Disarmament Debates around the 1899 Hague Peace Conference and the 1921–1922 Washington Conference: Community-Oriented Aspirations and Individual Security Concerns

Author(s):  
Mika Hayashi

Abstract When disarmament started to interest the major states and international lawyers at around the time of the 1899 Hague Conference, two distinct positions concerning the law of disarmament became apparent: proponents and opponents. The proponents, with their community-oriented aspirations, found much merit in establishing the law of disarmament, while the opponents, with their individual security concerns, saw nothing but negative consequences for such a possibility. Given these two forces in the disarmament debate, one could wonder how the 1921–1922 Washington Conference was able to produce a treaty limiting the naval armament. This article tries to show that the Washington Naval Treaty was different from the law of disarmament that the proponents had envisioned, and that it was made possible by carefully crafted provisions to limit its own impact on the security of the naval powers.

2018 ◽  
Vol 60 (2) ◽  
pp. 221-232
Author(s):  
Tareq Na’el Al-Tawil ◽  
Prabhakar Gantasala ◽  
Hassan Younies

Purpose This paper aims to discuss the benefits and disadvantages of the law on the expansion of the jurisdiction of the Dubai International Financial Centre (DIFC) Court. The major role of DIFC Courts in the Arab community is to handle cases related to commerce and business. For a long time, the court had been acting only in their geographical area until a new law was enacted to extend their jurisdiction all over the world. Afterward, a lot of criticism emerged as for why and how the court will benefit from such actions. The law has drawn a harsh response, although most benefits have also been experienced since the court received quite a large number of new signings. Interaction at the world business forum has benefited the economy of Dubai thanks to the law. Design/methodology/approach The following study focuses on a description of such benefits and drawbacks. The study does not evaluate a factual process of expansion but indicates the most distinct evidence of positive, as well as negative consequences of the expansion. Findings It is appropriate to make a general comment on the fact that the expansion of DIFC Court is not sufficiently effective at the current stage. Needless to say, it contains numerous positive aspects, but the gaps are evidently essential because they place the entire Court in a hard circumstance. The Court does not have a well-developed legal framework for its new area of jurisdiction as long as its limited volume of prior precedent is a distinct sign of the Court’s dependence on the UAE’s Law. In such way, DIFC Court will not be able to address issues within new fields of jurisdiction, as it simply lacks an expertise and international law in its legal framework. Moreover, the jurisdiction over new areas of international business was not verified with a plain system of mediation, which is why a current expansion of DIFC Court has to be recognized as redundant. However, its advantages are tending to produce their effects provided that the Court manages to address its current problems. Originality/value The study has described the basic benefits and drawbacks of DIFC Court expansion. To speak about the main benefits, they can be depicted as appliance of the common law, unification of English language for proceedings, presence of a preliminary arbitration and guarantees of award enforcement. In a similar way, the drawbacks of the expansion have been issued. The study has identified such drawbacks as lack of international and sophisticated expertise, untested legal framework, strong influence of forum non conveniens, and existence of a limited volume of prior precedent. The paper has not assessed a success of a factual expansion of DIFC Court jurisdiction, but it has managed to fulfill its primary purpose. Thus, the paper has identified a certain tendency concerning the expansion.


Author(s):  
Максим Владимирович Кремлев

Автор, основываясь на ранее проведенных исследованиях, определяет место и роль пенитенциарной информации в процессе раскрытия и расследования преступлений. Указывается, что пенитенциарная информация превращается в процессуальную и, соответственно, в доказательственную посредством поэтапного прохождения через комплекс действий, облеченных в формы пенитенциарного, оперативно-розыскного и процессуального законодательства. Устанавливаются наиболее уязвимые места с точки зрения содержательного наполнения и процессуального оформления получаемых в рамках режимной деятельности сведений. Таковыми выступают места «сочленения» видов деятельности. Основой для подобного рода высказывания выступает разница в нормативном регулировании, в сменяемости и целеполагании исполнителей, а также их представлении о критериях успешности выполненной работы. В качестве подтверждения выдвинутого тезиса приводится пример из правоохранительной практики использования пенитенциарной информации в процессе доказывания, имеющий негативные последствия. Предлагаются направления совершенствования получения пенитенциарной информации с целью усиления ее доказательственного потенциала. In this article, the author, based on previous research determines the place and role of penitentiary information in the process of disclosure and investigation of crimes. It is specified that penitentiary information turns into procedural and, accordingly, into proofs by means of step-by-step passing through a complex of actions exposed in forms of the penitentiary, operational-search and procedural legislation. The most vulnerable places from the point of view of substantial filling and procedural registration of the data received within regime activity are established. These are the places of “articulation” of activities. It is concluded that the basis for this kind of statement is the difference in regulatory regulation, in the turnover and goal-setting of performers, as well as their representation of the criteria for the success of the work performed. As a confirmation of the proposed thesis, an example from the law enforcement practice of using penitentiary information in the process of proving having negative consequences is given. Directions of improvement of receiving penitentiary information for the purpose of strengthening of its evidentiary potential are offered.


2018 ◽  
Vol 21 (5) ◽  
pp. 67-79
Author(s):  
Marta Makowska

For many years, the subject of aggressive marketing campaigns conducted by pharmaceutical companies has been raised in Poland. Drug ads are everywhere, on television, the radio, magazines and on the Internet. Therefore, it is extremely important is to ensure both their legal and ethical dimension. This article will present the differences between direct-to-consumer advertising of medicines in Poland and in the US. The dissimilarities result mainly from differences in legislation. In Poland, the law is much stricter than in the US. For example, in the United States companies are allowed to advertise prescription drugs directly to patients. In the whole of the European Union, and thus in Poland, it is strictly prohibited. The article will also present other regulations existing in Poland and in the United States and it will compare them. It will offer examples of violations of the law and ethics in the advertising of medicine in both countries. Lastly, it will briefly outline the negative consequences of unacceptable pharmaceutical marketing.


1987 ◽  
Vol 30 (1-2) ◽  
pp. 151-178
Author(s):  
Maria Zabłocka

Under the reign of Augustus’ successors both lex Iulia et Papia as well as lex Iulia de adulteriis coercendis were subject to changes. Lex Iulia et Papia imposed an obligation to remain in the state of matrimony for men and women until a certain age limit; if the men were past this age limit negative consequences of avoiding the binding orders came no longer into consideration. SC Pernicianum extended the said consequences over people well advanced in years who earlier had not met the requirements of the law. SC Claudianum attempted at softening the sternness of the changes but only in relation to men since according to SC Calvisianum women were excluded from it. However, the reasons for enacting these SC seem to have departed from the intensions propagated by Augustus. New regulations aimed at only fiscal reasons and partially (SC Claudianum) personal situation of the Princeps. Application of lex Iulia de adulteriis was also gradually changed. Tiberius increased the punishability of facts recognized as crimes by the act and extended its application over new facts. Whereas Caligula abrogated punishability of facts falling under the notion of lenocinium and imposed taxes on them instead.


Author(s):  
P.V. Lushnikov

The article deals with the issues of gaps in law, it is stated that at present the problem of gaps is caused by the development of public relations. The negative consequences of gaps and their causes are determined. Several classifications of gaps that are made in science are considered. It is concluded that the deliberate creation of gaps by the subjects of law-making can be a corruption-induced factor. The classification of gaps depending on the truth (real and imaginary) is analyzed in detail. It is concluded that under the imaginary spaces can occur, both the addressees and the addressees of legal messages. In the first case, the addressees due to lack of necessary knowledge may have a false idea about the lack of legal regulation. When considering the second option, there is agreement with the scientific position that the addressees may, for subjective reasons, try to resolve gaps in the law, which do not really exist, thereby giving rise to excessive legitimization or real gaps. The article considers the options of filling the gaps in the law proposed in science. Further, it is proposed to apply to this problem the provisions of hermeneutics. The possibility of applying hermeneutic methodology to eliminate gaps is substantiated. It is concluded that preliminary modeling of communicative processes in the course of law-making can be used as a measure to counteract the gap in laws. The author suggests the need to limit the "arbitrariness of the reader" in the process of applying the analogy of law and law, as well as in the process of forming a legal precedent.


2020 ◽  
pp. 27-33
Author(s):  
R.B. Poliakov

The article is devoted to the formation and development of the competitive process in independent Ukraine, namely in the 90s of the twentieth century, during its economic downturn. The normative legal acts of that period, which regulated the insolvency relations and the corresponding Explanations of the Supreme Arbitration Court of Ukraine, are studied. It is emphasized that the first act of the competitive process of independent Ukraine — the Bankruptcy Law at 1992, proved to be very simple to solve the problems of insolvency of large industrial enterprises. The author accentuates that this law in its essence resembled the competitive process of the XIX century, where there was only a liquidation procedure. The lack of a full-fledged financial recovery procedure, traditional measures of the bankruptcy process, a professional arbitration manager and legal deadlines for the regulation of bankruptcy proceedings led to litigation and unjustified liquidation of strategic industrial enterprises for the state. It is argued that the purpose of the Explanations of the Supreme Arbitration Court of Ukraine dated 18.11.1998 was to increase the efficiency of the law itself, mitigate the negative consequences of its application, resolve problems of simultaneous settlement of commercial disputes in litigation with consideration of monetary claims of creditors in bankruptcy proceedings. The important points of this Clarification are emphasized concerning the application of procedural norms, the legal status of the participants in the case, the structure and content of the application for initiating bankruptcy proceedings, the functions of the court, the work of the liquidation commission, etc. It is noted that the Clarification not only facilitated the work of arbitration courts and participants in the bankruptcy proceedings, but also allowed to properly understand the essence of the bankruptcy process itself, previously unknown to the legal science of Ukraine. It is argued that the Bankruptcy Law at 1999 was of revolutionary significance for the development of the bankruptcy process in Ukraine. He significantly intensified the activities of arbitration courts. Significantly increased the number of bankruptcy cases initiated by debtors, including large industrial enterprises. In many cases, the courts began to apply reorganization and amicable agreement procedures. There are differences between the Bankruptcy Laws at 1992 and 1999, in particular in their direction. As a result of the study, the author concludes that the benefits provided by the Bankruptcy Law of 1999 could be used by debtors in respect of whom cases were initiated under the "old" version of the Law. The activities of arbitration managers allowed to maximize the efficiency of the bankruptcy procedure in terms of financial recovery of debtors and repayment of creditors’ claims.


2021 ◽  
Vol 65 (11) ◽  
pp. 115-122
Author(s):  
P. Gudev

The Aegean Sea as a common sea region for Greece and Turkey is not only an important source of aquatic biological and energy resources, but also a water area where both countries have their own interests in its economic development and use. Traditionally, this sea area, most of which is a high sea in terms of rules and provisions of the modern international maritime law, has been used by both states on a parity basis, and other extra-regional countries have had equal rights with them here. However, the desire of Greece and Turkey to extend their zones of sovereignty, sovereign rights and jurisdiction over maritime zones, seabed and subsoil has given rise to new maritime disputes. It is no coincidence that the problem of delimiting the continental shelf, i. e. the underwater margin of the continent where coastal countries are vested with rights to explore and exploit its resources, has accompanied the Turkish-Greek negotiations for decades. Greece has even initiated legal proceedings before the International Court of Justice on the issue, but for various reasons the Court found that it had no jurisdiction to hear the case. To date, the positions of the parties on this issue have not changed; they are directly opposite and mutually exclusive. This and other circumstances, as well as the fact that Turkey is not a party to either the 1958 Geneva Conventions or the 1982 UN Convention on the Law of the Sea, severely limits the possibility of a new trial. Moreover, the legal positivism of the Greek position on the entire spectrum of Aegean Sea problems, i. e. an appeal solely to the applicable rules and provisions of international law of the sea, not only fails to satisfy Turkey but also has negative consequences for other countries. First of all, this concerns issues related to the freedom of navigation. Greece’s claim to extend the outer limits of its territorial sea from 6 to 12 nautical miles around the huge number of Greek islands in the Aegean Sea would inevitably lead to a significant reduction of the high sea. Although at a minimum the right of innocent passage and at a maximum the more liberal rule of the law of the sea – the right of transit passage – will apply, the legal regime for these maritime areas will be fundamentally different and more heavily regulated. The passage of merchant ships and warships, as well as the overflight of military aircraft, including those of any foreign country, also of the U.S. and Russian Federation, will not be as free as on the high seas. All of these issues are dealt with in this (second) part of the paper. Acknowledgements. The article was prepared within the project “Post-Crisis World Order: Challenges and Technologies, Competition and Cooperation” supported by the grant from Ministry of Science and Higher Education of the Russian Federation program for research projects in priority areas of scientific and technological development (Agreement № 075-15-2020-783).


Significance The Law has received much negative publicity internationally for its broad definition of national security, which implies wide latitude for authorities at all levels to intervene in economic, social and cultural activities in the name of national security. The Law's passage indicates growing conservatism that will have negative consequences for business and for economic reforms of the sort Western governments and businesses want. Impacts The Law is a new source of tension with the United States and China's neighbours. Public expression will be further restricted and there will be less room for independent actors. Draft legislation on foreign investment, internet security and foreign NGOs will reinforce the conservative agenda. Even companies that face no legal barriers may face indirect discrimination.


2016 ◽  
Vol 4 (10) ◽  
pp. 0-0
Author(s):  
Александр Черданцев ◽  
Alyeksandr CHyerdantsyev

The article proves negative consequences of the refusal of the long-standing characteristics in modern legal consciousness. Analyzes the current state of the Russian legal consciousness. Integrative legal consciousness is criticized. The author substantiates the falseness of attributing the principles of law to the forms of law. This is a typical example of a contravention of the logical law of identity, which has led to the substitution of the term “legal system” to the term “source (form) of law”. According to adherents of integration the complexity of law corresponds to the methodology, which is characterized by multilateralism, omnidirectional (different terminology) approach to the study of law. The author refers to a set of established research methods in the legal field: logical-linguistic (or formal logical), system-structural, concretesociological, axiological, information and cybernetic, mathematics (statistics), psychological, historical and others. and, of course, to the dialectical method with principles of the cognition, which to some extent are specified in the above methods. It is stated that an integrative approach to the law is contrary to the objective, scientific approach. Analyzes errors in the views of the supporters of the concept of integrative legal consciousness. It was concluded that legal science does not require an integrative approach to the law.


Author(s):  
I. A. Moskalenko

The paper analyzes copyright registration systems in the Russian Federation and abroad. The fact of creation of a work gives rise to the author a number of rights and obligations without performing any formalities, including registration of the work. There are three systems in which registration of a work creates for the copyright holder additional protection of the rights of the author, does not create negative consequences for non-compliance with the registration procedure or is provided by law only for specific copyright objects. Deposit is considered as an element of the procedure for registration of works, including as an indirect confirmation of the fact of the creation of a digital work for the lex loci originis collision binding states (the law of the state of origin of the work), and for the lex loci protectionis targeting states (the law of the state where protection is claimed), the deposit does not confirm the fact of the creation of the work, but helps to preserve the copyright object.


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