Del 3 - Private International Law series
Transfer of Property and Private International Law
Inbunden, Engelska, 2016
17 329 kr
Produktinformation
- Utgivningsdatum2016-12-30
- FormatInbunden
- SpråkEngelska
- SeriePrivate International Law series
- FörlagEdward Elgar Publishing Ltd
- ISBN9781785361173
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Edited by Janeen M. Carruthers, Professor of Private Law, University of Glasgow, UK
- Contents:Introduction Janeen M. CarruthersPART I LEX SITUS RULE – CLASSIC PRINCIPLES1. Robby Alden (1987), ‘Modernizing the Situs Rule for Real Property Conflicts’, Texas Law Review, 65 (3), February, 585–633 32. Ian F.G. Baxter (1964), ‘Conflicts of Law and Property’, McGill Law Journal, 10 (1), 1–37 523. Joseph H. Beale (1919), ‘The Situs of Things’, Yale Law Journal, XXVIII (6), April, 525–41 894. Wendell Carnahan (1935), ‘Tangible Property and the Conflict of Laws’, University of Chicago Law Review, 2 (3), April, 345–84 1065. Peter B. Carter (1982), ‘Decisions of British Courts during 1981 Involving Questions of Public or Private International Law: B: Private International Law, Transfer Inter Vivos of Movable Property’, British Year Book of International Law, 52 (1), 329–34 1466. J.A. Clarence Smith (1963), ‘Classification by the Site in the Conflict of Laws’, Modern Law Review, 26 (1), January, 16–33 1527. Celia Wasserstein Fassberg (2002), ‘On Time and Place in Choice of Law for Property’, International and Comparative Law Quarterly, 51 (2), April, 385–400 1708. Mitchell Franklin (1932), ‘Comparative Law: Security of Acquisition and of Transaction: La Possession Vaut Titre and Bona Fide Purchase’, Tulane Law Review, 6, 589–612 1869. C.S.P. Harding and M.S. Rowell (1977), ‘Protection of Property versus Protection of Commercial Transactions in French and English Law’, International and Comparative Law Quarterly, 26 (2), April, 354–80 210PART II SPECIALTIES REGARDING IMMOVABLE PROPERTY AND TANGIBLE MOVABLE PROPERTY10. David Colwyn Williams (1959), ‘Land Contracts in the Conflict of Laws—Lex Situs: Rule or Exception’, Hastings Law Journal, 11, November, 159 73 23911. Walter Wheeler Cook (1939), ‘“Immovables” and the “Law” of the “Situs”: A Study in the Ambiguity of Legal Terminology’, Harvard Law Review, 52 (8), June, 1246–74 25412. Brainerd Currie (1953–4), ‘Full Faith and Credit to Foreign Land Decrees’, University of Chicago Law Review , 21 (4), Autumn, 620–79 28313. Alex Donaldson (1951), ‘The Lex Situs and Heritable (Or Real) Property’, International Law Quarterly , 4 (1), January, 100–10 34314. Moffatt Hancock (1967), ‘Conceptual Devices for Avoiding the Land Taboo in Conflict of Laws: The Disadvantages of Disingenuousness’, Stanford Law Review , 20 (1), November, 1–40 35415. Peter Hay (1988), ‘The Situs Rule in European and American Conflicts Law—Comparative Notes’, in Peter Hay and Michael H. Hoeflich (eds), Property Law and Legal Education: Essays in Honor of John E. Cribbet , Urbana and Chicago, IL, USA: University of Illinois Press, 109–32 39416. Fritz Hellendall (1941), ‘The Characterization of Proprietary Rights to Tangible Movables in the Conflict of Laws’, Tulane Law Review , XV , 374–93 41817. Fr. Vinding Kruse (1958), ‘What Does “Transfer of Property” Mean with Regard to Chattels? A Study in Comparative Law’, American Journal of Comparative Law , 7 (4), Autumn, 500–15 43818. J.H.C. Morris (1945), ‘The Transfer of Chattels in the Conflict of Laws’, British Year Book of International Law , XXII , 232–48 45419. Elihu Schott and Charles Rembar (1938), ‘Choice of Law for Land Transactions’, Columbia Law Review , 38 (6), June, 1049–59 47120. Joseph William Singer (2014), ‘Property Law Conflicts’, Washburn Law Journal , 54 (1), Fall, 129–60 48221. Russell J. Weintraub (1966), ‘An Inquiry into the Utility of “Situs” as a Concept in Conflicts Analysis’, Cornell Law Quarterly , 52 (1), Fall, 1–42 514PART III SPECIALTIES REGARDING INTANGIBLE PROPERTY22. Fletcher R. Andrews (1939), ‘Situs of Intangibles in Suits against Nonresident Claimants’, Yale Law Journal , 49 (2), December,241–73 55923. Joanna Benjamin (1998), ‘Determining the Situs of Interests in Immobilised Securities’, International and Comparative Law Quarterly , 47 (4), October, 923–34 59224. Mark Moshinsky (1992), ‘The Assignment of Debts in the Conflict of Laws’, Law Quarterly Review , 109 , October, 591–625 60425. P.J. Rogerson (1990), ‘The Situs of Debts in the Conflict of Laws—Illogical, Unnecessary and Misleading’, Cambridge Law Journal , 49 (3), November, 441–60 63926. (1956), ‘Note: Situs of Intangible Property in Conflict of Laws’, St. John’s Law Review , 30 (2), May, 224–36 659PART IV CONDITIONAL SALE, SECURITY AND GOODS IN TRANSIT27. David F. Cavers (1960), ‘The Conditional Seller’s Remedies and the Choice-of-Law Process—Some Notes on Shanahan’, New York University Law Review, 35, June, 1126–49 67528. M.R. Chesterman (1973), ‘Choice of Law Aspects of Liens and Similar Claims in International Sale of Goods’, International and Comparative Law Quarterly, 22 (2), April, 213–53 69929. J.L.R. Davis (1964), ‘Conditional Sales and Chattel Mortgages in the Conflict of Laws’, International and Comparative Law Quarterly, 13 (1), January, 53–77 74030. F. Hellendall (1939), ‘The Res in Transitu and Similar Problems in the Conflict of Laws’, Canadian Bar Review, XVII, 7–36, 105–25 76531. George W. Stumberg (1942), ‘Chattel Security Transactions and the Conflict of Laws’, Iowa Law Review, 27, 528–51 81632. David H. Vernon (1962), ‘Recorded Chattel Security Interests in the Conflict of Laws’, Iowa Law Review, 47, 346–81 84033. Jacob S. Ziegel (1967), ‘Conditional Sales and the Conflict of Laws’, Canadian Bar Review, XLV, May, 284–334 876PART V CONFISCATION, EXPROPRIATION AND NATIONALIZATION34. J.E.S. Fawcett (1950), ‘Some Foreign Effects of Nationalization of Property’, British Year Book of International Law, XXVII, 355–75 92935. George A. van Hecke (1951), ‘Confiscation, Expropriation and the Conflict of Laws’, International Law Quarterly, 4 (3), July, 345–57 95036. F.A. Mann (1986), ‘The Effect in England of the Compulsory Acquisition by a Foreign State of the Shares in a Foreign Company’, Law Quarterly Review, 102, April, 191–97 96337. F.A. Mann (1959), ‘Outlines of a History of Expropriation’, Law Quarterly Review, 75, April, 188–219 970Volume IIContents:An introduction by the editor appears in Volume IPART I CULTURAL PROPERTY1. Paul M. Bator (1982), ‘An Essay on the International Trade in Art’, Stanford Law Review, 34 (2), January, 275–384 32. Andrea Biondi (1997), ‘The Merchant, the Thief and the Citizen: The Circulation of Works of Art within the European Union’, Common Market Law Review, 34 (5), 1173–95 1133. Janet Blake (2000), ‘On Defining the Cultural Heritage’, International and Comparative Law Quarterly, 49 (1), January, 61–85 1364. David L. Carey Miller, David W. Meyers and Anne L. Cowe (2001), ‘Restitution of Art and Cultural Objects: A Re-assessment of the Role of Limitation’, Art, Antiquity and Law, 6 (1), March, 1–17 1615. Janeen M. Carruthers (2001), ‘Cultural Property and Law—An International Private Law Perspective’, Juridical Review, 3, 127–45 1786. Kevin Chamberlain (2002), ‘UK Accession to the 1970 UNESCO Convention’, Art, Antiquity and Law, 7 (3), September, 231–52 1977. Derek Fincham (2008), ‘How Adopting the Lex Originis Rule Can Impede the Flow of Illicit Cultural Property’, Columbia Journal of Law and the Arts, 32 (1), 111–50 2198. Derek Fincham (2007), ‘Rejecting Renvoi for Movable Cultural Property: The Islamic Republic of Iran v. Denyse Berend’, International Journal of Cultural Property, 14 (1), February, 111–20 2599. Claudia Fox (1993), ‘The UNIDROIT Convention on Stolen or Illegally Exported Cultural Objects: An Answer to the World Problem of Illicit Trade in Cultural Property’, American University International Law Review, 9 (1), 225–67 26910. Patty Gerstenblith (2001), ‘The Public Interest in the Restitution of Cultural Objects’, Connecticut Journal of International Law, 16 (2), Spring, 197–246 31211. Ashton Hawkins, Richard A. Rothman and David B. Goldstein (1995), ‘A Tale of Two Innocents: Creating an Equitable Balance Between the Rights of Former Owners and Good Faith Purchasers of Stolen Art’, Fordham Law Review, 64 (1), 49–96 36212. Andrea E. Hayworth (1993), ‘Stolen Artwork: Deciding Ownership is No Pretty Picture’, Duke Law Journal, 43 (2), November, 337–83 41013. Lawrence M. Kaye (1998), ‘Looted Art: What Can and Should be Done’, Cardozo Law Review , 20 (2), December, 657–70 45714. John Henry Merryman (1985), ‘Thinking about the Elgin Marbles’, Michigan Law Review , 83 (8), August, 1881–84, 1888–923 47115. John Henry Merryman (2005), ‘Cultural Property Internationalism’, International Journal of Cultural Property , 12 (1), February, 11–39 51116. Halina Nieć (1976), ‘Legislative Models of Protection of Cultural Property’, Hastings Law Journal , 27 , May, 1089–122 54017. Norman Palmer (1994), ‘Recovering Stolen Art’, Current Legal Problems , 47 (2), 215–54 57418. Norman Palmer (2015), ‘The Best We Can Do? Exploring a Collegiate Approach to Holocaust-related Claims’, in Evelien Campfens (ed.), Fair and Just Solutions? Alternatives to Litigation in Nazi-Looted Art Disputes: Status Quo and New Developments , Part III, Chapter 7, The Hague, the Netherlands: Eleven International Publishing, 153–85 61419. Emily Pocock (2000), ‘Spoliation of Works of Art during the Holocaust and World War II Period: A Commentary on the National Museum Directors’ Conference First Progress Report on Provenance Research for the Period 1933–1945’, Art, Antiquity and Law , 5 (1), March, 81–96 64720. Lyndel V. Prott (1996), ‘UNESCO and UNIDROIT: A Partnership against Trafficking in Cultural Objects’, Uniform Law Review , 1 (1), January, 59–71 66321. Gerte Reichelt (1985), ‘International Protection of Cultural Property’, Uniform Law Review , 13 (1), January, 42–153 67622. Christa Roodt (2013), ‘State Courts or ADR in Nazi-Era Art Disputes: A Choice “More Apparent than Real”?’, Cardozo Journal of Conflict Resolution , 14 (2), Winter, 421–63 78823. Christa Roodt and David Carey Miller (2013), ‘Stolen Cultural Property: Implications of Vitium Reale in Private Law and Private International Law’, Transnational Dispute Management , TDM 5, October, 1–9 83124. Kimberly A. Short (1993), ‘Preventing the Theft and Illegal Export of Art in a Europe Without Borders’, Vanderbilt Journal of Transnational Law , 26 , 633–65 84025. Kurt Siehr (1998), ‘The Protection of Cultural Property: The 1995 UNIDROIT Convention and the EEC Instruments of 1992/93 Compared’, Uniform Law Review , 3 (2–3), April, 671–83 87326. Kurt Siehr (1997), ‘The Protection of Cultural Heritage and International Commerce’, International Journal of Cultural Property, 6 (2), July, 304–25 88627. Symeon C. Symeonides (2005), ‘A Choice-of-Law Rule for Conflicts Involving Stolen Cultural Property’, Vanderbilt Journal of Transnational Law , 38 (4), October, 1177–98 90828. Charlotte Woodhead (2013), ‘Nazi Era Spoliation: Establishing Procedural and Substantive Principles’, Art, Antiquity and Law, XVIII (2), July, 167–92 930 Index
‘In this Research Collection Professor Carruthers has drawn together an impressively varied and comprehensive range of articles on all aspects of the transfer of property in private international law. It will be invaluable to all those who teach, study, research or work in this area. As explained in the extremely clear and helpful introduction, the collection covers both general principles and also pays particular attention to different types of property and contracts. Topics such as the transfer of intangible property, conditional sales and transfers of security are of great and increasing commercial importance and are all thoroughly examined in the first volume. The second volume which focuses on cultural property is also a very welcome and useful compilation of the research in this interesting and important field.’