The Good-Faith Purchase Doctrine in 247 Jurisdictions

2020 ◽  
Vol 9 (2-3) ◽  
pp. 133-156
Author(s):  
Yun-chien Chang

AbstractScholars have argued that reasonable persons can disagree on what the most sensible good-faith purchase doctrine is. Indeed, using hand-coded data on this doctrine in 247 jurisdictions, this article finds that this doctrine has hardly converged-there are at least 23 different variants of this doctrine, from “no good faith required” to “good faith is all the purchaser needs.” The 23 variants can be grouped into three clusters: the categorical approach, under which stolen goods always revert back to original owners; the binary approach, under which the distinction between stolen and non-stolen goods matters, but stolen goods do not always revert; and the unitary approach, under which there is no distinction between stolen and non-stolen goods.

Author(s):  
Aliya Saperstein ◽  
Laurel Westbrook

Demands for recognition of gender diversity and transgender people are growing. We tested non-binary sex and gender measures using nationally representative samples of US adults to assess feasibility for general population surveys. We find more support for a two-step categorical approach, with separate questions about natal sex and gender identity, than for a single question assessing transgender status as the latter was less reliable within our online surveys and over time. We also consider the challenge of determining measurement reliability for fluid characteristics and argue that using categorical and gradational gender measures in combination should become standard practice.<br /><br />Key messages<br /><ul><li>Gender measurement must expand beyond a categorical binary to better reflect gender diversity.</li><br /><li>We demonstrate the utility of a two-step, non-binary approach on representative samples of US adults.</li><br /><li>Our results do not support using a ‘yes’ or ‘no’ question to ask if respondents are transgender.</li></ul>


2017 ◽  
Vol 2 (1) ◽  
pp. 93
Author(s):  
Agnieszka Kacprzak

THE SALE OF STOLEN GOODSSummary The most complex analysis of the legal consequences resulting fromthe sale of stolen goods can be found in the Digest 18,1,34,3. Paul frames three separate hypotheses, in which the solutions differ depending on whether the contracting parties, or at least one of them, when stipulating the contract, were aware that the goods for sale had been stolen. If both parties were aware that the object of sale was res furtiva, the contract was void, i.e. neither party was obliged towards the other. Where only the buyer was aware of the circumstances then the seler was not bound by the contract. However, only if he voluntarily delivered his performance, could he demand payment. If only party aware that the goods were stolen was the seller, whereas the buyer concluded the contract in good faith, the sale was valid as a whole. This judgement conforms with the opinion of earlier jurisprudence, especially that of Pomponius.The question of what reason underpinned the jurists’ decision on the invalidity of sale, which had res furtiva as an object and was concluded by the parties aware of this fact, appears the first problem to be solved. I would rather dismiss the notion that such a solution could have been based either on the idea of impossibility of performance or on the mere mala fides of the contracting parties.Given that the seller was not bound to transfer ownership to the buyer, the execution of the contract of sale, the object of which was res furtiva, had to be considered possible. Neither does it seem plausible that the invalidity of the contract was provoked merely by the mala fides of the parties. It would be difficult indeed to speak of one party’s bad faith, if there is no good faith to be protected on the other side of the contract.In all probability the objective the jurists had in mind when excluding the validity of a deliberate sale of res furtivae, was to stop the circulation of such goods and render it easier for the owners to recover them. Therefore a deliberate sale of a stolen thing must have been considered invalid on the ground that it tended to violate one of the principles of legal order and hence was contra bonos mores.From the analysis of the three hypotheses considered by Paul results, that the validity of the sale of res furtiva depended on the good faith of the purchaser. Wherever he was unaware that the object of sale had been stolen, the contract was valid, irrespective of the good or bad faith of the seller. On the contrary, if the purchaser was aware, that the object of sale was res furtivay the contract was void in principle. The seller however, if in good faith, was granted the possibility to convalidate it by spontaneous performance.The reason for such a differentiation was probably the fact, that of the two reciprocal performances, which constituted the substance of the contract of sale, only the one, to which the seller was obliged, could violate the legal order and thus was considered defective. Therefor it was precisely the claim of the purchaser, trying to force such an execution in spite of His knowledge of the status of the goods, that was contra bonos mores and hence invalid. In such a situation the seller was not obliged to deliver his performance. Considering the principle of reciprocity of the contract of sale, one must conclude, that the purchaser could not be obliged towards the seller either, and thus, in principle, the whole contract was void.On the other hand, even though the seller could not have been forced to deliver his performance, he did have the possibility to deliver it voluntarily. In such a case, on the basis of the principle of reciprocity, he could claim payment from the purchaser. On this basis the contract became valid. 


Moreana ◽  
2009 ◽  
Vol 46 (Number 176) (1) ◽  
pp. 65-76
Author(s):  
Joshua Avery
Keyword(s):  

This study draws upon the Platonic dialogue tradition as a background for interpreting the conversation between More and his daughter Margaret Roper, as depicted in Margaret’s letter to Alice Alington. With an eye to the famously ironic Socrates, this article will propose the interpretation of a puzzling statement regarding More’s apparent good faith in the sincerity of others who have reversed their positions regarding the problematic oath. Is More expressing ironic distance or straightforward charity in his ambiguous language? The argument is that More, utilizing his legal and literary skills, carefully crafts a rhetoric that paradoxically joins remarkable charity with worldly-wise irony.


2018 ◽  
Vol 18 (2) ◽  
pp. 59-84
Author(s):  
Slavomír Halla

Abstract Consent, the final frontier. International commercial arbitration is a dis­pute resolution mechanism embedded in consent of the parties involved. Presentation of such a mutual understanding is done through an arbitration agreement. However, the aim of this paper is to analyse whether its contractual, indeed consensual, nature is the only element which the courts use to identify the subjects who may compel or must be compelled to arbitrate disputes, or whether they employ other considerations as well. The paper will focus on extension doctrines which might be less known even to a professional audience: piercing of the corporate veil, estoppel & group of companies. A review of selected case law leads to a conclusion that consent-finding analysis is defi­nitely a starting point of any analysis. However, at the same time courts and arbitrators do indeed use tools of contract interpretation and the ones based on equity or good faith considerations to establish, and exceptionally force, the implication of consent far beyond what is obvious.


2017 ◽  
Vol 10 (1) ◽  
pp. 99
Author(s):  
Widodo Dwi Putro ◽  
Ahmad Zuhairi

ABSTRAKSengketa jual beli tanah dalam perkara ini menyeret pihak penjual yang telah menjual objek yang sama kepada dua pembeli dalam dua kali transaksi. Pembeli kedua (penggugat) melayangkan gugatannya terhadap pembeli pertama (tergugat II). Posisi hukumnya dilematis. Kedua pembeli sama-sama merasa mempunyai hak atas tanah sengketa karena telah membeli objek yang sama dari penjual. Untuk membuktikan siapa pembeli yang berhak, hakim perlu mempertimbangkan asas "iktikad baik" (good faith), sebagai dasar untuk menentukan pembeli yang patut mendapat perlindungan hukum. Permasalahannya, kedua pembeli sama-sama mengklaim dirinya adalah pembeli yang beriktikad baik. Sehingga, untuk menilai siapa pembeli yang patut mendapat perlindungan hukum, hakim berpegangan pada prinsip duty of care, dengan mempertimbangkan siapa pembeli yang berhati-hati dan cermat memeriksa data yuridis dan data fisik sebelum dan saat jual beli dilakukan. Prinsip duty of care ini bersifat abstrak, maka metode penulisan yang digunakan, menelusuri dan mengkaji pendapat para ahli hukum perdata dan agraria untuk didialogkan dengan putusan-putusan hakim. Perkembangan putusan-putusan pengadilan mengenai pembeli beriktikad baik yang mengadopsi prinsip duty of care, seharusnya menjadi 'pegangan' para hakim dalam menangani kasus yang serupa, untuk menilai kapan pembeli dikategorikan sebagai pembeli beriktikad baik.Kata kunci: iktikad baik, perlindungan hukum, duty of care, data yuridis dan fisik.ABSTRACTThe dispute of land sale and purchase in this case drag the seller who had sold the same object to two buyers in two transactions. The second buyer (plaintiff) filed a lawsuit against the first buyer (defendant II). Its legal standing created a dilemma. Both buyers felt equally entitled to be the owner of the disputed land, which is the same object purchased from the seller. In providing evidence of the most eligible buyer, the judge should take into consideration the principle of "good faith" as the basis for determining the buyer deserving legal protection. The problem is that both buyers claimed that they were buyers of good faith. Therefore, to appraise which buyer deserving the legal protection, the judges adhered to principle of "duty of care" by taking into account which one of them was carefully and meticulously reading-through the juridical and physical data prior to and during the sale and purchase of the land was conducted. Given the abstract nature of the principle of "duty of care" the analysis method used in this discussion is exploring and studying the opinions of the experts of civil and agrarian law as to be juxtaposed with the decisions of the judges. The development of court decisions related to the issue of good faith buyers adopting the principle of "duty of care" should serve as a reference for the judges in handling similar cases to determine a good faith buyer.Keywords: good faith, legal protection, duty of care, juridical and physical data.


Author(s):  
T. G. Gadisov ◽  
A. A. Tkachenko

Summary. Objective: A comparative study of the personality structure from the perspective the Five-factor personality model (“Big Five”) in mentally healthy and in people with personality disorders depending on the leading radical determined by the clinical method.Materials and methods: a comparative study of personality structures in the mentally healthy (13 people) and in individuals with personality disorders (47 people) was carried out. To assess the personality structure, the NEO-Five Factor Inventory questionnaire was used. Persons with personality disorders were divided into groups in accordance with the leading radical: 24 — with emotionally unstable; 13 — with a histrionic; 6 — with schizoid; 4 — with paranoid radicals.Results: There were no differences in the values of the domains of the Five-Factor personality model between a group of individuals with personality disorders and the norm. The features of domain indicators of the Five-factor personality model were revealed in individuals with personality disorder depending on theradical.Conclusion: The NEO-Five Factor Inventory questionnaire, like most other tools from the perspective of the Five-Factor Model, is not suitable for assessing a person in terms of assigning it to variants of a mental disorder. When comparing the categorical and dimensional approaches to assessing the structure of personality disorders, it was found that the obligate personality traits identified using the categorical approach are fully reflected in the «Big Five» in individuals with a leading schizoid radical. The relations of obligate personal traits with the domains of the Five-factor model of personality in individuals with other (paranoid, histrionic,and emotionally unstable) radicals are less clear.


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