Résultats 3 537 ressources
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Le bail à usage professionnel est un contrat nommé de l'Organisation pour l'Harmonisation en Afrique du Droit des Affaires (OHADA). Ce contrat est une figure apparentée au bail commercial dont il portait d'ailleurs le nom avant la réforme de 2010. Le bail commercial lui-même s'est historiquement détaché du contrat de louage des choses prévu dans le Code civil de 1804 pour répondre aux exigences des mutations sociales et économiques du premier quart du XXᵉ siècle en Europe. Le bail à usage professionnel se pose donc comme une forme d'arrangement contractuel entre une tradition assumée et une modernité voulue. C'est de cet arrangement qu'a surgi le besoin de s'interroger sur la logique qui le sous-tend pour découvrir s'il existe un objectif poursuivi par le législateur et s'il existe, dans quelle mesure l'ensemble de la règlementation et l'interprétation qu'en fait le juge sont cohérents avec l'objectif visé. Le postulat qui préside à cette étude c'est que les règles de droit ont une raison d'être et une histoire qui obéissent idéalement à la finalité impulsée par ceux qui les appellent à l'existence. Pour les fins d'une telle investigation, l'analyse économique du droit (AED) et le pragmatisme juridique ont permis de dégager un double objectif au bail à usage professionnel. Il correspond à la fois à un ratio legis, c'est-à-dire à la politique juridique du législateur et à un ratio juris, c'est-à-dire à une justice désirable inhérente à l'esprit du contrat. L'étude pose que l'un des objectifs poursuivis par le bail est la protection, non pas tant d'une partie faible ni même d'un fonds de commerce, mais de toute activité économique qu'abrite le local loué. Ce projet permet de rendre compte des règles qui régissent le bail comme des mécanismes de sécurisation de l'espace et du temps de jouissance donnés au locataire. À la lumière de cette finalité, il apparaît que la valorisation économique voulue est restée inachevée avec le traitement partial réservé à l'activité de l'entreprenant. Si le premier objectif du bail consiste en la protection de l'activité économique, le second concerne la protection des acteurs économiques eux-mêmes. Après avoir établi que le bail correspond à ce que la littérature économique appelle actif spécifique, il apparait que la formation et l'exécution de ce contrat constituent une occasion propice aux comportements opportunistes des parties prenantes. La thèse propose une synthèse de la notion d'opportunisme et suggère une lecture de la seconde partie des règles sur le bail comme autant de mécanismes de prévention et de sanctions de comportements opportunistes.
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Anonim şirketlerde yönetim veya temsil yetkisi kural olarak yönetim kurulu tarafından kullanılmakla birlikte, özellikle halka açık veya büyük ölçekli ortaklıklarda söz konusu yetkilerin tamamının yönetim kurulu tarafından bizzat yerine getirilmesi uygulamada sık rastlanan bir durum değildir. Bu nedenle kanunda, yönetim kuruluna, yönetim veya temsil yetkisinin 6102 sayılı Türk Ticaret Kanunu' nun 367/I ve 370/II hükümlerinde yer alan şartlara uygun olarak, mevcut yönetim kurulu üyelerinden bir veya birkaçına yahut üçüncü kişilere devretmek suretiyle, şirketin yönetim teşkilatını belirleme yetkisi tanınmıştır. Şirket yönetimi konusunda uzmanlaşmış ve yeterli mesleki tecrübeye sahip olan kişilere yetkilerin devredilmesi, bir yandan şirkette profesyonelleşmeyi sağlamakta, diğer yandan kural olarak, devredilen yetkilerle birlikte bu kapsamda ortaya çıkabilecek hukuki sorumluluk da devredilmiş sayılacağından, yönetim kurulu üyelerinin hukuki sorumluluğunu sınırlandırmaktadır. Yönetim veya temsil yetkilerinin geçerli bir şekilde devredilmesi halinde, devredilen yetkilerle ilgili olarak yönetim kurulu üyelerinin hukuki sorumluluğu; murahhasların seçiminde, onlara verilecek talimatlarda ve murahhasların üst gözetiminde göstermeleri gereken makul derecede özen yükümlülüğü ile sınırlı olarak devam eder. Çalışmamızda, geçerli ve geçersiz yetki devri hallerinde, yönetim kurulu üyelerinin hukuki sorumluluğunun ne şekilde ortaya çıkacağı meselesi, mehaz İsviçre hukukundaki görüş ve yargı kararlarına yer verilmek suretiyle, detaylı bir şekilde incelenmiştir. [...] Although the management or representation authority in joint stock companies is used by the board of directors as a rule, it is not common in practice that all of the said authorities are personally exercised by the board of directors, especially in publicly held or large-scale partnerships. For this reason, in the law, the board of directors is authorized to determine the management organization of the company by delegating the management or representation authority to one or more of the existing board members or to third parties in accordance with the provisions of the Turkish Commercial Code numbered 6102, 367/I and 370/II has been recognized. Delegation of powers to people who are specialized in company management and have sufficient professional experience, on the one hand, ensures professionalization in the company, and on the other hand, as a rule, legal responsibility that may arise in this context together with the delegated powers will be deemed to have been transferred, thus limiting the legal liability of the members of the board of directors. In case of a valid transfer of management or representation powers, the legal responsibility of the members of the board of directors regarding the delegated powers; limited to the reasonable care obligation that they must show in the selection of the executive directors, in the instructions to be given to them and under the supervision of the executive directors. In our study, the issue of how the legal responsibility of the members of the board of directors will arise in cases of valid and invalid delegation of authority has been examined in detail by including the opinions and judicial decisions in the Swiss law.
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This research study seeks to understand interested parties’ perspectives on Cameroon's existing land tenure systems, the 1974 land law, and ongoing efforts to reform this land law. It identifies both concerns and specific recommendations from these parties on the formulation and implementation of future reforms. In the decades following the achievement of independence from European colonizers, most governments in sub-Saharan Africa (SSA) have adopted new national land tenure policies to meet their countries’ needs and aspirations. In some parts of SSA, however, this process of land tenure formalization has negatively impacted the land rights of people observing customary land tenure. This has been a result of government interventions such as compulsory land acquisitions, which while technically legal, are ethically questionable. In the face of this challenge, efforts to reform post-colonial land laws have become a matter of urgency. A national land reform process for Cameroon, announced in 2011 has adopted a multistakeholder approach. My study seeks to understand interested parties’ perspectives on Cameroon’s existing land tenure systems, the 1974 land law, and ongoing efforts to reform the land law. This study applied a case study methodological approach and a convergent mixed-method design. Evidence from this study shows that interested parties in Cameroon are in agreement on 1) the reform of the 1974 land law, 2) the recognition of customary land tenure, 3) the continued use of multistakeholder participation in land law reform, and 4) the promulgation of the new land law through mass sensitization and information dissemination.
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Letters of credit and demand guarantees play a prominent role in financing international trade. They provide assurance of payment and security for the performance of contractual obligations and have been described as the ‘lifeblood’ of international commerce. Autonomy is the central principle for the instruments of letters of credit and demand guarantees. Under the autonomy principle, the bank’s undertaking to pay for the beneficiary ought to be independent of the diversity of other relationships arising from the underlying contract. In spite of the autonomous nature of these instruments, in certain cases, the national laws will recognise some exceptions or limitations that restrict the application of the doctrine of autonomy. Exceptions such as fraud, nullity, and illegality will allow the national courts to interfere and override the autonomy doctrine by considering other matters, even those concerning the underlying contract. Furthermore, the exceptions of unconscionability or abuse of rights have an effective role in providing deep solutions, especially with regard to the problem of abusive calls for demand guarantees. The autonomy principle is recognised under Libyan commercial law but has yet to form the subject of serious academic literature covering its legal aspects. This study, in part, aims to fill that gap and will examine the extent to which legal aspects govern the principle of autonomy and its exceptions under Libyan law with reference to the new Libyan Commercial Code. A comparison of the laws in England, Libya, and Egypt will be conducted to examine how legal matters concerning autonomy and its restrictions in their laws are addressed. Furthermore, consideration will be given to the experience of Singapore, particularly with regard to the unconscionability and nullity exceptions. The results of this study will consider many different exceptions to autonomy and suggest that fraud is not the only exception to autonomy and that it is not imperative that all exceptions in letters of credit be equally applied to demand guarantees.
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Aujourd'hui plus qu'hier, la médiation suscite l’intérêt tant des chercheurs, des praticiens, que des politiques. Cet intérêt se matérialise notamment par les différents cadres juridiques dont elle bénéficie dans plusieurs législations. Afin de promouvoir la médiation au sein de ses États membres, L’Organisation pour l’Harmonisation en Afrique du Droit des Affaires (OHADA) a adopté le 23 novembre 2017 un Acte Uniforme relatif à la Médiation (AUM). Après avoir adopté depuis plus de deux décennies un Acte uniforme sur l’arbitrage, l’organisation régionale confirme sa volonté de promouvoir les modes alternatifs de règlement de conflits dans le domaine du droit des affaires. Cependant, l’AUM est un instrument juridique particulier attendu qu'il est le premier de son genre à s’appliquer également aux domaines non encore régis par le droit OHADA. Toutefois, si la médiation tend à se développer de plus en plus, il convient de prendre garde à ce que cette évolution, notamment en ce qui concerne son encadrement légal, ne conduise pas à sa dénaturation. Voilà l’un des défis auquel est également soumis le législateur OHADA.
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Section 19(1) of the current Companies Act 71 of 2008 states that once a company is incorporated in accordance with this Act, it is considered as a juristic person and exists indefinitely until its name is removed from the companies register. It exists independently from its shareholders and controllers. This effect grants the company with characteristics of a natural person. This analogy implies complete independence of the company. However, this concept finds refuge from the English legal system and was later adopted by South African company law. This notion provides some legal protection to businesses and shields their owners from personal liability for the company's debts and commitments. Companies can use this to enter new markets, reduce their taxes, and take advantage of advantageous business environments. Furthermore, this doctrine promotes joint ventures and partnerships among enterprises from many countries, allowing them to share resources and risks. As a result, this allows international enterprises to benefit by conducting international transactions, expanding abroad, and entering contracts in foreign countries. However, like any other concept, it is susceptible to abuse. Individuals take advantage of it to benefit themselves. This is detrimental to the significance of this doctrine. This dissertation aims to look deeply into this concept, by examining its origins and influence throughout the years and during its current application in the South African legal framework and highlight instances where this doctrine will be set aside. This will be conducted by fully analysing Salomon’s case and the influence it has over current company law. More importantly, the author will further examine the significance of this doctrine in modern company law. This will be done by testing the application of this doctrine to modern corporations and challenges they face.
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This thesis considers whether jurisdictional exigencies should influence competition law enforcement, with a specific focus on merger analysis. It examines various approaches and schools of thought regarding the goals of competition law and how these play out within jurisdictional parameters. The history of enforcement of American antitrust is scrutinised to establish the nature of the interplay between greater economic policy direction and the goals of competition law. The study also explores the issue of convergence and whether developing jurisdictions should align their competition law to that of developed jurisdictions with mature competition law.
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Dans un marché bancaire oligopolistique, marqué par un nombre limité d'institutions bancaires et financières offrant des services bancaires de plus en plus innovants et attractifs à une quantité innombrable de consommateurs, le système bancaire ouvert a engendré la multiplicité de ces services, grâce aux entreprises de technologie financière qui se présentent comme des concurrentes de taille face aux banques traditionnelles. Désormais, le consommateur peut procéder à des transactions électroniques, dont celles relatives au paiement ou au transfert électronique de fonds, sans devoir passer au comptoir de sa banque traditionnelle. Depuis la mise en place du Règlement général sur la protection des données et de la Directive révisée sur les services de paiement au niveau de l'Union européenne, les entreprises commerciales peuvent avoir accès aux renseignements personnels, dont les données financières des clients de banques, notamment pour initier un paiement, par le truchement des interfaces de programmation d'applications. Toutefois, le traitement des renseignements personnels des consommateurs par les entreprises commerciales augmente le risque de vol d'identité, étant donné la présence d'une quantité impressionnante de données sur le Web, sans un contrôle adéquat pour en assurer la confidentialité. Les conséquences d'une fuite de ces données sont pourtant non négligeables, aussi bien à l'égard de la banque, de la personne concernée que de l'État qui doit en assurer une protection optimale. Devant ce phénomène où le consommateur est vulnérable, l'État intervient pour le protéger et contrebalancer le déséquilibre dans sa relation contractuelle avec les prestataires de services financiers.
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The objective of this study is to understand and explore the rapid pace at which ML has evolved and the global and local impact thereof.
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Ships, the high-value asset used in both seagoing and inland navigation, and in which various legal and natural persons have interests, must be secured against legal risks arising from any cross-border legal divergence. Legal certainty of ownership of the ship is therefore desirable but it is under challenge with regard to the judicial sale of a ship: the effects of a judicial sale may be denied in a jurisdiction other than the place where it was sold under the principles of state jurisdiction. Multiple efforts have been made to address legal uncertainty. Particularly important is a new treaty governing the international effects of judicial sales: the United Nations Convention on the International Effects of Judicial Sales of Ships (Beijing Convention). This dissertation is intended to contribute to that process by setting out two tasks; first, it seeks to identify the obstacles to the recognition of foreign judicial sales, providing additional knowledge which may aid national legal orders when deciding recognition approaches; second, it looks for a universal solution that better guarantees recognition which would benefit shipping. A comparative legal research exercise exploring similarities and dissimilarities in the municipal and international laws governing the recognition and sale procedures is undertaken. Research results are presented in this kappa and research papers, exhibiting the profuse difficulties a party seeking recognition may encounter in the current legal framework, and explains the new recognition approach under the Beijing Convention. Based on the research findings, a universal solution is proposed that avoids révision au fond, defines the finality of a judicial sale, and sets forth a fixed number of grounds for denial of recognition which may bring greater certainty. This purported optimal solution should guarantee equal treatment for all foreign sales seeking recognition before the registry while minimising the registrar’s burden of finding and examining foreign laws. In the interest of universality, this solution better accommodates disagreeing principles underlying certain aspects of the sale, viz., the ship’s location at the time of sale, the notification of sale, and the variance in the standard sale, namely, court-approved private sales, in a manner that more states may accept. This solution is largely in line with the recognition approach under the Beijing Convention. Considering the greater legal certainty the new instrument may bring, ratification is supported.
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L’invasion de l’Ukraine par la Fédération de Russie le 24 février 2022 marque l’application de régimes de sanctions internationales économiques et financières aux navires de grande plaisance. Ce mémoire prétend décrire ces différents régimes de sanctions et expliquer avec une approche critique que l’application de certains régimes de sanctions aux navires de grande plaisance peut être remise en cause. Les mesures de gel et leur pendant (l’interdiction de mise à disposition de fonds ou de ressources économiques au profit de la personne ou entité sanctionnée) ont vocation à inciter un changement de comportement auprès de leur cible. Ainsi, cette étude vise également à montrer l’efficacité relative des mesures de gel de navires de grande plaisance dans la poursuite de cet objectif. The invasion of Ukraine by the Russian Federation on 24 February 2022 marks the application of international economic and financial sanctions to yachts. The subject aims to describe these different sanctions regimes and to explain critically that the application of some of them to yachts may be called into question. The freezing measures and their counterpart (the prohibition on making funds or economic resources available to the sanctioned person or entity) are intended to encourage a change in the behaviour of their target. This study therefore also aims to show the relative effectiveness of measures to freeze yachts in achieving this objective.
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