解读侵权行为:侵权行为的要素、可诉性条件和诉讼资格规则

IF 1.5 4区 社会学 Q1 LAW Modern Law Review Pub Date : 2024-05-21 DOI:10.1111/1468-2230.12899
John Murphy
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引用次数: 0

摘要

法官和学者们有一种明显的倾向,即把侵权行为看成是化合物一样的东西:由一系列固定的要素(如责任、违约、因果关系等)组成。但有时也有人说,侵权案件的原告还必须证明满足了可诉性条件,或满足了特定侵权行为中的资格要求。这些其他术语的使用提出了两个重要问题。首先,如何将侵权行为的要素与(1)可诉性条件和(2)诉讼资格规则区分开来;其次,为什么这种区分很重要。本文针对这些问题提出了三个关键主张。第一个主张是,可诉性条件确实可以与要素区分开来。第二个主张是,在某些侵权行为中被描述为诉讼资格要求的规则并不具有独立的司法特性。最后一个主张是,理解要件与可诉性条件之间的区别在实践和理论方面都很重要。
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Unpicking Torts: Elements, Conditions of Actionability and Standing Rules
There is a clear tendency among judges and scholars to regard torts like chemical compounds: as things comprising a fixed list of elements (such as duty, breach, causation etc). But it is sometimes said that claimants in tort cases must also demonstrate that a condition of actionability has been met, or that a standing requirement within a particular tort has been satisfied. The use of these other terms raises two important questions. First, how a tort's elements may be distinguished from (1) conditions of actionability and (2) standing rules; and secondly, why any such distinction matters. This article addresses these questions and makes three key claims. The first such claim is that conditions of actionability may indeed be distinguished from elements. The second is that rules described as standing requirements within certain torts have no discrete juridical identity. The final claim is that appreciating the distinction between elements and conditions of actionability is important in both practical and theoretical terms.
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