Good Faith in Parallel Trade and Investment Disputes

Tania Voon, A. Mitchell, J. Munro
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引用次数: 1

Abstract

This chapter assesses the role of good faith in managing parallel investment and trade disputes. It considers the jurisdictional and substantive overlap in trade and investment regimes that give rise to parallel disputes, and the normative considerations such as double remedies and conflicting outcomes that inform why parallel disputes may need to be proactively managed by adjudicatory bodies in certain circumstances. The principle of good faith has provided the conceptual framework for the development of a number of legal tools to manage parallel disputes including lis pendens, estoppel, and abuse of rights, and this chapter evaluates the extent to which they may be deployed in trade and investment regimes. While finding that these tools are available to varying degrees within both trade and investment regimes, this chapter also identifies a margin of uncertainty in their scope and application and concludes that they are insufficient to manage disputes that originate across the two regimes.
平行贸易与投资争端中的诚信问题
本章评估诚信在处理平行投资和贸易争端中的作用。它考虑了贸易和投资制度中产生平行争端的管辖权和实质性重叠,以及双重补救和冲突结果等规范性考虑,说明了为什么在某些情况下平行争端可能需要由裁决机构主动管理。诚信原则为一系列法律工具的发展提供了概念框架,这些法律工具用于管理类似的争端,包括未决法、禁止反悔和权利滥用,本章评估了这些法律工具在贸易和投资制度中的应用程度。虽然发现这些工具在贸易和投资制度中都有不同程度的可用性,但本章还确定了其范围和应用的不确定性,并得出结论认为,它们不足以管理源自两种制度的争端。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
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