Common Law Disclosure Duties and the Sin of Omission: Testing the Meta-theories

IF 2.4 2区 社会学 Q1 LAW Virginia Law Review Pub Date : 2004-11-01 DOI:10.2139/SSRN.614501
K. Krawiec, K. Zeiler
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引用次数: 12

Abstract

Since ancient times, legal scholars have explored the vexing question of when and what a contracting party must disclose to her counterparty, even in the absence of explicit misleading statements. This fascination has culminated in a set of claims regarding which factors drive courts to impose disclosure duties on informed parties. Most of these claims are based on analysis of a small number of non-randomly selected cases and have not been tested systematically. This article represents the first attempt to systematically test a number of these claims using data coded from 466 case decisions spanning over a wide array of jurisdictions and covering over 200 years. The results are mixed. In some cases it appears that conventional wisdom is correct. For example, our data support the claim that courts are more likely to require disclosure of latent, as opposed to patent, defects. In addition, courts are more likely to require full disclosure between parties in a fiduciary or confidential relationship. On the other hand, our results cast doubt on much of the conventional wisdom regarding the law of fraudulent silence. Indeed, our results challenge ten of the most prominent theories that have been asserted to explain when courts will require disclosure. We find that courts are no more likely to impose disclosure duties when the information is casually acquired as opposed to deliberately acquired and that unequal access to information by the contracting parties is not a significant factor that drives courts to require disclosure. We do find, however, that when these two factors are present simultaneously courts are significantly more likely to force disclosure. Perhaps most interestingly, although it is generally understood that courts have become more likely to impose disclosure duties over time, we find that courts actually have become less likely to require disclosure over time.
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普通法披露义务与不作为之罪:元理论检验
自古以来,法律学者就一直在探索一个棘手的问题,即即使没有明确的误导性陈述,缔约一方也必须在何时、以何种方式向对方披露。这种迷恋在一系列关于哪些因素促使法院对知情方施加披露义务的主张中达到高潮。这些说法大多是基于对少数非随机选择的案例的分析,并没有经过系统的检验。本文是第一次尝试系统地测试这些索赔,使用的数据编码自466个案件判决,涵盖了广泛的司法管辖区,涵盖了200多年。结果喜忧参半。在某些情况下,传统观点似乎是正确的。例如,我们的数据支持法院更有可能要求披露潜在缺陷,而不是专利缺陷的说法。此外,法院更有可能要求信托或保密关系中的各方充分披露信息。另一方面,我们的研究结果对许多关于欺诈沉默法的传统观点提出了质疑。事实上,我们的研究结果挑战了10个最著名的理论,这些理论被用来解释法院何时要求披露信息。我们发现,当信息是偶然获得而不是故意获得时,法院不太可能施加披露义务,而且缔约各方对信息的不平等获取并不是促使法院要求披露的重要因素。然而,我们确实发现,当这两个因素同时存在时,法院更有可能强制披露。也许最有趣的是,尽管人们普遍认为,随着时间的推移,法院越来越有可能施加披露义务,但我们发现,随着时间的推移,法院实际上越来越不可能要求披露。
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来源期刊
CiteScore
2.70
自引率
3.80%
发文量
0
期刊介绍: The Virginia Law Review is a journal of general legal scholarship published by the students of the University of Virginia School of Law. The continuing objective of the Virginia Law Review is to publish a professional periodical devoted to legal and law-related issues that can be of use to judges, practitioners, teachers, legislators, students, and others interested in the law. First formally organized on April 23, 1913, the Virginia Law Review today remains one of the most respected and influential student legal periodicals in the country.
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