Books on the topic 'Intervento in arbitrato'

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1

La intervención judicial en el arbitraje: Recursos jurisdiccionales y ejecución judicial del laudo arbitral. [Madrid]: Cámara de Comercio e Industria de Madrid, 1988.

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2

Neely, Christopher J. Central bank intervention with limited arbitrage. [St. Louis, Mo.]: Federal Reserve Bank of St. Louis, 2006.

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3

Loonstra, C. J. Derden-interventie bij CAO-conflicten: Grenzen en mogelijkheden van wettellijke regulering = Third-party intervention in case of collective labour conflicts : limits and possibilities of legal intervention. Groningen: Wolters-Noordhoff, 1987.

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4

Meeting, American Bar Association, and American Bar Association. Section of Litigation., eds. Presidential showcase program: Practical problems in international commercial arbitration : part II, judicial intervention in arbitral proceedings. [Chicago, Ill.]: The Section, 1994.

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5

Ekwenze, S. A. M. Judicial intervention in Nigerian arbiration practice. Enugu, Nigeria: Snaap Press Ltd., 2011.

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6

Odette, Geldenhuys, Kawa Wanita, and University of Cape Town. Centre for Intergroup Studies., eds. Third party intervention: Mediation, facilitation, and negotiation. Rondebosch, South Africa: Centre for Intergroup Studies, 1985.

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7

C, Greenberg Melanie, Barton John H, and McGuinness Margaret E, eds. Words over war: Mediation and arbitration to prevent deadly conflict. Lanham, Md: Rowman & Littlefield Publishers, 1999.

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8

International dispute settlement. 5th ed. New York, NY [etc.]: Cambridge University Press, 2011.

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9

The law of international conflicts: Force, intervention and peaceful dispute settlement. Leiden: Brill Nijhoff, 2015.

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10

Oswald, Sven. Probleme der Mehrparteienschiedsgerichtsbarkeit. Hamburg: W. Mauke Söhne, 1998.

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11

Bahmaei, Mohammad-Ali. L' intervention du juge étatique des mesures provisoires et conservatoires en présence d'une convention d'arbitrage: Droits français, anglais et suisse. Paris: L.G.D.J, 2002.

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12

Dogmatische Strukturen der Mehrparteienschiedsgerichtsbarkeit. Frankfurt am Main: P. Lang, 1998.

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13

Lawyers, International Association of, ed. L' intervention de l'Etat ou d'une firme étatique dans l'arbitrage commercial international: Rapports de la commission arbitrage international : Union internationale des avocats, congrès de Berlin, 23-27 août 1992. Bruxelles: E. Story-Scientia, 1993.

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14

Ladd, William. An essay on a congress of nations for the adjustment of international disputes without resort to arms. Clark, N.J: Lawbook Exchange, 2005.

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15

Ladd, William. An essay on a congress of nations for the adjustment of international disputes without resort to arms. Clark, NJ: Lawbook Exchange, 2007.

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16

Wehberg, Hans. The outlawry of war: A series of lectures delivered before the Academy of International Law at the Hague and in the Institut Universitaire de Hautes Etudes Internationales at Geneva. Buffalo, N.Y: W.S. Hein & Co., 2000.

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17

Nigel, Blackaby, Partasides Constantine, Redfern Alan, and Hunter Martin. 7 Role of National Courts during the Proceedings. Oxford University Press, 2015. http://dx.doi.org/10.1093/law/9780198714248.003.0007.

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This chapter examines the role that national courts play at the beginning, during, and end of arbitration proceedings. Arbitration is dependent on the support of the courts, which alone have the power to intercede when one party seeks to sabotage proceedings. This intervention may be possible at the beginning of the arbitral process in the context of the enforcement of the arbitration agreement, the establishment of the tribunal, and challenges to jurisdiction. National courts may also intervene during proceedings: it may be necessary for the arbitral tribunal or a national court to issue orders intended to preserve evidence, to protect assets, or in some other way to maintain the status quo pending the outcome of the arbitration. Under the UNCITRAL Rules and Model Law, such orders are called ‘interim measures’. The chapter also describes how national courts exercise judicial control over the resulting award.
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18

John, Fellas, and Elul Hagit. 7 Enforcing International Arbitration Agreements. Oxford University Press, 2016. http://dx.doi.org/10.1093/law/9780198753483.003.0008.

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This chapter addresses the enforcement of agreements to arbitrate, the question of what one party to an international contract should do when the other fails to comply with its agreement to arbitrate. It addresses three basic issues. The first is whether one party can proceed with the arbitration and obtain an enforceable award even if the other party fails to participate in the arbitration. Secondly, the chapter inquires as to whether one party can seek the intervention of the courts to enforce its agreement to arbitrate in the event that the other party to the arbitration agreement refuses to arbitrate or commences litigation notwithstanding its agreement to arbitrate. Finally, the chapter looks into whether one party can obtain damages against the party that has breached its obligation to arbitrate.
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19

Bernard, Rix. Part X Judicial Review, Judicial Performance, and Enforcement, 29 Judicial Review of the Merits of Arbitration Awards under English Law. Oxford University Press, 2016. http://dx.doi.org/10.1093/law/9780198783206.003.0030.

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This chapter considers the history of judicial review of the merits of arbitration awards in the courts of England. Topics discussed include arbitration before and during the nineteenth century; the English Arbitration Act 1979; the decision in The Nema, a case which concerned the possible frustration of a seven-voyage consecutive voyage charter due to a prolonged strike at the loading port; and section 69 of the English Arbitration Act 1996. The chapter concludes by referring to Lord Wilberforce’s parliamentary observation cited by Lord Steyn in Lesotho Highlands Development Authority v Impregilo SpA. The case raised an issue under section 68(2)(b) of the 1996 Act as to whether the arbitral tribunal had ‘exceed[ed] its powers’. The House of Lords held that an erroneous exercise of a power that was possessed was a mere error of law and not the same thing as acting in excess of powers that were not possessed; and that therefore the award could not be challenged. In the context of arbitration, the House of Lords was determined to allow no possibility that errors of law might be dressed up as decisions in excess of powers. That would have opened the floodgates to the opportunities for judicial intervention in the merits of disputes.
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20

John, Choong. 7 Multiple Contracts, Consolidation, Joinder, and Intervention: (SIAC RULES 6 TO 8). Oxford University Press, 2018. http://dx.doi.org/10.1093/law/9780198810650.003.0007.

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This chapter discusses Singapore International Arbitration Centre (SIAC) Rules 6 to 8, which deal with complex questions that arise in arbitrations involving multiple contracts and multiple parties. Rule 6 deals with the commencement of arbitration involving multiple contracts. Rule 7 has significantly expanded upon the circumstances under which additional parties may be joined in an SIAC arbitration. An application for joinder may be made either to the SIAC Court, before the constitution of the tribunal (Rules 7.1 to 7.7), or to the tribunal, after it has been formed (Rules 7.8 to 7.11). Rule 8 deals with the consolidation of arbitrations. As in the case of an application for joinder, an application for consolidation may be filed before the tribunal has been constituted (Rules 8.1 to 8.6) or, in more limited terms, after constitution of the tribunal (Rules 8.7 to 8.10).
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21

Martens, Frank. Wirkungen der Schiedsvereinbarung und des Schiedsverfahrens auf Dritte. Lang GmbH, Internationaler Verlag der Wissenschaften, Peter, 2005.

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22

International Dispute Settlement. Cambridge University Press, 2017.

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23

International Dispute Settlement. Cambridge University Press, 2017.

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24

John, Choong. 19 SIAC Investment Rules. Oxford University Press, 2018. http://dx.doi.org/10.1093/law/9780198810650.003.0019.

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In 2017, the Singapore International Arbitration Centre (SIAC) released separate rules for investment arbitration: the SIAC Investment Arbitration Rules (SIAC IA Rules). This chapter addresses the new SIAC IA Rules, which entered into force on 1 January 2017. It begins in Part A with an introduction to the SIAC IA Rules. Part B then examines the key provisions of the SIAC IA Rules in more detail. These include scope of application (Rule 1), constitution of the tribunal (Rules 5 to 9, 12, 13), third-party funding (Rules 24, 33 and 35), early dismissal of claims and defences (Rule 26), third party intervention (Rule 29), and confidentiality and transparency (Rules 37 and 38).
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25

Christine, Chinkin. Part II International Judicial and Arbitral Procedure and Third Parties, 9 Intervention before the European Court of Justice. Oxford University Press, 1993. http://dx.doi.org/10.1093/law/9780198257158.003.0009.

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26

Ladd, William. An Essay on a Congress of Nations for the Adjustment of International Disputes Without Resort to Arms. Lawbook Exchange, 2007.

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27

Christine, Chinkin. Part II International Judicial and Arbitral Procedure and Third Parties, 8 Multiparty Disputes: Intervention and Indispensable Parties before the International Court of Justice. Oxford University Press, 1993. http://dx.doi.org/10.1093/law/9780198257158.003.0008.

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28

Pascal, Pichonnaz. Ch.8 Set-off, Art.8.3. Oxford University Press, 2015. http://dx.doi.org/10.1093/law/9780198702627.003.0166.

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This commentary analyses Article 8.3 of the UNIDROIT Principles of International Commercial Contracts (PICC) concerning set-off by notice. Under Art 8.3, the right of set-off is exercised by notice to the other party. This means that set-off can operate outside a courtroom and has a discharging effect on the obligation of the first party without the intervention of a judge or arbitrator. This commentary discusses the principle of set-off by notice, the form of notice of set-off, and time to give notice (‘anticipatory notice’). It also considers two other modes of set-off, set-off within insolvency proceedings and set-off by agreement, and concludes by explaining the burden of proof relating to set-off by notice.
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29

Christine, Chinkin. Part II International Judicial and Arbitral Procedure and Third Parties, 7 Intervention before the International Court of Justice: Articles 62 and 63 of the Statute of the Court. Oxford University Press, 1993. http://dx.doi.org/10.1093/law/9780198257158.003.0007.

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30

Hanson, Annette L. Clinical and legal implications of gangs. Oxford University Press, 2015. http://dx.doi.org/10.1093/med/9780199360574.003.0058.

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Gangs are a fact of life in jails and prisons. The extent and impact of gang activity on a facility will depend upon the size and geographic location of the facility. Smaller jails and prisons, or facilities in rural areas, are more likely to be involved with local or regional groups, also known as street gangs, while large facilities in urban areas will be affected more by nationally known or connected gangs. One survey of Florida prisoners found that inmates who were suspected or confirmed gang members were 35% more likely to commit violent acts than non-members. In a study of 2,158 male inmates in the Arizona Department of Corrections, gang-affiliated inmates were more than twice as likely as nonaffiliated inmates to commit an assault during the first three years of confinement Since institutional management often involves restriction of privileges, placement on long-term segregation, or transfer to a control unit prison, advocacy groups and individual inmates have filed suit against these policies based on First and Eighth Amendment, religious freedom, and anti-discrimination claims. Gang validation procedures themselves have been challenged as arbitrary and inaccurate, leading to inappropriate segregation or restrictions on prisoners who have exhibited no institutional violence. Psychiatrists need to be aware of the dynamics of gang leadership, membership or involvement when working with any gang member, as that will affect their ability and interest in collaborative treatment. These issues and best practices for intervention will be presented in this chapter.
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