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The dissertation explores to what extent the post-financial crisis EU resolution regime, based on equity/debt write-down and conversion powers and bail-in tools will be effective in maintaining the stability of bank groups. To arrive at its unique angle, it first asks why bank groups are considered complex, thereby explaining the reasons for their proliferation and instability, and how this may inform the view regarding a desired regulatory framework. The main observation the dissertation makes is that, notwithstanding of other factors already pointed out in the literature, bank groups adopt complex structures with multiple entities, as it allows them, inter alia, to use double-leverage financing structures and internal capital markets.
Double-leverage financing structures allow bank groups to optimise the combination of their debt/equity funding from external parent entity investors with a combination of debt/equity funding downstreamed internally to subsidiaries and other entities in the bank group. An important component within this structure is also that the allocation of the bank group’s resources takes place through the internal capital market (ICM). The allocation of resources via the ICM allows bank groups to manage their liquidity constraint either to undertake activities that are more profitable, or to stabilise the financial position of the group as a whole.
While both double leverage and ICMs can optimise the funding and allocation of resources of the bank group, respectively, they can also generate perils to the stability of the bank group. In particular, this is because double-leverage can result in excessive risk taking and regulatory arbitrage. Moreover, the allocation of the intra-group resources in the ICM may not maintain the financial health of all subsidiaries in the bank group, which can prove to be incompatible with the financial stability goals of the regulators in the countries where those subsidiaries conduct their business.
Within this context, the dissertation argues that the current EU resolution regime does not clearly address issues of double leverage when setting out capital and other liability requirements, i.e. the ‘Total Loss Absorbing Capacity’ (TLAC) and ‘Minimum Requirement for Eligible Liabilities’ (MREL) requirements. Moreover, the dissertation emphasis that it is equally relevant to clarify the way in which the bank group resources are available ahead of, and in financial distress. It is argued that to this end, bank groups need to be allowed to make use of the ICM as it is often uncertain what may be the cause of the financial distress and how the resources of the bank group could be used to stabilise it. To this end, the dissertation highlights that there is lack of clarity in both the ex-ante provisions on intra-group support framework and in the ex-post provisions governing the allocation of any surplus TLAC/MREL resources.
Besides the ‘intra-group’ issues within the bank group, the third point the dissertation makes relation to the bank group’s presence in multiple jurisdictions. This transnational element adds to the complexity of the intra-group issues resulting from sub-optimal cooperation between home and host authorities. In this regard, the dissertation underlines that the current framework could adopt a more balanced way in which the regulatory fora will take into account the interest of the authorities of all parts of the bank group.
This article provides an overview and critical assessment of WIPO ALERT. It locates this initiative in the broader context of transnational IP enforcement schemes on the Internet. These initiatives are classified into two categories according to their point of attachment and geographical effect. Whereas source-related measures (e.g. website takedowns) tend to have a transnational and possibly even a global effect, recipient-related measures (e.g. website and ad blockings) typically mirror the territorially fragmented IPR landscape. This fragmentation is where WIPO ALERT comes into play. It can be understood as a matching service which interconnects holders of information about copyright infringing websites (“Authorized Contributors”) and actors of the online ad industry who want to avoid these outlets (“Authorized Users”). The critical assessment of WIPO ALERT calls for more transparency and the establishment of uniform substantive and procedural standards that have to be met if a new “site of concern” is added to the global ad blacklist.
This article provides an overview of the current state of the regulation of disinformation in the EU. It shows that the concept of disinformation, the purpose of anti-disinformation measures and their content and enforcement can only be understood if a holistic view is taken of private, hybrid-co-regulatory and public-law norms. The delicate field of disinformation is to a large extent dealt with outside of statutory law. The questions raised thereby are largely unresolved.
Industry concentration and markups in the US have been rising over the last 3-4 decades. However, the causes remain largely unknown. This paper uses machine learning on regulatory documents to construct a novel dataset on compliance costs to examine the effect of regulations on market power. The dataset is comprehensive and consists of all significant regulations at the 6-digit NAICS level from 1970-2018. We find that regulatory costs have increased by $1 trillion during this period. We document that an increase in regulatory costs results in lower (higher) sales, employment, markups, and profitability for small (large) firms. Regulation driven increase in concentration is associated with lower elasticity of entry with respect to Tobin's Q, lower productivity and investment after the late 1990s. We estimate that increased regulations can explain 31-37% of the rise in market power. Finally, we uncover the political economy of rulemaking. While large firms are opposed to regulations in general, they push for the passage of regulations that have an adverse impact on small firms.
We contribute to the debate about the future of capital markets and corporate finance, which has ensued against the background of a significant boom in private markets and a corresponding decline in the number of firms and the amount of capital raised in public markets in the US and Europe.
Our research sheds light on the fluctuating significance of public and private markets for corporate finance over time, and challenges the conventional view of a linear progression from one market to the other. We argue instead that a more complex pattern of interaction between public and private markets emerges, after taking a long-term perspective and examining historical developments more closely.
We claim that there is a dynamic divide between these markets, and identify certain factors that determine the degree to which investors, capital, and companies gravitate more towards one market than the other. However, in response to the status quo, other factors will gain momentum and favor the respective other market, leading to a new (unstable) equilibrium. Hence, we observe the oscillating domains of public and private markets over time. While these oscillations imply ‘competition’ between these markets, we unravel the complementarities between them, which also militate against a secular trend towards one market. Finally, we examine the role of regulation in this dynamic divide as well as some policy implications arising from our findings.
Der deutsche und der europäische Gesetzgeber kodifizierten 2013 bzw. 2019 verwandte Schutzrechte zugunsten von Presseverlegern. 2021 und 2023 erließen Australien und Kanada Sondergesetze zum Schutz der Presse im Internet. In den USA und der Schweiz sind entsprechende Legislativvorhaben anhängig. Ultimatives Ziel all dieser Interventionen ist es, ein tragfähiges digitales Pressewesen zu
gewährleisten. Presseverlegern soll zu Einnahmen verholfen werden, die von Betreibern von Suchmaschinen, News-Aggregatoren, Medienbeobachtungsdiensten und sozialen Netzwerken bezahlt werden sollen. Der Beitrag unterscheidet in rechtsvergleichender Betrachtung zunächst zwei Typen der Presseförderung im Internetzeitalter, nämlich einen klassisch-eigentumsmäßigen Ansatz – paradigmatisch realisiert im deutschen Recht – und einen systemisch-marktregulativen, von medienpolitischen Erwägungen geleiteten Ansatz – paradigmatisch verwirklicht im australischen und kanadischen Recht. Anschließend werden die sich spiegelbildlich verhaltenden Vor- und Nachteile dieser beiden Regulierungstypen benannt. Der folgende Abschnitt stellt hybride Lösungen im französischen, italienischen und schweizerischen Recht vor. Schlussbemerkungen führen zurück zur international-vergleichenden Perspektive und zur Frage, was ein wie auch immer gearteter Schutz der Presse in Anbetracht der tektonischen Verschiebungen, die die Online-Kommunikation mit sich bringt, zu bewirken vermag.
In Deutschland wird intensiv über die Gefahr einer Deindustrialisierung diskutiert. Steigende Energie- und Arbeitskosten auf international höchstem Niveau, hohe Steuerbelastungen, eine überbordende Regulierung sowie Defizite bei analoger und digitaler Infrastruktur lassen befürchten, dass der Wirtschaftsstandort Deutschland ins Hintertreffen gerät. Viele Unternehmen, insbesondere der energieintensiven Industrie, warnen vor einem Verlust an internationaler Wettbewerbsfähigkeit und erwägen oder vollziehen bereits Produktionsverlagerungen an günstigere Standorte im Ausland.
Vor diesem Hintergrund untersucht der Kronberger Kreis, wissenschaftlicher Beirat der Stiftung Marktwirtschaft, was zu tun und was zu unterlassen ist, um die wirtschaftlichen Standortbedingungen in Deutschland wieder zu verbessern. Dabei werden aktuell in der Diskussion stehende wirtschaftspolitische Konzepte wie die „Transformative Angebotspolitik“, der „Industriestrompreis“, das „Wachstumschancengesetz“ oder die Subventionierungen von Chip- und Halbleiterfabriken analysiert. Darüber hinaus unterbreitet der Kronberger Kreis eigene Reformempfehlungen für eine angebotsorientierte Wirtschaftspolitik, mit denen die Bundesregierung bestehende und neue Herausforderungen besser bewältigen könnte.
This paper analyses, if the Intertemporal Guarantee of Freedom, that was developed by the German Federal Constitutional Court (GFCC), can be used to expand the protection of human rights against the harms of climate change. The case of the Swiss Senior Women shows that there are jurisdictions, where the Intertemporal Guarantee of Freedom could be applied to improve standing and the control standard of states’ climate change action. Within international law bodies with jurisdiction over human rights treaties there are distinctive standards of protection against the harms of climate change. A major deficit within the international human rights protection against climate change lies within the focus on the positive obligations and the corresponding wide margin of appreciation granted to the states. The Intertemporal Guarantee of Freedom could provide a protection expansion in this regard, especially in the case of the European Court of Human Rights. It could also enable and legitimise present human rights concerns focused on the future actions of states following their past inaction. One considerable hurdle that is not addressed by it are procedural hurdles like the Plaumann formula applied by the European Court of Justice. The Intertemporal Guarantee of Freedom cannot solve major problems for climate change litigation like procedural hurdles. Yet, it can provide a new approach for complaints to address unambitious mitigation legislation which will lead to future human rights infringements.
Prevenzione e repressione nel contrasto al riciclaggio : un’indagine comparata tra Italia e Germania
(2023)
The doctoral thesis provides a comparative study of the Italian and the German crime of money laundering. Although the topic of the essay is double, its final purpose concerns solely the Italian criminal provision (article 648-bis of the Italian Criminal code, art. 648-bis c.p.) in the attempt to thoroughly investigate its offensiveness, underlying legal interest and legitimation as well as to propose a restrictive interpretation.
The first chapter defines the research topic and the comparative methodology which shall be used throughout the thesis. The comparison is hereby intended as a tool to not only describe, but also contextualize the German legislation and create a “dialogue” with the italian criminal provision. Also, the first chapter lays down the three fundamental questions upon whom the analysis will be built (“from where?”, “what?” and “who?”) and offers a conceptual framework of the crime of money laundering by enlightening the existing liaison between this criminal offence and the paradigm of crime-prevention; European and supranational law; and the activities of prosecution and intelligence.
The second chapter delves into the question “from where?”, that is, the question of the role and the meaning of the predicate offence in money laundering’s prevention as well as repression. Therefore, the topic of the predicate crime is examined both from the angle of the anti-money laundering obligations for private actors and from the strictly penal angle. The question of the contribution of the predicate offence to money laundering’s offensiveness is specifically investigated with regard to both supranational and national law (including the most recent reforms that took place in Italy and Germany).
The third chapter is dedicated to the question of “what” is money laundering. This topic is first of all addressed from a pre-normative point of view. To this end, the chapter begins with a survey of relevant criminological theories that have been developed in order to explain, on an empirical basis, the phenomenon of money laundering and its effects on economy and society. The chapter then moves on to the criminal law provisions by examining the shape and current interpretation of the national crimes of money laundering and interrogating their suitability in the light of the criminological suggestions.
With a view to drawing some conclusions on the Italian crime of money laundering, the fourth and last chapter explores the question of “who” launders, meaning the possibility for the author of the predicate offence to be punished as self-launderer. In this context, self-laundering is examined as a form of both rationalization and extremization of the crime of money laundering. Lastly, the doctoral thesis summarizes its findings and proposes a restrictive interpretation of art. 648-bis c.p.
Der Einwand des rechtmäßigen Alternativverhaltens ist eine Maxime des allgemeinen Schadensrechts. Beruft sich der Schädiger im Rahmen eines Schadensersatzanspruches auf eben diesen Einwand, so macht er geltend, dass der Schaden auch bei rechtmäßigen Verhalten hätte verursacht werden können. Sodann wäre nämlich eine Haftung mangels haftungsausfüllender Zurechnung trotz haftungsbegründeten kausalen Verhaltens ausgeschlossen. Auch in der Organhaftung finden diese schadensrechtlichen Grundsätze Anwendung. Der Aufsatz geht vor diesem Hintergrund der Frage nach, ob der Einwand des rechtmäßigen Alternativverhaltens auch dann greift, wenn der Vorstand die Zustimmungspflicht des Aufsichtsrats nach § 111 Abs. 4 S. 2 AktG verletzt und sich später darauf beruft, die Hauptversammlung hätte (hypothetisch) anstelle des Aufsichtsrats einer Geschäftsführungsmaßnahme zugestimmt.
Der Gesetzgeber hat sich im Personengesellschaftsrechtsmodernisierungsgesetz (MoPeG) dazu entschieden, für Personenhandelsgesellschaften ein Beschlussmängelrecht nach dem Vorbild des AktG einzuführen (sog. Anfechtungsmodell). Bei den übrigen Personengesellschaften, insbesondere bei der GbR, bleibt es hingegen bei den allgemeinen rechtsgeschäftlichen Regeln (sog. Feststellungsmodell). Der Beitrag stellt die Neuregelung vor und beurteilt die Vor- und Nachteile der beiden Modelle. Das Ergebnis der Untersuchung ist, dass die Einführung des Anfechtungsmodells für Personenhandelsgesellschaften zu loben und gut gelungen ist, beim Feststellungsmodell allerdings noch Verbesserungspotenzial besteht.
Im Rahmen des Tarifvertragsrechts spielen Selbstständige eine nur untergeordnete Rolle – so schien es zumindest in der Vergangenheit die Regel gewesen zu sein. Während das Tarifvertragsgesetz in seiner ursprünglichen Fassung von 1918 (TVVO) nur Arbeitnehmer im Blick hatte, wurde der persönliche Anwendungsbereich mit Einführung des § 12a TVG auf arbeitnehmerähnliche Personen ausgedehnt, wobei der restriktiv ausgelegte Anwendungsbereich und die Auswirkungen in der Praxis zeigten, dass hierdurch keine umfassende Erweiterung des Tarifvertragsrechts auf Selbstständige erreicht werden würde. Nunmehr steht das Arbeitsrecht, auch in Hinblick auf Überschneidungen mit dem Kartellrecht, vor der Herausforderung, sich auf sich ändernde Arbeitsformen und neue wirtschaftliche Gegebenheiten anzupassen, um in Zukunft auch andere Personengruppen von seinem Schutze zu erfassen. Dass es sich hierbei nicht um eine rein nationale Angelegenheit handelt, zeigt der Wandel des politischen und rechtlichen Diskurses auf Unionsebene.
Journalisten leisten eine unabdingbare Informations- und Kontrollfunktion für die internationalen Kapitalmärkte. Dabei stehen ihre journalistischen Beiträge in einem Spannungsfeld zwischen Presse- und Meinungsfreiheit auf der einen sowie kapitalmarktrechtlichen Verhaltensvorschriften auf der anderen Seite. Dieser Beitrag versucht sich an der Auflösung dieser Konfliktlage. Dabei wird insbesondere die Übertragung anerkannter Grundsätze des Presserechts auf die Finanzmarktberichterstattung diskutiert. Den Journalisten kommt dabei im Ergebnis eine weitreichende Privilegierung zu, die allerdings insbesondere dort Einschränkungen erfährt, wo irreführende oder unrichtige Informationen verbreitet werden.
Die vorliegende Arbeit untersucht die Zulässigkeit von sog. anti-suit injunctions im Anwendungsbereich der EuGVVO. Dabei wird anhand der Antworten des Europäischen Gerichtshofs auf Vorlageersuchen zu den Rechtssachen Turner v. Grovit und West Tankers v. Allianz/Generali herausgearbeitet, dass der Grundsatz des gegenseitigen Vertrauens der Mitgliedstaaten in die Funktions- und Leistungsfähigkeit der Rechtssysteme und Rechtspflegeorgane zu einer Inkompatibilität von anti-suit injunctions mit der EuGVVO führt. In einem weiteren Schritt folgt ein kursorischer Überblick über die aktuellen Entwicklungen im deutschen Prozessrecht rund um die sog. anti-anti-suit injunction. Abschließend wird die Frage nach der Aktualität des Rechtsmittels näher beleuchtet und unter besonderer Berücksichtigung des Brexits bestätigt.
This research attempts to provide for an overview of the state of co-operation between the United Nations and regional organizations like the CoE, OSCE, EU and NATO during the last Yugoslav wars, considering the 1991-2008 period. In this case, the "reconstruction" of what the organisations did in each of the countries involved in the conflicts, the country-by-country approach used in writing the research and the consideration of both headquarters and field level should facilitate the understanding of the state of things at that time. The research further includes an analysis of the co-operative trends developed by the considered international organisations since the beginning of the 1990s and is concluded by a reflection on the normative relevance of the issue of "international cooperation". In this case, the intention of the author was to go beyond the general policy level approach used for the description of UN-regional organizations interaction and propose a re-consideration of the concept of "international co-operation" as a possible normative tool in guiding the so far nebulous division of tasks of international actors in conflict-related scenarios. In this case, the concise description of the general framework for co-operation under Chapter VIII of the UN Charter, already matter of wide debate by academics and practitioners, sets the frame for a more elaborate, and hopefully innovative, consideration of the notion of "international cooperation". This, of course, is to be contextualized to the lessons learned extrapolated from the case study.
This essay argues that access to water, and the right to water in India is subject to legal pluralism in India: the plurality of state law and the normative order of the caste system in India. While the Constitution of India prohibits discrimination against or exploitation of the Scheduled Castes, society is also subject to a parallel set of social rules set forth by caste hierarchies. The Dalit community has been historically subject to exploitation and limited access to resources, with the use of religious and social sanction, this essay focuses particularly on the right to water, which is an essential part of the constitutional right to the environment is subject to plural legal systems, of state law and caste-based normative orders. Ethnographic social science research, particularly in anthropology and sociology has produced extensive findings on how the caste system limits access to natural resources and particularly water, owing to ideas of purity and impurity associated with water use, and the status of water as a common public good. This essay explores how lawyers must consider legal pluralities when understanding access and management of natural resources. The essay analyses John Griffiths’ idea of legal pluralism which describes a scenario in which not all law is administered by the State or its institutions, and there exists de facto law, beyond the boundaries of the State. This paper expands Griffiths’ model of pluralism to explain how the right to water is subject to both caste order and state law and how the lived reality of Dalits when accessing water is subject to a constant pluralism.