917 resultados para EXTRA CONTRACTUAL LIABILITY


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La Constitución ecuatoriana promulgada el 20 de octubre de 2008 prescribe en el art. 11.9 que la responsabilidad estatal consiste en la reparación de las violaciones a los derechos por la falta o deficiente prestación de servicios públicos o por acciones u omisiones en el ejercicio de potestades públicas, reparación que es integral conforme el principio garantista de protección los derechos previsto en el art. 86.3. El presente estudio aborda aspectos generales de la naturaleza jurídica de la responsabilidad estatal –de la irresponsabilidad a la responsabilidad estatal–, su evolución –de la concepción civil indemnizatoria a la concepción reparadora integral–, y los denominados títulos jurídicos de imputación objetiva –falla del servicio, desequilibrio de las cargas públicas–, que serán de trascendental importancia para la comprensión de nuevo régimen, y cuyos aspectos específicos ameritarían un examen más amplio.

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Ce mémoire aborde la question de la responsabilité précontractuelle en regardant son incidence en droit québécois ainsi qu'en droit international. Plus précisément, il s'agit de savoir comment est traitée la rupture des négociations lorsqu'aucun avant-contrat n'a été rédigé à cet effet. Afin de pouvoir déterminer ses grands paramètres, le texte aborde dans un premier temps la nature de cette responsabilité. N'étant pas codifiée en droit québécois et ne faisant l'objet d'aucune spécification dans les grands instruments internationaux, cette nature doit être associée à l'un des deux grands régimes de responsabilité soit: contractuel ou extracontractuel. L'importance de cette détermination n'est pas simplement théorique puisqu'elle a une influence directe sur plusieurs éléments comme la prescription ou le droit international privé. Au Québec, la doctrine et la jurisprudence ont choisi d'associer la responsabilité précontractuelle au domaine extracontractuel. Ainsi, elle devra suivre le modèle classique de faute, dommage et lien causal. Cependant, en droit international, la question de la nature reste encore nébuleuse compte tenu de la diversité des membres qui composent les comités d'élaboration des normes. Tous s'entendent pourtant sur un concept fondamental entourant la responsabilité précontractuelle : la bonne foi. Elle est au centre de la faute et dicte une éthique des pourparlers. Ainsi, dans un deuxième temps, la mise en œuvre de la responsabilité est abordée. De cette notion de bonne foi découlent de nombreux devoirs que les parties négociantes se doivent de respecter. Ils sont de création jurisprudentielle et demandent une étude au cas par cas. La liberté contractuelle étant le principe de base dans la formation des contrats, les tribunaux québécois sanctionnent rarement les cas de rupture des négociations. C'est ce principe de liberté qui empêche les pays de common law d'accepter le concept de bonne foi et de responsabilité précontractuelle, même s'ils sanctionnent, par l'intermédiaire de mécanismes, les comportements fautifs dans les pourparlers. Finalement, les dommages et les intérêts pouvant être réclamés varient. Au Québec et en France, autant les pertes subies que les gains manqués sont indemnisés tandis que les instruments internationaux sont plus réticents pour accorder un montant pour le gain manqué. Bref, la responsabilité précontractuelle est en pleine construction et son utilisation devant les tribunaux est encore peu fréquente.

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Con la entrada en vigor de la Ley 21/1995, de 6 de julio, reguladora de los viajes combinados (LVC) se instaura una nuevo régimen de responsabilidad contractual del organizador y el detallista. Ahora el consumidor de esos viajes no sólo mantiene una relación contractual con el organizador si no también, en su caso, el detallista, cuya actuación deja de tener carácter representativo. Ambos sujetos responderán frente al consumidor "en función de las obligaciones que les correspondan por su ámbito respectivo de gestión del viaje combinado..." (art. 11.1), circunstancia que plantea algunas dificultades en orden a delimitar el alcance de su responsabilidad. Esa misma norma establece la responsabilidad del organizador por los actos de los prestadores de los servicios del viaje utilizados como auxiliares en el cumplimiento contractual. Analizados los sujetos responsables, la presente tesis doctoral estudia los supuestos de incumplimiento del contrato de viaje, las partidas de daños resarcibles y su extensión. El trabajo propone distintos criterios en orden a calcular el valor de los daños por lesión al llamado interés de prestación, los daños corporales, los daños ocasionados por el extravío, destrucción o deterioro de objetos del consumidor, los daños por gastos inútiles y costes de negocios de reemplazo, los daños no patrimoniales y los daños por ganancias dejadas de obtener. Cada una de esas partidas e daños merece un estudio pormenorizado. Así, por ejemplo, se constatan enormes problemas en cuanto a la identificación e indemnización separada de los daños por frustración o pérdida de vacaciones, así como la nesesidad de establecer unas circunstancias a las que los jueces deban acogerse para llevar a cabo su valoración discrecional. La tesis propone que dichas circunstanciasd sean el alcance del incumplimiento del contrato de viaje, las condiciones personales del consumidor, el tipo de vacaciones objeto del viaje contratado y el valor residual de las vacaciones.

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The contemporary society is characterized by high risks. Today, the prevention of damages is as important as compensation. This is due to the fact that the potentiality of several damages is not in line with compensation, because often compensation proves to be impossible. Civil law should be at the service of the citizens, which explains that the heart of the institution of non-contractual liability has gradually moved towards the victim's protection. It is requested from Tort law an active attitude that seeks to avoid damages, reducing its dimension and frequency. The imputation by risk proves to be necessary and useful in the present context as it demonstrates the ability to model behaviors, functioning as a warning for agents engaged in hazardous activities. Economically, it seeks to prevent socially inefficient behaviors. Strict liability assumes notorious importance as a deterrent and in the dispersion of damage by society. The paradigm of the imputation founded on fault has proved insufficient for the effective protection of the interests of the citizens, particularly if based in an anachronistic vision of the concept of fault. Prevention arises in several areas, especially in environmental liability, producer liability and liability based on infringement of copyright and rights relating to the personality. To overcome the damage as the gauge for compensation does not inevitably mean the recognition of the punitive approach. Prevention should not be confused with reactive/punitive objectives. The deterrence of unlawful conduct is not subordinated to punishment.

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L’autonomie de la volonté demeure aujourd’hui encore, et heureusement, un fondement central du droit civil des contrats. Les principes de liberté contractuelle et de force obligatoire du contrat laissent aux contractants le choix d’aménager les différents paramètres et conditions d’exécution de leur entente, y compris de prévoir à l’avance la limitation ou même l’exclusion de la responsabilité découlant de l’inexécution du contenu contractuel. Cette liberté n’est cependant pas sans borne. Celle-ci doit, depuis l’adoption du Code civil du Québec, obligatoirement s’insérer dans une philosophie morale du rapport contractuel. Ainsi, la question de savoir si l’autonomie de la volonté des contractants va jusqu’à permettre à ceux-ci de s’exonérer d’une obligation essentielle dans le rapport contractuel fait l’objet du présent mémoire. Seront donc étudiés, d’abord, les principaux concepts juridiques interpellés par une telle problématique, soit l’exonération conventionnelle de responsabilité, d’une part, et le concept d’obligation essentielle du contrat, d’autre part. Par la suite, sera observée, dans quelle mesure les principes de liberté contractuelle et de force obligatoire du contrat sont susceptibles de fonder, sous le Code civil du Bas-Canada, d’abord, et sous le Code civil du Québec, ensuite, l’exonération conventionnelle de l’inexécution d’une obligation essentielle. La dernière partie de l’étude sera réservée à l’impact de la moralité contractuelle du Code civil du Québec sur l’exonération conventionnelle de responsabilité. Au regard de la jurisprudence contemporaine, cette conception morale du contrat s’oppose visiblement à ce que l’exonération conventionnelle puisse servir à dégager un contractant de l’inexécution d’une obligation essentielle.

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Il lavoro di ricerca prende le mosse da una premessa di ordine economico. Il fenomeno delle reti di impresa, infatti, nasce dalla realtà economica dei mercati. In tale contesto non può prescindere dal delineare un quadro della situazione- anche di crisi- congiunturale che ha visto coinvolte specialmente le imprese italiane. In tale prospettiva, si è reso necessario indagare il fenomeno della globalizzazione, con riferimento alle sue origini,caratteristiche e conseguenze. Ci si sofferma poi sulla ricostruzione dogmatica del fenomeno. Si parte dalla ricostruzione dello stesso in termini di contratto plurilaterale- sia esso con comunione di scopo oppure plurilaterale di scambio- per criticare tale impostazione, non del tutto soddisfacente, in quanto ritenuto remissiva di fronte alla attuale vis espansiva del contratto plurilaterale. Più convincente appare lo schema del collegamento contrattuale, che ha il pregio di preservare l’autonomia e l’indipendenza degli imprenditori aderenti, pur inseriti nel contesto di un’operazione economica unitaria, volta a perseguire uno scopo comune, l’“interesse di rete”, considerato meritevole di tutela secondo l’ordinamento giuridico ex art. 1322 2.co. c.c. In effetti il contratto ben si presta a disegnare modelli di rete sia con distribuzione simmetrica del potere decisionale, sia con distribuzione asimmetrica, vale a dire con un elevato livello di gerarchia interna. Non può d’altra parte non ravvisarsi un’affinità con le ipotesi di collegamento contrattuale in fase di produzione, consistente nel delegare ad un terzo parte della produzione, e nella fase distributiva, per cui la distribuzione avviene attraverso reti di contratti. Si affronta la materia della responsabilità della rete, impostando il problema sotto due profili: la responsabilità interna ed esterna. La prima viene risolta sulla base dell’affidamento reciproco maturato da ogni imprenditore. La seconda viene distinta in responsabilità extracontrattuale, ricondotta nella fattispecie all’art. 2050 c.c., e contrattuale.

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The authors investigate channel incentives as extra-contractual governance processes that maintain and extend marketing channel relationships. More specifically, instrumental incentives are monetary-based payments made by a manufacturer in a unilateral channel arrangement to motivate distributor compliance, while equity incentives are bilateral expectations of fair treatment that motivate both parties to continue to cooperate with one another. A model of the antecedents and performance consequences of channel incentives is conceptualized and tested on 314 marketing channel relationships using a structural equation modeling methodology. The findings support the conceptual model and suggest that unique facets of the channel relationship explain the type of incentive mechanism in use.

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This study aims to examine the Brazilian legal model for the non-contractual liability of the state in providing public health services, from the perspective of threedimensional theory of law. Up based on bibliographical and documentary research, with emphasis on legislation, doctrine and Brazilian jurisprudence, the following conclusions were reached. The right to health is typified in the Constitution as a social fundamental right, and understands the pretension to obtain from the State, the supply of goods or the provision of services that reduce the risk of disease and other health problems; or promote, protect and recover the physical and mental well-being. Once violated the fundamental right to health, provides the managed, among other fundamental guarantees, the non-contractual liability of the state. The provision of public services by the state can be made directly through the Direct or Indirect Public Administration, or by recourse to private entities. In any case, the provision of public health services is entirely subordinate to the principles of administrative law and should be fully funded by tax revenues. As the provision of public health services is part of the administrative activity of the State, there is no way to exclude the application of the guarantee of non-contractual liability of the state in the face of the damage suffered by administered as users of these services. Therefore, it applies the theory of administrative risk, even in the event of harmful and illegal state failure.

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Gaining economic benefits from substantially lower labor costs has been reported as a major reason for offshoring labor-intensive information systems services to low-wage countries. However, if wage differences are so high, why is there such a high level of variation in the economic success between offshored IS projects? This study argues that offshore outsourcing involves a number of extra costs for the ^his paper was recommended for acceptance by Associate Guest Editor Erran Carmel. client organization that account for the economic failure of offshore projects. The objective is to disaggregate these extra costs into their constituent parts and to explain why they differ between offshored software projects. The focus is on software development and maintenance projects that are offshored to Indian vendors. A theoretical framework is developed a priori based on transaction cost economics (TCE) and the knowledge-based view of the firm, comple mented by factors that acknowledge the specific offshore context The framework is empirically explored using a multiple case study design including six offshored software projects in a large German financial service institution. The results of our analysis indicate that the client incurs post contractual extra costs for four types of activities: (1) re quirements specification and design, (2) knowledge transfer, (3) control, and (4) coordination. In projects that require a high level of client-specific knowledge about idiosyncratic business processes and software systems, these extra costs were found to be substantially higher than in projects where more general knowledge was needed. Notably, these costs most often arose independently from the threat of oppor tunistic behavior, challenging the predominant TCE logic of market failure. Rather, the client extra costs were parti cularly high in client-specific projects because the effort for managing the consequences of the knowledge asymmetries between client and vendor was particularly high in these projects. Prior experiences of the vendor with related client projects were found to reduce the level of extra costs but could not fully offset the increase in extra costs in highly client-specific projects. Moreover, cultural and geographic distance between client and vendor as well as personnel turnover were found to increase client extra costs. Slight evidence was found, however, that the cost-increasing impact of these factors was also leveraged in projects with a high level of required client-specific knowledge (moderator effect).