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Private International Law of Business Organisations

Published online by Cambridge University Press:  17 February 2009

Daniel Zimmer
Affiliation:
Dr. iur., Professor of law, Ruhr University Bochum Faculty of Law.
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Extract

The private international law of business organisations is a difficult field. It is difficult in its core as well as at its periphery. The core question is the one of appropriate conflict rules for business organisations. The two best-known concepts are the incorporation theory and the seat theory. Either approach is followed by a number of states, but neither appears wholly persuasive. The discussion of appropriate conflict rules will also have to take into account concepts which modify the one or the other “theory” or try to combine elements of both. However, requirements for a satisfactory conflict rule in the field of the private international law of business organisations can already be defined (see infra section 2). An issue related to the core question arises due to the more specific requirements of European law. The creation of a business organisation involves the exercise of three rights guaranteed by the EC Treaty: the freedom of establishment (Articles 43 and 48), the freedom of capital transfer (Article 56) and the right of EU citizens to acquire shares on a non-discriminatory basis (Article 294). The impact of these provisions on national conflict rules is highly controversial. However, it seems clear that in the long run Member States will have to recognise companies validly formed in other Member States. Correspondingly it appears necessary to continuously harmonise the national laws of business organisations in important fields such as, for example, creditor protection. This harmonisation can be carried out by various means (see infra section 3). The periphery of our subject-matter addresses the question of the scope of the central conflict-of-laws rule for business organisations: which aspects of material law are included, and which follow different conflict-of-laws concepts? This question may be raised for matters as diverse as workers' codetermination rights and legal requirements for take-over bids. It is closely connected with the issues dealt with before: the better the necessary protection of creditors, investors and employees can be guaranteed independent of the status of a business organisation the less their respective interests can be used as an argument for or against the one “theory” of international company law or the other (see infra section 4).

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Articles
Copyright
Copyright © T.M.C. Asser Press and the Authors 2000

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References

1 Gasque v. I.R.C., 2K.B. 80; Dicey, and Morris, , The Conflicts of Laws, 13th ed., vol. 2 (2000) Rule 152 (1).Google Scholar

2 Cf. Wiedemann, , Gesellschaftsrecht, vol. 1 (1980), § 14 III a, aa (p. 783)Google Scholar; according to Wiedemann's theory which differentiates between a number of case groups, the seat of adminis- tration is decisive in some cases; cf. § 14 II 2 c, bb (p. 797).

3 Cf. Ebenroth, and Sura, , “Das Problem der Anerkennung im internationalen Gesellschaftsrecht”, 43 RabelsZ (1979) 315 at p. 324.Google Scholar

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10 Zimmer, , Internationales Gesellschaftsrecht (1996), pp. 232 et seq., pp. 325 et seq.Google Scholar

11 Cf. Art. 3 (1) of the Rome Convention on the Law Applicable to Contractual Obligations of 19 June 1980.

12 Großfeld, supra n. 4, n. 440; Kindler, supra n. 4, n. 352; W.-H., Roth, “Die Sitzverlegung vor dem EuGH”, 21 ZIP (2000) 1597, at p. 1600.Google Scholar

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14 Bundesgerichtshof, BGHZ 53, 181.Google Scholar

15 Cf. Knobbe-Keuk, , “Umzug von Gesellschaften in Europa”, 154 ZHR (1990) 325 at p. 328Google Scholar; Eidenmüller, and Rehm, , “Gesellschafts- und zivilrechtliche Folgeprobleme der Sitztheorie”, 26 ZGR (1997) 89 at pp. 105 et seq.CrossRefGoogle Scholar

16 Großfeld, supra n. 4, n. 439.

17 Bundesgerichtshof, BGHZ 97, 269 at p. 272Google Scholar = 39 NJW (1986) 2194 at p. 2195Google Scholar = IPRspr. (1986) Nr. 19; Oberlandesgericht Hamburg, , 34 RIW (1988) 816Google Scholar; Oberlandesgericht Frankfurt a.M., 43 DB (1990) 1224 = 11 IPRax (1991) 403 at p. 404Google Scholar; also Großfeld, supra n. 4, n. 228; Kindler, supra n. 4, n. 316.

18 Oberlandesgericht Frankfurt a. M, 6 IPRax (1986) 373 at p. 374Google Scholar; critical comments by Ahrens, , 6 IPRax (1986) 355 at p. 357.Google Scholar

19 Oberlandesgericht Frankfurt a. M., 43 DB (1990) 1224 at p. 1225 = 11 IPRax (1991) 403 at pp. 404 et seq.Google Scholar

20 Bayerisches, Oberstes Landgericht, 6 IPRax (1986) 161 at p. 164 = IPRspr. (1985)Nr. 214.Google Scholar

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22 Oberlandesgericht Hamburg, , 34 RIW (1988) 816.Google Scholar

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24 Cf. regarding this aspect König, , “Doppelsitz einer Kapitalgesellschaft – Gesetzliches Verbot oder zulässiges Mittel der Gestaltung einer Fusion?”, 45 AG (2000) 18.Google Scholar

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27 Bundesgericht, official collection, vol. 76 I,159 consideration 3; vol. 105 II, 125 consideration 2; cf. also vol. 105 III, 111 consideration 2 and vol. 102 I a, 410. In the opinion of the Bundesgericht the new Act on Private International Law does not leave any room for the ‘siège fictif’ -theory, cf. official collection vol. 117 II 494.

28 Oberlandesgericht München, , IPRspr. (1986) Nr. 171 = 39 NJW (1986) 2197Google Scholar; Oberlandesgericht Oldenburg, , IPRspr. (1989) Nr. 26 = 43 NJW (1990) 1422Google Scholar; cf. also Oberlandesgericht Hamm, , IPRspr. (1994) Nr. 196 = 48 DB (1995) 137 at p. 139.Google Scholar

29 Cf. Mayer, , Droit international privé, 6th ed. (1998), p. 647 with references.Google Scholar

30 On the seat theory's concept of liabilities cf. supra section 2.

31 Originally only the Dutch ratification was missing. The Member States who have joined the EC subsequently have not ratified the convention either.

32 Cf. Grothe, , Die ‘ausländische Kapitalgesellschaft & Co.’ (1989) pp. 154 et seq.Google Scholar; Ebenroth, and Eyles, , “Die innereuropäische Verlegung des Gesellschaftssitzes als Ausfluß der Niederlassungsfreiheit?”, 42 DB (1989) 413 at p. 417Google Scholar; also Sandrock, and Austmann, , “Das internationale Gesellschaftsrecht nach der Daily Mail Entscheidung des Europäischen Gerichtshofs: Quo vadis?”, 35 RIW (1989) 249 at p. 252.Google Scholar

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34 Cf. Grothe, supra n. 32, p. 308.

35 ECJ, decision of 27 September 1988, OJ [1988] 483 = 42 NJW (1989) 2186.

36 Ruling of the ECJ in its decision of 9 March 1999, OJ [1999] I-1459; 52 NJW (1999) 2027Google Scholar (with an article by Kindler on p. 1993); cf. case-note by Roth, , 37 CMLR (2000) pp. 147 et seqGoogle Scholar. and Zimmer, , “Mysterium ‘Centros’”, 164 ZHR (2000) 23.Google Scholar

37 The former opinion is held, e.g., by Roth and Kindler; the latter is held, e.g., by Zimmer (all supra n. 36).

38 In the latter sense Behrens, , “International Company Law in View of the Centros Decision of the ECJ”, in German: 19 IPRax (1999) 323Google Scholar, in English: 1 EBOR (2000) 125Google Scholar; in the former sense Zimmer, supra n. 36.

39 About this issue see Kieninger, , “Niederlassungsfreiheit als Rechtswahlfreiheit”, 28 ZGR (1999) 724 at pp. 731 et seq.Google Scholar; Steindorff, , “Centros und das Recht auf die gunstigste Rechtsordnung”, 54 JZ (1999) 1140 at p. 1142.Google Scholar

40 About this issue cf. Kindler, , “Das Centros-Urteil des Europäischen Gerichtshofes”, 2 Gesellschaftsrecht in der Discussion (1999) 87Google Scholar, and Zimmer, , “Mysterium ‘Centros’”, 164 ZHR (2000) 23 at pp. 39 et seq.Google Scholar

41 Generally Lutter, , “Das Europäische Unternehmensrecht im 21. Jahrhundert”, 29 ZGR (2000) 1 at pp. 9 et seq.CrossRefGoogle Scholar

42 Cf. for an analysis Behrens in: Dauses, (ed.), Handbuch des EU-Wirtschaftsrechts, sub E III; Schön, supra n. 33, RabelsZ (2000) pp. 14 et seq.; EBOR (2000) pp. 16 et seq.Google Scholar

43 Cf. Preliminary Draft for a Fourteenth Directive, published in, e.g., 28 ZGR (1999) pp. 157 et seq.Google Scholar

44 Cf. Zimmer, supra n. 10, regarding the option of company investigations under English law.

45 OJ [1985] L 199/1.

46 Cf. De, Kluiver and Van, Gerven (eds.), The European Private Company (1995)Google Scholar; Helms, , Die europaische Privatgesellschaft (1998)Google Scholar; Hommelhoff, , “Die ‘Société ferinée éuropéenne – eine supranationale Gesellschaftsform für kleine und mittlere Unternehmen im Europäischen Binnenmarkt”, 51 WM (1997) 2101.Google Scholar

47 Cf. for a comparative survey Zimmer, supra n. 10, pp. 85 et seq.

48 Cf. Weinberg, and Blank, , On Take-Overs and Mergers (1989), n. 3-505 et seq.Google Scholar

49 Cf. the amended proposal for a Thirteenth Council Directive on company law concerning takeover and other general bids.

50 Art. 22 of the Federal Law of 24 March 1995 on Stock Exchange and Securities Trading.

51 Cf. for a comparative survey Zimmer, supra n. 10, p. 134 at pp. 137 et seq.

52 Vischer, Art. 159 n. 4-7, in: Heini, et al. , (eds.), IPRG-Kommentar (1993)Google Scholar with references also to a different view.

53 Cf., e.g., Behrens, , “Der Durchgriff über die Grenze”, 46 RabelsZ (1992) 308 at p. 345Google Scholar; for a survey on the opinions in this field see also Zimmer, supra n. 10, pp. 344 et seq.