La transposition de la directive conduit à préciser le champ d’application de l’obligation d’assurance, à définir les modalités de contrôle du respect de cette obligation, à faciliter les conditions de la souscription de l’assurance automobile et à renforcer le régime d’indemnisation des victimes.
The University of Stirling is bringing together academics, practitioners and other stakeholders to present research examining the role of Scots law in the international legal landscape. It is hoped this will promote the ways in which Scots law can offer solutions to global legal challenges but also to offer critiques of the way in which Scots law can or must evolve to preserve and promote its value.
With many Law Schools diversifying their programme offerings beyond Scots law it is a critical time to explore the interactions between Scots law and other jurisdictions. It is also necessary to consider the relationships between the curriculum within Law Schools and the needs of legal practice.
Seminars will be delivered in hybrid format to enable busy stakeholders to engage with these discussions.
Please register for each event in the series individually here, and find out more about a seminar by emailing internationalisationofscotslaw@stir.ac.uk.
This seminar series has been generously funded by the Clark Foundation for Legal Education.
On 12 January 2024, the United Kingdom has signed the 2019 Judgments Convention (Convention of 2 July 2019 on the Recognition and Enforcement of Foreign Judgments in Civil or Commercial Matters), as announced in the press release of the Hague Conference on Private International Law.
This a milestone for private international law within the coming about of the worldwide framework for recognition and enforcement of foreign judgments and potentially a valuable instrument in the post-Brexit legal landscape.
This post is part of a series regarding Colonialism and the general structure of (German) Private International Law, based on a presentation I gave in spring 2023. See the introduction here.
As mentioned in the introduction, this series does not intent to automatically pass judgment on a norm or method influenced by colonialism as inherently negative. Instead, the aim is to reveal these influences and to initiate a first engagement with and awareness of this topic and to stimulate a discussion and reflection.
The first post (after the introduction) dealt with classic PIL and colonialism and already sparked a vivid discussion in the comments section. This second considered structures and values inherent in German or European law, implicitly resonating within the PIL and, thus, expanding those values to people and cases from other parts of the world. The third category discusses an imagined hierarchy between the Global North and Global South that is sometimes inherent in private international law thinking, for instances where courts or legislators abstractly or paternalistically apply the public policy to “protect” individuals from foreign legal norms. This is especially evident in areas like underage marriages and unilateral divorce practices found inter alia in Islamic law.
1. The public policy exception – abstract or concrete control?
The public policy exception is intended to prevent the application of foreign law by way of exception if the result of this application of law conflicts with fundamental domestic values. Such control is necessary for a legal system that is open to the application of foreign law and, in particular, foreign law of a completely different character. German law is typically very restrictive in its approach: The public policy control refers to a concrete control of the results of applying the provisions in question. In addition, the violation of fundamental domestic values must be obvious and there must be a sufficient domestic connection. In other countries, the approach is less restrictive. In particular, there are also courts that do not look at the result of the application of the law, but carry out an abstract review, i.e. assess the foreign legal system in the abstract. For a comparison of some EU Member States see this article.
2. Explicit paternalistic rules
Furthermore, there are some rules that exercise an abstract control of foreign law. Article 10 of the Rome III Regulation contains a provision that analyses foreign divorce law in the abstract to determine whether it contains gender inequality. According to this (prevailing, see e.g. conclusions of AG Saugmandsgaard Øe) interpretation, it is irrelevant whether the result of the application of the law actually leads to unequal treatment. This abstract assessment assumes – even more so than a review of the result – an over-under-ordering relationship between domestic and foreign law, as the former can assess the latter as “good” or “bad”.
Even beyond the ordre public control, there has recently been a tendency towards “paternalistic rules”, particularly triggered by the migration movements of the last decade. The legislator seems to assume that the persons concerned must be protected from the application of “their” foreign law, even if they may wish its application. In particular, the “Act to Combat Child Marriage” which was only partially deemed unconstitutional by the Federal Constitutional Court (see official press release and blog post), is one such example: the legislator considered the simple, restrictive ordre public provision to be insufficient. Therefore, it created additional, abstract regulations that block the application of foreign, “bad” law.
3. Assessment
In the described cases as a conceptual hierarchy can be identified: The impression arises that foreign legal systems, particularly from the “Global South”, are categorised in the abstract as “worse” than the German/EU legal system and that persons affected by it must be protected from it (“paternalistic norms”). As far as I can see there is a high consensus in the vast majority of German literature (but there are other voices) and also the majority of case law that the abstract ordre public approach should be rejected and that the aforementioned norms, i.e. in particular Art. 13 III EGBGB (against underage marriages) and Art. 10 Rome III-VO (different access to a divorce based on gender), should ideally be abolished. It would be desirable for the legislator to take greater account of the literature in this regard.
On 12 January 2024, the United Kingdom signed the Hague Convention of 2 July 2019 on the recognition and enforcement of foreign judgments in civil or commercial matters. As reported by Ugljesa Grusic on this blog, the UK government had announced some weeks ago its intention to move towards joining the Convention.
The next step will consist for the UK in ratifying the Convention.
The Convention will then enter into force for the UK pursuant to Article 28(2), that is, “on the first day of the month following the expiration of the period during which notifications may be made in accordance with Article 29(2)” with respect to the UK.
The notifications referred to in Article 29(2) are statements whereby a Contracting State may inform the depositary, within twelve months, that the ratification of another State (the UK, in the circumstances) “shall not have the effect of establishing relations between the two States pursuant to this Convention”. In practice, Contracting States may decide that they will not be bound by the Convention vis-à-vis any State that would later join the Convention. The Convention is currently in force for the European Union and Ukraine (since 1 September 2023), and is set to enter into force for Uruguay on 1 October 2024. None of the latter States is expected to make use of this opportunity as regards the UK.
The eighteenth annual bibliography of private international law, compiled by Symeon C. Symeonides, Willamette University, is now available.
The bibliography lists 124 books and 288 journal articles on private international law or conflict of laws and related fields, such as prescriptive jurisdiction, extraterritoriality, federal-state conflicts, as well as certain aspects of arbitration, the law of foreign relations, and international human rights.
The books and articles included in the list appeared in print in 2023, in English.
The bibliography has been posted on SSRN and can be found here.
This interesting case comment has been kindly provided to the blog by Nicolás Zambrana-Tévar , LLM, PhD, KIMEP University
The United States Court of Appeals for the Ninth Circuit has found in favor of Spain as defendant in a property case spanning several decades. A panel of three judges has unanimously ruled that, applying California conflict of law rules, Spain has a stronger interest than the claimants in the application of its own domestic law, including its own rules on prescriptive acquisition of property and the statute of limitations, thus confirming the ownership of a stolen painting, now owned by a Spanish museum.
1. Background information
In 1939, Lilly Cassirer traded a Pissarro painting to the Nazis in exchange for her family´s safe passage out of Germany. In 1954, a tribunal set up by the Allied forces established that the Cassirer family were the rightful owners of the painting. However, believing that the painting had been lost during the war, the family accepted 13,000 US dollars in compensation from the German government, which would be the equivalent of 250,000 US dollars today.
After the painting was looted, it found its way into the United States and, in 1976, Baron Hans Heinrich Thyssen-Bornemisza bought it from the Hahn Gallery of New York, where the painting was publicly in display, allegedly ignoring its origin. The Museum Thyssen-Bornemisza purchased the painting from the Baron in 1993. Claude Cassirer – the grandson of Lilly Cassirer – found out that the painting was being exhibited in Madrid and commenced proceedings under the Foreign Sovereign Immunities Act (FSIA) in 2005. The Museum is the actual defendant in the suit but it is considered an instrumentality of the Kingdom of Spain.
2. Court decisions
In 2019, a US District Judge for the Central District of California, applying Spanish law, found that court filings did not demonstrate a “willful blindness” on the part of the Museum, when it added the painting to its collection. Moreover, the judge found that it could not force Spain or the Museum to comply with the “moral commitments” of international agreements concerning the return of works of art looted by the Nazis.
In 2020, the US Court of Appeals for the Ninth Circuit found in favor of Spain, again applying Spanish law. The court ruled that, regardless of the test applied by the district judge to determine the degree of care employed by the purchaser to determine the origin of the painting, both the Baron in 1976 and the Museum in 1993, lacked actual knowledge of the theft. It is important to note that both the district judge and the court of appeals determined the application of Spanish law because they were applying federal choice of law rules.
In 2022, the US Supreme Court ruled that this case did not involve any substantive federal law issues because it basically dealt with property law. Therefore, the choice of law rules that the district judge and the court of appeals should have applied were the conflict rules of the forum state, i.e. the conflict rules of California. The Supreme Court argued that Spanish law “made everything depend on whether, at the time of acquisition, the Foundation knew the painting was stolen”. On the other hand, the claimants argued that California conflict rules led to the application of California property law, in accordance with which “even a good-faith purchaser of stolen property cannot prevail against the rightful pre-theft owner.” Basically, the Supreme Court said that in an FSIA case, the foreign state defendant has to be treated like a private defendant and that if the Museum had been a purely private entity, it would have had to return the painting. The case was returned to the Court of Appeals.
3. Conflict-of-law analysis
On 9 January 2024, the US Court of Appeals ruled that, even applying California choice of law rules, Spanish law was applicable. The court came to this conclusion applying the “governmental interest approach”. In accordance with this approach, the court first had to ascertain that the two laws in conflict – Spain and California law – were different. They were because the Spanish law provision that the defendant was relying on was article 1955 of the Spanish Civil Code, which provides that “Ownership of movable goods prescribes by three years of uninterrupted bona fide possession. Ownership of movable goods also prescribes by six years of uninterrupted possession, without any other condition”. Therefore, in accordance with Spanish law “three years of uninterrupted possession in good faith” are enough for the acquisition of title whereas California law has not expressly adopted a doctrine of adverse possession for personal property – such as works of art – and, moreover, “thieves cannot pass good title to anyone, including a good faith purchaser”. Besides, California law extends to six years the statute of limitations for claims involving the return of stolen property and Cassirer brought the claim only five years after it discovered the painting hanging at the Museum in Madrid.
Having determined that the laws in conflict were different, the court of appeals then examined and agreed that both jurisdictions – Spain and California – “have a legitimate interest in applying their respective laws on ownership of stolen personal property”. “Spanish law assures Spanish residents that their title to personal property is protected after they have possessed the property in good faith for a set period of time, whereas California law seeks to deter theft, facilitate recovery for victims of theft, and create an expectation that a bona fide purchaser for value of movable property under a ‘chain of title traceable to the thief,’ … does not have title to that property.” Therefore, there was a true conflict of laws, as both jurisdictions had real and legitimate interests in applying their respective law. Additionally, the court had to determine which jurisdiction’s interest “would be more impaired if its policy were subordinated to the policy of the other state.” Otherwise said, “which jurisdiction should be allocated the predominating lawmaking power under the circumstances of the present case”.
To do this, the interests of each jurisdiction were to be measured based on “the circumstances of the particular dispute, not the jurisdiction’s general policy goals expressed in the laws implicated”. The factors to be taken into consideration in this analysis were the “current status of a statute… the location of the relevant transactions and conduct… and the extent to which one jurisdiction’s laws either impose similar duties to the other jurisdiction’s laws, or are accommodated by the other jurisdiction’s laws, such that the application of the other jurisdiction’s laws would only partially—rather than totally—impair the interests of the state whose law is not applied”.
With respect to the first factor, the court said that it was inappropriate to judge which law is better. Also, in reply to the alleged archaism of the Spanish rule, that says that property is acquired after six years of possession, regardless of the stolen nature of the asset, the court replied that the defendant was relying on the possession with good faith during three years.
With respect to the second factor, the court of appeals reasoned that, in accordance with several precedents from the Supreme Court of California, a “jurisdiction ordinarily has the predominant interest in regulating conduct that occurs within its borders”, i.e. on Spanish territory, whereas “where none of the relevant conduct occurs in California, a restrained view of California’s interest in facilitating recovery for one of its residents is warranted.” In the case at hand, “California’s sole contact to the dispute was the happenstance of the plaintiff’s residence there.” Similarly, “California’s governmental interest rests solely on the fortuity that Claude Cassirer moved to California in 1980, at a time when the Cassirer family believed the Painting had been lost or destroyed.” Therefore, “California’s interest in facilitating recovery for that resident was minimal and the extraterritorial reach of its laws was restrained.” Since “no relevant conduct with respect of the Painting occurred in California, the impairment of California’s interest that would result from applying Spanish law would be minimal.”
The court went on to say that, in contrast, “applying California law would significantly impair Spain’s interest in applying Article 1955 of the Spanish Civil Code. For one, because the relevant conduct [the purchase of the painting] occurred in Spain” so that “Spain has the “predominant interest in applying its laws to that conduct.” Furthermore, “applying California law would mean that Spain’s law would not apply to property possessed within Spain’s borders, so long as the initial owner (1) happened to be a California resident (a fact over which… the defendant has no way of knowing or controlling…, and (2) the California resident did not know where the property is located and who possessed it. Applying California law based only on Claude Cassirer’s decision to move to California would strike at the essence of a compelling Spanish law.”
With respect to the third factor and also in accordance with past precedents of the California Supreme Court, “the court should look to whether one jurisdiction’s laws accommodate the other jurisdiction’s interests or imposes duties the other jurisdiction already imposes… A state’s laws can more readily be discarded if the failure to apply its laws would only partially—rather than totally—impair the policy interests of the jurisdiction whose law is not applied…. Here, the failure to apply California’s laws would only partially undermine California’s interests in deterring theft and returning stolen art to victims of theft, which provides further support for limiting the extraterritorial reach of California’s laws to this dispute.
On the other hand, “applying Spanish law would only partially undermine California’s interests in facilitating recovery of stolen art for California residents. California law already contemplates that a person whose art—or other personal property—is stolen may eventually lose the ability to reclaim possession: namely, if the person fails to bring a lawsuit within six years after he discovers the whereabouts of the art… Similarly, Article 1955 of the Spanish Civil Code accommodates California’s interest in deterring theft. As we have explained, Spanish law makes it more difficult for title to vest in an “encubridor,” which includes, “an accessory after the fact,” or someone who “knowingly receives and benefits from stolen property…. If the possessor is proven to be an encubridor, Spanish law extends the period in which the property must be possessed before new prescriptive title is created.”
4. Concluding remarks
This complex and interesting case seems to be coming to an end. In brief, and despite the complexity of the application of the theory of interest analysis, it seems that the US court has given the same solution which a civil court would have given, applying the usual rule that the law applicable to property rights is the law of the place where the property is located at the time of the transfer. So far, it appears that the increasing sensitivity towards cultural property and towards unraveling war crimes has not fully displaced this conflicts rule.
An unintended consequence of the war in Ukraine is that a number of Ukrainian surrogate mothers have travelled to other countries to give birth.
The French press has reported that surrogate mothers who had entered into agreements with French residents were repatriated to France to give birth there.
The problem is that surrogacy is prohibited in France. This is why the French Court of Cassation initially ruled that the entire enterprise aimed at evading French law, and that the parenthood resulting from the surrogacy should thus be denied recognition in France. But, as readers will know, the ECtHR ruled that this result violates the child’s right to respect for private life within the meaning of Article 8 of the European Convention on Human Rights.
Does the fact that the birth takes place in France as opposed to a country where surrogacy is legal change anything?
Establishing ParenthoodThe first problem arising in this case scenario is that French law (obviously) does not establish the parenthood of the intended mother and cancel the parenthood of the surrogate mother. Quite to the contrary, if a Ukrainian woman gives birth in France, she is automatically the mother.
As a consequence, the intended parents put in place the following scheme:
An interesting question is whether one could still claim that the surrogacy was validly constituted abroad.
Two major differences between this case scenario and the more traditional one is that the birth occurred in a country were surrogacy is illegal, and that no foreign document establishes the parenthood of the intended mother. It is therefore difficult to say that the issue is one of ‘recognition’ of a foreign situation, or of a foreign official act.
But even this is not so, which law should a French court apply to determine the validity of the surrogacy? To my knowledge, this is an issue of first impression, but one would tend to think that the choice of law applicable to parenthood should be applied. This would lead, in France, to the application of the national law of the mother. Although the relevant provision does not define the concept of mother, it seems clear that the French lawmaker had in mind the biological mother. Thus, Ukrainian law might apply, and the surrogacy might be foreign irrespective of where the birth took place.
The next steps of the reasoning would then be whether the result would comport with French public policy, and whether you would need to determine separately the applicable law to the parenthood of the intended parent.
Does it Matter?Maybe not, at least from the perspective of PIL.
The European Court of Human Rights has repeatedly insisted that the fundamental right of the children demand some form of acceptance of surrogacy. And it does not seem that the court has limited the scope of this right to cases where the surrogacy was validly constituted abroad.
Why should it, after all? The problem of the children is not fundamentally different if the parents acted illegally.
What about Criminal Law?The issue might be different from the perspective of criminal law. It is easier to argue that a surrogacy eventually resulting in a birth in France falls within the territorial scope of French criminal law than a surrogacy organised from France by the intended parents.
The French press has reported that a French organisation has informed prosecutors in five different cities, and that one prosecutor has initiated criminal investigations in one of them. There are a number of French criminal offences which might apply to the process of surrogacy: “provocation à l’abandon d’enfant”, “entremise entre un couple et une personne acceptant de porter l’enfant”, “substitution volontaire, simulation ou dissimulation ayant entraîné une atteinte à l’état civil d’un enfant”.
The prosecutor, however, closed the case in October 2023. Remarkably, he did so on the ground that the surrogacy was “carried out” in a country where it is legal, and that the constitutive elements of the offences had thus taken place abroad. The French criminal code provides that it is enough that one constitutive element of the offence took place in France for French criminal law to apply. It is hard to see how the birth could not be one of the constitutive elements of all of these offences.
Is the case law of the ECtHR relevant in this context? Probably not: the criminal consequences of the actions of the parents will be personal, and will not directly affect the children.
Should French Social Security Pay for the Costs of the Delivery?Two hospitals where Ukrainian surrogate mothers gave birth have sent an invoice to the intended parents for the costs of the delivery.
French social security covers the medical costs of birth for women entitled to such benefit. The French couples who organised Ukrainian surrogacies would likely be entitled to see most of the costs of their delivery being paid by social security, but not women covered by a foreign social security (although there might be rules for covering emergency birth on French territory: comments from specialists of international social security law welcome).
Several French intended parents have refused to pay the invoice, and have announced that they will challenge the decision of the hospitals to issue the invoices in administrative courts. Will French courts accept that evasion of French law should be funded by French taxpayers?
On 11 January 2024, the Apostille Convention entered into force for Canada. The accession of Canada to the Apostille Convention on 12 May 2023 was a milestone for the Apostille Convention and it is perhaps a development that has gone under the radar.
Considering that the Apostille Convention was adopted in 1961 (EIF: 24-I-1965), one may wonder why Canada took so long to join the Apostille Convention. This is primarily because there is no statutory requirement for the legalisation of incoming public documents in Canada. In its response to the 2021 Questionnaire, Canada indicated:
“There is no Canadian statutory requirement to legalise foreign public documents. In some cases, Canadian public authorities have the discretion to determine the applicable authentication requirements. These authorities could require these documents to be legalised.
“In Québec, Article 2822 of the Civil Code of Québec (CCQ) exempts foreign public documents from legalisation by providing that neither the quality nor the signature of a foreign officer issuing a document need [to] be proved. The presumption of authenticity provided by article 2822 CCQ is rebuttable as prescribed by article 2825 CCQ.
“Private-sector organisations and individuals may require legalised foreign public documents, as no law prevents them from doing so. While not a requirement under Canadian law, Canadian embassies and consulates legalise foreign public documents when requested to do so.”
Nevertheless, Canadian – and other – citizens needed to overcome the obstacle of getting Canadian public documents legalised (e.g. by Global Affairs Canada, Authentication Services Section in Ottawa, plus a foreign mission in Canada). What in the lingo is referred to as “outgoing public documents”. This system will continue to operate when the receiving State is not a Contracting Party to the Apostille Convention or in the – rare – case that the public document falls outside the scope of the Apostille Convention e.g. documents executed by diplomatic and consular agents (Art. 1(3)(a) of the Apostille Convention).
No declarations were filed by Canada (apart from the designated Competent Authorities). As expected, no Contracting Party objected to the accession of Canada.
I take the opportunity to also make reference to another milestone for the Apostille Convention: the recent accession of the People’s Republic of China. The People’s Republic of China acceded to the Convention on 8 March 2023 and entered into force on 7 November 2023.
The Apostille Convention has continued to apply to both the Special Administrative Regions of Hong Kong and Macao given the declarations of the People’s Republic of China. The Apostille Convention first applied to Hong Kong (EIF-1965) and Macao (EIF-1969) when they were both under the international responsibility of the United Kingdom and Portugal, respectively.
As indicated in its declaration, the Apostille Convention will not be applicable between the People’s Republic of China and those Contracting States that China does not recognize as sovereign states (i.e. no bilateral application) and understandably, no list was provided. India objected to the accession of the People’s Republic of China in accordance with Article 12 of the Apostille Convention, and as a result, the Convention will not apply between these two States.
With the accession of both Canada and the People’s Republic of China, the Apostille Convention applies in -an additional- area of approximately 19 million square kilometers. These developments and the existence of the e-APP (electronic Apostille Programme) show that the Apostille Convention remains relevant and continues to grow from strength to strength.
Un peu moins dense que la précédente, parce que la Cour européenne des droits de l’homme s’est accordé un peu de répit pendant les dix derniers jours de l’année, la séquence bimensuelle novembre-décembre 2023 aura surtout été marquée par une surprenante irrecevabilité prononcée en grande chambre dans une affaire relative à l’interdiction des manifestations publiques pendant la période de lutte contre la covid-19, cinq arrêts retentissants concernant la France et par d’importants arrêts relatifs à la grève des enseignants relevant de la fonction publique, à la lutte contre les violences sexuelles sur les lieux de travail, à celle contre la traite des êtres humains, au droit à un acte de naissance, à la technique dite du kettling ou encerclement policier… Après avoir constaté la vitalité des articles 2, 3, 5, 6, 8,11 et 1 du Protocole n° 1, il faudra encore s’intéresser au contentieux russe postérieur au 16 septembre 2022 toujours aussi abondant, et mettre en évidence d’importantes décisions ou initiatives relatives à la procédure européenne.
Sur la boutique Dalloz Les grands arrêts du droit des libertés fondamentales Voir la boutique DallozAn international symposium on the circulation of personal status be held on January 19, 2024 at the Italian Court of Cassation.
The symposium is organized by the Société de législation comparée (Section méthodologie comparée du droit civil), the Associazione Civilisti Italiani, the International Commission on Civil Status in collaboration with the Law Faculty of the Université Côte d’Azur.
The significance of this topic is paramount in light of the growing international mobility of individuals and families. For this reason, the conference will address key aspects of personal status, including civil status, personal identification, the union of persons, parenthood, and nationality.
The approach is decidedly comparative and internationalist, as evidenced by the diverse panel of speakers (and chairs):
Presentations will be held in French and Italian.
Those interested in attending can do so either in-person or on-line.
Attendance is free, but prior registration is required by January 17, 2024, through segreteria.civilistiitaliani@gmail.com.
Remote participation is also possible; the link for connecting to the platform will be made available by January 17, 2024, and will be communicated to anyone who requests it.
Additional information, including the full programme of the conference, can be found here or here.
Symposium Directors:
This is possibly the longest title of any of my posts and rightly so for the issues in current judment are extensive. Bourlakova & Ors v Bourlakov & Ors (Rev1) [2023] EWHC 2233 (Ch) is a follow-up to Bourlakova v Bourlakov [2022] EWHC 1269 (Ch) which I discuss here; in the meantime Mr Bourlakov has passed away, leaving the other defendants.
Claimants ask for permission to amend their PoC (Particulars of Claim) including the proposed joinder of an additional claimant. Some of the Defendants have themselves made three related applications, namely (a) to adjourn the hearing of the Claimants’ amendment applications (b) for permission to rely on further evidence and (c) for a stay under A33 or 34 Brussels Ia of such amended claims for which the Claimants may be given permission.
The case first of all raises an interesting discussion on applicable limitation periods (attached to Panama law as the lex causae under Rome II) as compared to carved-out procedural issues under Rome II (and English residual conflicts law), subject to English law as lex fori. It then discusses a number of jurisdictional issues.
First, on the limitation periods, discussed by Smith J [56] ff against the background of the Panamian Penal Code (‘PC’). Of note is that defendants only have to raise a reasonably arguable limitation defence in relation to these new damages claims (hence the discussion need not contain the Alfa and Omega of the issues) and it is worthwhile to see the competing arguments in full [64] ff (footnotes omitted):
Panamanian law admits of a civil claim in damages for those guilty of a criminal offence. The specific offences relied upon by the Claimants are those identified in Articles 220, 243 and/ or 253 PC. Although the route by which this is achieved is contentious, it is common ground that Panamanian law governs the question of any available limitation defence to claims brought under these articles. It is also common ground that the damages claims could be brought in Panama in different ways, namely
(i) within criminal proceedings;
(ii) before the civil courts without awaiting the outcome of any criminal trial; or
(iii) before the civil courts after the criminal court has issued its final liability ruling.
[Defendants] say that if, as here, a claim for civil damages arising from alleged criminal acts under Articles 128 and 129 PC is filed without a criminal conviction having first been obtained or in the absence of criminal proceedings, this would have to be submitted as an extra-contractual or tortious claim under Article 1644 of the Civil Code (CC) which provides that:-
“Whoever by act or omission causes damage to another, through fault or negligence, is bound to repair the damage caused. If the act or omission is attributable to two or more persons, each of them shall be jointly and severally liable for the damage caused.“
[Defendants] also say that the relevant limitation period for such a claim is one year by operation of Article 1706 CC which provides:-
“The civil action to claim indemnification for slander or insult or to demand civil responsibility for the obligations resulting from guilt or negligence to which Article 1644 refers, shall prescribe in the term of one (1) year, counted from the moment in which the victim knew.
If criminal or administrative action is timely initiated for the facts foreseen in the previous paragraph, the prescription of the civil action shall be counted from the moment when the criminal judgment or the administrative resolution became firm, as the case may be.
For the recognition of the civil claim, in no case is the intervention of the criminal jurisdiction essential.”
The Claimants disagree with this analysis. They say that a claim for civil damages for an alleged criminal act may be brought directly under Articles 128 and 129 PC (without regard to Article 1644 CC) by operation of Article 977 CC which provides that :-
“Civil obligations arising from crimes or offences shall be governed by the provisions of the Penal Code.”
The Claimants say that the applicable limitation period for a claim under Articles 128 and 129 PC is seven years by operation of Article 1701 CC which provides that:-
“Actions in personam for which there is no special limitation period shall prescribe in seven years.”
This is where the Rome II procedural carve-out becomes relevant, and I will limit the discussion here to the Rome element: [71]
Before which court in Panama any claim could be asserted is a matter of procedure (whether considered under Rome II or the common law). According to Dicey, Morris & Collins on the Conflict of Laws (16th ed., at [4-074]), this includes the question whether a civil action can be brought in respect of alleged criminal acts before criminal proceedings have been taken. Since the English court is only concerned with the relevant foreign law as it applies to matters of substance, the Claimants are entitled to rely on the limitation period which remains available under Article 116 PC even if criminal proceedings have not begun and may not yet eventuate.
[72 [Defendants] say that there is a world of difference between the English court ignoring as a bar to recovery a procedural requirement for criminal proceedings prior to the commencement of a civil action (a proposition from which they do not demur) and the broader proposition (from which they do) that, where multiple potential routes for bringing civil damages claims are available locally, it matters not which particular procedural route the claimant has, in fact, adopted. The Claimants have brought a claim where there has been no criminal conviction as they were entitled to do so under Panamanian law. Having done so, the limitation period is one year. No question of having or failing to comply with local procedural requirements arises.
[73]
I understand the logic of the Claimants’ position that, being a matter of procedure, it is irrelevant which particular course the Claimants may, in fact, have pursued in this case. However, it seems to me that the distinction between the position indicated in Dicey, where the need for a criminal conviction is a bar to the commencement of a civil action, and the position here, where multiple routes are potentially available, may, in fact, be more meaningful than the Claimants suggest. I am therefore unable to say, without more direct authority on the point at least, that the [defendants’] limitation defence falls short of the reasonably arguable threshold on this account.
yet on the point of the actual damages sought, and other elements of the claim, the defence does fall short and the eventual conclusion is that the limitation defence fails. The judgment is a bit dense to read on the factual elements of the various claims however its overall emphasis on procedure v lex causae is really quite relevant.
The judgement subsequently discusses the jurisdictional issues with given the amendment of the claims, a shift from the alternative Monegask forum before Trower J, to [107]Panama or Florida now the suggested alternative fora to England.
[108] The jurisdictional issues arising on these amendment applications are whether:-
(i) despite the UK’s withdrawal from the EU, the Brussels Recast (including Article 8(1)) applies to the proposed new claims against the Kazakovs and Mr Anufriev;
(ii) in relation to the Claimants’ proposed new claims subject to the common law regime, England, Panama or Florida is clearly and distinctly the appropriate forum;
(iii) the Claimants’ proposed new claims against the ‘anchor defendant’, Leo Holding, are artificial and abusive such that the amendment applications fail for lack of jurisdiction, whether through their inability to invoke Article 8(1) of the Brussels Recast or the relevant jurisdictional gateway at common law;
(iv) Gatiabe is a ‘necessary or proper’ party with respect to the proposed new claims concerning the ownership of that company; and
(v) if the EU jurisdictional regime does apply to the Kazakovs, whether a stay should be granted under Articles 33 and 34 of the Brussels Recast of any new claims the Claimants might be permitted to advance.
(i) Application of Brussels Ia at all following the UK-EU Withdrawal Agreement: “legal proceedings instituted before the end of the transition period”
Article 67.1(a) WA provides that “in respect of legal proceedings instituted before the end of the transition period and in respect of proceedings or actions related to such legal proceedings pursuant to Articles 29, 30 and 31 of [the Brussels Recast]”, the provisions of the Brussels Recast shall continue to apply. Are permitted amendments caught by ‘proceedings instituted’? [116-117] the judge, referring to Simon v Taché, that Article 67 WA preserves the applicability of Brussels Recast to “proceedings” and not to particular claims or, here, unamended claims in proceedings.
(ii) and (iii) Abuse of the anchor defendant mechanism
The judge [128] sees no reason under BIa to conclude that claimants’ claims against Leo Holding are artificial, abusive or do not reflect a genuine intention to sue the ‘anchor defendant’, and repeats that [134] conclusion under the obiter English gateway.
(iv) a lengthy and largely obiter forum non conveniens discussion ends [212] with both Florida and Panama being rejected as a more appropriate forum, and (v) [213] the A33-34 stay was not discussed at hearing but, it seems, may be revived at a later stage (which would be highly relevant) and therefore [223] has been deferred.
Quite the judgment.
Geert.
Various EU law jurisdictional issues
Incl application of Brussels A ratione temporis given WA; abuse of anchor defendant mechanism; application of A33-34 'forum non light'
More on the blog soon
Bourlakova & Ors v Bourlakov & Ors [2023] EWHC 2233 (Ch)https://t.co/ixIzSCt20c
— Geert Van Calster (@GAVClaw) September 11, 2023
The second issue of 2023 of the open-access journal Cuadernos de Derecho Transnacional has been released. As usual, it contains studies (Estudios) and notes (Varia), in Spanish and in other languages.
A selection kindly provided by the editorial team of the journal include the following studies.
Alfonso Luis Calvo Caravaca/Javier Carrascosa González, Ley aplicable a los regímenes económicos matrimoniales y Reglamento 2016/1103 De 24 Junio 2016. Estudio técnico y valorativo de los puntos de conexión (Law Applicable to Marriage Property Regimes in Regulation 2016/1103 of June 24, 2016. A Technical and Value Analysis of the Connecting Factors)
The purpose of this study is to explore the system of connections to determine the Law applicable to the matrimonial property regime in Regulation (EU) 2016/1103 of the Council of June 24, 2016 establishing reinforced cooperation in the field competition, applicable law, recognition and enforcement of resolutions in matrimonial property regimes. Not only are the connecting factors in the Regulation analyzed through a technical examination, but also using a value focused test. From a technical point of view, some solutions could have been presented with greater transparency and coherence with other European regulations. On the contrary, from a value view, it should be highlighted that the connecting factors used lead to efficient, predictable and clear solutions that favour proper management of matrimonial assets in our current social scenario, in which the spouses frequently change their country of habitual residence and nationality and in which the assets linked to the matrimonial economy are usually scattered throughout several countries.
Briseida Sofía Jiménez-Gómez, Distributed Ledger Technology in Financial Markets: The European Union Experiment (La tecnología de registro descentralizado en los mercados financieros: el experimento de la Unión Europea)
The European Union Regulation 2022/858 of 30 May 2022 establishes a pilot regime for market infrastructures based on distributed ledger technology. The Pilot Regulation is part of the 2020 Digital Finance Strategy whose objective is for the European Union to embrace the digital revolution and to benefit consumers and business. This article analyses the reasons of this new regulatory option and why this represents a different paradigm of legislation, considering first some advantages, risks and challenges that applying distributed ledger technology in financial markets can encounter. Moreover, this article examines the content of the EU Pilot Regulation with a critical perspective, comparing the previous proposal of Regulation with the current Pilot Regulation which enters into force mainly in March 2023. Significance of this Pilot Regulation could be enhanced if it coordinates with other policy goals such as sustainability and transparency set by the EU legislator. Lacking that coordination, this Pilot Regulation could be perceived as a miss opportunity to foster a digital and green financial markets transition.
Juliana Rodríguez Rodrigo, La publicidad de l@s influencers. (Influencer marketing)
Studies show that surreptitious advertising is a common practice carried out by influencers. This behaviour is an attack on the followers and on the advertiser’s competitors. In relation to the former, because it is not clear about the commercial nature of the influencer’s message and may make them think that they are dealing with a personal opinion of their leader. Regarding the latter, because, with it, they are making the brand compete unfairly with the rest of the competitors in the market. It is important, therefore, to identify when the advertising carried out by influencers is illegal because it is covert. There are two elements that must be present in order to reach this conclusion. Firstly, there must be a commercial purpose, which can be proven by the existence of a remuneration. And, secondly, this promotional purpose of the influencer does not appear clear and unequivocal to the user. In relation to the latter, the follower cannot deduce this commercial character either from the content of the message or from its location and, on the other hand, the influencer has not incorporated the necessary information to make it known.
The notes, instead, include the following.
Isabel Antón Juárez, Louboutin vs. Amazon: ¿Un litigio más sobre la responsabilidad de las plataformas digitales en el uso de una marca?. Comentario de la sentencia del TJUE de 22 de diciembre de 2022, asuntos C-148/21 y C-184/21 (Louboutin vs. Amazon: One more litigation about the liability of digital platforms in the use of a trademark? Commentary on the ECJ ruling of 22 December of 2022, cases C-148/21 and C-184/21)
The aim of this paper is the analysis of the ECJ ruling of 22 of December of 2022. The question that is resolved in the ruling we analyze is whether the fact that a third party that uses Amazon as a means to advertise and market counterfeit products can imply that the platform itself is directly liable for said infringement. It must be kept in mind that this direct responsibility of the platform would only be possible if it is considered that the platform itself uses another’s trademark within the meaning of art. 9.2 letter a) of Regulation (EU) 2017/1001. The study of this matter is necessary because it implies a greater precision even we can consider a change in the case law of the ECJ on the direct trademark liability of platforms. Following this ruling, a platform can be considered to use a trademark if, based on the perception of the average user who uses the platform, a link can be established between the trademark and the platform due to aspects such as (1) the way in which the platform offers the products (ad ex. in a homogeneous manner without differentiating between its own products and those of its sellers) and (2) the complementary services that the platform itself offers to its sellers.
Fernando Díez Estella, De nuevo la batalla por la cuantificación del daño y la estimación judicial: La STJUE tráficos Manuel Ferrer (Again, the battle of harm quantification and judicial estimation: the CJEU ruling tráficos Manuel Ferrer)
Almost a decade after the approval of Directive 2014/104/EU on damages arising from anticompetitive offenses, although the principles that inspire it are now firmly established, its practical application has encountered a myriad of problems, both substantive and procedural. The main obstacle faced today by those who exercise their right to compensation is undoubtedly the quantification of the damage. Together with the tools of access to the sources of evidence, or the presumptions to redistribute the burden of proof in the process, the possibility of judicial estimation of the compensable damage has been configured. This commentary analyzes this novel figure, following the CJEU Judgment in the Tráficos Manuel Ferrer case, as well as the Spanish jurisprudence in this respect, such as the emanating from the Commercial Court nº 3 of Valencia, and essentially the landmark Supreme Court’s sentences of June 2023. Although there are still some aspects to be defined, all these pronouncements have delimited when it is possible and when it is not possible to make use of this capacity.
Tout en soulignant généralement que la contribution des magistrats à la diffusion du droit s’inscrit dans le cadre de leurs fonctions, la Cour européenne des droits de l’homme constate, dans l’affaire Wolter Kluwers France tranchée par la Cour de cassation le 28 février 2018 (n° 16-50.015), que les relations professionnelles de trois conseillers avec l’une des parties à la procédure étaient régulières, étroites et rémunérées, ce qui suffit à établir qu’ils auraient dû se déporter et que les craintes des requérants quant à leur manque d’impartialité pouvaient passer pour objectivement justifiées en l’espèce. Il s’ensuit qu’il y a eu violation de l’article 6, § 1er, de la Convention européenne des droits de l’homme.
Sur la boutique Dalloz Code de procédure civile 2024, annoté Voir la boutique Dalloz
Theme by Danetsoft and Danang Probo Sayekti inspired by Maksimer