Littérature scientifique sur le sujet « Ex parte proceedings »

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Articles de revues sur le sujet "Ex parte proceedings"

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Warbrick, Colin, Dominic McGoldrick et Eileen Denza. « II. Ex parte Pinochet : Lacuna or Leap ? » International and Comparative Law Quarterly 48, no 4 (octobre 1999) : 949–58. http://dx.doi.org/10.1017/s0020589300063776.

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The Lords were not lost in admiration of section 20 of the State Immunity Act 1978. Lord Browne-Wilkinson described it as “strange” and “baffling”. It is certainly true that (as Lord Browne-Wilkinson continued) “Parliament cannot have intended to give heads of state and former heads of state greater rights than they already enjoyed under international law”.1 Nor was it intended that their rights should be inadvertently curtailed. The State Immunity Bill originally introduced into the House of Lords in 1977 would, by reflecting in UK statute law the European Convention on State Immunity2 make huge inroads into absolute sovereign immunity—tottering but not yet demolished through the repeated onslaughts of Lord Denning. The European Convention was however “essentially concerned with ‘private law’ disputes between individuals and States”.3 It was not intended to have any application to criminal proceedings—in so far as lawyers in 1977 even contemplated criminal proceedings in domestic courts against foreign States in their public capacity. It did not deal with the personal privileges or immunities of heads of state. There were no ready-made treaty rules on heads of state and no clear customary rules either.4
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Nash, Susan. « The Admissibility of Evidence in Extradition Proceedings : R v Governor of Brixton Prison, ex parte Levin ». International Journal of Evidence & ; Proof 2, no 3 (juillet 1998) : 198–204. http://dx.doi.org/10.1177/136571279800200304.

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Betancourt, Julio César. « What Are the Arbitral Tribunal's Powers in Default Proceedings ? » Journal of International Arbitration 36, Issue 4 (1 août 2019) : 485–502. http://dx.doi.org/10.54648/joia2019024.

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When the claimant serves on the defendant a notice in connection with the initiation of arbitral proceedings pursuant to an arbitration agreement, there is a legitimate expectation that both parties will actively participate in those proceedings and forcefully argue against one another in order to persuade the arbitral tribunal of the merits of the case in question. This expectation is generally met. However, there are cases in which the respondent decides not to take part in the proceedings, with the result that the arbitral tribunal is left with no option but to proceed on an ex parte basis. These types of cases have received relatively scant attention within the international arbitration literature. Nonetheless, the problem of default proceedings remains a matter of practical importance. This article is intended to fill this gap. It provides a practical insight into the arbitral tribunal’s powers in these kinds of proceedings (whether ad hoc or institutional), particularly, in the context of an international arbitration seated in London
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Ruckteschler, Dorothee, et Anika Wendelstein. « Efficient Arb-Med-Arb Proceedings : Should the Arbitrator also be the Mediator ? » Journal of International Arbitration 38, Issue 6 (1 novembre 2021) : 761–74. http://dx.doi.org/10.54648/joia2021035.

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The demand for hybrid proceedings combining elements of arbitration proceedings and mediation is growing continuously. The reason for this is the parties’ desire to make dispute resolution more efficient. A special type of hybrid proceedings are ‘arb-med-arb’ proceedings. These proceedings involve first initiating traditional arbitration proceedings. Before the taking of evidence begins, an attempt is then made to settle the dispute outside the arbitration proceedings in a separate mediation procedure. If the mediation fails, the arbitration proceedings are recommenced, and an arbitral award is issued. In the majority of arb-med-arb proceedings, a third party not involved in the arbitration proceedings is appointed as mediator. However, sometimes the parties ask the sole arbitrator or a member of the arbitral tribunal to act as mediator. This identity of the mediator and the (former and later) arbitrator raises many difficult questions, in particular, when the mediation fails. This article first analyses the pertinent most important regulations worldwide in arbitration and mediation laws, institutional arbitration, and mediation rules, and in soft law. Based on the results of this analysis, the authors develop some practical recommendations for the stakeholders in arb-med-arb proceedings. Arb-med-arb, Arbitrator, Mediator, Hybrid proceedings, Arbitration, Mediation, Same neutral, Declaration of consent, Ex parte communication, Caucusing
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Dahlberg, Hans, et Marie Öhrström. « Proper Notification : A Crucial Element of Arbitral Proceedings ». Journal of International Arbitration 27, Issue 5 (1 octobre 2010) : 539–43. http://dx.doi.org/10.54648/joia2010031.

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Everyone experienced in international arbitration knows how important it is to ensure that the respondent is properly notified of the arbitration. No mistakes can be afforded at this crucial stage of the proceedings. Should the notification fail, the arbitral award cannot, and should not, be enforced. If the notification is inadequate, and the respondent fails to take part in the arbitral proceedings (so-called ex parte proceedings), there will unquestionably be difficulties in enforcing the arbitral award if the respondent chooses not to comply with it. It is very rarely that Swedish courts deny recognition and enforcement of foreign arbitral awards. However, in a recent case from the Swedish Supreme Court, enforcement of an award was denied in Sweden due to lack of proper notification. The case clearly illustrates how critical and important proper notification is in cross-border disputes. Moreover, the case raises questions about the arbitral institutions’ responsibility and practices in this regard.
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Garsson, Ross Spencer, et Chinh H. Pham. « Strategies for post-grant reviews and other proceedings for challenging an issued patent ». Nanotechnology Reviews 1, no 6 (1 décembre 2012) : 541–44. http://dx.doi.org/10.1515/ntrev-2012-0072.

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AbstractIn the past, there have been other means for challenging a patent (or prospective patent) at the United States Patent and Trademark Office (USPTO). These included preissuance submissions of prior art and ex parte reexaminations, which continue to be available. With the enactment of the Leahy-Smith America Invents Act (AIA) on September 16, 2011, additional means have been provided to entities so that they now have a greater set of potential procedures to challenge and neutralize patents – procedures that are both more economical and will take less time to resolve. Under the AIA, there are two new procedures for challenging a patent after issuance, namely, post-grant review (PGR) and inter partes review (IPR). This article provides an overview of these procedures, including their advantages and disadvantages, so that nanotech-related companies can decide which strategy may best fit them for particular patent invalidity challenges.
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Pearson, Sabrina, et Christoph Müller. « Waving the Green Flag to Emergency Arbitration under the Swiss Rules : the Sauber Saga ». ASA Bulletin 33, Issue 4 (1 décembre 2015) : 808–24. http://dx.doi.org/10.54648/asab2015061.

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On 11 March 2015 – just four days before the start of the 2015 Grand Prix season in Melbourne – the Australian courts enforced a Partial Award effectively ordering the Sauber Formula One team to allow the race car driver, Mr van der Garde, to race in the 2015 Formula One season as one of its team drivers. An appeal was rejected the following day and the parties thereafter settled just over 24 hours before the start of the Melbourne Grand Prix with Mr van der Garde not proceeding to the starting grid. This dramatic turn of events was the culmination of a dispute arising from the ousting of Mr van der Garde from the Sauber team’s 2015 lineup which started with the initiation of emergency arbitrator proceedings before the Swiss Chambers’ Arbitration Institution in November 2014. The present article focuses on the emergency arbitrator mechanism under the Swiss Rules in both theory and practice. The first part of the article examines the theory behind this mechanism by elucidating the main aims underlying Article 43 of the Swiss Rules and how the latter provision sets out to achieve such aims. A comparison with emergency arbitrator provisions under other arbitral rules highlights the heightened degree of flexibility in the emergency arbitrator mechanism under the Swiss Rules as well as the unique possibility of obtaining ex parte relief available under these Rules. The second part of the article focuses on the experience of the Swiss Chambers’ Arbitration Institution with respect to the emergency arbitrator mechanism with particular emphasis on the “Sauber saga” as an illustrative example of how effectively this mechanism is working in practice.
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Aktar, Sharmin. « Procedural Deficiencies in Administrative Tribunals of Bangladesh : Exploring Alternative Tactics ». Dhaka University Law Journal 34, no 2 (23 avril 2024) : 67–95. http://dx.doi.org/10.3329/dulj.v34i2.72300.

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The present article demonstrates that a troublesome reality is now being faced by Administrative Tribunals, leaving a room highlighting problems that have been unaddressed since its inception. It is found that the jurisprudential concept of locus standi, so far as Administrative Tribunals are concerned, is not wide and comprehensive, even then it need not be extended due to its short domain of jurisdiction as to subject matter. Furthermore, there is no scope to condone the delay according to relevant provisions. In addition, the Act of 1980 does not mysteriously fix a period for the restoration of a case or setting aside an ex parte order. Whereas most of the litigations in Tribunals concern a lack of procedural fairness in departmental proceedings, therein the principle of ‘Natural Justice’ is not recognized. These lapses seriously endangered the future of this justice system but neither the legislature nor the judiciary has so far taken any serious step to check these realities. Therefore, scattered procedural complexities have been accommodated in this article based on the Act of 1980 as well as the Rules of 1982; and cases and interviewing have been used as the point of reference, but at the same time earnest effort has been spent for finding out solutions, guided by expediency and tradition. Dhaka University Law Journal, 2023, 34 (2), 67-95
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Collins, Shay. « The Death Knell and the Wild West : Two Dangers of Domestic Discovery in Foreign Adjudications ». Michigan Law Review, no 122.1 (2023) : 127. http://dx.doi.org/10.36644/mlr.122.1.death.

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Under 28 U.S.C. § 1782(a), parties to foreign legal proceedings can obtain discovery orders from United States federal courts. In other words, if a foreign party needs physical evidence located in—or testimony from a person residing in—the United States to support their claim or defense, they can ask a district court to order the production of that evidence. For almost two decades, § 1782(a) practice has operated as a procedural Wild West. Judges routinely consider § 1782(a) applications ex parte—that is, without giving the parties subject to the resulting discovery orders a chance to oppose them—and grant those applications at a staggering rate: more than 90% of the time. In its June 2022 decision in ZF Automotive US, Inc. v. Luxshare, Ltd., the Supreme Court transformed § 1782 jurisprudence for the worse. The Court held that private arbitral tribunals do not fall under § 1782(a)’s scope and that, as a result, parties cannot obtain discovery for use in foreign private arbitration under the provision. This Note argues that, after ZF Automotive, § 1782(a) jurisprudence contains two dangers: (1) it subjects some parties to burdensome discovery orders with few procedural safeguards, and (2) it prevents parties who have chosen to arbitrate rather than litigate from obtaining discovery entirely. This Note contributes to existing scholarship by proposing structural changes that would improve § 1782(a) practice. Specifically, it argues that courts cannot root out the procedural flaws that plague § 1782(a), and that, consequently, Congress should enact a new and improved § 1782 to address these manifold problems.
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von Segesser, Georg. « Vorsorgliche Massnahmen im Internationalen Schiedsprozess ». ASA Bulletin 25, Issue 3 (1 septembre 2007) : 473–86. http://dx.doi.org/10.54648/asab2007045.

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The article deals with provisional and protective measures in international arbitration and in particular with such issues as the authority and the requirements to issue provisional and protective measures as well as the subject matter of such measures. With the main focus on the present best practice for international arbitration in Switzerland, the article briefly also touches upon the ICC Pre-Arbitral Referee, the new ICDR Emergency Measures Rule and the revision of article 17 of the UNCITRAL Model Law. With the enumeration of the different types of provisional and protective measures, e.g. orders to continue with a contractual performance, orders which prohibit behaviour likely to cause personal injury, orders with the purpose of securing the enforcement of the award, orders for security of costs, and further the possibility to render preliminary orders in ex-parte proceedings, the author shows that there is a vast field of application for interim remedies. Dependent on the applicable arbitration rules which may or may not grant authority to the arbitral tribunal to issue provisional and protective measures, it may be advisable to address the issue in the individual arbitration clause through specific provisions taking the special needs of the particular case into consideration. Provisional and protective measures in international arbitration are very helpful and efficient remedies to secure and enforce a party’s claims and prayers for relief. With the revised article 17 of the UNCITRAL Model Law and its forthcoming adoption into the national laws of many countries, a further major step into the direction of transnational arbitration rules for the recognition of provisional and protective measures issued by arbitral tribunals will be achieved.
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Thèses sur le sujet "Ex parte proceedings"

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Russo, Elisa Maria. « Il volto "poliedrico" dell'ente nel modello processuale ex d.lgs. n. 231/2001 ». Doctoral thesis, Università di Catania, 2018. http://hdl.handle.net/10761/4196.

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La ricerca mira ad esaminare il ruolo attualmente ricoperto dalle persone giuridiche in seno al procedimento penale a seguito dell'entrata in vigore del d.lgs. n. 231 /2001. La normativa citata ha, infatti, introdotto una nuova ipotesi di responsabilità per la societas, la cui natura è ancora piuttosto dibattuta, e che - sebbene sia formalmente qualificata come amministrativa -cela in realtà un volto sostanzialmente penale. Alla luce della riforma introdotta nel 2001, sul piano processuale si è assistito ad una vera e propria rivoluzione copernicana, atteso che le persone giuridiche - in precedenza chiamate a rivestire il ruolo di meri soggetti eventuali del procedimento - sono ora chiamate ad assumere una posizione assimilabile a quella dell'imputato, venendo quindi in considerazione nell'inedito ruolo di soggetti necessari. L'arduo compito del legislatore è, dunque, coinciso con la necessità di adeguare alla partecipazione di questi nuovi "ingombranti soggetti" le strutture processuali preesistenti e costruite intorno alla figura di imputato-persona fisica, con non poche frizioni in ordine all'osservanza di principi fondamentali quali il diritto di difesa e la tutela risarcitoria della vittima del reato.
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Huang, Ting Yi, et 黃婷翊. « The Association between Patent Infringement Litigation and Post-Grant Proceedings, Ex Parte Reexamination in U.S ». Thesis, 2016. http://ndltd.ncl.edu.tw/handle/73808553400250823823.

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碩士
國立雲林科技大學
科技法律研究所
104
The America Invents Act was signed by President Obama on September, 2011, the United States Congress enacted a chapter on Post-Grant Proceedings. The newly established Post-Grant Proceedings provided a kind of high efficiency procedure and solved the problems about lengthy time of old patent examination system. The rapidity of the Post-Grant Proceedings encouraged federal district court judges to stay concurrent litigations and improved patent quality and limited unnecessary litigation costs. In the past, the courts stayed patent infringement litigation pending the outcome of the patent invalidation procedure when the court had to deal with the patent invalid issues in Taiwan. This situation has no longer existed since the intellectual property court was authorized to act for patent invalid issues, but caused the problems about ineffective dispute resolution. However, in contrast with the robust patent invalidation system in U.S., there is still a lack of clear and effective patent invalidation system in Taiwan. Therefore, the study firstly focuses on the benefits of the Post-Grant Proceedings in U.S. patent invalidation system. Secondly, the study has a discussion on relationship between the Post-Grant Proceedings and stay litigation. Additionally, the purpose of this thesis researches on the patent invalidity issues of infringement litigation in Taiwan, also learns the experiences from the U.S. patent invalidation reform to reflect on patent invalidation system in Taiwan.
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Livres sur le sujet "Ex parte proceedings"

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Natural gas regulation : Ex parte communications during FERC's Iroquois pipeline proceeding : statement of Martin J. Fitzgerald, Special Assistant to the General Counsel, before the Environment, Energy and Natural Resources Subcommittee, Committee on Government Operations, House of Representatives. [Washington, D.C.] : The Office, 1992.

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Chapitres de livres sur le sujet "Ex parte proceedings"

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García, Ana Montesinos, et Isabel Maravall-Buckwalter. « Ex parte and ex Officio proceedings ». Dans Preventing and Combating Violence Against Women and Domestic Violence, 620–29. Edward Elgar Publishing, 2023. http://dx.doi.org/10.4337/9781839107757.ch61.

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« Appeal stage – ex parte appeals ». Dans Proceedings Before the European Patent Office, 190–95. Edward Elgar Publishing, 2020. http://dx.doi.org/10.4337/9781788115322.00014.

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Kuczera, Markus. « Rule 85 : Stages of the proceedings (ex parte proceedings) ». Dans Unified Patent Protection in Europe : A Commentary. Oxford University Press, 2018. http://dx.doi.org/10.1093/oso/9780198755463.003.0275.

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Rule 85.1 applies to all actions against decisions of the EPO in the context of Art 9 EPUE Reg—except for proceedings dealing with an EPO decision not to grant a request for unitary effect of an EP. In the latter case, Rule 97 applies as lex specialis.
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Kuczera, Markus. « Rule 90 : Recording in the register (ex parte proceedings) ». Dans Unified Patent Protection in Europe : A Commentary. Oxford University Press, 2018. http://dx.doi.org/10.1093/oso/9780198755463.003.0280.

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If the Registry has completed the examination as to formal requirements pursuant to Rule 89 and if it concludes that the action meets the requirements of Rule 89.1, the Registry must continue the proceedings pursuant to Rule 90. This also applies to cases in which the President of the Court of First Instance has declined to issue a decision by default pursuant to Rule 89.4 cl 1 or to set aside a decision by default pursuant to Rule 356.3 because the requirements of Rule 89.1 are (eventually) met.
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Kuczera, Markus. « Rule 89 : Examination as to formal requirements (ex parte proceedings) ». Dans Unified Patent Protection in Europe : A Commentary. Oxford University Press, 2018. http://dx.doi.org/10.1093/oso/9780198755463.003.0279.

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If the Registry concludes, in accordance with Rule 17.3(a) and/or (c), that the claimant filed the action with a section (which below will also include the seat) which is not competent pursuant to Art 7(2) UPCA and Annex II thereto, the Registry will ensure that the action will be conducted before the competent panel.
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Hamer, Kenneth. « Concurrent Proceedings ». Dans Hamer's Professional Conduct Casebook, 139–54. 4e éd. Oxford University PressOxford, 2023. http://dx.doi.org/10.1093/oso/9780192883384.003.0012.

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Abstract This chapter highlights issues relating to concurrent proceedings. In R v. Executive Council Joint Disciplinary Scheme, ex parte Hipps and ors [1996], Dyson J states the principles to be applied by the courts in determining whether to grant a stay of disciplinary proceedings pending the trial of concurrent civil or criminal proceedings. However, only limited assistance can be derived when comparing the facts of a particular case with those of other cases in which a stay was or was not granted. In the healthcare professions, the practice of regulators is generally to await the outcome of any criminal proceedings against the registrant and, in the meantime, to apply to the interim orders tribunal for the practitioner’s registration to be suspended or made subject to conditions, on the grounds that an interim order is necessary for the protection of members of the public, or is otherwise in the public interest, or is in the interests of the practitioner. Employment cases also may require a different approach: an employer does not normally need to await the outcome of criminal or regulatory proceedings before commencing or continuing disciplinary proceedings against an employee.
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von Falck, Andreas, et Christian Stoll. « Rule 278 Service of written pleadings and other documents ». Dans Unified Patent Protection in Europe : A Commentary. Oxford University Press, 2018. http://dx.doi.org/10.1093/oso/9780198755463.003.0449.

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Pleadings and other documents pursuant to para 1 cover all written declarations including documents of evidence which are not Statement of claims or other documents relevant in the proceedings which are to be served on another party. This includes: a Statement of defence pursuant to Rule 24.1 (including a possible Statement of counterclaim) and further admitted pleadings in the main proceedings; an application for the determination of damages pursuant to Rule 138; a protective letter (Rule 207.7), a Statement of appeal (Rule 225), as well as a Statement of response to the appeal (Rule 236). The service requirements are not applicable where ex parte proceedings have commenced (→ eg Rules 85 ff UPCARoP).
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Hamer, Kenneth. « Appeals By the Regulator ». Dans Professional Conduct Casebook. Oxford University Press, 2019. http://dx.doi.org/10.1093/oso/9780198817246.003.0006.

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In the absence of a statutory or other right of appeal, a regulator is entitled to bring judicial review proceedings against the decision of the disciplinary tribunal (see R v. Statutory Committee of Pharmaceutical Society of Great Britain, ex parte Pharmaceutical Society of Great Britain [1981] 1 WLR 886) or the chief constable may seek judicial review of the decision of the Police Appeals Tribunal.
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Pfander, James E. « Uncontested Proceedings on Federal Dockets in the Early Republic ». Dans Cases Without Controversies, 33–60. Oxford University Press, 2021. http://dx.doi.org/10.1093/oso/9780197571408.003.0003.

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This chapter describes the forms of uncontested adjudication that appeared on the dockets of the federal courts in the early Republic. Prominent among these examples was the practice of petitioning on an ex parte basis for a grant of naturalized citizenship under a law the First Congress adopted in 1790 to assign such work to the federal courts. Other examples include warrant proceedings, prize and salvage litigation in the federal admiralty courts, and veterans’ pension claims. Federal courts in the period agreed to entertain such proceedings as proper subjects of Article III adjudication and treated the resulting judgments as final and binding determinations of the right in question. There was no suggestion that the case-or-controversy language, or anything else in Article III, foreclosed such adjudications.
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Law, European. « Provisional and Protective Measures ». Dans ELI – Unidroit Model European Rules of Civil Procedure, 219–39. Oxford University Press, 2021. http://dx.doi.org/10.1093/oso/9780198866589.003.0011.

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This chapter focuses on provisional and protective measures, which are important both in domestic and cross-border litigation to secure effective enforcement or to otherwise preserve rights and prevent (further) harm prior to the commencement of proceedings or pending final judgment. Part X of the European Rules of Civil Procedure consists of three Parts: a General Part (Section 1), which includes rules that apply to all types of measures, unless otherwise provided; a Special Part (Section 2), which includes rules on Asset Preservation, Regulatory Measures, Evidence Preservation, and Interim Payments; and a Cross-Border Part (Section 3), which primarily refers to existing legislation. Section 3 further provides a minimal number of general rules as it is not intended to provide a set of rules on the complex and multifaceted issue of cross-border provisional and protective measures. Principle 8 of the ALI/UNIDROIT Principles was the starting point for the development of Rules concerning provisional and protective measures. This Principle includes three basic rules: on function and proportionality (8.1); ex parte measures; (8.2); and compensation and security (8.3).
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Actes de conférences sur le sujet "Ex parte proceedings"

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Kobyljanský, Adam. « Zákonná formulace zásady rychlosti trestního řízení z pohledu samostatné existence této zásady ». Dans Naděje právní vědy 2022. University of West Bohemia, Czech Republic, 2023. http://dx.doi.org/10.24132/zcu.nadeje.2022.226-234.

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The state tries to increase the speed of criminal proceedings in many ways. One of them is the regulation of criminal procedural law. Above the particular procedural provisions related to the speed of proceedings, the Code of Criminal Procedure contains a general formulation of the principle of the speedy criminal proceedings. This paper analyses it and attempts to answer the question of whether the Code of Criminal Procedure regulates the requirement of speed as a independent fundamental principle of criminal procedure, and what the implications of this statutory conception are for the principle‘s existence. It can be summarised that the Code of Criminal Procedure does not regulate the requirement of speed as a independent fundamental principle, but rather as part of the the principle of ex officio proceedings, or at least in close connection with it. However, this conception is based on the theoretical interconnection of the principles mentioned and cannot be taken to imply that the principle of speed is not independent. At present, the formulation chosen in this way does not seem appropriate for several reasons and it would be more suitable to regulate the principle of speed in a separate provision of the Code of Criminal Procedure. The good news is that this is precisely how the new draft of the code currently conceives it, although even this draft is not ideal.
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Ćorac, Sanda. « FREE ATTORNEY SERVICES IN LITIGATION ». Dans International scientific conference challenges and open issues of service law. Vol. 1. University of Kragujevac, Faculty of law, 2024. http://dx.doi.org/10.46793/xxmajsko1.491c.

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The Law on Civil Procedure stipulates that the court may grant a party the right to a free attorney under certain conditions. The services of a free attorney can be used by a party who is completely exempt from paying litigation costs (on the basis of indigency) and when the court deems it necessary in order to protect the party’s rights. The court does not appoint a fee attorney ex officio, but only at the request of the party, when determined legal conditions are met cumulatively, so the paper analyzes the legal provisions on the conditions and the way of exercising the party's right to be represented by a free attorney in litigation proceedings and to exercise the right to legal, efficient and effective protection. The free attorney is appointed and dismissed by the president of the court in order from the list of lawyers. However, the legal position of the attorney appointed by the court for the party is completely different from the legal position of the party's proxy.
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