawn up (and revised) by Professors Francisco J. Garcimartín Alférez, Universidad Autónoma de Madrid, Spain and Geneviève Saumier, McGill University, Canada.

A track-changes version of the Preliminary Explanatory Report has also been made available. See in particular the amendments contained in paragraphs 201-224 in relation to intellectual property rights, which is a subject that has been somewhat controversial. Other important additions are the declarations with respect to judgments pertaining to governments (see paragraphs 344-352) and the declarations with respect to common courts (such as regional courts, see paragraphs 353-360).

A Special Commission on the Recognition and Enforcement of Foreign Judgments will be held on 24-29 May 2018 in The Hague, the Netherlands. The agenda is available here. It is envisaged that a Diplomatic Session (i.e. a high-level negotiation with a view to adopting a final text) will be held in mid-2019.

Please note that the meetings above-mentioned are open only to delegates or experts designated by the Members of the Hague Conference, invited non-Member States and International Organisations that have been granted observer status.

Proving Chinese Law: Deference to the Submissions from Chinese Government?

jeu, 05/03/2018 - 07:22

(This Report is provided by Dr. Jie (Jeanne) Huang, Senior Lecturer, University of New South Wales Faculty of Law)

The recent U.S. Supreme Court case, Animal Science Products, Inc. v. Hebei Welcome Pharmaceutical Co. Ltd, concerns what weight should be given to the Chinese government’s submission of Chinese law. On Page 58 of the trial transcript, Justices Kagan and Ginsburg asked how about other countries dealing with formal submissions from the Chinese government. There are two examples.

One is Hong Kong. In TNB Fuel Services SDN BHD v China National Coal Group Corporation ([2017] HKCFI 1016), the issue is whether the defendant, a state-owned enterprise, is protected by Chinese absolute sovereignty immunity under Chinese law. The court deferred to an official letter provided by the Hong Kong and Macao Affairs Office of the State Department in Mainland China. The Office answers no absolute sovereignty immunity to Chinese state-owned enterprises carrying out commercial activities. The Court adopted this opinion without second inquiry (para 14 of the judgment). After considering a bunch of other factors, the court ruled against the defendant.

The other is Singapore. In Sanum v. Laos ([2016] SGCA 57), the issue is whether the China-Laos Bilateral Investment Treaty (BIT) shall be applied to Macao Special Administrative Region. Chinese embassy in Laos and China Ministry of Foreign Affairs provided diplomatic announcements indicating that the BIT shall not be applied to Macao. However, the Court of Appeal of Singapore held that China’s announcements were inadmissible and, even if admitted, they did not change the applicability of the BIT to Macau. This is partly because, before the dispute with Sanum crystalized, no evidence showed that China and Laos had agreed that the BIT should not be applied to Macau. Therefore, the China’s diplomatic announcements should not be retroactively applied to a previous dispute. For a more detailed discussion, please see pages 16-20 of my article.

TNB Fuel Services and Sanum share important similarities with Animal Science Products, because the key issues are all about the proving of Chinese law. In the three cases, Chinese government all provided formal submissions to explain the meaning and the applicability of Chinese law. However, TNB Fuel Services and Sanum can also be distinguished from Animal Science Products, because comity plays no role in the former two cases. TNB Fuel Services concerns sovereign immunity, which is an issue that Hong Kong courts must follow China’s practices. This is established by Democratic Republic of the Congo v. FG Hemisphere Associates (FACV Nos. 5, 6 & 7 of 2010). Sanum is a case to set aside an investment arbitration award, so the Court of Appeal of Singapore need not consider comity between Singapore and China. In contrast, in Animal Science Products, the U.S. Court of Appeals for the Second Circuit elaborated the importance of comity between the U.S. and China. Therefore, Animal Science Products should not be considered as a technical case of proving foreign laws. The U.S. Supreme Court may consider deferring to the submissions of Chinese government to a certain extent but allows judges to decide whether the Chinese government’s submission is temporally consistent with its position on the relevant issue of Chinese law.

Who Owns France.com?

mer, 05/02/2018 - 18:55

France is a state. France.com, by contrast, is a domain name, and it was, until recently, owned not by the French state but instead by a Californian company, France.com, Inc. That conflict is now being litigated in a fascinating dispute  reminiscent of the early days of the internet.

In those early days, in 1994 to be precise, a French-born individual living in the United States, Jean-Noël Frydman, registered the domain name France.com. The domain name is now held by a Californian company, France.com Inc, which Frydman set up. The website, at first dedicated to general information for Francophiles around the world, was later expanded to operate as a travel site. But France.com, Inc, did not, it appears, own trademarks in Europe. This enabled a Dutch company, Traveland Resorts, to register French and European word and graphic marks for France.com in 2010. In 2014, France.com, Inc brought suit in France against Traveland for fraudulent filings of trademarks and achieved a settlement under which Traveland transferred the trademarks.

But that was a Pyrrhic victory. The French state and its own travel development agency, Atout,  intervened in the litigation, claiming the trademarks for itself instead. Atout had been running, since 2010, its own information site, france.fr. French state and Atout were successful, first before the Tribunal de Grande Instance, Paris , and then, partly, on  appeal before the Cour’ d’appel de Paris (English translationnote by Alison Bouakel)  As a consequence, web.com transferred the domain in 2018. Now, France.com immediately directs to France.fr.

So far, the conflict is mostly a French affair. But Frydman is taking the litigation to the United States. France.com, Inc has brought suit in Federal Court in Virginia against the French State, Atout, and against Verisign, the authoritative domain registry of all .com addresses.  The suit alleges cybersquatting, reverse domain hijacking, expropriating, trademark infringement, and federal unfair competition. US courts and WIPO panels have so far not looked favorably at foreign government’s claims for their own .com domain name; examples include PuertoRico.com, NewZealand.com, and Barcelona.com. Will the French State be more successful, given the French judgment in its favor?

Although neither the French courts nor the complaint in the United States address conflict of laws issues, the case is, of course, full of those. Are the French state and its travel agency protected by sovereign immunity? The Foreign Sovereign Immunities Act contains an exception for commercial activities and is limited to sovereign acts: Does ownership of a domain name constitute commercial activity? Surely, many of the activities of Atout do. Or is it linked to sovereignty? After all, France is the name of the country (though not, ironically, the official name.) The U.S. Court of Appeal for the Second Circuit left the question open in 2002 (Virtual Countries, Inc. v. South Africa, 300 F.3d 230).

Must the federal court recognize the French judgment? That question is  reminiscent of the Yahoo litigation. Then, a French court ordered that Yahoo.com could not offer Nazi paraphernalia on its auction website. Yahoo brought a declaratory action in federal court against recognizability of the judgment in the United States. The affair created a lively debate on the limits of territorial reach in internet-related litigation, a debate that is still not fully resolved.

Relatedly, did the French state engage in illegal expropriation without compensation? Such acts of expropriation are in principle limited to the territory of the acting state, which could mean that the French state’s actions, if so qualified, would be without legal effect in the United States.

To what extent is US law applicable to a French trademark? By contrast, to what extent can the French trademark determine ownership of the domain? Trademarks are a perennially difficult topic in private international law, given their territorial limitations; they conflict in particular with the ubiquity of the internet.

Is the top level domain name – .com, as opposed to .fr – a relevant connecting factor in any of these matters? That was once considered a promising tool. But even if .fr could in some way link to France as owner, it is not clear that .com links to the United States, given that it has long been, effectively, a global top level domain. On the other hand, most governments do not own their own .com domain. And US courts have, in other cases (most famously concerning barcelona.com) not doubted applicability of US law.

A timeline with links to documents can be found at Frydman’s blog site.

 

 

Revisiting the ‘Content-of-Laws’ Enquiry in International Arbitration

sam, 04/28/2018 - 20:26

Soterios Loizou at King’s College London has uploaded an interesting article on ssrn entitled “Revisiting the ‘Content-of-Laws’ Enquiry in International Arbitration”. The abstract is:

Establishing the content of the applicable law is one of the most important, albeit seldom examined, topics in the theory and practice of international arbitration. Setting as point of departure the regulatory vacuum in nearly all national laws on international arbitration, this study examines in depth this “content-of-laws” enquiry in an attempt to foster doctrinal integrity, legal certainty and predictability in arbitral proceedings. Specifically, this study encompasses a three level analysis of the topic. Firstly, it explores the theoretical underpinnings and the various approaches articulated in legal theory to the establishment of the content of the applicable law in international litigation and arbitration. Secondly, on the basis of an elaborate comparative review of the various legal regimes and jurisprudence in the most frequently selected venues of arbitration, namely England & Wales, France, Hong Kong, Singapore, Switzerland, the state of New York (USA), and Sweden, as well as in leading investment arbitration fora, it challenges conventional wisdom by showcasing the emerging trend towards the application of a “facultative” jura novit arbiter principle in international arbitral proceedings. Thirdly, it delineates a clear modus operandi for arbitral tribunals, and national courts reviewing arbitral awards in annulment proceedings, and offers model clauses, arbitration rules, and national law provisions on the content-of-laws enquiry. The study concludes with some final remarks and observations that amplify the importance of continuous governing law related consultations between the parties and the arbitrators throughout the arbitral proceedings, and, certainly, before the tribunal has rendered its final award.

The full article can be accessed here.

Out now: Issue 2 of RabelsZ 82 (2018)

sam, 04/28/2018 - 08:00

The new issue of “Rabels Zeitschrift für ausländisches und internationales Privatrecht – The Rabels Journal of Comparative and International Private Law” (RabelsZ) has just been released. It contains the following articles:

Holger FleischerKautelarpraxis und Privatrecht: Grundfragen und gesellschaftsrechtliche Illustrationen (Contractual Practice and Private Law: Basic Questions and Illustrations Taken from Company Law)

This paper highlights the importance of contractual practice for the development of modern private law. It outlines the trajectories of such practice from its early origins in Roman law to our time. Special attention is given to practitioners’ achievements and legal innovations in company law, ranging from shareholder agreements and enterprise agreements to the single-member company. Finally, the diffusion process of these innovations is analysed more closely, followed by observations on the relationship between leading practitioners on the one hand and judges, legislators and professors on the other.

Jochen VetterKautelarpraxis und M&A-Verträge (Contractual Practice and M&A Transactions)

The article describes the role of M&A lawyers in, and the limited influence of national legislators, judges and professors on, private M&A transactions. The practical work of M&A lawyers entails far more than simply drafting the relevant M&A contracts; they provide the legal framework for the whole sale process. Neither the applicable law nor the legislator is of particular importance for M&A contracts or for the process of structuring a deal. This is primarily due to the variety of market participants and the breadth of M&A practice, which make efforts of a national legislator to provide a suitable legal framework seem futile. The creation of legal certainty, legal harmonization and the development of legislative interpretation by judges has no practical relevance in M&A. Besides the general benefits of arbitral jurisdiction (professional expertise, confidentiality, timing), another advantage is seen in minimizing any risk that the results of the negotiations will subsequently be subject to judicial review on account of mandatory law. Academic research yields only limited input as to legal questions regarding details. Contractual drafting, deal structure and, in particular, techniques to overcome conflicts of interest are subject to legal research only in exceptional cases. The law applied to M&A contracts is therefore not developed by the legislator, state courts or academic research, but by those working on M&A in practice. M&A lawyers play an important role in contributing to that development. As engineers of party autonomy, it is their duty to set out the results of negotiations in a legal, reliable and practical way so as to ensure that their client’s key points are regulated by the contract and, furthermore, to support the parties in finding creative solutions to any conflicts of interest. In doing this, M&A lawyers use reference works providing templates or legal explanations as tools far less than they utilize their experience from a great number of different transactions, knowledge of international deals and active collaboration with colleagues and consultants, in particular investment bankers and M&A advisers. In return, M&A practice has almost no influence on legislation or the development of the law by the judiciary.

Manfred WencksternKautelarpraxis und Erbrecht (Designing Last Wills and Inheritance Contracts)

The article describes in its first part the work of a German lawyer in the field of last wills and inheritance contracts. The practitioner’s work starts with a detailed determination of the legal, economic and social situation of the client as the point of departure. The second step consists in determining the aims of the client. Does he want to deviate from the rules of intestate succession? If yes, the lawyer has the task of translating these aims into legal concepts, i.e. legal clauses and terms of the last will. For guidance and help, a huge mass of German legal literature is available. Afterwards, the lawyer has, among other obligations, the task of explaining the chosen legal terms to the client using colloquial language.

In the second part the article deals with the creation of legal clauses and terms in four cases: The first case concerns the limitation of the binding effects of spouses’ interdependent joint wills. The second case treats the compulsory portion of children in the context of spouses’ joint wills: How can it be avoided that a child asks for his compulsory portion after the death of his first parent? The third case concerns the structure of a last will of parents whose child is physically and / or mentally disabled and therefore dependent on social welfare. These parents often have the aim of furthering their child on beyond the existing social welfare schemes. The social welfare authorities long tried to secure the estate as a compensation for their expenditures. However, the Federal Supreme Court (Bundesgerichtshof ) has in three judgments ruled that a carefully drafted and quite complicated last will in favour of a disabled child is not against public policy and therefore is to be accepted by the public authorities. The fourth case concerns the European Regulation on Inheritance Law. As early as two years before its entry into force, German authors published proposals suggesting new legal clauses.

Caroline S. RuppGestaltungsspielraum für die Kautelarpraxis im Sachenrecht? – Beispiele aus dem Wohnungseigentumsrecht (Contractual Practice in Property Law –Examples from Condominium Law)

Property law is not an area of law commonly associated with party autonomy but rather with strict legal categorizations. Nevertheless, in some fields there is explicit permission or even a demand for the parties to determine and shape the property law aspects of their relationship. An example of this is condominium law: as a part of land law, it is ruled by the core property law principles – but the large diversity of practical needs and relationships within the community demand a high degree of individual contract design. After an overview of the basic concepts and structures of condominium law, this article explores the possibilities and limits of party autonomy regarding the basic property law notions of “ownership” and “things” in condominium law. The analysis of the various use rights shows that the options originally offered by positive law have been creatively developed and supplemented by contractual practice. Comparing the approaches of German and Swiss law, the legal treatment of parking spaces – a notorious issue in condominium law – is used to illustrate the points raised.

Wolfgang WurmnestKautelarpraxis und Allgemeine Geschäftsbedingungen (Contractual Practice and Standard Contract Terms)

The article examines how standard contract terms as used in contractual practice have influenced the development of the law. It is structured in two parts. The first part summarises the function of general contract terms in today’s world and highlights the role of contract lawyers for the advancement of private and commercial law. The second part analyses in comparative perspective the interplay between contractual practice and the traditional forces shaping the law (legislators, courts and professors). It is demonstrated that, on the one hand, the legislature embraced some of the standards established by contractual practice, as for example newly developed types of contracts were later codified. On the other hand, the legislature had to react to eliminate unfair contract terms. It therefore first enacted isolated mandatory rules before establishing a set of general rules for identifying and prohibiting unfair contract terms. Within Europe, there are still significant differences as to the scope of these general rules, mainly with regard to the mechanism for the control of unfair terms in contracts between businesses. Once a full-fledged general set of rules is enacted by the legislature, the legal framework remains rather stable, as it is based to a large part on general clauses. These clauses must be applied and interpreted by the courts. Shaping the law of unfair contract terms by interpreting general clauses is the main task of judges today. Historically, however, it fell to the judges to advance the law of unfair contract terms as a reaction to standard clauses developed by contract lawyers. Many rules today enshrined in statutory form were developed by private law adjudication. Finally, the relationship of contractual practice and the academic world is discussed. Scholars mainly focus on the case law addressing unfair contractual terms. They advance the law by shaping the (European) foundations of unfair contract terms law, by systemising the case law and by diagnosing reforms to be effected by the courts or by the legislature.

ERA Summer Courses: Cross-Border Insolvency Proceedings and Cross-Border Civil Litigation

sam, 04/28/2018 - 07:47

ERA Summer course on cross-border insolvency proceedings

Trier, 11-13 June 2018

This intensive course on insolvency law will introduce lawyers to practical aspects of cross-border insolvency proceedings: different national insolvency laws, EU legislation and major CJEU case law will be presented.

The course will focus on the recast EU Regulation No 2015/848 on insolvency proceedings, including the following key topics:

  • Centre of main interest (COMI) and forum shopping
  • Coordination of proceedings
  • Insolvency, cross-border security and rights in rem

Following an introduction to different insolvency law systems within the EU, participants will discuss the recent proposal for a Directive on insolvency and post-Brexit implications for insolvency and restructuring. Participants will be able to deepen their knowledge through case studies and workshops.

Cross-border civil litigation: summer course

Trier, 2-6 July 2018

“How do I recover money owed to me by my business partner residing abroad?” This is a problem that many companies and individuals are facing nowadays. The ERA summer course will provide you with answers. Get to know Brussels Ia, Rome I, Rome II, the European Account Preservation Order, the European Enforcement Order, the European Payment Order, the Small Claims Regulation, the Regulation on service of documents and taking of evidence, and the EU framework on mediation, ADR & ODR – and find out which path best to take!

You will learn:

  • …which court is competent to hear your case
  • …how to serve a judicial document
  • …how to take evidence abroad
  • …to advice on how to enforce a judgment abroad
  • …to apply the recent CJEU case law in the field
  • …which way to choose to recover money owed to your client
  • …to provide guidance on how to efficiently freeze monies in foreign bank accounts
  • …how to best apply the Rome I & II Regulations
  • …what is the added value of ADR & mediation

 

This course will provide you with hands-on experience on cross-border civil litigation cases and the recent jurisprudence of the European Court of Justice. All relevant EU instruments will be presented and analysed, both by way of lectures and case studies. You will profit from daily workshops where active participation is encouraged.

 

 

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