后里斯本欧洲国际私法准则

Q4 Social Sciences
Vilim Bouček
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The described fragmentation of a situation where conflict-of-law rules are depressed among several instruments and where there are differences between those rules, contrary to Recital 40(1)-1) Rome I Regulation, has not been avoided. But at the same time the Rome I Regulation did not exclude the possibility of including conflict-of- rules with regard to particular matters (Recital 40(1-2) Rome I Regulation). At the end of this paper the author answered one additional question: How to solve the problem of the lack of coordination between the Rome I Regulation of 2008 and other provisions of EU law, including national laws implementing those acts? The first step may be to give a narrow interpretation of Art. 23 of the Rome I Regulation and to give precedence only to special EU conflict-of-law rules in relation to a particular matter. Stricto sensu it means, all provisions in the consumer directives which provide that, if a contract has a direct link to the territory of one or more Member States, EU law will apply, even if the parties have chosen the law of a third country, should not (always) be regarded as choice of law rules. Such a consideration has the potential to exclude the application of Art. 23 of the Rome I Regulation and rather apply Article 3(4) or 9(2) of Rome I. An example of such “conflict-of-law rule” is Article 22(4) of Consumer Credit Directive 2008/48 EC of 23 April 2008 on credit agreements for consumers (OJ EU L 133/66). The second step is to reopen the lost political battle from 2008 of the European Parliament for a general precedence of all EU internal market law. 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For the former EC legal order it was essential that a principal established in a non-member country (USA), whose commercial agent acts within the EC, cannot evade those provisions by freely choosing un-harmonized applicable law. In 2013 Court of Justice of the European Union was again asked to deal with Council Directive 86/653/EEC of 18 December 1986 but in the new Unamar case with parties from Bulgaria (principal) and Belgium (commercial agent). Again, the Court confirmed the mandatory character of Articles 17 and 18 of the Directive and applied also Art. 7(2) of the Rome Convention of 1980. In his ruling it took into consideration the provisions of Art. 9(1) of the Rome I Regulation in which there is a definition of overriding mandatory provisions. 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These sector-specific rules (or special conflict rules for certain (consumer) contracts) from the second-generation directives based on unilateral conflict rules prevail over the conflict rules of the Rome Convention of 1980 (Art. 20) and the Rome I Regulation of 2008 (Art. 23) in relation to particular matters, lay down conflict-of-law rules relating to contractual obligations. This situation creates a “labyrinth” of legal sources dealing with conflict-of-law rules on the national, (ex international) and on the European level. The described fragmentation of a situation where conflict-of-law rules are depressed among several instruments and where there are differences between those rules, contrary to Recital 40(1)-1) Rome I Regulation, has not been avoided. But at the same time the Rome I Regulation did not exclude the possibility of including conflict-of- rules with regard to particular matters (Recital 40(1-2) Rome I Regulation). 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引用次数: 0

摘要

本文讨论了欧盟指令作为欧洲国际私法渊源的适用问题,重点讨论了后里斯本时期成员国国际私法的适用问题。在介绍了国际私法中指令的主要特征,如二级立法中这些“措施”的法律依据、指令的类型、结构、目的和指令的效果之后,作者指出了该指令在欧盟法院Ingmar和Unamar案中的特殊重要性。在这两种情况下,法律框架都是1986年12月18日关于协调成员国有关个体经营者的法律的第86/653/EEC号理事会指令。在2000年的Ingmar案中,尽管缺乏(单方面的)法律冲突规则,但法院通过解释,将不成文(或隐藏的)法律规则的立场赋予了该指令的实体法条款。与此同时,法院裁定,第十七条至第十九条的规定应被视为国际私法的强制性规则。对于前欧共体法律秩序,至关重要的是,在非成员国(美国)设立的委托人,其商业代理人在欧共体内行事,不能通过自由选择不统一的适用法律来规避这些规定。2013年,欧盟法院再次被要求处理1986年12月18日第86/653/EEC号理事会指令,但在新的Unamar案中,涉及保加利亚(委托人)和比利时(商业代理人)的当事人。法院再次确认了该指令第17条和第18条的强制性,并适用了1980年《罗马公约》第7(2)条。在他的裁决中,它考虑到了《罗马一号条例》第9(1)条的规定,其中有一个压倒一切的强制性规定的定义。考虑到强制性条款的条款,但这一次也与2008年《罗马一号条例》第9条第(1)款的措辞一致,法院得出结论,商业代理合同当事人选择的法律可能会被另一成员国的法院驳回,该成员国已向法院提起有利于法院地法律的诉讼,由于该成员国法律秩序中的强制性,只有在法院地国法院认为给予商业代理人保护至关重要的情况下,才能超越该指令的规定,从而考虑到此类强制性规定的性质。从1988年6月到今天(2021年),欧洲经济共同体、欧盟委员会和欧盟通过了相当多的指令,作为接近主要涉及消费者,但也涉及就业和保险问题的国家法律的措施,制定了冲突规则。基于单方面冲突规则的第二代指令中的这些特定部门规则(或某些(消费者)合同的特殊冲突规则)在特定事项上优于1980年《罗马公约》(第20条)和2008年《罗马第一条例》(第23条)的冲突规则,规定了与合同义务有关的法律冲突规则。这种情况造成了处理国家、(前国际)和欧洲层面法律冲突规则的法律来源的“迷宫”。所描述的几种文书之间的法律冲突规则受到抑制,并且这些规则之间存在差异,这违反了《罗马一号条例》第40条第(1)款第1款。但与此同时,《罗马一号条例》并没有排除在特定事项上纳入规则冲突的可能性(《罗马一级条例》第40(1-2)条)。在本文的最后,作者回答了另一个问题:如何解决2008年《罗马一号条例》与欧盟法律的其他条款,包括实施这些法案的国家法律之间缺乏协调的问题?第一步可能是对《罗马一号条例》第23条作出狭义解释,并仅优先考虑与特定事项有关的欧盟特别法律冲突规则。严格意义上说,消费者指令中规定,如果合同与一个或多个成员国的领土有直接联系,即使双方选择了第三国的法律,也将适用欧盟法律的所有条款不应(始终)被视为法律规则的选择。这种考虑有可能排除《罗马一号条例》第23条的适用,而适用《罗马一》第3(4)条或第9(2)条。这种“法律冲突规则”的一个例子是2008年4月23日关于消费者信贷协议的《消费者信贷指令2008/48 EC》(OJ EU L 133/66)第22(4)款。第二步是重新开启2008年以来欧洲议会为所有欧盟内部市场法的普遍优先权而输掉的政治斗争。 在《罗马一号条例》通过13年后,我们有一些额外的论点支持在不违反“内部市场正常运作”的情况下,在欧盟法律中适用至高无上的一般原则(《罗马一条条例》序言40(2))。第一个论点是一般性的,被称为社区化过程。其结果不仅是罗马一号(没有第23条),而且是2011年10月25日关于消费者权利的第2011/83/EU号指令,这是《欧盟消费者权益法》后里斯本时期的一项新法律,在消费者指令中应被视为后法。在此类指令中,没有旨在通过适用欧盟法律来保护所有欧盟价值观的单方面冲突规则,这已经不是第一次了。但是,相关条款规定,消费者不应被剥夺该指令授予的保护,并且,如果适用于合同的法律是第三国的法律,则应适用《罗马一号条例》,以确定消费者是否保留该指令赋予的保护(该指令关于消费者权利的序言58)。考虑到上述所有论点,作者得出结论:在21世纪的第三个十年,关于欧盟消费者保护指令中所载与特定事项有关的特殊欧盟法律冲突规则的后里斯本法律实践不应再盛行。相反,在具有国际因素的情况下,应通过适用第3(4)条和第6(2)条中关于消费者保护的规定,以及2008年《罗马一号条例》第9(2)条来保障指令在有或没有单方面冲突规则的情况下的适用,以确定消费者是否保留该指令授予的保护。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
Smjernice u postlisabonskom europskom međunarodnom privatnom pravu
This paper discusses the application of the EU directive as a source of European private international law with an emphasis on the post-Lisbon period in private international law of the member states. After presenting the main features of a directive in private international law, such as the legal basis for those “measures” in secondary legislation, types of directive, their structure, purpose and the effects of a directive, the author points out the special importance of the directive expressed in the Ingmar and Unamar cases of the Court of Justice of the European Union. In both cases the legal framework was Council Directive 86/653/EEC of 18 December 1986 on the coordination of the laws of the Member States relating to self-employed commercial agents. In the Ingmar case of 2000, although lacking a (unilateral) conflict of law rule, the Court gave, by interpretation, the position of an unwritten (or hidden) conflict of law rule to a substantive law provision of the Directive. At the same time the Court determined that the provisions of Articles 17 to 19 are to be regarded as mandatory rules for the purposes of private international law. For the former EC legal order it was essential that a principal established in a non-member country (USA), whose commercial agent acts within the EC, cannot evade those provisions by freely choosing un-harmonized applicable law. In 2013 Court of Justice of the European Union was again asked to deal with Council Directive 86/653/EEC of 18 December 1986 but in the new Unamar case with parties from Bulgaria (principal) and Belgium (commercial agent). Again, the Court confirmed the mandatory character of Articles 17 and 18 of the Directive and applied also Art. 7(2) of the Rome Convention of 1980. In his ruling it took into consideration the provisions of Art. 9(1) of the Rome I Regulation in which there is a definition of overriding mandatory provisions. Taking into account the terms of the mandatory provisions, but this time also consistent with the wording of Article 9(1) of the Rome I Regulation of 2008, the Court concluded that the law chosen by the parties to a commercial agency contract may be rejected by the court of another Member State before which the case has been brought in favor of the law of the forum, owing to the mandatory nature in the legal order of that Member State, only if the court of the forum state held it to be crucial to grant the commercial agent protection, going beyond that provided for by the directive, thus taking account of the nature of such mandatory provisions. From June 1988 to today (2021) the EEC, the EC and the EU adopted a considerable number of directives as measures for the approximation of national law dealing mostly with consumer, but also employment and insurance issues, setting forth conflict rules. These sector-specific rules (or special conflict rules for certain (consumer) contracts) from the second-generation directives based on unilateral conflict rules prevail over the conflict rules of the Rome Convention of 1980 (Art. 20) and the Rome I Regulation of 2008 (Art. 23) in relation to particular matters, lay down conflict-of-law rules relating to contractual obligations. This situation creates a “labyrinth” of legal sources dealing with conflict-of-law rules on the national, (ex international) and on the European level. The described fragmentation of a situation where conflict-of-law rules are depressed among several instruments and where there are differences between those rules, contrary to Recital 40(1)-1) Rome I Regulation, has not been avoided. But at the same time the Rome I Regulation did not exclude the possibility of including conflict-of- rules with regard to particular matters (Recital 40(1-2) Rome I Regulation). At the end of this paper the author answered one additional question: How to solve the problem of the lack of coordination between the Rome I Regulation of 2008 and other provisions of EU law, including national laws implementing those acts? The first step may be to give a narrow interpretation of Art. 23 of the Rome I Regulation and to give precedence only to special EU conflict-of-law rules in relation to a particular matter. Stricto sensu it means, all provisions in the consumer directives which provide that, if a contract has a direct link to the territory of one or more Member States, EU law will apply, even if the parties have chosen the law of a third country, should not (always) be regarded as choice of law rules. Such a consideration has the potential to exclude the application of Art. 23 of the Rome I Regulation and rather apply Article 3(4) or 9(2) of Rome I. An example of such “conflict-of-law rule” is Article 22(4) of Consumer Credit Directive 2008/48 EC of 23 April 2008 on credit agreements for consumers (OJ EU L 133/66). The second step is to reopen the lost political battle from 2008 of the European Parliament for a general precedence of all EU internal market law. Thirteen years after Rome I was adopted we have some additional arguments in favor of applying the general principle of supremacy in EU law without breaching “the proper functioning of the internal market” (Recital 40(2) of the Rome I Regulation). The first argument is general, known as the process of communitarization. Its result is not just Rome I (without Article 23) but also Directive 2011/83/ EU of 25 October 2011 on consumer rights, which is a new legal act in the post-Lisbon period of the EUPIL and among consumer directives should be seen as lex posterior. It is not for the first time that in such kind of Directive there is no unilateral conflict rule with the aim to protect all EU values by applying EU law. But the relevant provision lays down that the consumer should not be deprived of the protection granted by that Directive, and that, where the law applicable to the contract is that of a third country, Regulation Rome I should apply in order to determine whether the consumer retains the protection granted by that Directive (Recital 58 of the Directive on consumer rights). Taking into consideration all above mentioned arguments, the author concludes: in the third decade of the 21st century the post-Lisbon legal practice regarding special EU conflict-of-law rules relating to particular matters contained in EU Directives on consumer protection should no longer prevail. The application of the Directives with or without a unilateral conflict rule in a situation with an international element should instead be safeguarded through the application of the provisions of Articles 3(4) and Art. 6(2) for consumer protection, and Article 9(2) of the Rome I Regulation of 2008 in order to determine whether the consumer retains the protection granted by that Directive.
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