scholarly journals The Obligation to Conduct Negotiations in Good Faith on the Conclusion of a Contract as an Element of the Content of a Pre-Contractual Legal Relationship

2021 ◽  
Vol 17 (2) ◽  
pp. 35-44
Author(s):  
V. I. Boyarinova

The article discusses the issue of the content of the pre-contractual legal relationship and the role of good faith in it. As a result of the analysis, it is concluded that the content of the pre-contractual legal relationship includes only one pre-contractual obligation – to negotiate in good faith. It should be considered as a duty that includes separate elements – manifestations of the general obligation of the parties to behave in good faith, arising at the pre-contractual stage, or, in other words, requirements for good behavior. These elements include the obligation to inform; the obligation not to interrupt negotiations without giving reasons if the other party relied on the person's intention to conclude a contract; the obligation to keep the information received in confidentiality if the party knows that the information is secret and cannot be used by third parties. An attempt has been made to prove that the meaning of good faith is not in addition to the pre-contractual obligation, but in its specification.

2018 ◽  
Vol 6 (2) ◽  
pp. 222
Author(s):  
Muhammad Zulhidayat

Pada 30 Mei 2015, FIFA sebagai induk tertinggi dari organisasi sepakbola internasional menjatuhkan sanksi kepada PSSI. Ini terjadi karena FIFA menilai adanya intervensi oleh pemerintah melalui Kementerian Pemuda dan Olahraga. Statuta FIFA pasal 13 dan 17 memperjelas bahwa ia menolak segala bentuk intervensi oleh pemerintah, politisi, media, atau pihak ketiga lainnya. Di sisi lain, Kementerian Pemuda dan Olahraga juga diberi wewenang oleh hukum untuk mengatur kegiatan olahraga secara umum dalam lingkup Negara Indonesia. Permasalahan yang akan dikaji dalam penelitian ini adalah sebagai berikut: Pertama, apa wewenang dan peran pemerintah dalam menyelenggarakan olahraga sepakbola profesional di Indonesia? Kedua, bagaimana penerapan kompetisi sepakbola di Indonesia dengan adanya Pembekuan PSSI? . Metode penelitian dalam penulisan ini menggunakan metode yuridis normatif. Kesimpulan dari penelitian ini adalah bahwa Pemerintah tidak memiliki wewenang untuk campur tangan dan ikut campur dalam menyelenggarakan kompetisi sepakbola profesional di Indonesia. Sementara itu, dengan pembekuan PSSI ini, otomatis menghentikan liga karena PSSI tidak dapat melakukan tugas dan fungsi untuk mengadakan kompetisi sepakbola profesional di Indonesia. Saran penulis dalam penelitian ini adalah Pemerintah harus optimal dalam memberikan layanan dan kenyamanan kepada PSSI dan PSSI harus transparan dalam menyelenggarakan kompetisi sepakbola profesional di Indonesia.Kata Kunci : Kewenangan, Pemerintah, PSSI AbstractOn May 30, 2015, FIFA as the supreme parent of international football  organizations imposed sanctions on the PSSI. This happens because FIFA assess the existence of intervention by the government through the Ministry of Youth and Sports. The FIFA Statutes chapters 13 and 17 make it clear that it rejects any form of intervention by governments, politicians, media, or other third parties. On the other hand, the Ministry of Youth and Sports is also authorized by law to regulate sports activities generally within the scope of the State of Indonesia. The problems to be studied in this research are as follows: Firstly, what is the authority and role of the government in organizing professional football sport in Indonesia ?, Secondly, how is the implementation of football  competition in Indonesia with the existence of PSSI Freezing ?. Research Methods in this paper using the method of normative juridical. The conclusion of this research is that the Government does not have the authority to intervene and interfere in organizing professional football  competition in Indonesia. Meanwhile, with the freezing of this PSSI, automatically stop the league because PSSI can not perform the duties and functions to hold a professional football competition in Indonesia. The author's suggestion in this research is the Government must be optimal in providing services and convenience to PSSI and PSSI must be transparent in organizing professional football competition in Indonesia.Keywords: Authority, Government, PSSI


Author(s):  
Angela Cristina Viero

Resumo: O presente artigo tem por objetivo analisar a disciplina do Código Civil de 2002 no que se refere à simulação nos negócios jurídicos. O Código Civil atualmente em vigor inovou na regulamentação dos negócios jurídicos simulados em relação ao Código Civil revogado, fundamentalmente quanto à causa da simulação para que o fenômeno seja relevante para o Direito, bem como no que concerne à dimensão no mundo dos fatos jurídicos em que se situa o negócio jurídico simulado, com implicações nos efeitos da simulação entre aqueles que dele participam (partes) e aqueles que lhe são alheios (terceiros). Da sanção de nulidade prevista no art. 167, caput, decorre a possibilidade de arguição da simulação entre as partes entre si, circunstância que deve ser analisada com cautela em cada caso concreto, a fim de evitar que o escopo da simulação, quando fraudulenta, seja concretizado. Por outro lado, prevê o Código Civil de 2002 a inoponibilidade da simulação pelas partes em face dos terceiros de boa-fé, em homenagem à tutela da confiança com a finalidade de preservação da segurança jurídica. Não obstante, quanto a este último aspecto, não há previsão de critérios que auxiliem na solução de eventuais conflitos entre diferentes categorias de terceiros de boa-fé. Palavras-chave: Negócio Jurídico Simulado; Código Civil brasileiro de 2002; Causa da simulação; Nulidade; Efeitos. Abstract: This article aims to analyze the normative discipline of the simulated transactions on the Brazilian Civil Code of 2002. The Civil Code currently in force has innovated on the rules about simulated transactions in comparison to the revoked Civil Code, fundamentally in relation at the motive of the simulation to become relevant for the legal system, as well as concerning the dimension on the world of facts in which are situated the simulated transactions, involving the effects of the simulation among the participants on it (parties) and those who are out of it (third parties). From the nullity sanction settled by the art. 167, caput, arises the possibility to argue for the simulation of the parties among themselves, circumstance that must be analyzed prudently in each case, to avoid that the objective pursued with the simulation, when it is fraudulent, to be rendered concrete. By the other hand, the Civil Code of 2002 settles to the parties the impossibility of opposing the simulation against thirds parties in good faith, in honor to protect trust intending to preserve legal certainty. Nevertheless, as far as this last aspect is concerned, there are not forecasted criteria to support solutions for eventual conflicts between different categories of thirds parties in good faith.        Keywords: Simulated transactions; Brazilian Civil Code of 2002; Motive of simulation; Nullity; Effects. 


Author(s):  
Langford Rosemary

The general law duties to avoid conflicts and profits (the conflicts and profits rules) do not regulate all of the conflicts encountered by a director. In particular, where the conflict or profit involves the interests of a third party (such as a director’s spouse or family member, a creditor, a friend or a major shareholder), the duties to avoid conflicts and profits do not necessarily apply. Instead, the duties to act in good faith in the interests of the company and for proper purposes (the best interests and proper purposes rules) are engaged. It is also the duty to act in good faith in the interests of the company that regulates the conflicts faced by directors in relation to stakeholders. This chapter examines the law concerning conflicts involving third parties and the vexed topic of the interaction between directors’ duties and stakeholder interests. Stakeholders include employees, creditors, investors, suppliers, customers, local, national and global communities, and the environment as a whole. The importance of stakeholder interests (and particularly those of employees) and engagement with stakeholders has been emphasised in recent corporate governance reforms in the UK.


Author(s):  
Vogenauer Stefan

This commentary focuses on Article 1.8 of the UNIDROIT Principles of International Commercial Contracts (PICC), which states that a party cannot act inconsistently with an understanding it has caused the other party to have and upon which that other party reasonably has acted in reliance to its detriment. A party that behaves inconsistently within the meaning of Art 1.8 acts in bad faith. Therefore, Art 1.8 can be seen as the most general of the various specific applications of the general obligation to act in accordance with good faith and fair dealing — spelled out in Art 1.7 — that are contained in the black letter rules of the PICC. Art 1.8 covers the requirements for inconsistent behaviour, remedies for inconsistent behaviour, and exclusions or limitations of the provision on inconsistent behaviour.


Author(s):  
Geoffrey Morse ◽  
Thomas Braithwaite

This book explains the legal framework within which partnerships, limited partnerships, and limited liability partnerships (LLPs) operate in England and Wales. In relation to partnerships, it deals first with the characteristics and essential elements for a partnership to exist; the distinction between partners, creditors, and employees; and the interaction between partnerships and public regulation. The book then deals with the two major consequences of a partnership, the liability of partners to third parties for actions taken by their fellow partners and the duties and liability of each partner to the other partners. It then identifies and explores the assets which have become partnership property. The issues relating to dissolution follow, setting out how a partnership may be dissolved (in full or in part) and the procedures to effect that. The impact of the insolvency of the firm and/or bankruptcy of the partners is covered. The rapid rise of the use of limited partnerships is explained together with the modifications to partnership law and the creation of private fund limited partnerships. In relation to LLPs, after setting out the background to the legislation and explaining its structure, it examines the requirements for the creation of LLPs, how they are incorporated, and the consequences of their incorporation as separate legal entities. It then explores what membership of an LLP entails, including the interrelation of membership with employment and worker status, and the relations between members and the LLP and between the members themselves. It then looks at the default provisions, the role of the LLP Agreement, and the extent to which contractual doctrines such as repudiation and frustration apply to that agreement. Finally, the book looks at decision-making within an LLP, termination of a member’s membership, and insolvency and dissolution of the LLP itself.


2021 ◽  
Author(s):  
Asos Namiq

The contract is the Sharia of the Contracting Party as a rule that does not govern the contract only upon formation, but also upon execution, since the terms of the contract are transformed, after its formation, into a law that imposes itself, and its sanctity cannot be violated. That is, when the contract is valid and enforceable, it must be executed according to what it contains and in accordance with good faith and trust between people, and this is called the principle of binding force of the contract. Whenever the contract is binding on both parties, one of the parties cannot be the only one to rescind or amend it. The mandatory limits of the contract are not limited to what the contracting parties have agreed only, but include all of its requirements in accordance with legislative and customary rules, and what justice requires, and what is imposed by the nature of the full-time obligation of the contract. When executing the contract, the extent of the debtor’s commitment to the contract is measured in the manner in which it is implemented, and his agreement with the requirements of the contract, that is, the closer the method of implementation is with the requirements of the contract, the debtor is considered on the right path in fulfillment, and the more the method of implementation is far from the requirements of the contract, the debtor is considered in breach of his contractual obligations. Since the debtor may deviate from the prescribed path in some cases due to the difficulty of implementing the obligation on the one hand, and the difficulty of harmonizing the circumstances and methods of implementation on the other hand, the law allowed the creditor to object to the debtor’s behavior whenever he saw it as different from the contract based on the binding force of the contract. But this right granted to the creditor is not an absolute right. Rather, it is restricted by his act or statement that revealed to the debtor the safety of his conduct in the implementation of the contract, meaning that despite the recognition of the right to object to the creditor, the creditor may be suspended by what was previously issued by him, i.e. closed The door of objection to it, and this is called the rule of judgment closure that we have chosen as the subject of our study. We deal with it by research and study to show the limits of this rule, and its impact on modifying the binding force of the contract, whether by making mandatory certain clauses in the contract or even creating new clauses, or by stripping a contractual obligation of its binding force.


2018 ◽  
Vol 4 (2) ◽  
pp. 143
Author(s):  
Ivana Rukavina

<p><em>This paper examines the regulatory role of the IMF on government spending through political fiscal cycles. According to theoretical views, the fiscal policy in the pre-election period reflects an increase in government spending or budget expenditures; in postelection period, it takes a restrictive course by reducing spending. In the presence of a contractual agreement with the IMF, the theory points to limiting and reducing the magnitude of government spending in the pre-election period. According to the research results in Croatia, there is an increase in government spending in the election quarter, and its decrease in the quarter after the election. On the other hand, the contractual arrangements with the IMF show significant reductions in government spending. When a country is under a contractual obligation with the IMF, it reduced the government spending in the pre-election period in relation to the period when it is not under a contractual obligation.</em></p>


1995 ◽  
Vol 74 (05) ◽  
pp. 1271-1275 ◽  
Author(s):  
C M A Henkens ◽  
V J J Bom ◽  
W van der Schaaf ◽  
P M Pelsma ◽  
C Th Smit Sibinga ◽  
...  

SummaryWe measured total and free protein S (PS), protein C (PC) and factor X (FX) in 393 healthy blood donors to assess differences in relation to sex, hormonal state and age. All measured proteins were lower in women as compared to men, as were levels in premenopausal women as compared to postmenopausal women. Multiple regression analysis showed that both age and subgroup (men, pre- and postmenopausal women) were of significance for the levels of total and free PS and PC, the subgroup effect being caused by the differences between the premenopausal women and the other groups. This indicates a role of sex-hormones, most likely estrogens, in the regulation of levels of pro- and anticoagulant factors under physiologic conditions. These differences should be taken into account in daily clinical practice and may necessitate different normal ranges for men, pre- and postmenopausal women.


1998 ◽  
pp. 61-62
Author(s):  
N. S. Jurtueva

In the XIV century. centripetal tendencies began to appear in the Moscow principality. Inside the Russian church, several areas were distinguished. Part of the clergy supported the specificobar form. The other understood the need for transformations in society. As a result, this led to a split in the Russian church in the 15th century for "non-possessors" and "Josephites". The former linked the fate of the future with the ideology of hesychasm and its moral transformation, while the latter sought support in alliance with a strong secular power.


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