• 제목/요약/키워드: Legal regime

검색결과 117건 처리시간 0.024초

공해조업선(公海操業船)에 대한 관할권문제(管轄權問題)와 기국(旗國)의 책임(責任) (A Study on the Jurisdictional Problems for Fishing Vessels Engaging High Sea Fishery and the Responsibility of Flag States)

  • 최종화
    • 수산해양교육연구
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    • 제5권2호
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    • pp.138-146
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    • 1993
  • In accordance with the establishment of 200 nautical miles EEZ regime as a customary international law since the mid - 1980s, the area of global high seas became reduced relatively. On the other hand, the importance of high seas fishing ground became serious for the distant-water fishing states like Korea. But it can be expected that international dispute on the jurisdictional problem of the fishing vessels engaging high sea fishery will occur frequently owing to institutional inertia of the UNLOS Convention on this matter. "The Draft Agreement to Promote Compliance with International Conservation and Management Measures by Fishing Vessels on the High Seas" as an international code of conduct for responsible fishing which was adopted by FAO in 1993 is providing the more consolidating and definiting rules for jurisdictional responsibility of flag states to make completion the loophole of the UNLOS Convention. As a precondition for the effective control and enforcement of activities of the fishing vessels engaging high sea fishery, the Draft Agreement is providing some articles allowing the flag states to hold the rights of granting nationality, fishery permission, fishery supervision and control with punishment for the fishing vessels entitled to fly their own flag. Accordingly it can be evaluated that this Draft Agreement does not deviate on the whole from the traditional practice and the basic legal principle of the UNLOS Convention.

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해상보험계약에서 최대선의원칙에 따른 고지의무에 관한 연구: 2015년 영국보험법과 관련하여 (The Duty of Disclosure under the doctrine of Utmost Good Faith in Marine Insurance Contract: In connection with the UK Insurance Act in 2015)

  • 김재우
    • 무역학회지
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    • 제44권3호
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    • pp.137-154
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    • 2019
  • This study analyzes the major provisions of the UK Insurance Act 2015 and Marine Insurance Act 1906 on the duty of disclosure under the doctrine of utmost good faith. Marine insurance contracts are based on "utmost good faith" and one aspect of this is that MIA 1906 imposes a duty on prospective policy holders to disclose all material facts. In the Insurance Act 2015 of the United Kingdom, the contents of the precedent were enacted such that we have borrowed the legal principles of common law until now. The insurer is required to more actively communicate with the insurer rather than passively underwriting and asking questions of the insured. The Act details the insured's constructive knowledge of the material circumstance by reviewing the current case law and introduces a new system for the insurer's proportionate remedy against the insured's breach of the duty of fair presentation of risk. This is a default regime, which may be altered by agreement between the parties.

The Europeanization of Bulgarian Nationalism: The Impact of Bulgaria's European Union Accession on Bulgarian-Macedonian Relations

  • Benedict E., DeDominicis
    • International Journal of Advanced Culture Technology
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    • 제10권4호
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    • pp.39-66
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    • 2022
  • Modern Bulgarian nationalists aspired towards incorporating the self-identified Bulgarian lands into the Bulgarian state. The Treaty of San Stefano ending the Russo-Turkish War of 1877-78 tantalizingly achieved these so-called national ideals. Great Power diplomacy quickly diminished Bulgaria's borders and international legal status with the 1878 Treaty of Berlin, exacerbating nationalist grievances. Bulgaria would expand vast resources to restore the San Stefano borders until Balkan Communist authoritarian regimes eventually suppressed the Macedonian issue as a foreign policy subject. Sofia's policy towards its neighbor has been overdetermined by the efforts of successive Bulgarian governments to institutionalize post-communist Bulgaria's own national identity. Bulgaria's integration into so-called Euro-Atlantic structures, i.e., NATO and the EU, had been the primary strategic objective of the Bulgarian authorities since the end of the Zhivkov regime. North Atlantic community security policy aims in response to the earliest post-Cold War foreign policy crises in the Western Balkans framed the parameters of Bulgarian diplomacy. The stabilization of FYROM in 2001, followed by Bulgaria's 2007 EU accession, led to Bulgarian nationalist values become more salient in Bulgarian politics and foreign policy. Sofia-Skopje relations are a test case for the effects of Europeanization on interdependent Balkan ethno-sectarian nationalisms and state territorial institutional development.

영국 2015년 보험법 상 담보(워런티)에 관한 연구 (A Study on Warranty in The Insurance Act 2015)

  • 신건훈;이병문
    • 무역상무연구
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    • 제73권
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    • pp.65-90
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    • 2017
  • The rule of warranty in English insurance law was established in the second part of the $18^{th}$ century by Lord Mansfield, who laid the foundations of the modern English law of insurance contract and developed very different rule of insurance law, especially in the field of warranty. At the time of Lord Mansfield, warranty, that is, the promise given by the assured, played an important role for the insurer to assess the scope of the risk. Legal environments, however, have changed since the age of Lord Mansfield. English and Scottish Commissions proposed very dramatic reform of law in the field of warranty law to reflect the changes of legal environment through the Insurance Act 2016. This article intends to consider the legal implications through the comparative analysis between the new regime of warranty in the Insurance Act 2015 and MIA 1906. The major changes in the Insurance Act 2015 are summarized as following. First, Basis of the contract clauses in non-consumer insurance contracts should be of no effect and representations should not be capable of being converted into warranties by means of a policy term or statement on the proposal form. This requirement should not be capable of being avoided by the use of a contract term and the arrangement of contracting out by parties should be of no effect. Secondly, The existing remedy for breach of warranty, that is, automatic discharge of the insurer's liability, should be removed. Instead, the insurer's libility should be suspended from the point of breach of warranty and reattach if and when a breach of warranty has been remedies. Thirdly, A breach of warranty should genally be regarded as remedied where the insured ceases to be in breach of it. In the other hand, for time-specific warranties which apply at or by an ascertainable time, a breach should be regarded as remedies, if the risk to which the warranty relates later, becomes essentially the same as that originally contemplated by the parties. Fourthly, where a term of an insurance contract relates to a particular kind of loss, or loss at a particular location/time, the breach of that term should only give the remedy in relation to loss of that particular kind of loss, or at a particular location/time. Finally, whether a term of an insurance contrat relates to loss of a particular kind of at a particular location/time should be determined objectively, based on whether compliance with that ther would tend to reduce the risk of the occurrence of that category of loss.

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영국 보험계약법 상 최대선의의무에 관한 주요 개혁동향 (Main Trends for Reforming the Duty of Utmost Good Faith in English Insurance Contracts Law - Focused on the Policyholder's Pre-Contractual Duty in Insurance Contracts for Business)

  • 신건훈
    • 무역상무연구
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    • 제49권
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    • pp.257-281
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    • 2011
  • The duty of utmost good faith is found in sections 17-20 of MIA 1906. Critics of the current legal regime on the pre-contractual duty from the viewpoint of the assured, have been concentrated on two points in particular. First, the scope of the duty is so wide that it imposes too high burden on the assured. The second criticism is directed at the remedy, prescribed by the MIA 1906, s.17, against breach of the duty. This article intends to analyse the legal implications of proposals in CP 2007 for reforming pre-contractual duty of utmost good faith of business assured in English insurance contracts law and the problems of proposals. The Law Commissions are proposing four fundamental changes to meet the long-standing criticism and the results of analysis are as following. First, the Law Commissions are proposing a change in the test of constructive knowledge in relation to the duty of disclosure so that a business assured will be obliged to disclose facts which he knows or a reasonable ought to know in the circumstances. Secondly, deviating from the current legal position, the Law Commissions are proposing that if a business assured has made a misrepresentation, but the assured honestly and reasonably believe what it said to be true, the insurer should not have any remedy due to the misrepresentation. The proposal is designed to protect the reasonable expectations of business assured at the pre-contractual stage. Thirdly, the Law Commissions are proposing to change the test for materiality by replacing the "prudent insurer" test by a "reasonable assured" test. The proposed test would focus on the question of what a reasonable assured in the circumstances would think what is relevant to the judgment of the insurer. Finally, the Law Commissions are proposing flexible remedies in case of the breach of the duty. The Law Commissions are proposing no remedy when an assured is acting honestly and reasonably, while avoidance in case of dishonesty. On the other hand, The Law Commissions seem to have an intention to introduce a compensatory remedy in case of negligent breach of the duty.

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외국의 우주보험 관련법 연구 (A Study on Space Insurance of Foreign nation's Law)

  • 조홍제
    • 항공우주정책ㆍ법학회지
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    • 제26권1호
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    • pp.271-297
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    • 2011
  • 최근에는 상업적 우주활동의 증가와 우주파편의 증가로 인해 그 위험성이 더욱 증대되고 있다. 우리나라에서도 지난 2009년과 2010년 두 번에 걸쳐 인공위성 발사하였으나, 모두 실패로 끝났다. 이에 따라 국내외적으로 위성 발사 실패에 따른 책임 규명에 대해 보상 논의가 활발하게 이루어졌다. 이러한 점에 비추어 볼 때 우주개발과 관련한 리스크 관리 장치로서의 우주보험에 대한 정확한 개념규정과 법적인 논의가 이루어져야 할 것이다. 우주보험과 관련하여 통상적으로 두 가지 형태가 가능하다. 첫째는 발사와 궤도진입과 관련한 보험이며, 두 번째는 제3자 손해에 대한 보험이다. 전자는 피해를 입은 위성의 소유자나 운영자를 보호하는 것이고, 후자는 사고로 인한 소유자나 운영자의 책임을 담보하거나 배상하는 것이다. 우주보험과 관련하여 국제조약이나 국제적 규범은 없지만, 미국을 비롯한 영국, 프랑스, 러시아, 한국 등 각국은 국내법을 통해 우주보험의 인수를 강제하고 있다. 특히, 미국은 1984년 상업우주개발법과 관련 법률에서 발사체를 운영하는 자격을 가진 사람에게 제3자 손해에 대한 보험을 인수하도록 하고 있다. 상업적 우주산업의 관행과 미국의 상업적 우주발사법에서는 위성의 고객과 발사제공자는 발사로 인한 재산적 손해, 신체적 부상이나 사망 위험에 대한 가정과 상호 책임면제에 합의해야 한다고 규정하고 있다. 이는 위성의 발사 실패나, 위성체를 손실하였을 때, 위성의 고객은 비록 발사제공자가 과실이 있다고 하더라도 발사제공자에세 배상을 요구할 수 없다는 의미일 것이다. 그리고 미국과 기타 우주발사국들은 부보된 보험액을 초과하는 경우 제3자 손해에 정부의 배상을 제공한다. 그러나 유인우주선에 대해서는 유인 우주선에서 포기조항이 요구되지 않으며, 동의를 통보해야만 한다. 위성고객이 발사 제공자에세 소송을 제기하는 것을 제한하는 미국법상 포기조항은 유인우주선에는 적용되지 않는다. 이같이 미국법에서는 우주활동과 관련된 보험문제에 대해서 비교적 상세하게 규정하게 있으나, 다른 국가에서는 다수가 보험을 인수하도록 요구하고 있으나 상세한 규정은 두지 않고 있다. 우리나라도 예외가 아니다. 그러나 향후 우주활동이 활발하게 이루어지 상업적 우주관광 등이 이루어짐에 따라 우주보험문제에 대해서도 심도 있게 논의가 이루어져야 할 것이다.

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기내 난동승객관련 도쿄협약의 개정필요성과 한국국내법적 접근의 한계 (The Need for Modernization of the Tokyo Convention(1963) on the Issue of Unruly Passengers and the Inadequacy of Korean Domestic Legal Approaches)

  • 배종인;이재운
    • 항공우주정책ㆍ법학회지
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    • 제27권1호
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    • pp.3-27
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    • 2012
  • 항공안전과 항공보안이 날로 발전하여 항공교통은 과거에 비해 월등히 안전해졌으나, 국제항공에서 기내난동사건은 지속적으로 증가하는 추세이다. 국제법으로는 1963년 도쿄협약 (항공기내 범죄방지협약)이 난동승객관련 사건들에 적용된다. 도쿄협약은 185개국이 비준한 성공적인 협약이지만, 여러 문제점을 가지고 있고, 특히, 정의조항, 관할권, 집행력에 관련한 흠결이 있다. 첫째, 어떠한 행위가 항공기내 범죄에 해당하는지에 대한 정의조항이 없어서, 항공기 출발국에서 범죄에 해당하는 행위가 항공기 도착국에서는 범죄에 해당하지 않는 상황을 야기할 수 있다. 각기 다른 정의조항은 항공사들의 대응을 효과적이지 못하게 할 수 있다. 둘째, 착륙국에 관할권이 없어서 기내에서 명백하게 범죄를 저지른 기내난동승객의 처벌이 불가능한 상황을 만들 수 있다. 셋째, 도쿄협약은 등록국에 대한 형사 관할권행사의 권한을 부여했을 뿐, 실제로 그 권한을 사용해야 한다는 의무를 부여하지 않았다. 도쿄협약을 비준함과 동시에, 한국은 기내난동승객문제를 처리하기 위한 국내법적 절차로써 항공기운항안전법을 1974년에 제정했다. 이후 2002년 ICAO 모델입법 Circular 288을 일부 반영하여, 항공안전 및 보안에 관한 법률(항안법)이 2002년 제정되었다. 항안법이 꾸준하게 개정되어온 포괄적인 법률이지만, 관할권 관련 조항은 없으며, 오직 형법만이 관할권 관련조항이 있다. 형법은 영토, 국적, 등록을 기초로 관할권을 정하고, 이는 본질적으로 도쿄협약의 관할권 원칙과 동일하다. 그러므로, 국내법 또한 기내난동승객 처리에 대한 관할권의 흠결을 해결하지 못한다. 또한, 법원의 판결도 항공기 납치 같은 심각한 범죄가 아닌 이상 관할권 관련 적극적인 입장을 피력할 것으로 보이지 않는다. ICAO 법률위원회의 특별위원회가 기내난동승객관련 1963년 도쿄협약 (항공기내 범죄방지협약) 개정의 실효성을 연구하기 위해 조직되었다. ICAO의 연구결과가 도쿄협약 현대화 작업으로 이어져서 기내난동승객을 보다 효과적으로 대응하고, 보다 근본적으로는, 기내난동승객 발생건수를 줄일 수 있도록 해야겠다.

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국제항공법상 화물.수하물에 대한 운송인의 책임상한제도 - 미국의 판례 분석을 중심으로 - (The Limitation of Air Carriers' Cargo and Baggage Liability in International Aviation Law: With Reference to the U.S. Courts' Decisions)

  • 문준조
    • 항공우주정책ㆍ법학회지
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    • 제22권2호
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    • pp.109-133
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    • 2007
  • The legal labyrinth through which we have just walked is one in which even a highly proficient lawyer could easily become lost. Warsaw Convention's original objective of uniformity of private international aviation liability law has been eroded as the world community ha attempted again to address perceived problems. Efforts to create simplicity and certainty of recovery actually may have created less of both. In any particular case, the issue of which international convention, intercarrier agreement or national law to apply will likely be inconsistent with other decisions. The law has evolved faster for some nations, and slower for others. Under the Warsaw Convention of 1929, strict liability is imposed on the air carrier for damage, loss, or destruction of cargo, luggage, or goods sustained either: (1) during carriage in air, which is comprised of the period during which cargo is 'in charge of the carrier (a) within an aerodrome, (b) on board the aircraft, or (c) in any place if the aircraft lands outside an aerodrome; or (2) as a result of delay. By 2007, 151 nations had ratified the original Warsaw Convention, 136 nations had ratified the Hague Protocol, 84 had ratified the Guadalajara Protocol, and 53 nations had ratified Montreal Protocol No.4, all of which have entered into force. In November 2003, the Montreal Convention of 1999 entered into force. Several airlines have embraced the Montreal Agreement or the IATA Intercarrier Agreements. Only seven nations had ratified the moribund Guatemala City Protocol. Meanwhile, the highly influential U.S. Second Circuit has rendered an opinion that no treaty on the subject was in force at all unless both affected nations had ratified the identical convention, leaving some cases to fall between the cracks into the arena of common law. Moreover, in the United States, a surface transportation movement prior or subsequent to the air movement may, depending upon the facts, be subject to Warsaw, or to common law. At present, International private air law regime can be described as a "situation of utter chaos" in which "even legal advisers and judges are confused." The net result of this barnacle-like layering of international and domestic rules, standards, agreements, and criteria in the elimination of legal simplicity and the substitution in its stead of complexity and commercial uncertainty, which manifestly can not inure to the efficient and economical flow of world trade. All this makes a strong case for universal ratification of the Montreal Convention, which will supersede the Warsaw Convention and its various reformulations. Now that the Montreal Convention has entered into force, the insurance community may press the airlines to embrace it, which in turn may encourage the world's governments to ratify it. Under the Montreal Convention, the common law defence is available to the carrier even when it was not the sole cause of the loss or damage, again making way for the application of comparative fault principle. Hopefully, the recent entry into force of the Montreal Convention of 1999 will re-establish the international legal uniformity the Warsaw Convention of 1929 sought to achieve, though far a transitional period at least, the courts of different nations will be applying different legal regimes.

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한국의 배타적 경제수역 설정에 관한 연구 (Some Considerations on the Establisment of the Exclusive Economic Zone in Korea)

  • 이윤철
    • 한국항해학회지
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    • 제17권4호
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    • pp.1-21
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    • 1993
  • The purpose of this paper is to search for reasonable and fair principles applicable to the delimitation of the Exclusive Economic Zone(which is called the EEZ, hereinafter) around the Korean Peninsula th-rought the comprehensive study of maritime boundary, which is one of the most important issues in the law of the Sea. So far, the sea has been exploited for activities such as fishery, transport and military stratedy, and en-vironmental policy and so on. From this time on, however, it becomes important to us as the major trea-sure-house of various resources which will be developed and used for diversified purposes. For these rea-sons, nowadays, more and more countries of the world are competing to secure waters as much as possible within their jurisdiction. And the regime of the EEZ was created as a result of this international trend. At last, it has been institutionalized as the 200-mile EEZ of a legal notion in the Convention on the Law of the Sea, which was adopted at the Third United Nations Conference on the Law of the Sea, in Jamaica on December 10, 1982. In adapting to this EEZ institution, Korea is faced with several complicated problems as it is bounded on three sides by the sea and all of its neighboring countries such as the PRC, the DPRK, Japan, Russia etc are less than 400 miles away between opposite countries. Therefore, when trying to delimit the boun-dary for the EEZ, it appears necessary to analyze applicable principles and rules of international law for delimitation mainly through the Convention on the Law of the Sea, and studies the trends of actual State practices and recent international precedents. It is hoped that such knowledge will enable Korea to secure sufficient resources and other sovereign rights without conflicting with the neighboring countries concer-ned. For the achievement of the above mentioned object. I analyzed the necessities of the establishment of the EEZ in Korea, the difficulties and practices of Korea's neighbors, and the changes and forthcoming trends in Korea's relations with its neighbors concerned on the basis of the general explanation of the EEZ regime. In conclusion, it is my opinion that for the establishment of the EEZ delimitation which neighbors around the Korean Peninsula should be applied reasonable and equitable principles considering the rele-vant circumstances which characterize the area definitely as well as the UN Convention on the Law of the Sea, 1982.

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국제상사중재에 관한 UNCITRAL 모델법의 개정동향 (The Revision Trend of UNCITRAL Model Law on International Commercial Arbitration)

  • 이강빈
    • 한국중재학회지:중재연구
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    • 제16권3호
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    • pp.53-89
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    • 2006
  • At its thirty-second session(Vienna, 17 May-4 June 1999), the UNCITRAL decided that the priority items for the Working Group(Arbitration and Conciliation) should include enforceability of interim measures and the requirement of written (on for the arbitration agreement. The Working Group, at its forty-third session(Vienna, 3-7 October 2005), it had undertaken a detailed review of the text of the revised article 17 of UNCTTRAL Model Law on International Commercial Arbitration, and it had resumed discussions on a draft model legislative provision revising article 7, paragraph (2) of UNCITRAL Model Law. The purpose of this paper is to make research on the contents and issues of the draft legislative provisions on interim measures and preliminary orders, and on the form of arbitration agreement which the Working Group discussed and adopted at its forth-fourth session(New York, 23-27 January 2006). The draft legislative provisions on interim measures and preliminary orders are composed of the following provisions : Article 17-power of arbitral tribunal to order interim measures; article 17 bis-conditions for granting interim measures; article 17 ter-applications for preliminary orders and conditions for granting preliminary orders; article 17 quater-specific regime for preliminary orders; article 17 quinquies- modification, suspension, termination; article 17 sexies-provision of security; article 17 septies-disclosure; article 17 octies-costs and damages; article 17 novies recognition and enforcements; article 17 decies-grounds for refusing recognition or enforcement; article 17 undecies-court-ordered interim measures. There are the following issues in the draft legislative provisions on interim measures and preliminary orders : form of issuance of an interim measures in article 17(2); conditions for granting interim measures in article 17 bis; purpose, function and legal regime of preliminary orders in article 17 ter; obligation of arbitral tribunal to give notice, and non-enforceability of preliminary orders in article 17 quater; burden of proof, interplay between article 17 decies and article 34, and decision on the recognition and enforcement of the interim measures in article 17 decies; placement of article 17 undecies; amendment of scope exception of application in article 1(2). The draft legislative provisions on the form of arbitration agreement are composed of the following provisions : article 7(1) definition of arbitration agreement; article 7(2) arbitration agreement in writing; article 7(3) arbitration agreement if its terms(content) are (is) recorded in any form; article 7(4) arbitration agreement by an electronic communication; article 7(5) arbitration agreement in an exchange of statements of claim and defence; article 7(6) reference to any document containing an arbitration clause. There are the following issues in the draft legislative provisions on the form of arbitration agreement : arbitration agreement in writing in article 7(2); terms or contents of arbitration agreement in article 7(3); arbitration agreement by electronic communication in article 7(4); existence of arbitration agreement in article 7(5); reference to any document containing an arbitration clause in article 7(6); the alternative proposal on article 7; amendment to article 35(2).

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