Matti S. Kurkela, Santtu Turunen, Conflict Management Institute (COMI) - Due Process in International Commercial Arbitration-Oxford University Press, USA (2010)
Matti S. Kurkela, Santtu Turunen, Conflict Management Institute (COMI) - Due Process in International Commercial Arbitration-Oxford University Press, USA (2010)
Matti S. Kurkela, Santtu Turunen, Conflict Management Institute (COMI) - Due Process in International Commercial Arbitration-Oxford University Press, USA (2010)
I N T E R N AT I O N A L
COMMERCIAL
A R B I T R AT I O N
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DUE PROCESS IN
I N T E R N AT I O N A L
COMMERCIAL
A R B I T R AT I O N
SECOND EDITION
MATTI S. KURKELA
SANTTU TURUNEN
AND
CONFLICT MANAGEMENT
INSTITUTE (COMI)
1
1
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Dedication
Dedicated to those who strive for the settlement of conflicts by sophisticated and
civilized methods in our global community
Matti S. Kurkela, Santtu Turunen and Conflict Management Institute(COMI)
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Preface to the Second Edition
vii
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Foreword to the First Edition
ix
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Foreword to the Second Edition
The idea of the book is to outline the basis of fundamental procedural requirements in
international commercial arbitration, due process in arbitration. Arbitration usually
substitutes ordinary court procedure, and despite the private nature of the method of
dispute resolution, arbitral awards are final and widely enforceable. As a trade-off for
the mandate and status as a legal substitute for ordinary court procedure as well as for
the binding nature and enforceability of the award, there are procedural requirements
which have to be respected.
The starting point of the analysis is the nature of due process as a procedural coun-
terpart of substantive lex mercatoria. International arbitration and due process norms
in international arbitration in a way float above national jurisdictions, just like interna-
tional transactions and lex mercatoria. International practices create law not only in
substantive but also in procedural domain. In this second edition, the normative nature,
justification and the theoretical ground of due process requirements are discussed fur-
ther. In addition to international practices, due process requirements are more inten-
sively bound to the common basis of fundamental procedural rights of various legal
cultures.
The changes in the second edition of the book are focused on building an even stron-
ger foundation for the doctrine of arbitral due process and further intensifying the
structure of the book. The intention of the book is to advance understanding of the
procedural rights in arbitration as an entity, place the single norms and guidelines in
context and make it easier to apply due process argumentation in practice. Some spe-
cific questions, for example requirement of independence and impartiality of arbitra-
tors have been discussed in more detail compared to the first edition. Generally, also
references to the current discussions in field of arbitration have been made.
Finally, I would like to thank the collegues at COMI, the research director of COMI
Risto Koulu, Matti S. Kurkela research assistant Riikka Koulu and the production team
of Oxford University Press for help and co-operation in preparing the second edition
of the book.
Helsinki, January 20, 2010
Santtu Turunen
xi
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About the Authors
+358-400-688584
D.S.U. (Paris 2)
LL.M. (Harvard)
Avocat à la Cour de Paris
Finland:
Laivurinkatu 6 A
00150 Helsinki
matti.kurkela @ mattiskurkela.fi
www.mattiskurkela.fi.
The title Professor (h.c.) was granted to Matti S. Kurkela by the President of the
Republic of Finland. Matti S. Kurkela holds a doctorate of law from the University of
Helsinki, an LL.M. from Harvard Law School and a D.S.U. from the University of
Paris. He has also been admitted to The Paris Bar. He was one of member in Helsinki
Bar before Paris Bar. As docent Matti S. Kurkela lectures in international trade law
and private international law at the University of Helsinki. He has published several
books and articles on financial and contract law and on arbitration. His doctoral thesis
treats bank guarantees in international trade. Matti S. Kurkela’s field of practice
includes mainly financial and contract law and M&A. He has also acted as arbitrator in
national and international arbitration proceedings.
xiii
SANTTU TURUNEN
xv
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Contents
Chapter 1
Due Process and Arbitration . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1
1.1 The Origin of Due Process Requirements in Arbitration . . . . . . . . . . 1
1.2 How Should Due Process Requirements in Arbitration
Be Defined? . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3
1.3 The Floating Nature of the Law of Due Process—Analogy
to Lex Mercatoria . . . . . . . . . . . . . . . . . . . . . . . . . . . . 5
1.4 The Method of Defining Due Process and Lex Proceduralia
in Arbitration . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 8
1.5 Due Process as a Principle of Law . . . . . . . . . . . . . . . . . . . . 12
Chapter 2
The New York Convention as A Starting Point . . . . . . . . . . . . . . . . . . . . 15
2.1 Introduction . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 15
2.2 Public Policy (“Ordre Public”) as a Ground to Refuse
Recognition and Enforcement . . . . . . . . . . . . . . . . . . . . . . 17
2.2.1 A Vague Category . . . . . . . . . . . . . . . . . . . . . . . . . 17
2.2.2 Procedural Aspects: Just a Right, Not a Duty;
Actions Ex Officio and Sua Sponte . . . . . . . . . . . . . . . . 18
2.2.3 What Constitutes Public Policy? . . . . . . . . . . . . . . . . . . 20
2.2.4 ILA on Fundamental Principles . . . . . . . . . . . . . . . . . . 22
xvii
2.2.5 ILA on Public Policy Rules . . . . . . . . . . . . . . . . . . . . . 24
2.3 Arbitrability of the Subject Matter. . . . . . . . . . . . . . . . . . . . . 24
2.4 Arbitration Agreement (“Mandate in Concreto”)
and the Convention . . . . . . . . . . . . . . . . . . . . . . . . . . . 25
2.4.1 Agreement as the Basis of the Procedure . . . . . . . . . . . . . 25
2.4.2 Breach of the Procedural Agreement as a Ground
to Refuse Recognition and Enforcement . . . . . . . . . . . . . 26
2.4.3 Ultra Petita—Matters Beyond the Scope . . . . . . . . . . . . . . 28
2.4.4 Waiver Doctrine and the Breach of
the Procedural Agreement . . . . . . . . . . . . . . . . . . . . 32
2.5. Incapacity and Invalidity . . . . . . . . . . . . . . . . . . . . . . . . . 35
2.5.1 Incapacity of the Party and Invalidity of the Agreement . . . . . . 35
2.5.2 Incapacity of a Person . . . . . . . . . . . . . . . . . . . . . . . 35
2.5.3 Invalidity of the Arbitration Agreement . . . . . . . . . . . . . . 36
2.6. Ability to Present One’s Case . . . . . . . . . . . . . . . . . . . . . . 37
2.6.1 Ability to Present One’s Case as a Fundamental
General Requirement. . . . . . . . . . . . . . . . . . . . . . . 37
2.6.2 Ability to Present One’s Case According to
the Agreement and the Law of the Seat . . . . . . . . . . . . . . 39
2.7 Award has to be Final (“Condition Subsequent”) . . . . . . . . . . . . . 40
2.8 Conclusions on the Analysis of Article V of the Convention . . . . . . . . 41
Chapter 3
Arbitration Agreement as the Basis of Jurisdiction . . . . . . . . . . . . . . . . . 43
3.1 Agreement on Basis of Jurisdiction—Mandate in Concreto
Based on Mandate in Abstracto . . . . . . . . . . . . . . . . . . . . . 43
3.2 Existence of an Arbitration Agreement . . . . . . . . . . . . . . . . . . 46
3.2.1 The Written Form . . . . . . . . . . . . . . . . . . . . . . . . . 46
3.2.2 Competence to Determine Competence . . . . . . . . . . . . . 48
3.2.3 The Validity of the Agreement . . . . . . . . . . . . . . . . . . . 51
3.3. On Interpretation of the Arbitration Agreement . . . . . . . . . . . . . 52
3.3.1 Methods of Interpretation . . . . . . . . . . . . . . . . . . . . . 52
3.3.2 Assignment and Transfer . . . . . . . . . . . . . . . . . . . . . . 55
3.3.3 Time Limit for the Award . . . . . . . . . . . . . . . . . . . . . 56
xviii CONTENTS
3.3.4 Time Limit in the Arbitration Clause as a Statute
of Limitation . . . . . . . . . . . . . . . . . . . . . . . . . . . 58
3.3.5 Guarantor’s or Indemnitor’s Right to Invoke
an Arbitration Agreement . . . . . . . . . . . . . . . . . . . . . 60
3.4 Unconscionability or Unreasonability . . . . . . . . . . . . . . . . . . . 62
3.5 The Enforceability of an Arbitration Agreement
and Due Process . . . . . . . . . . . . . . . . . . . . . . . . . . . . 66
3.5.1 Agreement Defining Due Process?. . . . . . . . . . . . . . . . . 66
3.5.2 Good Faith of the Parties . . . . . . . . . . . . . . . . . . . . . 68
3.5.3 Possible Action in Case of Disloyalty . . . . . . . . . . . . . . . . 69
3.5.4 Non-Respect of the Agreement by the Arbitral Tribunal
as Violation of Due Process . . . . . . . . . . . . . . . . . . . . 70
3.5.5 Manifest Disregard of Agreement and Substantive
Law as Violation of Due Process . . . . . . . . . . . . . . . . . 73
3.5.6 Disregard of Facts as Violation of Due Process . . . . . . . . . . . 76
3.5.7 “Carte Blanche” Prayer for Relief and Due Process . . . . . . . . 77
3.6 Arbitration Agreement and Due Process—Summary . . . . . . . . . . . 78
Chapter 4
Aspects of Jurisdiction other than the Agreement . . . . . . . . . . . . . . . . . 81
4.1 Due Process and Jurisdiction—Problems Related
to Aspects Other than the Agreement . . . . . . . . . . . . . . . . . . 81
4.2 Parties to the Proceedings . . . . . . . . . . . . . . . . . . . . . . . . 81
4.3 Arbitrability . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 83
4.4 Res Judicata . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 85
4.4.1 Defining Res Judicata . . . . . . . . . . . . . . . . . . . . . . . 85
4.4.2 “Effects” of Enforcement Dimensions . . . . . . . . . . . . . . . 89
4.5 Lis Pendens . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 90
4.5.1 Lis Pendens Doctrine in Arbitration . . . . . . . . . . . . . . . . 90
4.5.2 When Are the Proceedings Parallel? Test of Identity
or Similarity and the Enforcement Effects Test . . . . . . . . . . . 91
4.5.3 The Effect of Parallel Proceedings . . . . . . . . . . . . . . . . . 92
4.6 Forum Non Conveniens . . . . . . . . . . . . . . . . . . . . . . . . . . 95
4.6.1 Doctrine of Forum Non Conveniens . . . . . . . . . . . . . . . . 95
CONTENTS xix
4.6.2 Special Considerations in Arbitration . . . . . . . . . . . . . . . 97
4.7 Conditions Imposed by the Applicable Rules . . . . . . . . . . . . . . . 98
4.7.1 Security for Fees and Costs of the Arbitral Tribunal
and Institution . . . . . . . . . . . . . . . . . . . . . . . . . . 98
4.7.2 Security for Attorneys’ Fees and Legal Costs of the Parties . . . . 99
4.7.3 Security for Loss or Damage . . . . . . . . . . . . . . . . . . 100
4.7.4 Security for the Claims or for the Enforcement
of the Award . . . . . . . . . . . . . . . . . . . . . . . . . 101
4.8 Conditions Imposed by the Panel within its Autonomy . . . . . . . . 101
4.9 Conditions Imposed by the Agreement of the Parties:
Duty to Mediate or Negotiate . . . . . . . . . . . . . . . . . . . . 102
4.10 Summary . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 104
Chapter 5
The Panel and Due Process . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 107
5.1 The Arbitration Panel in the Dispute Resolution Context . . . . . . . 107
5.2 The Composition of the Panel . . . . . . . . . . . . . . . . . . . . . 108
5.3 Challenging the Arbitrators . . . . . . . . . . . . . . . . . . . . . . 109
5.4 Impartiality and Independence . . . . . . . . . . . . . . . . . . . . 111
5.4.1 The Requirement of Impartial and
Independent Arbitrators . . . . . . . . . . . . . . . . . . . . 111
5.4.2 The Meaning of Independency and
Impartiality in Arbitration . . . . . . . . . . . . . . . . . . . 113
5.4.3 Same but Different? The Standard of
Impartiality in Arbitration . . . . . . . . . . . . . . . . . . . 115
5.4.4 What Constitutes Bias? . . . . . . . . . . . . . . . . . . . . . 118
5.4.5 Duty to Disclose . . . . . . . . . . . . . . . . . . . . . . . . 120
5.4.6 IBA Guidelines—Green, Orange, Red, and
Nonwaivable Red Lists . . . . . . . . . . . . . . . . . . . . 122
5.4.7 Requirement of Impartial Conduct . . . . . . . . . . . . . . . 126
5.5 Waiver . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 127
5.6 Communication with the Parties . . . . . . . . . . . . . . . . . . . . 128
5.7 Role of the Secretary . . . . . . . . . . . . . . . . . . . . . . . . . 130
5.8 Fees and Costs . . . . . . . . . . . . . . . . . . . . . . . . . . . . 130
5.9 Liability . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 132
xx CONTENTS
5.10 Confidentiality . . . . . . . . . . . . . . . . . . . . . . . . . . . . 136
5.11 Summary . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 138
Chapter 6
Due Process Related to Facts and Evidence . . . . . . . . . . . . . . . . . . . . . . 141
6.1 The Structure of a Legal Decision: Facts and Due Process . . . . . . . 141
6.2 Facts in Legal Decision: Relevance, Sufficiency and Truth . . . . . . . 142
6.3 On the Burden of Proof . . . . . . . . . . . . . . . . . . . . . . . . 147
6.4 Role of Arbitral Panel in Establishing the Facts . . . . . . . . . . . . . 149
6.4.1 Conflicts of Traditions and Culture . . . . . . . . . . . . . . . 149
6.4.2 Guidance via Consultations . . . . . . . . . . . . . . . . . . 150
6.4.3 Direct Intervention by the Panel . . . . . . . . . . . . . . . . 151
6.5 Enforcement of Evidentiary Measures . . . . . . . . . . . . . . . . . 152
6.5.1 “Toolbox” of Measures for Bringing
Evidence into Proceedings. . . . . . . . . . . . . . . . . . . 152
6.5.2 “Internal” Orders . . . . . . . . . . . . . . . . . . . . . . . 153
6.5.3 “External” Orders . . . . . . . . . . . . . . . . . . . . . . . 154
6.5.4 Fact-Finding by the Arbitrators . . . . . . . . . . . . . . . . . 156
6.5.5 Organizing the Evidentiary Hearings . . . . . . . . . . . . . . 157
6.5.6 “Entire Agreement Clauses” and Other Agreements
on Admissibility of Evidence . . . . . . . . . . . . . . . . . . 158
6.6 Questions and Answers . . . . . . . . . . . . . . . . . . . . . . . . 160
6.7 Discovery . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 161
6.8 Witnesses . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 162
6.8.1 Prior to Hearings . . . . . . . . . . . . . . . . . . . . . . . . 162
6.8.2 Language . . . . . . . . . . . . . . . . . . . . . . . . . . . 164
6.8.3 “Nothing but the Truth” . . . . . . . . . . . . . . . . . . . . 164
6.8.4 Hostility, Evasiveness or Psychological or
Emotional Ties . . . . . . . . . . . . . . . . . . . . . . . . 165
6.8.5 Questioning . . . . . . . . . . . . . . . . . . . . . . . . . . 166
6.8.6 Cross-Examination and Special Arrangements . . . . . . . . . 168
6.8.7 Timing . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 169
6.8.8 Compensation for Witnesses . . . . . . . . . . . . . . . . . . 169
6.9 Experts . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 169
CONTENTS xxi
6.10 Other Evidence . . . . . . . . . . . . . . . . . . . . . . . . . . . . 171
6.11 Summary . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 172
Chapter 7
The Role of the Panel in the Proceedings . . . . . . . . . . . . . . . . . . . . . . . 173
7.1 Managing the Proceedings . . . . . . . . . . . . . . . . . . . . . . . 173
7.2 The Panel and the Facts of the Case . . . . . . . . . . . . . . . . . . 174
7.3 Jura Novit Arbiter and the “Burden of Education” . . . . . . . . . . . . 178
7.4 Administration of Remedies and Consultations . . . . . . . . . . . . . 180
7.5 Summary . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 183
Chapter 8
Fair Arbitration—Opportunity to Present One’s Case . . . . . . . . . . . . . 185
8.1 Fair Arbitration . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 185
8.2 Equality of Arms and Reasonable Opportunity to
Present One’s Case . . . . . . . . . . . . . . . . . . . . . . . . . . 186
8.3 Right to a Counsel of One’s Choice . . . . . . . . . . . . . . . . . . . 191
8.4 Conflict between Timeliness and Opportunity
to Present One’s Case . . . . . . . . . . . . . . . . . . . . . . . . . 192
8.5 Award . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 196
8.6 Summary . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 199
Chapter 9
Due Process, Lex Proceduralia, Fair Arbitration—Procedural
Foundation of Arbitration . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 201
9.1 The Three Facets: Due Process, Fair Arbitration
and Lex Proceduralia . . . . . . . . . . . . . . . . . . . . . . . . . . 201
9.2 How to Formulate a Due Process Argument . . . . . . . . . . . . . . 203
9.3 Fairness or Finality? Conflicts of Principles and Goals . . . . . . . . . . 204
9.4 Access to Arbitration and Fair Hearing . . . . . . . . . . . . . . . . . 206
xxii CONTENTS
Abbreviations
xxiii
FCCC Expedited Rules Central Chamber of Commerce of Finland Arbitration Rules
and Rules and Rules for Expedited Arbitration of the
Arbitration Institute of the Central Chamber of Commerce of
Finland, as Effective on June 1, 2004
France Act French Code of Civil Procedure–Book IV–Arbitration
as reported in Jan Paulsson (ed), International Handbook
on Commercial Arbitration, (Kluwer Law International 1984
Last updated: February 1998 Supplement No. 26)
pp. 26–12
German Law German Arbitration Law 1998, in force 1 January 1998
as reported in Jan Paulsson (ed), International Handbook
on Commercial Arbitration, (Kluwer Law International 1984
Last updated: December 2001 Supplement No. 34)
pp. 26–14
IBA International Bar Association
IBA Ethics IBA Rules of Ethics for International Arbitrators (1987)
IBA Guidelines IBA Guidelines on Conflicts of Interest in International
Arbitration (May 2004)
IBA Rules IBA Rules on Taking of Evidence in International
Commercial Arbitration
ICC International Chamber of Commerce
ICC Rules ICC Rules of Arbitration in force as from January 1, 1998
(ICC Publication No 808), as Amended January 1, 2008
ILA International Law Association
Italy Act Italian Code of Civil Procedure, Book Four, Title VIII,
Arbitration, Amended by Legislative Decree of 2 February
2006, No. 40, as reported in Jan Paulsson (ed), International
Handbook on Commercial Arbitration, (Kluwer Law
International 1984 Last updated: April 2007 Supplement
No. 49)
Japan Act Japanese Arbitration Law, No. 138 of 2003, in force 1 March
2004, as reported in Jan Paulsson (ed), International
Handbook on Commercial Arbitration, (Kluwer Law
International 1984 Last updated: March 2005 Supplement
No. 43) pp. Annex I-1–Annex I-20
LCIA London Court of International Arbitration
LCIA Rules London Court of International Arbitration: Rules, Clauses &
Costs
xxiv ABBREVIATIONS
Recommendations ILA Resolution on Public Policy as a Bar to Enforcement of
International Awards, 2002
Russian Law Russian arbitration law as reported by Prof. Sergei Lebedev,
“Law of the Russian Federation on International
Commercial Arbitration” (in force 14 August 1993), as
reported in Jan Paulsson (ed), International Handbook on
Commercial Arbitration, Supplement 17. Kluwer Law
International, January 1994
Spanish Act Spanish Law 60/2003 of 23 December on Arbitration
(in force 26 March 2004), as reported in Jan Paulsson (ed),
International Handbook on Commercial Arbitration, (Kluwer
Law International 1984 Last updated: July 2004 Supplement
No. 41) pp. Annex I-1–Annex I-17
Swiss Rules Swiss Rules of International Arbitration (2006)
Transnational Rules Transnational Rules in International Commercial Arbitration,
Edited by Emmanuel Gaillard, ICC Publication No. 180/4,
Paris 1993
UCC Uniform Commercial Code 2002 Edition
UCP ICC Uniform Customs and Practice for Documentary
Credits, 1993 Revision in force as of January 1, 1994
UNCITRAL United Nations Commission on International Trade Law
(UNCITRAL) UNCITRAL Model Law on International
Commercial Arbitration UN Resolution on the UNCITRAL
Model Law, December 18, 2006
UNIDROIT International Institute for the Unification of Private Law
(UNIDROIT) Principles of International Commercial
Contracts 2004, Rome 2004
WIPO World Intellectual Property Organization
WIPO Rules WIPO Arbitration Rules (see e.g., www.arbiter.wipo.int)
ABBREVIATIONS xxv
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Chapter 1
The concept of due process may be given different meanings. However, at its most
fundamental level, the concept refers to the idea that no one should be deprived of his
rights without due process of law. The most traditional and popularly known context
of due process is probably criminal trials, but due process requirements concern civil
cases as well.
Usually due process is seen as a set of criteria that protect a private person in relation
to the State and authorities. Due process requirements are considered to be a part of
constitutional protection of an individual. But in the arbitration context, this starting
point needs to be reconsidered. Arbitration is a private mechanism for dispute resolution.
Parties do not—at least not directly—need protection against the State. In arbitration,
instead of the otherwise competent court, the parties give their dispute to a private arbi-
tration tribunal to be decided. The competence of the tribunal is derived from the parties,
and the tribunal’s actions are based on the contract between the parties, and thus concep-
tually on freedom of contract. Consequently, the competence of the tribunal is not based
on the power of the State within its jurisdiction, but rather the parties’ own actions. For
these reasons, at first glance due process does not seem relevant to arbitration.
However, a fundamental feature of arbitration is that the arbitral award (the decision
of the tribunal) is a final and binding determination of the parties’ rights and obliga-
tions.1 Arbitral awards are widely enforceable, including internationally. Thus the
States delegate jurisdictional power to arbitral tribunals indirectly through agreement
of the parties.
With this delegation of power comes a type of trade-off in the form of standards of
quality applicable to arbitration. Making certain the award is enforceable is one of the
most central duties of the arbitral tribunal. If the arbitral tribunal wants to issue an
1 For a further discussion of definitions and essential features of arbitration, see JULIAN LEW
ET AL., COMPARATIVE INTERNATIONAL COMMERCIAL ARBITRATION 1–14 (1997).
1
enforceable award, the process has to meet certain quality standards. These minimum
quality standards are, of course, procedural. They can be called due process require-
ments just like the minimum standards in ordinary court procedure. In the same way,
they establish the minimum procedural safeguards necessary for someone to be
deprived of his property or other rights. As such, they can be considered aspects of
such elements as procedural fairness, opportunity to be heard, and equal treatment as
well as access to justice.2
In addition to the delegation-of-power argument in justification of due process
requirements, there are further reasons for requiring arbitration to meet a minimum
quality standard. An arbitration agreement not only entitles the parties to initiate
arbitral proceedings according to the agreement and relevant laws but normally also
prevents a party from starting a procedure in a general court. Thus, an arbitration
agreement limits access to court and thus access to justice, which is generally consid-
ered a human right or at least a right at the constitutional level. The European Court of
Human Rights has decided that right of access to court and a public trial in a court
of law can be waived in favor of arbitration via an agreement. However, this does
not mean the European Convention on Human Rights (“ECHR”) would not have any
meaning in relation to arbitration. As arbitration is a kind of a surrogate for normal
court procedure, some procedural standards need to be upheld to compensate for loss
of access to court. The other procedural rights of Article 6 (1) of the ECHR are at least
indirectly applicable in arbitration as well (e.g., the right to oral hearing), and
the Convention States of ECHR have to protect them.3 Also it may be argued, that the
human rights of the ECHR are to some extent horizontally applicable to relations
between private persons and that the states need to take positive measures to ensure,
protect and to secure the rights.4 The idea at this point is not to analyze the actual
impact of the human rights conventions on arbitration but just to point out that the
exclusive nature of arbitration as a method of dispute resolution does result in a need
and justification for certain minimum procedural standards.
2 Kaufmann-Kohler writes: “A comparative review of recent statutes and cases shows a consensus
about two overriding principles, and yet a third appears to be emerging. Party autonomy in
matters of procedure and due process are both well established across national arbitration
regimes. The term “due process” here refers to a number of notions with varying names under
different national laws, including natural justice, procedural fairness, the right or opportunity
to be heard, the so-called principle de la contradiction and equal treatment. More recently,
procedural efficiency has been increasingly advocated by scholarly writers and taken into
account in practice by arbitral tribunals and courts. However, it has not achieved the same
recognition as the first two principles.” Gabrielle Kaufmann-Kohler, Globalization of Arbitral
Procedure, 36 VANDERBILT J. TRANSN’L L. 1321 (Oct. 2003).
3 See GEORGIOS PETROCHILOS, PROCEDURAL LAW IN INTERNATIONAL ARBITRATION 141 (2004). The
relevance and applicability of the ECHR in arbitration is a wide topic that has generated some
discussion. See e.g., id., Fredrik Rinquist, Do Procedural Human Rights Requirements Apply
to Arbitration—A Study of Article 6(1) of the European Convention on Human Rights and Its
Bearing upon Arbitration, Affarsjuridiska uppsatser (2006), and Sébastien Besson, Arbitration
and Human Rights, 24 ASA BULLETIN (2006) passim.
4 See for example ALEKSANDAR JAKSIC, ARBITRATION AND HUMAN RIGHTS (2002) at 108–113, 118–27
and 215 – 219.
It is obvious that the method of defining due process defines the whole concept.
Depending on the method, due process may be given different meanings. The most
common approach is usually the national and black letter law approach: due process
exists when the procedure established is compatible with a specific national procedural
law or set of rules. The applicable national law is chosen on the basis of a certain set
of interpretative rules of private international law (e.g., of arbitration).
However, national arbitration laws generally do not provide a solid basis for defin-
ing procedural minimum standards. Most of the provisions in national arbitration laws
are not mandatory. Accordingly, parties may agree on some other way of trying the
case instead of following a certain procedural detail or provision in national law. More
often the parties refer to some other set of procedural rules (e.g., rules of an arbitral
institute). In these cases the whole procedure and not just some details are defined on
some basis other than the applicable national arbitration law. Also, the national law is
typically relatively open, at least compared to laws concerning ordinary civil proce-
dure. The arbitrators have a lot of discretion on many specific questions. For example,
if the national law guarantees an opportunity to be heard, it is not always clear when
an adequate opportunity is given to a party.5 In the arbitration context, an excellent
example is the problematic requirement of opportunity to present one’s case as stated
in the New York Convention on the Recognition and Enforcement of Foreign Arbitral
Awards (“the Convention”).
As national laws are in many ways nonmandatory and/or empty of content, they are
not a very suitable basis for defining the concept of due process as a minimum standard
of procedural safeguards, at least not alone. There is also no such directly applicable
black letter law regarding procedural minimum standards, as for example the ECHR is
in relation to the ordinary procedure in most of the European countries.
However, there are more or less indirect national and international minimum stan-
dards of procedural safeguards in arbitration.6 Those can be derived first of all from the
5 For example, the German Law is very openly formulated apart from some due process require-
ments: “(1) The parties shall be treated with equality and each party shall be given a full oppor-
tunity of presenting his case. (2) Counsel may not be excluded from acting as authorized
representatives. (3) Otherwise, subject to the mandatory provisions of this Book, the parties are
free to determine the procedure themselves or by reference to a set of arbitration rules. (4)
Failing an agreement by the parties, and in the absence of provisions in this Book, the arbitral
tribunal shall conduct the arbitration in such manner as it considers appropriate. The arbitral
tribunal is empowered to determine the admissibility of taking evidence, take evidence and
assess freely such evidence.” German Arbitration Law 1998, in force 1 January 1998 in JAN
PAULSSON (ED), INTERNATIONAL HANDBOOK ON COMMERCIAL ARBITRATION, (Kluwer Law
International 1984 Last updated: December 2001 Supplement No. 34) pp. 26 – 14.
6 See GARY B. BORN, INTERNATIONAL COMMERCIAL ARBITRATION (2009), at 1765:
All leading international arbitration conventions indirectly recognize and give effect to manda-
tory requirements of procedural fairness and regularity of the arbitral proceedings. They do so
by permitting arbitral awards to be denied recognition if basic requirements of procedural
fairness have not been satisfied, while leaving room for non-discriminatory, non-idiosyncratic
rules of mandatory national law aimed at ensuring procedural fairness and equality.
7 See also PETROCHILOS, supra note 3, at 39 about the applicable law: “The law of the arbitration
is in a sense the law of the enforcement (courts)”.
When it comes to material commercial law, there has been a revolutionary change in
legal concepts during the past fifty years. Many researchers with the support of legal
writing and case law in arbitration in particular acknowledge there is a core of material
law common to a great majority of trading nations: lex mercatoria.8 This common
property floats above all jurisdictions and covers horizontally many parts of national
laws.
The acceptance and significance of lex mercatoria is surprising, as still quite recently
material law was a concept sacred to a nation. Its jurisdiction formed a vertical hierarchy
of rules in their own right that were at least prima facie independent from (if not
directly hostile to) even jurisdictions geographically and conceptually close to the
state. This core common to many nations and many trading men might have been con-
cealed from us for a time by political movements and ideologies that blurred the sight,
but which was revealed again by the opening markets, the growing speed of commu-
nication, and the reaping of the benefits of international trade.
To many of those engaged in international business law, more and more often the
differences in national material laws appear only superficial in the final analysis; the
terminology is perhaps strange, the concepts likewise, and the theories inconsistent
with those acquired in basic education, or even totally new. However, if we penetrate
“the fog” created by the words and analyze in-depth how the rules are reflected in
reality or what their final impact is on a set of facts, we are often amazed by the simi-
larity of the solution to an issue. Sometimes legal systems take different paths to reach
the same goal (or they may take the same path, but use another name for it). Yet why
is the outcome often the same in essence? Many believe the explanation lies in a
common heritage of legal culture and education, or, what is more radical, in human
consciousness: ultimately we were born with and share the same basic values whether
or not we want to recognize it.
In the field of material law, the hierarchy of the rules of law has become more and
more sophisticated: there is an increasing number of “layers” of rules of different
9 UNIDROIT 1.4 mentions among other rules of supranational origin: “Nothing in these
Principles shall restrict the application of mandatory rules, whether of national, international or
supranational origin, which are applicable in accordance with the relevant rules of private
international law.”
10 See, e.g., ILA Recommendations commented on below.
11 UNIDROIT principles of International Commercial Contracts, Rome 2004; lex mercatoria has
been a very debated issue. Although the issue is by no means exhausted, a reiteration of the
discussion and opinions expressed in this context is not warranted. For the references to the
debate and an admirable analysis of the theory and practice, see PHILIPPE FOUCHARD ET AL.,
TRAITÉ DE L’ARBITRAGE COMMERCIAL INTERNATIONAL 813–47 (1996).
12 Audley Sheppard, Interim ILA Report on Public Policy as a Bar to Enforcement of International
Arbitral Awards, 19 LCIA ARBITRATION INT’L 240 (2003). “Deciding a dispute on some basis
other than rules of law has been held not to be contrary to public policy. For example, the
Austrian Supreme Court found no infringement of public policy where an ICC arbitral tribunal
sitting in Vienna applied an ‘international lex mercatoria’. The French courts have reached a
similar conclusion. In D.S.T. v. Rakoil (1987), the English court of Appeal rejected the argu-
ment that enforcement of an award based upon ‘internationally accepted principles of law
governing contractual relations’ (and more specifically, common practice in international arbi-
trations, particularly in the field of oil drilling concessions), rather than upon any national
system of law, should be refused on grounds of public policy. Section 46(1)(b) of the English
Arbitration Act 1996, which provides that the parties may agree the basis upon which the tri-
bunal is to determine the dispute, has removed any lingering doubt that the English courts
might consider an award made on the basis of lex mercatoria, or ex aequo et bono, or amiable
composition to be contrary to public policy.” See Pierre Mayer, Litispendance, connexité et
chose jugée dans l’arbitrage international 105–17, in LIBER AMICORUM CLAUDE REYMOND;
AUTOUR DE L’ARBITRAGE (2004).
Lew writes on p. 94 in Reflections: “(iv) Where the parties have not agreed on an applicable
national law, but the case is clearly international and neither party is willing to submit to the
6 DUE PROCESS AND ARBITRATION
merchant and encourage future efforts aimed at further endorsements producing a
wider and more easily identifiable uniformity. This is crucial as there are no formal
criteria of validity for each and every norm of lex mercatoria in each and every context
or legal system. However, the nonformal validity and the content-based nature of lex
mercatoria make it a useful tool in a situation where distinguishing
the most important and constitutive norms in national law and international treaties is
difficult.
Procedural law—and more specifically due process requirements—seems to suffer
from similar kinds of problems as the field of material law. Different procedural rules
related to fairness of procedure may be of unequal strength with some leading to ipso
facto or ipso jure unenforceability while others have no such immediate effect. Some
rules might be considered as due process requirements in one country, but not in
another. Hence, there seems to be a hierarchy and varying degrees of legal strength
and significance. The consequences of a violation or the available remedy seem to
reflect how fundamental the rule of due process is considered to be and how serious its
violation or disregard is deemed to be.
Also at the international level there are many different kinds of norms that deal with
procedural and due process requirements in arbitration. Different sets of rules, guide-
lines, and recommendations form a body of soft law that has to be dealt with. Actually
it could be said that different sets of norms (also at the national level) lead to many
different legal orders that exist simultaneously. It is difficult to say to which extent
these legal systems can be separated from the official, national legal systems or from
other unofficial legal orders based on soft law. The soft law norms fill gaps in national
laws, and at least to some extent bind the margin of discretion given to arbitrators in
national laws. The soft law is by nature international. First, it is mostly based on rules
national law of the other; arbitrators should, where appropriate, apply an international standard
such as lex mercatoria, general principles of law or the UNIDROIT Principles. As the
UNIDROIT Principles are a clear, manifest body of rules, with respect to which there are both
travaux préparatoires and legal writings, as well as increasing case law relating to their
application, they can be directly applicable. Equally, arbitrators can use the Principles to help
elucidate or interpret the agreed contract terms. (v) Where arbitrators have selected lex merca-
toria, general principles of law or some similar set of rules, or are even acting as amiables
compositeurs or ex aequo et bono, the UNIDROIT Principles provide concrete rules which
may be applicable for the specific contract involved. Where such rules are applicable they can
and should be applied by arbitrators.”
Dessemontet concludes on p. 50 in Reflections: “As arbitral tribunals increasingly apply the
Principles, this should also lead to welcome feedback for their authors, who cannot remain
indifferent to awards that reject the Principles as too divergent from current practice in interna-
tional trade. Further, the publication of annotated editions of the Principles with citations of
relevant cases would facilitate both the UNIDROIT Secretariat’s preparatory work for a pos-
sible revision and correct understanding of the practical significance of the Principles. It might
also prevent conflicting awards, where the differences are of minor importance and not the
outcome of contrasting philosophies.”
For case law, see Joachim Bonell, The UNIDROIT Principles as a Means of Interpreting
and Supplementing International Uniform Law, at 29, in UNIDROIT PRINCIPLES OF
INTERNATIONAL COMMERCIAL CONTRACTS: REFLECTIONS ON THEIR USE IN INTERNATIONAL
ARBITRATION; A Special Supplement of the ICC International Court of Arbitration Bulletin
(ICC Publication No. 642) (2002).
THE FLOATING NATURE OF THE LAW OF DUE PROCESS—ANALOGY TO LEX MERCATORIA 7
and recommendations of more-or-less international organizations or service providers
such as different arbitral institutes. Second, the international arbitration community
adapts the rules discussed in the international arena into the practice of a more national
character.
Because of the substantial number of norms based on international conventions and
soft law of a more-or-less international nature, it is fair to say the law of arbitration has
an almost unique international nature. The traditional national doctrines of legal theory
and sources of law are insufficient in the law of arbitration where the validity of norms
cannot be solely based on national legislation or precedents. Even if the national law
were to function as a starting point for legal analysis, the unavoidable interplay with
the different kinds of sets of norms or systems of law would necessarily lead to a result
at least partly based on international or transnational material. In addition, the general
practices that may partly define the interpretation in many legal problems are to a huge
degree international. Even the practices that at first glance seem to be national are
probably not purely so. In arbitration, the cases are international and the community is
international. Thus, there really cannot be solely national practices. Also, we should
not forget that national laws in many ways are based on international conventions and
model laws. Accordingly, the interpretive material and the goals behind single norms
are to some extent similar.
There is a need for some kind of cross-border and cross-legal order approach similar
to lex mercatoria that also concerns procedural requirements.13 It should be no surprise
that the law of due process seems to have a structure or character somewhat similar to
that of the law merchant.14 However, the body of legal research and literature of due
process in international arbitration are yet to emerge. Just as in material law and lex
mercatoria, the law of due process needs to develop to have a wider and more easily
identifiable uniformity. The goal would be to identify a set of norms that floats above
national jurisdictions and various systems of soft law. This book is, naturally, a part of
this project of creating a kind of lex proceduralia.15
As with lex mercatoria, the idea would be to try and find the common denominator to
national legislation, and in the case of arbitration, various kinds of soft law. Other
international normative material could also be used. If we start from what are deemed
to be the most serious violations of due process from a comparative aspect, how much
In either of the following cases the United States court in and for the district wherein
the award was made may make an order vacating the award upon the application of
any party to the arbitration:
(a) Where the award was procured by corruption, fraud or undue means.
(b) Where there was evident partiality or corruption in the arbitrators, or either
of them.
(c) Where the arbitrators were guilty of misconduct in refusing to postpone the
hearing, upon sufficient cause shown, or in refusing to hear evidence pertinent
The problem with the first source, the Convention, is that it is relatively open. This
is a challenge regarding other sources as well. However, the interpretation of the
Convention is left to national courts, whereas others such as the ECHR is interpreted
by a single institution, the European Court of Human Rights. International arbitration
soft law is in many cases very specific, but it lacks the institutional and parliamentary
support of national legislation. Also the soft law is not always focused on the constitu-
tional level, but rather often has a relatively practical approach. National legislation is
relevant in this respect only if it has transnational support, and it would be very unlikely
that some internationally recognized due process principle would be supported by
many national arbitration laws but not already be included in the primary international
sources mentioned above.
However, the prima facie order above is not intended for solving conflicts between
the sources of lex proceduralia. To place the Convention “above” human rights con-
ventions does not mean that in conflict situations the Convention would override human
rights when formulating the content of due process requirements. The Convention is
just a more natural starting point for the analysis, especially if lex proceduralia is prima
facie defined or at least approached via criteria of enforceability. The order is relatively
flexible, as there is no formal rule defining due process requirements.
The relation of lex proceduralia and the applicable national arbitration law is another
question. In case of mandatory national law, it is more or less clear that lex proceduralia
mostly has importance only as an interpretative tool, even though a conflict between
mandatory national law and lex proceduralia might lead to the award being at
least internationally unenforceable. In the case of nonmandatory national law, the tri-
bunal should apply due process requirements instead of national law (at least if the
17 See PETROCHILOS, supra note 3, at 151–58, Rinquist, supra note 3, at 128–46, and the sources
and cases cited there, inter alia X v. Federal Republic of Germany 1962 App. No. 1197/61
decision of 5 March 1962, Nordström-Janzon and Norström-Lehtinen v. the Netherlands, App. No.
28101/95, decision of 27 November 1996, Suovaniemi and Others v. Finland, App. No.
31737/96, decision of 23 February 1999.
These themes could actually be divided into only two major fair trial themes: access
to court and fairness of the procedure. As arbitration limits access to ordinary courts,
it is important the limitation be lawful. The requirements related to arbitration agree-
ments and jurisdiction as well as in part the requirements related to composition of the
tribunal control the limitation of access to courts. Procedural requirements related to
facts and evidence in the proceeding as well as other strictly procedural questions (and
in part the composition of the panel) have more to do with the fairness of the arbitra-
tion procedure. It is of course clear that this kind division would be in the end impos-
sible as many questions (such as the composition panel as noted above) have to do with
both of the topics. Also, it could be thought that the quality and fairness of the process
would be relevant when considering limitations on access.
Before going into a more detailed substantial analysis of due process in the Convention
and different elements of due process, one methodological question has to be dis-
cussed. The idea of the book could be to just try and identify the set of norms that
define the international due process requirements as more or less specific rules that set
exact limits to arbitral procedure. But this approach does not catch all the meaning of
due process in arbitration. It would be good and both extremely useful and necessary
to identify specific and concrete limits to what can be done procedurally in arbitration.
Without any specific rules or minimum requirements as guidance, the due process
requirements probably could not always be realized in a practical context. However,
the problem with exact rules is that the limits are mostly not general and absolute, but
dependent on the interpretation and context in specific cases.
18 See MICHAEL D. BAYLES, PRINCIPLES OF LAW. A NORMATIVE ANALYSIS 11–14 (1987) and RONALD
DWORKIN TAKING RIGHTS SERIOUSLY 22–28 (1977).
19 BAYLES, supra note 18, at 11.
2.1 INTRODUCTION
The New York Convention on the Recognition and Enforcement of Foreign Arbitration
Awards (“the Convention”) has been one of the key factors in arbitration becoming an
internationally accepted and adopted method of dispute resolution. The enforceability
of the decisions of State courts has in the main been limited to a single jurisdiction (i.e.,
the jurisdiction where the decision was given). This very limited enforceability has
been extended by a number of bilateral and multilateral treaties. The international
enforceability of decisions of State courts, despite the many safeguards of legal protec-
tion including appeal, is still far behind the enforceability of arbitral awards. Despite
efforts to guarantee the “right” outcome, the “right” decisions by State courts lack
enforceability or are internationally distrusted, whereas arbitral awards with fewer
such safeguards or guarantees are widely enforceable. On the one hand, this is almost
a paradox, and on the other, one of the greatest success stories of international collabo-
ration in the field of arbitration. The Convention has been ratified by over a hundred
nations.
The Convention having been ratified by such a large number of independent nations
demonstrates its due process requirements are internationally accepted and reflect the
generally acknowledged fundamental procedural rights of the parties. Thus, if an arbi-
tral award is not enforceable according to the Convention, it would certainly not meet
due process requirements. The Convention is a natural starting point if the meaning
of due process is bound with the unenforceability of the award. To outline the hard
core of “supranational” due process, a kind of a reverse method is used: if a violation
of a procedural rule will lead to nullity or voidability of the award under the Convention,
such procedural rule forms a part of international due process. As a logical starting
point, it could be assumed that if awards are recognized and enforceable, they must
also meet at least the most important requirements of due process. It could also be
assumed that these awards and the procedure that has led to them meet the core crite-
rion of a mandatory procedural trade usage.
15
However, a simple and direct logical connection of due process requirements to
the Convention is not justified. It may be said that it defines the core requirements,
but the Convention consists at least partly of very open norms that need to be inter-
preted in the context of a particular case. In addition, the Convention does not function
in a legal vacuum; its meaning and its interpretation is naturally and necessarily
affected by surrounding sources of law as well as arbitration practices. Thus, the
Convention as such is a natural starting point for the analysis, but not the end of it.
Also, we should not think the arbitral process cannot or should not be any better
than the minimum requirements of the Convention necessitate. Just as a materially
false arbitral award might be enforceable, a procedurally unsatisfactory arbitration
might lead to an enforceable award. There are due process standards that go further
than the very core of international due process as a prerequisite of recognition and
enforcement.
In this chapter, the requirements of the New York Convention are discussed under
the following topics:
1 Sheppard argues:
Enforcement may be refused on grounds of public policy in the event that there has been
a breach of natural justice or due process. This is in addition to the ground in Article V.1(b)
of the New York Convention, which provides that enforcement may be refused if the
party against whom the award is invoked was not given proper notice of the formation/
identity of the tribunal or of the arbitration proceedings, or was otherwise unable to present
his case. . . . This remains a vague category of public policy and one that encompasses
virtually any complaint by an unsuccessful party. There is consensus, however, that there
must be serious irregularity; for example, the ICSID Convention includes as grounds for
annulment: ‘that there has been a serious departure from a fundamental rule of procedure’
(Article 52(d)).
Audley Sheppard, Interim ILA Report on Public Policy as a Bar to Enforcement of International
Arbitral Awards, 19 LCIA ARB. INT’L 39(2003). See also William R. Spiegelberger, The
Enforcement Rate of Foreign Arbitral Awards in Russia (Recent Developments in International
Dispute Resolution Around the World), 17 THE WHITE & CASE INT’L DISP. RESOL. NEWSLETTER
7–8 (Dec. 2004):
The old Russian saying: “don’t fear the law, fear the judge,” is not completely inapt when it
comes to the enforcement of foreign arbitral awards in Russia. Although the Russian legisla-
tive regime—the aggregate of treaties and laws—is more or less in accord with most other
sophisticated legal systems, the Russian courts appear to enforce foreign awards at a rate
lower than those of other signatory states to the New York Convention on the Recognition
and Enforcement of Foreign Arbitral Awards (the “Convention”). Our research to date has
yielded about 35 reported cases in which the Russian courts have been called on to enforce a
foreign award. In 20 cases the award was enforced, or likely to be enforced on remand, yield-
ing a net enforcement rate of only 57%. Of all the Convention’s grounds for non-enforcement,
the one most often raised (11 cases) was the public policy exception under Convention
Article V(2)(b).
PUBLIC POLICY 17
2.2.2 Procedural Aspects: Just a Right, Not a Duty; Actions
Ex Officio and Sua Sponte
2 See Model Law Decisions: Arcata Graphics Buffalo Ltd. v. Movie (Magazine) Corp., Ontario
Court of Justice, General Division (Eberle J.) 12 March 1993, Original in English, Unpublished:
[1993] O.J. No. 568. “A public policy defence requires a breach of an essential, fundamental
morality of Ontario.” According to ILA Recommendations 3(c):
When the violation of a public policy rule of the forum alleged by a party cannot be estab-
lished from a mere review of the award and could only become apparent upon a scrutiny of
the facts of the case, the court should be allowed to undertake such reassessment of the
facts.
3 This is a debated issue in light of the fact that enforcement may be sought in a multitude of
countries.
4 See, e.g, Commentary of Indian arbitration law by N. Krishnamurthi and F.S. Nariman,
INTERNATIONAL HANDBOOK ON COMMERCIAL ARBITRATION (Supp. 22, Sept. 1996)), p. 28:
Where damages were awarded without proof of actual loss, contrary to Indian law, the
Supreme Court of India rejected the public policy defence under the Arbitration Protocol and
Convention Act, 1937; likewise where enforcement of a foreign award under the 1937 Act
was resisted on the ground that it would defeat the Indian Law of Limitation and therefore
infringe public policy, the plea was rejected by the High Court of Calcutta—the ICC award
was enforced. After 1961, the public policy defence has been raised under the Act of 1961
implementing the New York Convention in the following cases: (i) European Grain and
Shipping Co. v. Seth Oil Mills—decision of the Bombay High Court, 29 January 1983,
reported in Yearbook Commercial Arbitration IX (1984) pp. 411–415 (the defence raised
was rejected) (ii) General Electric v. Renusagar—decision of the Bombay High Court,
12 October 1989, reported in Yearbook Commercial Arbitration XVI (1991) pp. 561–565
(the defence raised was rejected) (iii) COSID v. Steel Authority of India Ltd.—decision
dated 12 July 1985, reported in Yearbook Commercial Arbitration XI (1986) pp. 502–507
(where the defence raised was upheld). Courts in India do not apply the restrictive criterion
of international public policy. The Act 1961 as interpreted by courts requires, for the public
policy defence to be upheld, that the court be satisfied that the enforcement of the award is
contrary to Indian public policy. There is no control of the court on the merits of the arbitral
decision.
5 See, e.g., Eco Swiss China Time Ltd v. Benetton International NV, ECJ 1.6.1999 C-126/97;
Mitsubishi Motors Corporation v. Soler Chrysler-Plymouth Inc., 473 U.S. 614, 87 L.Ed. 2d
444 (1985); and Fritz Scherk v. Alberto-Culver Company, 417 U.S. 506, 41 L.Ed. 2d 270 (to
mention just some of the most important ones).
6 In Shirley Sloan Pty Ltd v. Merril Holdings Pty Ltd, Supreme Court of Western Australia,
2 March 2000, 18 April 2000 WASC 99, the court summarized the law as follows:
There is no question as to the proposition that breach of the rules of natural justice amounts to
“misconduct” for the purposes of s42(1)(a) of the Act. That is the effect of the definition of
that term in s4 thereof. The real question is whether, where there is misconduct of that kind,
it is such as should attract an exercise of the discretion which s42(1) affords to the court, on
the application of a party to the arbitration agreement, to set aside the award either in whole
or in part. It is unlikely that a court would exercise its discretion in that way, even in the case
of a denial of natural justice, unless the denial was such as (to use the words of Isaacs J in
Melbourne Harbour Trust Commissioners v Hancock (1927) 39 CLR 570 at 588) “has or may
have unjustly prejudiced a party” in a respect material to the outcome of the arbitration (of
Doran Constructions Pty Ltd v Health Administration Corporation (NSW) (1994) 12 BCL 59
at 62–63 and Van Dongen v Cooper [1967] WAR 143 at 145). It is difficult to see why, even
in the context of an Act which provides (by s19(3)) that the arbitrator is not, unless otherwise
agreed in writing by the parties to the arbitration agreement, bound by the rules of evidence
but may inform himself in relation to any matter in such manner as he thinks fit, the legislature
has seen fit the include within the concept of “misconduct” a breach of the rules of natural
justice. It is a matter of fairness. As was said by Goff LJ in Interbulk Ltd v Aiden Shipping Co
Ltd [1984] 2 Lloyds Rep 66 at 75: “In truth, we are simply talking about fairness. It is not fair
to decide a case against a party on an issue which has never been raised in the case without
drawing the point to his attention so that he may have an opportunity of dealing with it, either
by calling further evidence or by addressing argument on the facts or the law to the tribunal.”
Ackner LJ, in the same case said (at 76) “if an arbitrator considers that the parties or their
experts have missed the real point—a dangerous assumption to make. . .—then it is not only
a matter of obvious prudence, but the arbitrator is obliged, in common fairness or, as it is
PUBLIC POLICY 19
opportunity to be heard about the public policy question is closely connected with a
party’s right to an opportunity to present its case.
Under the Convention, it is beyond any doubt that a competent national authority
may refuse enforcement both when the public policy issue has been considered by the
arbitral panel and when it was not brought up at all in the proceedings by the parties or
sua sponte by the members of the arbitral panel. However, the economics and rationale
of legal proceedings may often support the consideration of the public policy issue ex
officio, at least when it is probable it will be raised in the enforcement proceedings or
when the issue appears to be of paramount legal importance not only in the jurisdiction
of likely enforcement but in other jurisdictions per se or ex analogia. If the issue at
hand would be a public policy issue in many jurisdictions, it may be deemed to reflect
international public policy and international comity. Accordingly, due process may
then require that the arbitral panel bring up the issue sua sponte if the parties have not
done so and give the parties an opportunity to present their views before any decision
is taken.
What constitutes the public policy of a country has not been defined in the
Convention.7 The concept of ordre public may be seen as very narrow or somewhat
sometimes described, as a matter of natural justice, to put the point to them so that they may
have an opportunity of dealing with it.” More recently, in Pacol Ltd v Joint Stock Co Rossakhar
[2000] 1 Lloyds Rep 109 at 115 Colman J said: “In a paper arbitration the temptation to arrive
at a conclusion which may not have been envisaged by either party by reference to matters
upon which the parties have not had the opportunity of addressing the arbitrators or in respect
of which they have not had the opportunity of adducing further evidence, may be a particular
temptation which arbitrators should be careful to avoid.” There is, in this case, no real contest
as to the fact that the arbitrator did not give to the parties the opportunity of dealing with the
point canvassed in para 14 of his reasons. Neither party had raised it and neither expected the
arbitrator to raise it. It is readily apparent from the affidavit evidence put forward by the appli-
cant that, had the parties been given an opportunity to deal with the point, it would have been
shown to be one of no substance, at worst for the applicant, or, at best for the applicant, one
which supported a conclusion different to that at which the arbitrator ultimately arrived.
7 Holtzmann reports:
The New York Convention of 1958 permits a court to refuse enforcement of an arbitration
award if it is contrary to public policy (Art. V). The courts of the United States have held that
the refusal to enforce an arbitration award on the ground of public policy should be strictly
limited and that enforcement should be denied only when, as one court said, the arbitration
award violates the “most basic notions of morality and justice.” (Parsons & Whittemore
Overseas Co. Inc. v. Société Général de L’Industrie du Papier RAKTA and Bank of America,
508 F.2d 969, U.S. Ct. of Appeals, 2d Cir., 1974, summarized in Yearbook Commercial
Arbitration, Vol. I (1976) pp. 215–217). The courts recognize that, particularly since acces-
sion by the United States to the Convention, the international public policy of the United
States favors the enforcement of international arbitration as an essential element in promoting
foreign trade and world peace. This international policy has been given precedence over
national public policies expressed in domestic laws.
Howard M. Holtzmann, Report on U.S. Arbitration Law, in INTERNATIONAL HANDBOOK ON
PUBLIC POLICY 21
international public policy, seems to be a synonym for due process as used in this
work. It could further be questioned if due process forms a part of public policy or
ordre public as a means or process to achieve or reach the objectives or purpose of
substantive law. Legal systems focus heavily on reaching the right substantive deci-
sion but are perhaps considerably less focused on procedural matters, including ensur-
ing that all the relevant facts are fully established before material law is applied. The
role of procedure is often seen as “instrumental”. However, it is clear that due process
or procedural public policy also forms a part of public policy or ordre public.
In addition to the transnational and international public policy, the ILA
Recommendations divide international public policy into three groups of norms based
on their character and ground. These three groups and the examples illustrating them
in concreto are as follows:
(i) Fundamental principles pertaining to justice and morality that the State wishes to
protect even when it is not directly concerned.
Example given: as to substantive fundamental principle abuse of rights and as to
fundamental procedural principle the requirement that tribunals be impartial;11
(ii) Norms designed to serve the essential political, social or economic interests of the
State, these being known as lois de police or public policy rules.
Example given: antitrust law;
(iii) The duty of the State to respect its obligations toward other States and interna-
tional organizations.
Example given: U.N. resolution imposing sanctions.
The ILA Recommendations emphasize that the process of identifying and analyzing
the fundamental principles should primarily be done within the framework of the rules
of law of lex fori.13 This recommendation is in full conformity with Article V(2)(b) of
the Convention quoted above. According to the Recommendations, the fundamental
principles of the law applicable to the contract or those of the law of the place of
14 Pierre Lalive, Ordre public transnational (ou réellement international) et arbitrage interna-
tional, Revue de l’arbitrage 329 (1986). See also Fernando Mantilla-Serrano, Towards a
Transnational Procedural Public Policy, 20 LCIA ARB. INT’L (2004).
15 Compare with IBA Guidelines.
16 Eco Swiss China Time Ltd v. Benton Int’l NV, ECJ 1.6.1999 C-126/97.
PUBLIC POLICY 23
2.2.5 ILA on Public Policy Rules
(i) the scope of the said rule is intended to encompass the situation under
consideration; and
(ii) the recognition or enforcement of the award would manifestly disrupt the essential
political, social, or economic interests protected by the rule.
Arbitrability means that the issue may be finally resolved in arbitral proceedings.
Article V(2)(a) of the Convention provides:
Recognition and enforcement of an arbitral award may also be refused if the competent
authority in the country where recognition and enforcement is sought finds that:
(a) The subject matter of the difference is not capable of settlement by arbitration
under the law of that country; . . . (emphasis added)
All issues and matters are not arbitrable although the list of nonarbitrable issues has in
general been reduced to only a few.17 Another dimension is that the arbitral award
may have effects inter partes (between the parties) only and not erga omnes (as to
everyone).
17 See, e.g. Eco Swiss, ECJ 1.6.1999 C-126/97; Mitsubishi Motors Corporation v. Soler Chrysler-
Plymouth Inc., 473 U.S. 614, 87 L.Ed. 2d 444 (1985); and Fritz Scherk v. Alberto-Culver
Company, 417 U.S. 506, 41 L.Ed. 2d 270 (to mention just some of the most important cases).
18 Perhaps the minimum key components of a good arbitration clause are: (1) the substantive
law(s) applicable to the dispute; (2) the seat of arbitration; (3) the procedural rules applicable;
and (4) the language(s) to be used.
19 “The parties to the agreement referred to in article II were, under the law applicable to them,
under some incapacity, or the said agreement is not valid . . .”
Ad hoc Institutional
All these elements are likely to contain (and also in an indirect way be) elements of
due process, which covers the proceedings as a whole. Due process may be partly
addressed by express provisions of any rules in the hierarchy or perhaps by none of
them. It may be part of the applicable arbitration rules whether or not expressly referred
to by the parties in the arbitration agreement or in the arbitration law imposed on the
proceedings by the force of the law of the seat of arbitration. However, the implica-
tions of due process principles in national law or in the contract of the parties have
to be separated from the international or transnational due process standard or lex
proceduralia.
The law of arbitration of a country may contain various elements:
The rules in the hierarchy form the procedural framework or “constitution” of the
procedural code of a particular procedural decision or disagreement before a panel.
Ultra petita refers to a situation in which the mandate in concreto given by the parties
to the arbitrators in the arbitration agreement is not respected by the arbitrators and
they adjudicate beyond the scope of their authority derived from the parties. The
arbitrators may even when acting within the scope of the arbitration agreement in
abstracto decide on matters not submitted to them by way of prayer for relief. This is
also related to party’s opportunity to be heard and ability to present one’s case dis-
cussed later.
(i) the award deals with a difference beyond the scope of submission to arbitration
(i.e., the arbitration agreement or clause; or
(ii) the award contains decisions on matters beyond the scope of the submission to
arbitration.
Prima facie the two subsections have a very similar coverage, and we could on the
basis of the wording alone argue that they overlap each other. The wording does not
distinguish clearly issues beyond the scope of the agreement and those beyond the scope
of the prayers for relief or defenses. Both are also subject to waiver, and elements of
mandate in concreto. However, this semantic aspect and its further analysis do not
appear to have anything other than academic value, and it would be an unproductive
activity for the practical purposes of this work, will not be analyzed thoroughly.
The first subsection catches differences that are beyond the submission to arbitra-
tion. This refers to the arbitration agreement, or, in the narrower sense, to the arbitra-
tion clause between the parties. What falls within the scope of the arbitration agreement
or clause is usually a question of interpretation or construction, but there have been
trends in favor of a wide interpretation.22
22 Merkin writes:
The English courts are, however, perfectly prepared to enforce a written agreement which
does no more than indicate in the vaguest terms that the parties intend to refer disputes
to arbitration, and are reluctant to hold an arbitration agreement to be void for uncertainty.
This approach is possible by virtue of the Arbitration Act 1996, which provides a range
of default terms relating, for example, to appointment of a sole arbitrator under s 15(3) of
the Arbitration Act 1996, replacing s 6 of the Arbitration Act 1950, which will apply if the
parties themselves have not agreed what should be done. A number of decisions illustrate
this point.
ROBERT MERKIN, ARBITRATION LAW 116 (2004). He continues:
Although the general principle remains that arbitration clauses will be given priority where
there are conflicting contract terms, there may be some situations in which the arbitration
clause cannot be regarded as forming part of the dispute resolution process agreed to by the
parties. This was the conclusion reached by Garland J in MH Alshaya Co WLL v. Retek
Information Systems Inc.
Id. at 119.
23 The starting point is whether the parties have made an express choice of the law which is to
govern their arbitration agreement. If there is such an express term, that choice will be regarded
as conclusive even if the nominated law has no connection with the underlying contract to
which it relates, given the divisibility of the arbitration agreement and the underlying contract.
Indeed, the courts have been prepared to accept that disparate parts of a single agreement may
be governed by different applicable laws. The obvious conclusion from the separability prin-
ciple is that an express choice of law applicable to a substantive agreement which contains an
arbitration clause does not necessarily extend to the arbitration clause itself, and it will be nec-
essary to look at anything that the parties have expressly or impliedly agreed in relation to the
arbitration. By way of example, if the substantive contract is stated to be governed by the law
of New York, and it contains an arbitration clause which specifies that arbitration is to be held
in London as the seat of the arbitration, the almost inseparable relationship between the curial
law of the arbitration and the law governing the arbitration agreement means that the law appli-
cable to the arbitration agreement is more likely to be English than New York law.
Id. at 193.
24 This is the classic “competence de competence” issue. See UNCITRAL Art. 16(1) and (3) in
the Appendices p. 490.
25 See UNCITRAL Art. 16(2) in the Appendices, p. 490.
26 Japan Act 2003 § 23 (4–5) (Japanese Arbitration Law, No. 138 of 2003, in force 1 March 2004,
in JAN PAULSSON (ED), INTERNATIONAL HANDBOOK ON COMMERCIAL ARBITRATION, (Kluwer Law
International 1984 Last updated: March 2005 Supplement No. 43) pp. Annex I-1–Annex I-20)
(4) The arbitral tribunal shall give the following ruling or arbitral award, as the case may be,
on a plea raised in accordance with paragraph (2):
(i) a preliminary independent ruling or an arbitral award, when it considers it has juris-
diction; or
(ii) a ruling to terminate arbitral proceedings, when it considers it has no jurisdiction.
(5) If the arbitral tribunal gives a preliminary independent ruling that it has jurisdiction, any
party may, within thirty days of receipt of notice of such ruling, request the court to decide
the matter. In such an event, while such a request is pending before the court, the arbitral
tribunal may continue the arbitral proceedings and make an arbitral award.
27 E.g., invalidity of the agreement, sovereign immunity, expiration of mandate, public policy,
nonarbitrability, etc.
29 Arbitration agreements in general must be made in writing. This requirement does not seem to
apply to agreements made during the proceedings although very often such agreements are
recorded in submissions, minutes, procedural orders, or other documents.
30 UNIDROIT Art. 2.1.6 (1):
A statement made by or other conduct of the offeree indicating assent to an offer is an
acceptance. Silence or inactivity does not in itself amount to acceptance.
and (3):
However, if by, virtue of the offer or as a result of practices which the parties have established
between themselves or of usage, the offeree may indicate assent by performing an act without
notice to the offeror, the acceptance is effective when the act is performed.
31 France Act Art. 1484 provides:
Whenever, in conformity with the distinction made in Article 1482, the parties have waived
their right to appeal, or have not expressly reserved said right in the arbitration agreement, a
motion to set aside the document characterized as an arbitral award may nevertheless be
raised irrespective of any stipulation to the contrary. It may be granted only in the following
cases:
1. If the arbitrator decided in the absence of an arbitration agreement or on the basis of a
void or expired agreement;
2. If the arbitral tribunal was irregularly composed or the sole arbitrator irregularly
appointed;
3. If the arbitrator decided in a manner incompatible with the mission conferred upon him;
4. Whenever due process (le principle de la contradiction) has not been respected;
(a) The parties to the agreement referred to in article II were, under the law
applicable to them, under some incapacity, or the said agreement is not valid
under the law to which the parties have subjected it or, failing any indication
thereon, under the law of the country where the award was made. . . .
This provision deals with two issues neither of which is procedural in its essence:
(1) the incapacity of the parties, and (2) the invalidity of the arbitration agreement.
Both can de jure be classified as conditions precedent to the arbitration proceedings
and thus procedural questions. However, both are decided on a material law basis, with
one being related to the powers and capacity of natural or legal persons and the other
to general principles of contract law.
35 About the discussion concerning applicable procedural law and the level of transnationality of
it, see GEORGIOS PETROCHILOS, PROCEDURAL LAW IN INTERNATIONAL ARBITRATION 19–46 (2004).
The due process standard “able to present one’s case” is closely linked to another due
process rule under Article V(1)(d): “The composition of the arbitral authority or the
arbitral procedure was not in accordance with the agreement of the parties, or, failing
such agreement, was not in accordance with the law of the country where the arbitra-
tion took place.” The two elements (i.e., the arbitration agreement and the law of the
seat of arbitration) are part of due process; they qualify and specify in part what con-
stitutes due process in an individual case. The arbitration agreement may specify how
a party is to be given the necessary opportunity “to present his case” but it cannot, at
least ex ante, totally eliminate this right. Should this be the case, the proceedings would
perhaps not constitute arbitral proceedings or legal proceedings and the judiciary
would most likely refuse to recognize and enforce any award. The right to present
one’s case cannot be wholly waived during the proceedings, or more exactly, the right
to the opportunity to present one’s case cannot be wholly waived, but the party may at
his option and in his sole discretion choose not to do so in concreto.37
In addition to the arbitration agreement, the law of the country of the seat of arbitra-
tion forms a part of due process. The arbitration agreement cannot entirely cover all
37 This may lead to changes in the procedural framework, in particular the rules applied with
respect to the burden of proof.
38 The rules governing proceedings often codify or reflect general procedural principles that
apply equally to arbitration. Sometimes national laws refer to procedural laws covering
State court proceedings to “fill a vacuum” of rules or as an ex analogia source of procedural
arbitration law.
39 UNCITRAL Art. 27 (seeAppendices, p. 493).
The above analysis and the relevance of the various subsections of the article V of the
Convention for the purpose of defining due process could be reported in a table in a
summary fashion as follows:
Article V:
1) The line between substance and procedure is fading in arbitration, as many substan-
tive norms define the jurisdiction of the tribunal. This is, actually, not very surpris-
ing as one of the two major groups of questions concerning due process requirements
has to do with controlling the limitations on access to courts. Questions related to
jurisdiction define the limitation of access to ordinary courts, and even the substan-
tive public policy-related grounds on denying enforceability can be seen from this
perspective as being in a way procedural. Some demands are such that an arbitral
tribunal does not have jurisdiction to deny their protection or infringe them.
2) The criteria set forth in the Convention are not autonomous. First, the Convention
refers to national laws and agreements of the parties. Second, it is of course de facto
bound with internationally (or better transnationally) defined meaning of concepts
and terminology. Thus the normative meaning of the Convention comes from vari-
ous sources.
3) The Convention is at least partly very openly formulated. For example, from a pro-
cedural point of view, the requirement that a party have the ability to present his
case is open to various interpretations.
4) Accordingly, it seems difficult to concretize due process requirements only on the
basis of analyzing the Convention. The other sources of law of international arbi-
tration also have to taken in account in the wider analysis below.
1 Holtzmann reports:
If one party sues in court with respect to any disputes covered by an agreement to arbitrate,
the court must, on the request of the other party, bar the suit so that the arbitration may be held
in accordance with the terms of the agreement. The only question before the court in deciding
on such a request is whether the issue involved in the suit is covered by an agreement to
arbitrate (FAA Sect.3; UAA Sect.2).
43
Most clauses provide for exclusive arbitration and do not allow any “ordinary” appeal
from the award regarding material issues. The parties may of course either expressly
or implicitly waive their right to arbitration, and some national laws impose a duty on
the parties to invoke the clause—sometimes even before answering the substantive
issues. Article II(3) of the Convention provides:
The court of a Contracting State, when seized of an action in a matter in respect of
which the parties have made an agreement within the meaning of this article, shall,
at the request of one of the parties, refer the parties to arbitration, unless it finds that
the said agreement is null and void, inoperative or incapable of being performed.
(emphasis added)
The Convention requires party action to enforce the arbitration, and passivity may
constitute a waiver.
The mandate in concreto or authority given is irrevocable except by agreement of
all parties. As such, it is comparable to agreements granting an irrevocable power and
authority to make decisions binding on the parties, such as agreements forming corpo-
rations that also grant irrevocable authority to certain corporate bodies to pass
resolutions for and on behalf of their shareholders even in the absence of unanimity. In
a way, it comes very close to the role of an engineer or architect in construction con-
tracts. As such, there is nothing particularly exotic about it.
However, an arbitration agreement is sui generis in some respects. The agreement
is in general regarded as independent and separate from the underlying transaction.2
It deals primarily with procedural issues constituting an instrument for the enforcement
of the underlying agreement. The arbitration agreement remains ancillary although
In a prima facie analysis, an arbitral institution or the panel itself attempts to draw
a preliminary conclusion as to the existence or nonexistence of an arbitration agree-
ment and its terms and conditions to the extent necessary in relation to the issue of
The applicable laws may provide for more effective measures, and there may be
better alternatives to challenge the jurisdiction than the nightmare scenario above.
However, the scenario partly explains why the waiver doctrine is so well-established
in many arbitration laws and in arbitration practice. The doctrine deserves full support
by the legal community provided that the quality of arbitral proceedings is secured and
due process safeguards are fully in place. From the party’s perspective, unless it wants
Even though it is established that an arbitration agreement exists, its validity may be
challenged. If existence is not established, challenging validity becomes trickier, as in
order for something to be challenged, its existence must be presumed. A party may
simultaneously challenge validity, and seek clarity on the issue via a declaratory action
along the lines of “should these facts be deemed to constitute an arbitration agreement,
the claimant prays it be declared invalid or null”.
Article II(3) of the Convention provides:
The court of a Contracting State, when seized of an . . . , shall, . . . refer the parties
to arbitration, unless it finds that the said agreement is null and void, inoperative or
incapable of being performed.
Prior to the initiation of arbitral proceedings, a court may find the arbitration
agreement is null and void or unenforceable. A ruling may be based on “pathological”
reasons (i.e., the arbitration clause has been drafted in a manner that renders it inopera-
tive or incapable of being performed, or the clause indicates an appointing authority
that has ceased to exist or never existed). These issues may be resolved by way of
interpretation. If a court finds an arbitration agreement to be null and void or unen-
forceable, it will not dismiss the case and will refuse to refer the parties to arbitration.
The arbitral panel may also hear and try claims regarding invalidity or nullity.16
Determining the validity of the arbitration agreement and that of the underlying agree-
ment lies within the scope of the panel’s jurisdiction. Swiss Rules Article 21(1) and (2)
provide:
1. The arbitral tribunal shall have the power to rule on objections that it has no
jurisdiction, including any objections with respect to the existence or validity of the
arbitration clause or of the separate arbitration agreement.
2. The arbitral tribunal shall have the power to determine the existence or the valid-
ity of the contract of which an arbitration clause forms a part. For the purposes of
What if a party to the underlying agreement assigns the agreement as a whole to a new
party and this assignment is accepted by his contractual party, will the new party
(assignee) be bound by the arbitration agreement as well (i.e., may it invoke the arbi-
tration clause, and does it have to submit to the jurisdiction of the arbitral panel if a
claim is filed against it in arbitration)? What if the assignment is not accepted by the
other contractual party? What if the assignment is not only accepted, but the assignor
is also released from contractual liability? What if the assignment covers certain rights
only, but not the agreement as a whole?
Under the prevailing doctrine, an arbitration agreement is legally separate and inde-
pendent from the underlying agreement.25 The strict, formal, and consistent application
of this doctrine might lead to imposing a requirement of a separate assignment of the
arbitration agreement as well. In many cases, this would be absurd. An arbitration
agreement, although separate and independent, is ancillary in the sense that its assign-
ment separately from the underlying agreement would have no substance or meaning.
Assignment of an arbitration clause without the underlying agreement would be pure
nonsense. Thus, the question is: does the assignment of an agreement or rights there-
under presumably also cover the arbitration agreement therein? No doubt this is an
issue of interpretation if there is no legal presumption in the applicable law. The inter-
pretation should rather be in favor of the assignment covering the arbitration agreement
25 UNCITRAL Model Law Art. 16(1) (see Appendices, p. 490) (United Nations Commission on
International Trade Law (UNCITRAL) UNCITRAL Model Law on International Commercial
Arbitration UN Resolution on the UNCITRAL Model Law, Dec. 18, 2006). See also
UNIDROIT Art. 3.17.
The applicable arbitration act may impose a time limit for rendering the award.27 Also,
sometimes parties set a period of time in the arbitration agreement within which the
26 Nane Oganesyan, Law Firms Again Admitted before the Russian Arbitrazh Courts to Enforce
Arbitral Awards, IBA NEWSLETTER: ARB. AND ADR 80 (International Bar Association Section
on Business Law), Oct. 2004:
Importantly, the proceedings in this matter also add to the controversial issue of transfer of an
arbitration clause in case of assignment of the contract. The very fact that the Supreme Court
did not rule on the substantive issues (which were addressed by both parties in their plead-
ings) indicated that it did not find anything manifestly wrong in the lower court’s finding
that the arbitration clause did not necessarily pass upon the assignee in a case where the
remaining party did not give a consent to such an assignment. Prior jurisprudence shows that
this forum is reluctant to give attention to side issues, even where they do not govern the
ultimate decision.
27 Italy Act Art. 820 provides:
The parties may, in the arbitration agreement or by agreement preceding the acceptance of the
arbitrators, establish a time limit for the rendering of the award.
Unless a time limit has been established for the rendering of the award, the arbitrators must
render the award within two hundred and forty days from the acceptance of the appointment.
In any case the time limit may be extended:
(a) by means of written declarations by all parties addressed to the arbitrators;
(b) by the president of the tribunal indicated in Article 810, paragraph 2, upon reasoned
request by one of the parties or the arbitrators, after having heard the other parties; the time
limit may be extended only prior to its expiry.
Unless the parties have provided otherwise, the time limit shall be extended by one hundred
and eighty days in the following cases and for not more than once in each such case:
(a) if evidence must be taken;
(b) if expert advice is required ex officio;
(c) if an interim award or a partial award is rendered;
(d) if the composition of the arbitral panel is changed or the sole arbitrator is replaced.
The time limit for the rendering of the award shall be suspended during the suspension of the
proceedings. In any case, after the resumption of the proceedings the residual time limit, if
shorter, shall be extended to ninety days.
Code of Civil Procedure, Book Four, Title VIII, Arbitration, Amended by Legislative Decree of 2
February 2006, No. 40 as reported in JAN PAULSSON (ED), INTERNATIONAL HANDBOOK ON COMMERCIAL
ARBITRATION, (Kluwer Law International 1984 Last updated: April 2007 Supplement No. 49).
Does the failure to render an award within the agreed period of time provided for in the
arbitration agreement function as a substantive statute of limitation barring any further
action in any other court, or just a closing of the entry to arbitration leaving the parties
with their ordinary rights and venues? If the arbitral proceedings were started within
the period of time stipulated but not completed prior to its expiration, and if no award
was given within the time limit, the initiation of the proceedings interrupts the running
of the substantive statute of limitation.33 However, the mandate to arbitrate has been
Contract terms shall be interpreted so as to give effect to all the terms rather than deprive
some of them of effect.
32 Italy Act, supra note 27, Art. 821 provides for a waiver:
The expiry of the time limit indicated in the preceding article may not be relied on as a ground
for the nullity of the award if the party, before the deliberation of the award as evidenced by the
decision (dispositivo) signed by the majority of the arbitrators, has failed to notify the other
parties and the arbitrators of its intention to rely on the termination of the arbitrators’ authority
33 UNIDROIT Art. 10.6:
(1) The running of the limitation period is suspended when the obligee performs any act,
by commencing arbitral proceedings or in arbitral proceedings already instituted, that is
recognised by the law of the arbitral tribunal as asserting the obligee’s right against the
obligor. In the absence of regulations for arbitral proceedings or provisions determining the
exact date of the commencement of arbitral proceedings, the proceedings are deemed to com-
mence on the date on which a request that the right in dispute should be adjudicated reaches
the obligor.
(2) Suspension lasts until a binding decision has been issued or until the proceedings have
been otherwise terminated.
The same applies to ADR, UNIDROIT Art. 10.7:
The provisions of Articles 10.5 and 10.6 apply with appropriate modifications to other pro-
ceedings whereby the parties request a third person to assist them in their attempt to reach an
amicable settlement of their dispute.
34 See Arbitration Act of England 1996 § 13(1–2) (see Appendices, p. 260).
35 Finland Arbitration Act, § 6. This applies to repudiation, including failure to appoint an arbitra-
tor or pay the security.
Many agreements or commitments are made only on the condition that the perfor-
mance of a party is backed up by an undertaking of a third party as an additional
security arrangement (guarantee). The guarantee or indemnity may cover all of
the performance, a part of the performance, a specific obligation only, damages,
repayment of monies or advances made, etc. For the sake of simplicity, the word guar-
antee is used to cover all types of these instruments and comparable security
arrangements.
The methods in which the security or guarantee functions and fulfils its purposes
vary. It may be, for example:
a) an indemnity agreement;
b) a bank guarantee;
c) a guarantee by a person or company;
d) a commercial letter of credit (generally issued by a bank);
e) a bond;
f) an on-demand guarantee or standby letter of credit;
g) a combination of a guarantee and a collateral;
h) a collateral given as a security by a third party;
i) an insurance.
There is such a variety of instruments and conditions that general rules may be
impossible to identify. There are, however, things in common to all these instruments.
All the instruments are ancillary. Some are independent from, and some similar to
or even identical with the obligation of the principal debtor. In the event of perfor-
mance by the guarantor, the interpretation or analysis may change and the right
to arbitrate may be less doubtful or even beyond doubt. If this is the case, should the
situation prior to performance by the guarantor be treated any differently? In many cases,
a presumption in favor of the guarantor’s right to invoke the arbitration clause seems
well-motivated and rational. This applies, in particular, to situations where at least
de facto involvement of all parties in the proceedings is necessary or de jure
indispensable.
may now or hereafter have that any such legal action or proceeding has been brought in an
inconvenient forum.
37 Japan Act Supplementary provisions 3(2) and (4) provides:
(2) A consumer may cancel a consumer arbitration agreement. Provided, this shall not apply
in the event that the consumer is a claimant in arbitral proceedings based on the consumer
arbitration agreement.
...
(4) For the time being until otherwise enacted, any arbitration agreements concluded follow-
ing the enforcement of this Law, the subject of which constitutes individual labor-related
disputes (which means individual labor-related disputes as described in article 1 of the Law
on Promoting the Resolution of Individual Labor Disputes [Law No.112 of 2001]) that may
arise in the future, shall be null and void.
Japan Law, supra note 4.
38 UNIDROIT Art. 3.10:
(1) A party may avoid the contract or an individual term of it if, at the time of the conclusion
of the contract, the contract or term unjustifiably gave the other party an excessive advantage.
Regard is to be had, among other factors, to (a) the fact that the other party has taken unfair
advantage of the first party’s dependence, economic distress or urgent needs, or of its improv-
idence, ignorance, inexperience or lack of bargaining skill; and (b) the nature and purpose of
the contract.
(2) Upon the request of the party entitled to avoidance, a court may adapt the contract or term
in order to make it accord with reasonable commercial standards of fair dealing.
(3) A court may also adapt the contract or term upon the request of the party receiving notice
of avoidance, provided that that party informs the other party of its request promptly after
receiving such notice and before the other party has acted in reliance on it. The provisions of
Article 3.13(2) apply accordingly.
UNIDROIT Art. 3.11:
(1) Where fraud, threat, gross disparity or a party’s mistake is imputable to, or is known or
ought to be known by, a third person for whose acts the other party is responsible, the contract
may be avoided under the same conditions as if the behaviour or knowledge had been that of
the party itself.
(2) Where fraud, threat or gross disparity is imputable to a third person for whose acts the
other party is not responsible, the contract may be avoided if that party knew or ought to have
known of the fraud, threat or disparity, or has not at the time of avoidance acted in reliance
on the contract.
39 Determination of the validity of the arbitration clause ultimately lies within the jurisdiction of
the courts. However, the panel itself nonetheless decides even this issue as a “competence de
competence” one at the first stage, then allowing the proceedings to continue or dismissing the
action altogether.
UNCONSCIONABILITY OR UNREASONABILITY 63
The primary framework in which the problem of unfair arbitration agreements has
to be judged is, of course, the question of access to justice. Access to justice might be
hindered in many ways, including both economically or procedurally.
If the arbitration agreement leads to a procedure so expensive that one of the parties
cannot afford it, the party is denied access to justice. This has been discussed in prac-
tice as well. For example, an ICC tribunal relied expressly on Article 6(1) of the
European Convention on Human Rights (ECHR) in holding that increasing one’s
opponent’s arbitration costs was a reasonable limitation on the right of access to
justice because it was possible for the party to litigate in State courts.40 However, the
Supreme Court of Finland decided that when one of the parties had become insolvent
and could not afford to get the case arbitrated, the arbitration agreement had become
unreasonable. This was also due to the fact that the insolvent businessman could
receive legal aid if the case were tried in court, but not in arbitration.41 What is interest-
ing in the two cases from a legal argument point of view is that the Finnish Supreme
Court approached the matter on the basis of national contract law and only used the
procedural problem as a supporting argument or criterion in a contract law problem,
whereas the ICC tribunal argued directly on the basis of human rights and access to
justice. These differences show that the problems related to the cost of arbitration and
access to justice are far from solved.
To be clear, the problems related to cost of arbitration and access to justice can
basically be discussed using three different terminologies:
1) Human rights and access to justice as due process principles also confirmed in
ECHR 6(1);
2) Contract law and the doctrines of supervening impossibility of performance and
release on grounds of justice; and
3) Article II(3) of the Convention, which refers to an arbitration agreement incapable
of being performed.42
The ultimate argument is clearly the procedural one, i.e. number one above. This
perspective is probably most often the perspective of a State court deciding whether it
has jurisdiction in the case and whether the negative jurisdictional effect of the arbitra-
tion agreement is hindering the proceedings. It might, of course, also be the perspective
of an arbitral tribunal deciding on jurisdiction. In the latter case, contract law approaches
or the relatively artificial Convention approach might more easily be applied.
However, a party cannot be released from an arbitration agreement just by saying
arbitration is too expensive. First, a party should not too easily free itself from the
procedural agreements it has made, as they are basically binding. The party has to have
something to support the argument that had it known the circumstances or had a
realistic chance to act differently, the contract would not have been made. Second,
40 See GEORGIOS PETROCHILOS, PROCEDURAL LAW IN INTERNATIONAL ARBITRATION 126 (2004) and
ICC 9667/1998 (2002), in Rev Arb 1009, 1015–16.
41 Supreme Court of Finland decision [KKO 2003:60], see also PETROCHILOS, supra note 40, at 128.
42 See PETROCHILOS, supra note 40, at 128.
43 See, e.g., LARS HEUMAN, ARBITRATION LAW OF SWEDEN: PRACTICE AND PROCEDURE 114 (2003).
44 See PETROCHILOS, supra note 40, at 127.
UNCONSCIONABILITY OR UNREASONABILITY 65
Alternatively, an agreement does not necessarily need to be set aside completely to
make it equitable as a partial change might be enough. For example, the process might
be simplified to make it cheaper or the selection of the panel or procedure might be
changed to make the arbitration more fair (and the agreement thus more equitable).
This way the original intent to arbitrate or at least an acceptance of arbitration could be
respected.
However, whether modification of the agreement is possible depends on the situa-
tion. If the question whether the arbitration agreement is sufficiently equitable to be
binding arises when a jurisdictional determination is being made by a State court, the
practical alternatives are either to accept jurisdiction due to problems in the arbitration
agreement or to reject jurisdiction as a result of a binding arbitration agreement. Further
possibilities exist if the problem comes up in arbitration or when enforcing the arbitra-
tion agreement.
It should be clear that if the agreement is made equitable by tribunal due to the
agreement originally being unreasonable or unfair, this cannot be considered as a
breach of agreement by the tribunal. The tribunal of course has a duty to justify the
decisions it makes in this respect.
45 Most defaults relate to passivity of a party, and in general are dealt with in accordance with
AAA Rule 29 (see Appendices, p. 237).
Theories have been launched that an arbitration agreement imposes a general obliga-
tions of good faith on both parties to collaborate to form an “ideal procedure”. There
is also statutory support for this.47 In generic terms, this would mean that the parties are
under a duty actively to take part in the proceedings in order to have the disputes set-
tled expeditiously and cost effectively.48 Arbitration is based on a contract on procedure,
and all contracts are subject to the duty of good faith.49 The duty should not be exag-
gerated, but it may apply at least to certain specific obligations even in the absence of
rules to the effect. Swiss Rules Article 15(6) provides:
All participants in the arbitral proceedings shall act in accordance with the require-
ments of good faith.
In reality, the party who feels insecure of his chances to prevail or knows that he is
in breach of the underlying agreement and expects that the award will be against him
is often not at all willing to contribute to the ideal procedure the parties perhaps con-
templated before the disputes arose. In fact a party in breach may resort to various
dilatory tactics and attempt to conceal the facts.50
A breach of the arbitration agreement may give the other party the right to file the
claim(s) in court instead of arbitration, resulting in de facto and de jure termination or
cancellation of the arbitration agreement and constituting a (statutory) waiver.54 A
breach of an arbitration agreement may even in other instances not covered by express
sufficient cause with respect to the failure to appear at an oral hearing or to produce documen-
tary evidence.
(4) The preceding three paragraphs shall not apply when otherwise agreed by the parties.
Japan Act, supra note 4.
51 The law and practice in this area is developing; however, on its face it seems a party should
prefer enforcement in arbitration by specific performance in lieu of other remedies or venues.
See Xavier Favre-Bulle, Les consequences du non-paiement de la provision pour frais de
l’arbitrage par une partie—Un tribunal arbitral peut-il condamner un défendeur au paiement
de sa part de l’avance de frais?, ASA BULLETIN (2001).
52 The panel and court may both have jurisdiction on these issues. The court may sometimes give
orders ex parte, which seems not to be possible in arbitration unless expressly so authorized by
the applicable rules.
53 There may be partly overlapping jurisdiction in the arbitral panel and in state courts. Arbitration
agreements should primarily be enforced by way of specific performance as opposed to dam-
ages, as damages as a remedy seem in most cases inappropriate and against the intention and
will of the parties.
54 E.g., Finnish Arbitration Act § 6 provides for the right of cancellation if the other party fails to
appoint an arbitrator or pay a security.
(i) An action (for specific performance) to enforce the agreement or a duty thereun-
der in the arbitration itself. This could in some cases be a decision, as an interim
or protective measure, a partial award or procedural order by the arbitral panel;
(ii) An action (for specific performance) to enforce the arbitration agreement or any
duty thereunder in an action filed in a state court having jurisdiction. This would
in most cases be some kind of a protective or interim measure;
(iii) The breach may constitute a waiver releasing the other party from the arbitration
agreement and entitling the non-breaching party to cancel or terminate the arbi-
tration agreement altogether and possibly also to claim damages for the breach.
If the breach of the other party relates to the agreements reached between the parties
during the arbitration proceedings, an action to enforce that agreement may not be
heard by a court during the proceedings at all, as such an action could infringe on the
autonomy of the arbitral proceedings and the power and authority of the panel to
manage them. However, after the proceedings, such a bar would no longer exist, leav-
ing the party the right to attempt to set an unfavorable award aside before courts of law.
As a general principle, intervention by the courts in the arbitral proceedings during
the proceedings should be limited to the very minimum even when it is indirectly in
support of the proceedings.
The arbitration agreement may be a simple clause or an extensive set of rules. In many
cases, it refers to one or several sets of rules of arbitration or to statutes, which all by
reference form “the arbitration agreement” as opposed to the simple “arbitration
clause”. The arbitration agreement thus defines both the process of settling the differ-
ence and the substantive scope of the mandate. Disregard or violation of this procedural
agreement may lead to the decision or award being set aside under the Convention or
applicable laws.55
(i) The “original” agreement and other agreements on procedure concluded by the
parties prior to the initiation of the proceedings.
(ii) Agreements concluded by the parties during the proceedings.
(iii) Agreements concluded between the parties and the panel during the proceedings.
Another category is the orders given by the panel in the absence of agreement by the
parties (i.e., in the absence of an agreement on an issue that the panel has the mandate
to set the rule, and in a sense “to conclude the agreement for the parties”). Even before
the panel has been constituted, issues exist that are beyond the powers of the parties to
agree on in general (e.g., ordre public) or special issues that are so intimately related
to the proceedings and the person of the arbitrator that the parties cannot agree on them
without the agreement of the arbitrator (e.g., the parties cannot agree that the arbitrator
must conduct an inspection of construction works in a war zone). Accordingly, to form
a binding agreement on procedure, some matters must be consented to by the arbitra-
tors. Certain issues (e.g., relating to the conduct or management of the proceedings
including the element of intelligence, division of burden of proof and establishing of
relevant facts, burden of education, consideration, deliberations, what is to be deemed
agreement on matters concerning the provisions of the law that do not relate to the public
policy, such agreement);
(vii) the claims in the arbitral proceedings relate to a dispute that cannot constitute the
subject of an arbitration agreement under the laws of Japan; or
(viii) the content of the arbitral award is in conflict with the public policy or good morals of
Japan.
56 Lord Mustill disagrees to some extent in his in-depth analysis of an arbitration agreement.
Michael J. Mustill, Is It a Bird, LIBER AMICORUM CLAUDE REYMOND 205–18 (2004).
57 Arbitration Act of England 1996 § 33 (see Appendices, p. 269).
62 Sheppard reports:
The courts in a number of countries have rejected the argument that an incorrect interpreta-
tion of substantive law by the tribunal is a sufficient reason to refuse enforcement, for
example: Switzerland, France, England, Germany and the Philippines.
Audley Sheppard, Interim ILA Report on Public Policy as a Bar to Enforcement of International
Arbitral Awards, 19 LCIA ARB. INT’L 240 (2003).
Compare with Chinise law as reported by Tang Houzhi and Wang Shengchang in INTERNATIONAL
HANDBOOK ON COMMERCIAL ARBITRATION 35 (Supp. 11, Jan. 1990):
The circumstances (grounds) for refusing enforcement of [u]domestic[/u] arbitration awards
set forth in the second paragraph of Art. 217 of the Law on Civil Procedure (reproduced here
as an Annex to the new Arbitration Law (see Annex II)) are as follows:
(1) the parties have neither included an arbitration clause in their contract nor subse-
quently concluded a written arbitration agreement;
(2) the matters decided in the award exceed the scope of the arbitration or are beyond the
arbitral authority of the arbitral institution;
(3) the formation of the arbitral tribunal or the arbitration procedure was not in conformity
with statutory procedure;
(4) the main evidence for ascertaining the facts was insufficient;
(5) application of law was truly incorrect; or
(6) in arbitration, arbitrators committed embezzlement, accepted bribes, practiced graft or
made an award that perverted the law. Apparently grounds (4) and (5) directly relate to the
merits of the award. The People’s Court may rule ex officio to deny enforcement of a
domestic arbitration award if it finds that enforcement of the award will be contrary to the
public social interest. (emphasis added).
Currently, Art 217 is Art 217 of the Civil Procedure Law of the People’s Republic of China, as
reported in JAN PAULSSON (ED), INTERNATIONAL HANDBOOK ON COMMERCIAL ARBITRATION, (Kluwer
Law International 1984) pp. 1 – 5.
Sometimes the parties file a generic prayer for relief along the following lines:
. . . or any other such remedy or relief deemed just and equitable by the arbitrators.
. . .69
What is this? It is not on its face specific enough to constitute a claim to be rejected
or endorsed. The panel may request the claimant to be more specific. If this is done, the
problem ceases to exist, but this is not always possible. The intention of the claimant
is often to allow the panel to administer the relief and remedies not ex aequo et bono,
but otherwise freely in line with the jura novit curia principle within their discretion
and within the scope of the agreement.70 If both parties give such a mandate, there
would not be any controversy, but as long as it is only unilateral, it does not constitute
a part of the arbitration agreement. It is only a power or authority given unilaterally.
The giving of such a carte blanche mandate is not per se unlawful. Should the respon-
dent be heard specifically on such a prayer of his adversary? If he objects to such free
administration of relief, the power cannot be exercised as such. If he accepts, there is
no problem: the mandate has been given by both parties, thus constituting an agree-
ment. If the respondent does not object or protest, this may also constitute a waiver and
an agreement or estoppel is formed.
If the panel reaches a conclusion that the relief prayed for is not available, but a cor-
responding relief that has not been specifically prayed for would and could be granted
in addition to other relief prayed for on in lieu of such other relief, the arbitral tribunal
may hesitate to take any action and decide not to grant such alternative relief as it could
be ultra petita. This might result in the rejection of the claims and perhaps in a new
arbitration where the issue of res judicata could be raised. On the other hand, to raise
this issue of appropriate remedy may be fully in line with the jura novit arbiter rule, in
69 Franz Kellerhals, in his paper “How to Draft Your Prayers for Relief in International Arbitration”
delivered at the ASA Conference of Sept. 3, 2004 in, Berne, Switzerland, raised the following
issue about prayers:
Can they contain conditions? Example No. 4 Antitrust Dispute (Pharmaceutical products):
Claimant requests an award that (1) Respondent shall be ordered to refrain from publishing
any information which explicitly or implicitly alleges that a comparative study shows differ-
ences in efficiency between “Colgate” and “Binaca,” unless this allegation is supported by a
scientifically acknowledged research study. (2) . . . Consequences of awards drafted in insuf-
ficient specific terms as a result of insufficiently clear prayers.
Example No. 5 Contract Dispute:
The Claimant requests an award (1) . . . (2) granting it any remedy or relief that the arbitrators
deem just and equitable and within the scope of the agreement of the parties, including, but
not limited to, specific performance of the contract dated May 1,. . . .
70 Another alternative is to draft the relief sought in order of priority (i.e., primarily, then second-
arily if the primary relief is not granted, etc.). However, this may become clumsy and tedious
if the facts are unclear in the light of evidence and there are many theories or grounds
available.
An arbitration agreement has two important jurisdictional effects. First, it has a posi-
tive jurisdictional effect, which means that the tribunal specified in the agreement has
jurisdiction to resolve the dispute between the parties. Second, it has a negative juris-
dictional effect, which means that State courts do not have jurisdiction. Because of
these effects, it is extremely important for the protection of both substantive and pro-
cedural rights of the parties that the selection of the cases for arbitration is fair and in
accordance with the parties’ intention, and to a certain extent, even their interest.
The nature of the arbitration agreement as a sui generis contract influenced by both
contract and procedural law has often been discussed. It is not important to place arbi-
tration agreements in specific branch of jurisprudence. Rather, it is important to try and
merge the doctrines so that the result is fair, foreseeable, and efficient.
There have been attempts to construct interpretative principles especially concern-
ing the scope of arbitration agreements such as those regarding whether the scope of
the agreement should be read narrowly or widely and the principle of exclusivity.
These arbitration-specific principles are not normative principles such as due process
or the many principles of contract and procedural law. Rather they are descriptive
generalizations of what the result of interpretation with support of normative principles
could be like. This means that an interpretation cannot be justified by them alone,
although they can be used as support in an argument for an interpretation.
In most of the cases, the access to justice argument is prima facie the most important
one for interpretation concerning dispute resolution mechanisms. However, in contrast
to the general belief, the access to justice argument does not necessarily work for
restricting arbitration, as the reverse may be true. Arbitration might in fact be the most
First, the persons acting in the process must have a legitimate interest to act as a party
in the procedure. This means they have to have a legal relationship (or better, an inter-
est) according to the rules of substantive law to act in the procedure. Also, a party
needs to be in the sphere of the arbitration agreement to be able to act in the case. For
example, company A cannot initiate proceedings on grounds of an arbitration agree-
ment between companies B and C.1 Another dimension is that the arbitral award may
have effects inter partes only and not erga omnes. From the practical point of view,
1 There are of course exceptions based on definitions of corporate identity, etc. But basically in
those cases also, there needs to be something to bind the company to the agreement.
81
this means the parties to the proceeding must be identified before a jurisdictional
decision is made.
Second, parties acting in the procedure cannot be under some incapacity. Article V(1)(a)
of the Convention provides that recognition and enforcement of the award may be
refused if the parties were, under the law applicable to them, under some incapacity.
As already noticed above, the problem is extremely rare in the context of international
commercial arbitration, at least as to the incapacity of a natural person. The problem
may, however, rise in connection with entrepreneurs or traders dealing in their personal
capacity and not behind a corporate veil. It may also rise in connection with the repre-
sentation of legal persons (i.e., various forms of corporations) if their directors and
officers are affected by some kind of incapacity. Even more often, there might be dis-
cussion whether the officers of a legal entity have acted in their power and authority.
In addition, all the parties need to be included in the proceedings. Before going for-
ward in arbitration or taking any measures of procedural or substantive significance,
all the parties to the arbitration agreement must be given notice of the initiation of the
proceedings and the requests or claims filed and be given a reasonable opportunity to
take whatever action is deemed founded at this stage in accordance with the audi
alteram partem principle unless the arbitration agreement provides otherwise.2 This
applies in particular to multi-party arbitration clauses. In multi-party arbitration, it may
be difficult or impossible to know at the initial stages whether the conflict concerns all
or just some of the parties to the agreement; therefore, it is absolutely necessary to put
all on notice and give them a reasonable opportunity to present their views, defenses
or claims.3
A party’s response may vary, as a party may:
(i) signal total indifference (“this does not concern us and we do not wish to be
involved at all”);
(ii) note that the matter is of some importance and the party requests to be kept on
notice to a certain extent (which needs to be defined), but does not want to par-
ticipate, be present, or file claims;
(iii) reserve the right to be present and be actively involved although not formally as
a party either as a claimant or as a defendant;
(iv) assume total disregard or passivity whether or not the party has direct or indirect
interests or whether or not claims against him have been made.
There may certainly be other variations in the intensity and activity or passivity of a
party to a multi-party arbitration agreement and the proceedings initiated thereunder
even if the party is not a party to the material dispute. A party may have a direct or
2 See James R. Sentner, Jr., Who is Bound by Arbitration Agreements? Enforcement by and
against Non-Signatories, 6 BUS. L. INT’L (Jan. 2005); Swiss Rules of International Arbitration
(2006) Art. 8(3)–(5) (see Appendices, pp. 461–62).
3 Bernard Hanotiau, A New Development in Complex Multiparty-Multicontract Proceedings:
Classwide Arbitration, 20 ARB. INT’L 39 (2004).
4.3 ARBITRABILITY
An arbitration agreement subjects the parties to the jurisdiction of the arbitral panel (i.e.,
in personam jurisdiction). However, for the arbitral panel to also have subject matter (in
rem) jurisdiction, the matter must be arbitrable (i.e., the issue be finally resolved in
arbitral proceedings). Arbitrability is thus a condition precedent to jurisdiction.
A general qualification of arbitration is that the matter in controversy must be legal.
It must relate to enforceable rights and obligations, which in general means in concreto
actions aimed at causing a specific change in material reality or at preventing such a
change (e.g., by having something declared and clarified). Most of the changes prayed
for including those for the preserving the status quo may be measured in money
(damages), but not all of them.
Arbitrability is often defined as causes of actions within the freedom of contract
(i.e., matters that the parties could settle or agree on). Is this simple or just simplistic?
Consider that matters not within the freedom of contract are not easy to define. Most
of them may be characterized as ordre public or public policy.5 However, as discussed
above, ordre public and public policy are by no means clear guidelines and may
reach various national and international dimensions (i.e., the public policy of a par-
ticular jurisdiction).6 Arbitrability of a subject matter has been expanded to areas that
ARBITRABILITY 83
undoubtedly belong to ordre public or public policy. The two perhaps paramount
cases, Mitsubishi and Scherk clearly demonstrate this.7 Mitsubishi dealt with antitrust
law and Scherk with securities issues, both of which are the main pillars and/or the
foundation of the economic order and market economy. However, arbitrability is
restrained or controlled by two major factors:
(i) the direct effect and enforceability of an award is limited to the parties (“inter
partes effect”) and the award does not bind third parties or authorities who are at
liberty to take whatever action they deem appropriate;8 and
(ii) the award, if incompatible with public policy, may be revisited or scrutinized by
courts in connection with enforcement proceedings, which may result in the award
being set aside or perhaps already initially declared void.9
stage of recognition of the arbitration agreement (at the outset of a court proceeding, when one
of the parties raises an objection to the court’s jurisdiction). The convention’s silence on this
issue has created legal uncertainty. Some commentators defend the view that a coherent inter-
pretation requires that the arbitrability of a dispute be assessed by reference to the lex fori,
whatever the stage at which it takes place. Others consider that such assessment must be done
by referring to the law chosen by the parties to govern their arbitration agreement (i.e., the lex
arbitri or, more generally, lex contractus, as the parties seldom submit their arbitration agree-
ment to a law which differs from the substantive law chosen to govern their main agreement).
and
Supreme Court Decision: In its decision issued on October 15 2004 the Supreme Court allowed
the appeal. It ruled that: “Article II.3 of the New York Convention allows the court to which the
issue of arbitrability of the dispute is submitted, on the occasion of an objection to jurisdiction,
to decide this issue by reference to its own legal system. By doing so, the court determines the
limits within which, in certain matters, private jurisdiction is compatible with the legal order.”
The court further stated, in passing, that: “when the arbitration clause is submitted, by the
choice of the parties, to a foreign law, the state court of which the jurisdiction is objected may
rule out arbitrability if the public policy of its own legal system is affected by this choice.”
7 Mitsubishi Motors Corp. v. Soler Chrysler-Plymouth Inc., 473 U.S. 614, 87 L.Ed. 2d 444
(1985); Scherk v. Alberto-Culver Co., 417 U.S. 506, 41 L.Ed. 2d 270.
8 Helsinki Court of Appeals 22.8.2003 2419 (S 01/1007).
9 In Scherk, supra note 7, the majority opined:
A parochial refusal by the courts of one country to enforce an international arbitration agree-
ment would not only frustrate these purposes, but would invite unseemly and mutually
destructive jockeying by the parties to secure tactical litigation advantages. In the present
case, for example, it is not inconceivable that if Scherk had anticipated that Alberto-Culver
would be able in this country to enjoin resort to arbitration he might have sought an order in
France or some other country enjoining Alberto-Culver from proceeding with its litigation in
the United States. Whatever recognition the courts of this country might ultimately have
granted to the order of the foreign court, the dicey atmosphere of such a legal no-man’s-land
would surely damage the fabric of international commerce and trade, and imperil the willing-
ness and ability of businessmen to enter into international commercial agreements.
and the minority as follows:
Moreover, the securities market these days is not made up of a host of small people scram-
bling to get in and out of stocks or other securities. The markets are overshadowed by huge
institutional traders. The so-called “off shore funds” of which Scherk is a member, present
perplexing problems under both the 1933 and 1934 Acts. The tendency of American inves-
tors to invest indirectly as through mutual funds may change the character of the regulation
but not its need. . . . Moreover, the international aura which the Court gives this case is
ominous. We now have many multinational corporations in vast operations around the
world—Europe, Latin America, the Middle East, and Asia. The investments of many
American investors turn on dealings by these companies. Up to this day, it has been assumed
by reason of Wilko that they were all protected by our various federal securities Acts. If these
guarantees are to be removed, it should take a legislative enactment. I would enforce our laws
as they stand, unless Congress makes an exception. The virtue of certainty in international
agreements may be important, but Congress has dictated that when there are sufficient
contacts for our securities laws to apply, the policies expressed in those laws take precedence.
Section 29 of the 1934 Act, which renders arbitration clauses void and inoperative, recog-
nizes no exception for fraudulent dealings which incidentally have some international fac-
tors. The Convention makes provisions for such national public policy in Art. II (3). Federal
jurisdiction under the 1934 Act will attach only to some international transactions, but when
it does, the protections afforded investors such as Alberto-Culver can only be fullfledged.
10 It may also be a ground for setting aside as provided by Italy Act, supra note 5, Art. 829(8):
[I]f the award is contrary to a previous award which is no longer subject to recourse or to a
previous judgement having the force of res judicata between the parties, provided that this
objection has been raised in the arbitration proceedings.
Code of Civil Procedure, Book Four, Title VIII, Arbitration, Amended by Legislative Decree
of 2 February 2006, No. 40 as reported in JAN PAULSSON (ED), INTERNATIONAL HANDBOOK ON
COMMERCIAL ARBITRATION, (Kluwer Law International 1984 Last updated: April 2007
Supplement No. 49)
11 BLACK’S LAW DICTIONARY (Bryan A. Gardner ed., 9th ed., 2009). Black’s definition presupposes
that there is a duty to raise a claim. But is there a duty to raise all potential claims in connection
with a specific claim? Not necessarily, so although there may be a gray area that is subject to
interpretation and the applicable procedural laws and material rules, this is by no means clear
at least as far as international arbitration is concerned. See, e.g., Argentina Law Art. 754:
1. Arbitrators shall decide all issues submitted to their decision within the term established in
the terms of reference or derived from any eventual extensions agreed upon by the parties.
2. It shall be presumed that all questions ancillary to the submitted issues and those, the reso-
lution of which before arbitrators has been consented to by the parties, have been submitted
to the decision of the arbitral tribunal.
(Argentinian National Code of Civil and Commercial Procedure Law 17.454 of September 19
1967, as reformed by Law 22.434 of March 16 1981, text consolidated according to Decree
1.042 of 1981, as reported in Jan Paulsson (ed), International Handbook on Commercial
Arbitration, (Kluwer Law International 1984 Last updated: January 1985 Supplement No. 3)
pp. 3–7.) See Christer Söderlund, Lis Pendens, Res Judicata and the Issue of Parallel Judicial
Proceedings, in The Swedish Arbitration Act, 1999, Five Years On: A Critical Review of
Strength and Weaknesses, Session IV: The Proceedings, 22 J. INT’L ARB. (Aug. 2005).
RES JUDICATA 85
Res judicata is one of the classical problems of procedural law theory that has
engaged the thoughts of procedural law scholars for ages; it has been discussed also in
the arbitration context.12 Res judicata presupposes that there has been a former action
that has already been heard and adjudicated by a court that had in rem and in personam
jurisdiction:
The easiest of these criteria is perhaps the first one, namely that the dispute has been
adjudicated between the same parties. In most cases, the identity of a person can be
verified as it does not change and is not subject to interpretation.14 As to natural per-
sons, this is very much true and, as far as legal persons are concerned, although subject
to change (via bankruptcy, merger, etc.), the legal identity is usually not affected and
remains verifiable without a major risk of confusion.15
12 About this discussion, see Filip De Ly & Audley Sheppard, ILA Interim Report on Res Judicata
and Arbitration, 25 ARB. INT’L 35–66 (2009). At the International Law Association’s 72nd
Biennial Conference in Toronto in 2006, the ILA International Commercial Arbitration
Committee reported on “Lis Pendens and Arbitration” and “Res Judicata and Arbitration,” and
the Conference adopted a number of recommendations on these topics. The committee sought
to give guidance to arbitrators faced with a prior judgment or award that is argued to be res
judicata: “Arbitral tribunals are not necessarily required to apply the same procedural rules as
domestic courts and have greater freedom to apply procedural rules that are appropriate for
international arbitration. For international arbitration, where arbitrations are often conducted
under institutional international rules and increasingly uniform laws, a global harmonised
approach to res judicata would be commendable and the final report will have to elaborate on
any such approach.” Id. at 38).
13 Mayer writes:
4. Lorsque la demande dont est saisi l’arbitre a déjà été jugée par le tribunal d’un pays
étranger au siège, l’arbitre qui s’estime compétent, et qui constate que le tribunal étatique a
statué au mépris de la convention d’arbitrage, doit accepter de connaître de la demande.
5. Lorsqu’un autre arbitre a déjà jugée la demande soumise à l’arbitre, celui-ci n’a pas le
pouvoir d’en connaître, sauf accord de toutes les parties.
6. Lorsqu’une partie invoque la chose déjà jugée par un autre tribunal (étatique ou arbitral)
entre les mêmes parties, mais sur une demande différente, l’arbitre ne peut méconnaître la partie
de la décision (jugement ou sentence) qui règle le sort de cette autre demande, sauf accord de
toutes les parties. En revanche, il conserve sa liberté d’appréciation à l’égard des points de fait
ou de droit que le premier tribunal a tranchés dans le cadre de son raisonnement.
Pierre Mayer, Litispendance, connexité et chose jugée dans l’arbitrage international, in LIBER
AMICORUM CLAUDE REYMOND 202–03 (2004).
14 Mergers, demergers, reorganizations, combinations, etc. may cause a problem as to identity:
did the company survive or was it dissolved?
15 Piercing the corporate veil and alter ego doctrines may somewhat confuse the prima facie
clarity of the picture.
16 These requirements may impose high standards on the draftsmen of the statement of claims
and on the arbitral panel reviewing them.
RES JUDICATA 87
claim for relief).17 In the ILA Recommendations on Lis Pendens and Res Judicata, the
triple identity test is formulated as follows:
An arbitral award has conclusive and preclusive effects in further arbitral proceed-
ings if:
− it has become final and binding in the country of origin and there is no
impediment to recognition in the country of the place of the subsequent
arbitration;
− it has decided on or disposed of a claim for relief which is sought or is being
reargued in the further arbitration proceedings;
− it is based upon a cause of action which is invoked in the further arbitration
proceedings or which forms the basis for the subsequent arbitral proceed-
ings; and
− it has been rendered between the same parties.18
Further, according to the Recommendations:
An arbitral award has conclusive and preclusive effects in the further arbitral pro-
ceedings as to:
− determinations and relief contained in its dispositive part as well as in all
reasoning necessary thereto;
− issues of fact or law which have actually been arbitrated and determined by
it, provided any such determination was essential or fundamental to the
dispositive part of the arbitral award.19
In addition:
An arbitral award has preclusive effects in the further arbitral proceedings as to a
claim, cause of action or issue of fact or law, which could have been raised, but was
not, in the proceedings resulting in that award, provided that the raising of any such
new claim, cause of action or new issue of fact or law amounts to procedural unfair-
ness or abuse.20
Another due process-related question would be whether there ought to be excep-
tions to conclusive and preclusive effects of arbitral awards if the awards were pro-
cured by fraud or unfair procedures not respecting due process. The ILA Committee
considered these questions generally best to be left to the consideration of the national
17 The Committee supported the application of issue estoppel. It also gave guarded endorsement
to the application of an abuse of rights doctrine in limited circumstances. See Filip De Ly &
Audley Sheppard, The International Law Association (ILA) International Commercial
Arbitration Committee Reports on Lis Pendens and Res Judicata, Arbitration International, 25
ARB. INT’l 1–2 (2009).
18 Filip De Ly & Audley Sheppard, ILA Recommendations on Lis Pendens and Res Judicata and
Arbitration, Arbitration International, 25 ARB. INT’L 83–85, para. II/3 (2009).
19 Id. at para. II/4.
20 Id. at para II. See also Filip De Ly & Audley Sheppard, ILA Final Report on Res Judicata and
Arbitration, 25 ARB. INT’L 67–82 (2009).
A decision given by a court (as opposed to an award in arbitration) may have different
and probably considerably reduced international enforceability. The enforceability may
relate to one or a few jurisdictions only whereas arbitral awards may be enforced in a
large number of countries. Should this be taken into account when judging whether and
to what extent a former decision in the same matter constitutes res judicata—and as
such a condition precedent to the proceedings? It is also foreseeable that arbitration may
be resorted to so as to gain wider enforceability for a decision already given in a country
when court decisions of the country are not enforceable as such due to a lack of bilateral
or multilateral treaties. As the ultimate objective of the law is to give legal protection in
concreto and not just to declare in abstracto who was right, enforcement effects should
be taken into account. If the enforcement effects of an earlier court decision in the same
issue are more limited than those of an arbitral award, such an earlier decision does not
automatically constitute res judicata.22 However, the decision is relevant in the proceedings
21 De Ly & Sheppard, ILA Final Report, supra note 20, at 79: “The limited acceptance of proce-
dural unfairness or abuse regarding res judicata does not imply that the Committee endorses a
general theory of procedural unfairness or abuse in international commercial arbitration. The
broader ramifications of any such theory need further research including its characterization
(contractual and/or procedural) and its scope of application which exceeds the ambit of the res
judicata project.” Thus, “Finally, the Committee accepts that there ought to be exceptions to
conclusive and preclusive effects of arbitral awards, for instance if the award was procured by
fraud. Other exceptions may be left to the lex arbitri (e.g., revision of awards by means of
recourse such as the requête civile or tierce opposition under which in certain circumstances
discovery of new documents may provide a way to reopen a case or where a third party who is
affected by an award may be entitled to reopen a case) or the lex causae which provide the
background under which the parties have had their dispute arbitrated.”
22 For the effects between different parties in English Law, see Sarita Patil Woolhouse, The Effect
of an Arbitration Award on Subsequent Arbitration between Different Parties—An English
Law Perspective, 7 INT’L ARB. L. REV. 156 (Oct. 2004):
In an ideal world interdependent disputes like those in Lincoln v Sun Life would be decided by
a single tribunal in a consolidated arbitration. However, a tribunal has no power to consolidate
proceedings unless the parties agree on confer such a power. In most cases, the decision of an
arbitral tribunal would be binding only on the parties to the arbitration and those claiming
through them. The exceptions when an earlier award is held to be binding on a subsequent
arbitration tribunal appear to have been made in the following cases: (a) when the earlier
award, under a contractual machinery for dispute resolution, determined the rights and obliga-
tions of the parties to a contract A and B, so that the award can be treated as part of the contract
and thus proved in the same way as any contract can be proved; and (b) where the breach of a
charter-party and sub-charter is proved to be the same and the arbitrators have held the char-
terer under a charter-party liable to a sub-charterer in a particular amount the better view as a
matter of principle is to say that the cause of the liability so determined was the breach of the
charter-party. By analogy in cases involving re-sale of goods similar principle should apply.
RES JUDICATA 89
with its role and significance in the arbitral proceedings varying between the two
extremes in the discretion of the panel: (1) the proceedings may be fully reopened, or
(2) the proceedings may be very limited (essentially circling around the earlier proceed-
ings), with the award being based solely on the force of the earlier decision.
Lis pendens (i.e., pending litigation) or lis alibi pendens (litigation pending elsewhere)
may constitute a ground for dismissing an action or alternatively put it on hold pending
the outcome of the other action.23 Thus, the nonexistence of lis pendens may be a
condition precedent to the initiation of arbitral proceedings.
Originally lis pendens was a doctrine applied in courts in one legal system or juris-
diction only when an identical or at least similar lawsuit was pending elsewhere (i.e.,
in the courts of another jurisdiction or in an arbitration, whether its seat is in the
same or another jurisdiction). Does the lawsuit already pending create a ground for
dismissal? It would seem that if the case is pending in violation of the arbitration
agreement, which has not been effectively waived, the pending case could be disre-
garded altogether and the arbitration should proceed.24
As the problem is being approached from the perspective of arbitration, the effect of
lis pendens from the perspective of a court need not be analyzed, although it may provide
some guidance ex analogia. Before proceeding any further, we need to establish when
lis pendens may be relevant. This analysis is comparable to that regarding res judicata,
namely that there is a similar or identical action already pending. However, there is
a major difference in that res judicata deals with what was already (finally) decided.
What was decided relates to what was claimed or prayed for, and here lis pendens and
res judicata overlap.
The general rule is that a tribunal that otherwise is considered to have jurisdiction
can proceed with arbitration despite parallel proceedings pending before a national
To constitute relevant lis pendens, the former action must have been:
The first criterion is relatively clear. If there are other parties involved in the subse-
quent arbitral proceedings, no such lis pendens is constituted that would justify dis-
missal of the case altogether. In special circumstances, the proceedings may be
streamlined to take into account the pending case and its outcome. However, prudence
is required as there is no certainty the other litigation will ever be pursued to its end.
Yet the parallel proceedings may allow some measures that will reduce the risk of
double expenditures.
Here the phrase “the same ground” is more complex than as discussed in connection
with res judicata. However, again if possible the facts and the grounds for claims
should be distinguished. The phrase “the same relief” may be problematic, too. We
should note in particular that protective or interim measures can hardly ever constitute
a lis pendens that could lead to the dismissal of a claim. Such measures are not final
even when granted, and there are limitations as to their effects and international
enforceability. In addition, the arbitral panel may have its own authority and power to
adjudicate such issues in addition to the jurisdiction of various courts. A pending peti-
tion for “first aid” cannot bar one from proper medical care.
When analyzing the similarity, we may apply either a strict compliance doctrine or
a more flexible sufficient similarity test. When analyzing a pending lawsuit that is
subject to modifications and even withdrawal, strict compliance may well be a health-
ier approach as similarity may at any time erode or even be transformed into apparent
dissimilarity.
If all the criteria of similarity are there, the panel may apply another test, the
“enforcement effects” test.25 To do so, the panel first assumes the pending lawsuit
LIS PENDENS 91
“as it is” is pursued to its final end. It then examines how widely the decision will
be enforceable geographically and whether the geographic coverage coincides or
overlaps with the enforcement effects of any award that may be rendered in the arbitral
proceedings. If the enforcement effects are identical in coverage, the issue merits
further consideration. However, if they are not identical, and if the coverage overlaps
only to a limited extent, the panel may elaborate further by identifying the jurisdictions
that may be of relevance to the parties both in general and for enforcement purposes.
Do the enforcement effects overlap in the area of likely enforcement? If not, to
what extent would the enforcements effects of the decision and the award overlap
with the jurisdictions of likely enforcement? If major difference in coverage still exists,
the effect of the parallel proceedings to the consideration of the panel should be
limited.
As already noted above, lis pendens does not in general constitute a legal bar to
arbitration.26 This is true at least if the earlier lawsuit is pending in the courts of a
jurisdiction other than that of the seat of arbitration unless otherwise provided by
the applicable procedural rules (e.g., those of lex arbitri).27 This conclusion seems
applicant was a Panamian company, this did not receive any discussion. Anyway, the Court
rejected the argument that its approach of allowing a foreign court to delay and then bind a
Swiss arbitral tribunal would enable a foreign country to deliberately ignore an arbitration
agreement. Such a judgement, it pointed out, would not be enforceable in Switzerland. The
case it cites for this states that enforcement of a judgement would be refused if an arbitration
agreement applicable to the dispute complied with the New York Convention. The Court
finishes by commenting obiter that the question of whether the applicant waived his rights to
arbitrate has to be decided by Panamian law as the relevant lex fori. In doing so, it relied on
one of its previous decisions. That concluded that where a party was alleged to have waived
its right to arbitrate before a Swiss Cantonal court, that court was right to apply its own law
to determine whether such a waiver had occurred.
Adam Samuel, Fomento—A Tale of “Litispendance”, in ARBITRATION AND PRIVATE
INTERNATIONAL LAW 257 (2004).
26 See De Ly & Sheppard, supra note 18, at 82, para I/1: “An arbitral tribunal that considers itself
to be prima facie competent pursuant to the relevant arbitration agreement should, consistent
with the principle of competence-competence, proceed with the arbitration (‘Current
Arbitration’) and determine its own jurisdiction, regardless of any other proceedings pending
before a national court or another arbitral tribunal in which the parties and one or more of
the issues are the same or substantially the same as the ones before the arbitral tribunal in the
Current Arbitration (‘Parallel Proceedings’). Having determined that it has jurisdiction, the
arbitral tribunal should proceed with the arbitration, subject to any successful setting aside
application.”
27 Mayer, supra note 13, at 202 writes:
Sauf accord de toutes les parties, l’arbitre ne doit pas se dessaisir au profit du tribunal d’un
pays étranger au siège, saisi, même antérieurement, de la même demande, s’il s’estime com-
pétent et constate que le tribunal étatique a été saisi au mépris de la convention d’arbitrage.
L’arbitre saisi d’une demande déjà pendante devant un autre arbitre, et qui constate que ce
dernier a été régulièrement désigné et saisi, n’a pas le pouvoir de connaître de la demande,
sauf accord de toutes les parties. Sauf accord de toutes les parties, l’arbitre ne peut, sous
prétexte de connexité, se dessaisir au profit d’un tribunal étatique ou d’un autre arbitre d’une
demande qui entre dans sa compétence et dont il a été régulièrement saisi. Il peut toutefois,
à la requête d’une partie, surseoir à statuer jusqu’à ce que la juridiction saisie de la demande
connexe ait rendu sa décision, s’il estime pouvoir trouver dans celle-ci des éléments
d’information importants; il est libre d’apprécier l’opportunité d’un tel sursis, en tenant
compte, notamment, de l’état d’avancement respectif et de la durée probable des deux
instances.
28 See De Ly & Sheppard, supra note 18, at 83, para I/4: “Where the Parallel Proceedings are
pending before a court of a jurisdiction other than the jurisdiction of the place of the arbitration,
consistent with the principles of competence-competence, the tribunal should proceed with
the Current Arbitration and determine its own jurisdiction, unless the party initiating the
arbitration has effectively waived its rights under the arbitration agreement or save in other
exceptional circumstances.”
29 See id. at 83, para. I/3: “Where the Parallel Proceedings are pending before a court of the juris-
diction of the place of the arbitration, in deciding whether to proceed with the Current
Arbitration, the arbitral tribunal should be mindful of the law of that jurisdiction, particularly
having regard to the possibility of setting aside of the award in the event of conflict between
the award and the decision of the court.”
30 See id. at para. I/5.
LIS PENDENS 93
If the concurring former pending suit is pending in arbitration and not in a court,
enforcement effects are likely to be identical or at least to overlap to a great extent.
This would be a reason for the panel to consider what measures (if any) are necessary
or at least beneficial to reduce the double expenditure and the risk of awards with con-
flicting outcomes.31 The parties are the masters of the proceedings, but if they do not
agree, the issue remains within the procedural powers of the arbitrators. The primary
task of the arbitral panel is to settle the matter expeditiously and cost-effectively. It
would not be fully in line with the mission to stop the proceedings altogether or to slow
them down in anticipation of the outcome of the other pending case because of cost-
effectiveness only. There must be greater reasons for doing this if the parties do not
agree on such an adjournment.
The ILA Recommendations mention avoiding conflicting decisions and protecting
parties as much as possible from oppressive tactics as elements to be considered along-
side the costs.32 However, there is always the risk that the other proceeding is with-
drawn or faces other problems that slow it down dramatically, which in turn would
slow down the whole dispute resolution process. As a general rule, the panel should
take a critical approach to staying the proceedings or declining jurisdiction on the basis
of other proceedings if the parties do not agree on a more constructive approach.
The ILA Recommendations conclude that the arbitral tribunal may, as a matter of
sound case management, temporarily stay the proceedings on request of a party until
the outcome (or partial or interim outcome) of the other pending proceeding (whether
court, arbitration, supranational, or any active dispute settlement process). This may be
done provided the arbitral tribunal is not precluded from doing so under the applicable
law, the outcome of the other pending proceedings or settlement process is material
to the outcome of the instant proceeding, and there will be no material prejudice to
the party opposing the stay.33 If the enforcement effects test shows identical or wide
31 This was the outcome in two parallel R.S.Lauder arbitrations in Stockholm and London
described by Söderlund, supra note 11, at 357
In the realm of parallel proceedings there is certainly reason to mention the recent Czech
Republic investment arbitrations which for obvious reasons have aroused a great deal of
attention. A Dutch company, “CME,” invested in operating a TV license in Czech Republic
which (according to the company) was lost as a consequence of government interference.
CME initiated arbitral proceedings in Stockholm making use of the arbitration option incor-
porated in the Dutch/Czech Bilateral Investment Treaty requesting substantial damages. Prior
thereto an arbitration had been initiated in London by a private individual who ultimately
controlled CME. Being a US national he was allowed to do this under the US/Czech Bilateral
Investment Treaty. That arbitration took place in London. The factual succession of expro-
priatory actions complained of in the London arbitration were the one that also constituted
the basis for the action in Stockholm. Notably the two tribunals reached opposite results. The
London tribunal did not find any liability on the part of the Czech Republic and dismissed
the US national’s claim for damages. The Stockholm tribunal, however, held that the
Czech Republic was in fact liable to CME and awarded damages in an amount of USD
269,814 million plus interest.
See also Bianca Bezdek, 20 ASA BULLETIN 249 (2002).
32 See De Ly & Sheppard, supra note 18, at 83, para. I/2.
33 See id. at para. I/6.
Forum non conveniens refers to a court which has in personam and in rem jurisdiction
regarding the dispute, but which whether due to reasons of geographic distance, lan-
guage, or applicable law is not a convenient or the most suitable forum for hearing the
case.36 The doctrine refers to the convenience of the parties, but in practice the conve-
nience of the court system and its personnel is sometimes taken into account. There
are a few places where courts tend to be overloaded with cases not just of their own
citizens but of foreigners. As flattering as it may be to the courts and countries in ques-
tion, it may be overly burdensome to these people. Such exceptional circumstances
may lead to adding either explicitly or implicitly the convenience of the court to the
real motivation for dismissal on the grounds of inconvenience.
Black’s defines forum non conveniens as follows:
The doctrine that an appropriate forum—even though competent under law—may
divest itself of jurisdiction if, for the convenience of the litigants and witnesses, it
In arbitration, a party may make a motion to dismiss the case on the ground of forum non
conveniens. Such a motion could be deemed to be a breach of the arbitration agreement
infringing the sacred pacta sunt servanda. A motion in itself does not, however, neces-
sarily amount to a real breach, but is aimed at seeking permission from or declaration by
the panel that in this particular case and in these particular circumstances the proceed-
ings must be dismissed or put on hold pending another suit (whether already filed or to
be filed). Could such a motion be granted by the tribunal? On its face, this seems impos-
sible as arbitration is based on agreement (i.e., consent and express purpose), and often
provides for exclusivity—accordingly, there is no convenient alternative. However,
there is still a remote possibility such a request could be granted if forum non conveniens
is classified as a procedural principle applicable to the arbitration in question or an
implied condition of the arbitration agreement incorporating a procedural framework by
reference. This possibility could also be realized through lex arbitri containing the prin-
ciple of forum non conveniens and vesting the panel with such authority.
What special or extreme circumstances would justify such a radical decision? The
proceedings may simply be too heavy and too costly (e.g., involving several arbitrators,
long distances, etc.) creating an unreasonable burden and true inconvenience as such.39
If the arbitral proceedings are used abusively (e.g., to cause the other party to “bleed to
death” in legal fees and costs, to force production of sensitive documents for no appar-
ent good reason or for unrelated purposes, or simply to harass and tie up management
resources of a small competitor), could this constitute such special circumstances?
4.7.1 Security for Fees and Costs of the Arbitral Tribunal and
Institution
A requirement of paying fees or an advance as a security for fees and costs may be a
condition precedent to arbitration proceedings.42 The ICC Rules provide for such in the
form of a provisional advance covering the period until the Terms of Reference have
been drawn up.43 National laws contain provisions to the same effect as the ICC Rules.
40 Matthias Scherer, The Place of “Seat” of Arbitration (Possibility, and/or Sometimes Necessity
of its Transfer?)—Some Remarks on the Award in ICC Arbitration No. 10’623, 21 ASA
BULLETIN (Mar. 2003).
41 William W. Park, Arbitration in Banking and Finance, 17 ANN. REV. BANKING L. 213 (1998).
42 A registration fee may be the first condition precedent. See ICC Rules Art. 4(4). Arbitration
Act 1996 of England § 38(3) (see Appendices, p. 271).
43 ICC Rules Art. 30(1) and (2) (see Appendices, p. 415).
The institutional rules often do not cover the duty to deposit a security for the attor-
neys’ fees and costs of the parties.46 There are many reasons for this. However, ICC
Rules do provide:
The costs of the arbitration shall include . . . the reasonable legal and other costs
incurred by the parties for the arbitration.47
44 ICC Rules Art. 30(4): “. . . Such party shall not be prevented, on the ground of such withdrawal,
from reintroducing the same claims or counterclaims at a later date in another proceeding.”
45 Swiss Rules Art. 41 (see Appendices, p. 474).
46 As to Swiss law, see Bernard Berger, Prozesskostensicherheit (cautio iudicatum solvi) im
Schiedsverfahren, 22 ASA BULLETIN (2004). See, however, London Court of International
Arbitration: Rules, Clauses & Costs (LCIA Rules) Art. 25.2 (see Appendices, pp. 442–43).
47 ICC Rules Art. 31(1). Derains and Schwartz write:
Under Article 31(1), the arbitrators have complete discretion to allocate the costs as they see
fit. Unlike some other arbitration rules (such as, for example, the UNCITRAL Rules, Article
40, or those of the Arbitration Institute of the Stockholm Chamber of Commerce, Article 29),
the Rules do not provide for the bearing of the costs “in principle” by the unsuccessful party.
Nor is the arbitrators’ discretion necessarily limited by any related legal requirements. Not
surprisingly, however, the treatment of costs by arbitrators is often influenced by their national
backgrounds. In this regard, there are three different approaches that appear to be most com-
monly followed. One is to order that all of the costs be borne by one of the parties (i.e., the
A duty to give a security for loss or damage potentially caused via a legal action or the
enforcement of a decision or award is exceptional but not unknown in arbitration
practice. To require such a deposit, there should be an express authorization in the
applicable rules. In the absence of such express rules, the authority of the panel to
order such a measure may be challenged, but such a power cannot be categorically
excluded. On the contrary, it may be a part of the mission (i.e., giving legal protection).
However, like all demands for securities, it might hinder access to arbitration and thus
make it more difficult to enforce substantive rights.
At least two situations may be identified in which grounds for a subsequent damage
claim might arise:
losing party). It is, thus, for example, the usual rule in England that the successful litigant is
entitled to an Award of costs (i.e., the costs follow the event). Another approach, prevalent in
Germany, Switzerland and Austria, in particular, is the allocation of the costs in proportion to
the outcome of the case (e.g., 75/25 or 60/40), taking into account the relative success of the
claims and defences. Yet a further possibility is to require that the costs be shared equally
by the parties or that they bear their own costs. Arbitral tribunals may also consider that
administrative costs and arbitrators’ fees and expenses, on the one hand, should be treated
differently from legal and other possible expenses, on the other.
YVES DERAINS & ERIC SCHWARTZ, A GUIDE TO THE NEW ICC RULES OF ARBITRATION 341–42
(1998).
48 ICC Rules Art. 31(2).
49 See GEORGIOS PETROCHILOS, PROCEDURAL LAW IN INTERNATIONAL ARBITRATION 126 (2004).
4.7.4 Security for the Claims or for the Enforcement of the Award
Security for the claims is not common in arbitration practice or law.51 In general, the
parties are under no duty to give a security for the enforcement of the arbitral award,52
but interim protection may be available before the award becomes final. In the enforce-
ment proceedings under the Convention, a party taking action against the enforcement
may be ordered to provide a suitable security.53 However, we have to draw a distinc-
tion between dispute resolution and enforcement procedures including interim
measures. Requiring a security for enforcement as a prerequisite of jurisdiction could
probably often lead to denying access to arbitration.
What conditions may the panel impose on the proceedings apart from those expressly
authorized by the applicable rules? The panel may require a security for the costs of
arbitration under institutional rules or applicable arbitration laws, but could the panel
require such a security in the absence of such an express authorization? Could the
panel on its own initiative or at the request of a party impose other such conditions not
expressly provided for in the applicable rules such as submission of documents, duty
to negotiate, or pre-arbitral discovery?
In principle, there is conceptual support in the procedural autonomy and powers of
the panel to take any such procedural actions or measures that serve the interests of the
50 ICC Rules Art. 23(1) (see Appendices, pp. 412–13). Swiss Rules Art. 26(2) (see Appendices,
p. 468).
51 LCIA Rules Art. 25.1 (see Appendices, pp. 442–43).
52 See, however, Arbitration Act 1996 of England § 11 (see Appendices, p. 259).
53 See Model Law Decisions: Europcar Italia S.p.A. v. Alba Tours International Inc., Ontario
Court Justice, General Division (Dilks, J.), 21 January 1997, Original in English, Unpublished:
[1997] O.J. No. 133; 23 O.T.C. 376; CLOUT. “The grounds permitting refusal of recognition
and enforcement of an award in Article 36 are permissive, not mandatory. An application to
enforce an award was suspended pending appeal in Italy, and the respondent was ordered to
provide security.”
The arbitration agreement or arbitration clause may contain contractual duties relating
to the settlement of the matter prior to arbitration or such duties may be imposed in the
terms and conditions of the underlying agreement. These duties may relate to negotiat-
ing prior to resorting to arbitration.
54 What is substantive and what is procedural is not always distinguishable: for example, is the
right or remedy to claim damages or specific performance substantive or procedural—or
perhaps both?
55 See Karl Mackie’s article, The Future for ADR Clauses after Cable & Wireless v. IBM, 19
LCIA ARB. INT’L., (2003). UNIDROIT establishes ADR as an effective measure to interrupt
the running of statute of limitation. UNIDROIT Art. 10.7:
The provisions of Articles 10.5 and 10.6 apply with appropriate modifications to other pro-
ceedings whereby the parties request a third person to assist them in their attempt to reach an
amicable settlement of their dispute.
56 See Laminate Acquisition Co. v. BTR Australia Ltd [2004] I AII E.R. 737. Louise Barrington,
ADR Clauses and a Duty to Negotiate in Good Faith, 9 IBA NEWSLETTER: ARB. & ADR 25–26
(Oct. 2004) wrote:
Reyes J referred to the continental concept of “good faith” in adjudicating commercial dis-
putes, and to the concern of English courts to ensure that fiduciaries do not act in bad faith
towards beneficiaries. In light of this experience he said, “. . . it is difficult to see why an
English or Hong Kong Court should have any real difficulty in assessing whether parties have
objectively acted in a spirit of cooperation and good faith.” Citing Queensland’s Judge Kirby,
Reyes J said there is no blanket rule against the enforcement of all agreements to agree.
Rather, the court needs to ask whether there are objective criteria against which reasonable
compliance with the agreement can be assessed. If there are such criteria, the agreement may
be enforced. In reaching this conclusion, the judge also considered the Judicial Working
Party Report’s Proposal No 674, recommending that judges be empowered to make adverse
costs orders in cases where mediation has been unreasonably refused, saying “It would be
odd and contrary to common sense expectation for the law to say that, if one side deliberately
flaunts the agreement by not participating in mediation at all, the bargain cannot be enforced
and the time and expense which both parties sought to minimise by agreeing to mediate
cannot be avoided. . . . It would be equally strange for the Court to say that in all cases an
agreement to mediate . . . is unenforceable, while the Court reserves to itself a power to
penalise a party in costs for failing to mediate. . . .”
57 Even if expressly barred, such a waiver could hardly be enforceable in abusive or other such
situations where duties are being deliberately violated or fraud is being committed. Arbitration
Act 1996 of England § 9(2) (see Appendices, p. 258).
4.10 SUMMARY
SUMMARY 105
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Chapter 5
The composition and construction of the arbitration panel is clearly of great importance
for the procedure as a whole, for legitimacy of the institution and each arbitral award,
for the fairness of the arbitral proceedings and for compliance with due process require-
ments. In classical procedural law, the independence and impartiality of the courts and
judges is one of the classical fair trial themes both in research and practice; no wonder
it is interesting and important in arbitration as well.
In State courts, the tribunals are permanent and independent from governmental
control. The judges are permanent officials who solve cases brought to them, and their
authority and jurisdiction is based on law. In contrast, in arbitration most of the tribu-
nals are not permanent. Tribunals are mostly constituted case by case, and the author-
ity of the arbitrators and the jurisdiction of the tribunal are most of the time based on
the arbitration agreement between the parties. Also, court procedure is rather exactly
prescribed by law, but in arbitration the procedural details are often decided in the
contract—or even more likely left to the discretion of the arbitrators. In ordinary court
procedure, the parties can appeal, but arbitration leads to a final decision.
This short and self-evident comparison should highlight the importance of qualified,
independent, and impartial tribunals in arbitration. However, the question of indepen-
dency and impartiality is not only twice as important but also probably at least twice
as difficult in arbitration in comparison with court procedure. Even though it is dis-
cussed with the same terminology (and in many countries in similar norms), the con-
text makes the problems and solutions look different.
Impartiality is one of the key elements of the arbitration procedure. An impartial
decision maker is what separates arbitration from some of the other forms alternative
dispute resolution (ADR). Some ADR scholars might say that arbitration is not ADR,
but rather private court procedure. This is based on the difference between the pur-
poses in arbitration and traditional ADR such as mediation. In traditional ADR, the
content of the agreement (i.e., the solution) is not important, as the primary goal is to
107
resolve the conflict in a sociological sense between the parties. In court procedure and
in arbitration, the goal is to solve the legal dispute correctly on factual and legal bases
regardless of the social situation between the parties after the decision. For example, it
is actually questionable whether a mediator needs to be impartial as long as he gets the
conflict resolved. This is because the mediator does not have the power to end the
dispute as that remains with the parties. In arbitration, the arbitrator has all the power,
not only over the substantive result, but in many cases over the procedure as well.
Also, the idea in arbitration is that disagreeing parties let the third party resolve the
matter. This way the impartial decision maker in a way defines arbitration in the field
of dispute resolution mechanisms.
From a due process perspective, the position of the panel from its own point of view
is not that interesting. However, the rights and duties of the arbitrators naturally reflect
on the rights and duties of the parties. Accordingly, they might also connect with due
process requirements.
What constitutes the position of the arbitrator is a classic question in arbitration
jurisprudence. Is it a contractual relationship, or is the position of arbitrator strictly
based on law? Without getting too deeply into this problem (which is not a key issue
for the objective of this work), it is probably safe to say that the legal position of the
arbitrator is a mixture of both contract and law-based rights and obligations. An arbi-
trator cannot make enforceable decisions just on the basis of a contract, and thus the
law gets to also partly define the rights and obligations of arbitrators in relation to the
parties. However, no one has to arbitrate, and once one has committed to arbitrate, one
is at least to some extent bound to it.1
Do the rules applicable to challenging arbitrators form part of what constitutes “the
composition of the arbitral authority” under the Convention? In business practice,
2 Id. at 132.
3 ICC Rules of Arbitration in force as from January 1, 1998 (ICC Publication No 808), as
Amended January 1, 2008 (“ICC Rules”) 11(2) and (3) (see Appendices, p. 409).
4 See IBA Guidelines on Conflicts of Interest in International Arbitration (May 2004) (“IBA
Guidelines”) 4(a) (see Appendices, p. 375).
5 See id. 4(c).
6 See Model Law Decisions: Logy Enterprises Ltd. v. Haikou City Bonded Area Wansen
Products Trading Co., Court of Appeal (Liu, Bokhary, Nazareth JJ.A.) 22 May 1997, published
in English: 12(11) International Arbitration Report E-1 (Nov. 1997): CLOUT.
A party seeking to show danger of bias must show real danger. The argument that arbitrator’s
conclusion “could not readily be explained except by bias” may be rejected where the record
before the court cannot support an inference of bias.
7 See, e.g., David Sandy, Independence, Impartiality, Arbitration and the Human Rights Act in
England, 20 LCIA ARB. INT’L. (2004). Compare with amiable compositeurs in the Argentina
Act Art. 768:
1. Amiables compositeurs can be only challenged for reasons supervening their appointment.
2. They can be legally challenged only on any of the following grounds:
1) Direct or indirect interest in the dispute;
2) Consanguinity with any of the parties within the fourth degree on the parents’ side
or relationship with any of the parties within the second decree on the husband’s or
wife’s side;
3) Manifest enmity on account of specific circumstances with any of the parties.
3. In the incidental plea concerning challenge, the procedural rules provided for arbitrators
shall be observed.
(Argentinian National Code of Civil and Commercial Procedure Law 17.454 of September 19
1967, as reformed by Law 22.434 of March 16 1981, text consolidated according to Decree
1.042 of 1981, as reported in JAN PAULSSON (ED), INTERNATIONAL HANDBOOK ON COMMERCIAL
ARBITRATION, (Kluwer Law International 1984 Last updated: January 1985 Supplement No. 3)
pp. 3–7).
8 About Chinese law, see Tang Houzhi and Wang Shengchang in INTERNATIONAL HANDBOOK ON
COMMERCIAL ARBITRATION 22 (Supp. 11, Jan. 1990):
According to Art. 38 of the new Arbitration Law, an arbitrator shall assume legal liability, if
any of these circumstances exist:
1. the arbitrator has privately met with a party or agent or accepted an invitation to enter-
tainment or a gift from a party or agent and the circumstance is serious; or
2. while arbitrating the case, the arbitrator committed embezzlement, accepted bribes,
practiced graft or made an award that perverted the law.
Although China has laws and regulations on bribery, gift-taking, and corruption as well as
civil liability, the Arbitration Law, use of the term legal liability in Art. 38 implies that an
13 See also Luttrell at 20–24 about the difference between concepts of impartiality and indepen-
dency and the meaning of neutrality.
14 Peter Binder, Italian Arbitration Law, in INTERNATIONAL HANDBOOK ON COMMERCIAL ARBITRATION
83–84 (Supp. 17, Jan. 1994).
15 Another stranger in the arbitration terminology is neutrality, which is often used to refer to the
national neutrality of the panel, or to an arbitrator nominated by a party but still acting neutrally
and objectively (see M. Scott Donahey, The Independence and Neutrality of Arbitrators, 9 J.
INT’L. ARB. 31 (1992) and Douglas Earl McLaren, Party-Appointed vs. List-Appointed
Arbitrators: A Comparison, 20 J. INT’L ARB. 233 (2003)).
16 See David A. Lawson, Impartiality and Independence of International Arbitrators—
Commentary on the 2004 IBA Guidelines on Conflicts of Interest in International Arbitration,
23 ASA BULLETIN 22 (2005): “The differences in the existing statutes, rules and guidelines as
to the impartiality and independence of international arbitrators have often been more a ques-
tion of form than substance. The main exception to this is the ongoing dispute of whether to
apply a subjective or an objective standard for measuring impartiality and independence of
international arbitrators. Surprisingly, there has been little by way of academic discussion in
this area.”
17 As to applying the subjective and the objective test to arbitrators, see Otto L O De Witt Wijnen
et al., Background Information on the IBA Guidelines on Conflicts of Interest in International
Arbitration, 5 IBA BUS. L. INT’L 442(Sept. 2004).
In the national arbitration law of many countries, the standard of independence and
impartiality is the same as what is applied to judges in State courts.20 However, arbitral
proceedings lack some of the institutional guarantees natural to the courts. The tribu-
nals are in many cases appointed ad hoc and the arbitrators are not guaranteed a liveli-
hood as arbitrators. Furthermore, the arbitrators have acted in various positions in the
business and legal worlds and so are often much more closely connected to the outside
world than ordinary judges. From many perspectives, this is a great benefit, but from
the perspective of impartiality this causes potential problems.
One of the biggest single problems in applying similar standards of impartiality to
both the judges and arbitrators has to do with the way arbitrators are nominated.
Arbitrators are often nominated by the parties; for example, it is usual that both of the
parties nominate one arbitrator and the arbitrators together decide the chairman of the
tribunal. A question arises whether these party-appointed arbitrators can ever be impar-
tial according to the same criteria applied to ordinary judges. Most likely, the answer
is they can’t.21
It seems clear that at least in an objective test, an arbitrator might be seen to be
encouraged to promote the case of the nominating party. These nominations are very
After the more theoretical framework set forth above, the next questions involve what
kind of things could actually constitute bias, and what kind of facts could lead to an
arbitrator failing the objective test discussed above. So the criterion is objective: may
the circumstance in question affect the person’s impartiality? Whether the particular
circumstance has any concrete effect on the person’s work as part of the tribunal is
irrelevant for the objective test. Bias arises from many factors, including:
(i) economic dependence (employment, consultation, trading, joint interests);
(ii) emotional ties, which may be friendly (such as family ties, friendship) or unfriendly
(competitor, hostility, fear);
32 See Kennedy, supra note 25, at 781: “Permitting non-neutral arbitrators to engage in advocacy
and prejudge cases reduces the public’s confidence in the fairness of the system and ensures
that arbitration remains inferior to litigation. The continued relegation of arbitration to an infe-
rior status, exhibits the courts’ historical distaste for arbitration. The judiciary’s mistrust of
arbitration is manifested in its willingness to accept biased arbitrators’ involvement in the
process and its refusal to raise the standards of partiality and misconduct.”
Independence and impartiality are safeguarded by the arbitrator’s duty to disclose facts
or circumstances that may cast a doubt in these respects.34 If parties did not know about
potential bias, they would not be able to challenge the impartiality of an arbitrator, and
we could not rely on the waiver doctrine to solve problems related to bias. The duty to
disclose covers a wider range of things and is far more extensive that what constitutes
bias.35
UNCITRAL Model Law Article 12 provides:
(1) When a person is approached in connection with his possible appointment as an
arbitrator, he shall disclose any circumstances likely to give rise to justifiable doubts
as to his impartiality or independence. An arbitrator, from the time of his appoint-
ment and throughout the arbitral proceedings, shall without delay disclose any
such circumstances to the parties unless they have already been informed of them
by him.
(2) An arbitrator may be challenged only if circumstances exist that give rise to
justifiable doubts as to his impartiality or independence, or if he does not possess
qualifications agreed to by the parties. A party may challenge an arbitrator appointed
by him, or in whose appointment he has participated, only for reasons of which he
becomes aware after the appointment has been made.36
Article 3 of the IBA Guidelines defines the duty to disclose as follows:
(a) If facts or circumstances exist that may, in the eyes of the parties, give rise to
doubts as to the arbitrator’s impartiality or independence, the arbitrator shall
37 See also IBA Ethics Art. 4. At the same time this may constitute another problem, namely, that
of a duty of confidentiality and the extent to which it prevents disclosure.
Besides the duty to disclose, there is some soft law guidance as to what need not be
disclosed. The IBA categorizes situations based on a range from “green” (no need to
disclose as no conflict presented), to “orange” (potential conflict must be disclosed, but
waiver exists if parties do not timely object), to “red” (conflict must be disclosed and
may or may not be waivable).
This is the IBA Guidelines Green List:
4.1. PREVIOUSLY EXPRESSED LEGAL OPINIONS
4.1.1 The arbitrator has previously published a general opinion (such as in a law
review article or public lecture) concerning an issue which also arises in the arbitra-
tion (but this opinion is not focused on the case that is being arbitrated).
4.2.1 The arbitrator’s law firm has acted against one of the parties or an affiliate of
one of the parties in an unrelated matter without the involvement of the arbitrator.
4.3.1 A firm in association or in alliance with the arbitrator’s law firm, but which
does not share fees or other revenues with the arbitrator’s law firm, renders services
to one of the parties or an affiliate of one of the parties in an unrelated matter.
4.4.1 The arbitrator has a relationship with another arbitrator or with the counsel for
one of the parties through membership in the same professional association or
social organization.
4.4.2 The arbitrator and counsel for one of the parties or another arbitrator have
previously served together as arbitrators or as co-counsel.
4.5.1 The arbitrator has had an initial contact with the appointing party or an affili-
ate of the appointing party (or the respective counsels) prior to appointment, if this
contact is limited to the arbitrator’s availability and qualifications to serve or to the
names of possible candidates for a chairperson and did not address the merits
or procedural aspects of the dispute.
4.5.2 The arbitrator holds an insignificant amount of shares in one of the parties
or an affiliate of one of the parties, which is publicly listed.
4.5.3 The arbitrator and a manager, director or member of the supervisory board, or
any person having a similar controlling influence, in one of the parties or an affiliate
of one of the parties, have worked together as joint experts or in another profes-
sional capacity, including as arbitrators in the same case.38
In addition, the guidelines also provide some direction as to what needs to be dis-
closed and what is usually considered to be waived if not reacted to, what has to be
explicitly waived, and what cannot be waived at all. In the Orange List cases, the arbi-
trator is deemed to have been accepted if no timely objection is made. The Orange List
is as follows:
3.1. PREVIOUS SERVICES FOR ONE OF THE PARTIES OR
OTHER INVOLVEMENT IN THE CASE
3.1.1 The arbitrator has within the past three years served as counsel for one of the
parties or an affiliate of one of the parties or has previously advised or been con-
sulted by the party or an affiliate of the party making the appointment in an unre-
lated matter, but the arbitrator and the party or the affiliate of the party have no
ongoing relationship.
3.1.2 The arbitrator has within the past three years served as counsel against one of
the parties or an affiliate of one of the parties in an unrelated matter.
38 The user is instructed further as follows:A flow chart is attached to these Guidelines for easy
reference to the application of the Lists. However, it should be stressed that this is only a sche-
matic reflection of the very complex reality. Always, the specific circumstances of the case
prevail.
3.2.1 The arbitrator’s law firm is currently rendering services to one of the parties
or to an affiliate of one of the parties without creating a significant commercial
relationship and without the involvement of the arbitrator.
3.2.2 A law firm that shares revenues or fees with the arbitrator’s law firm renders
services to one of the parties or an affiliate of one of the parties before the arbitral
tribunal.
3.2.3 The arbitrator or his or her firm represents a party or an affiliate to the arbitra-
tion on a regular basis but is not involved in the current dispute.
3.3.1 The arbitrator and another arbitrator are lawyers in the same law firm.
3.3.2 The arbitrator and another arbitrator or the counsel for one of the parties are
members of the same barristers’ chambers.
3.3.3 The arbitrator was within the past three years a partner of, or otherwise
affiliated with, another arbitrator or any of the counsel in the same arbitration.
3.3.4 A lawyer in the arbitrator’s law firm is an arbitrator in another dispute
involving the same party or parties or an affiliate of one of the parties.
3.3.5 A close family member of the arbitrator is a partner or employee of the law
firm representing one of the parties, but is not assisting with the dispute.
3.3.6 A close personal friendship exists between an arbitrator and a counsel of one
party, as demonstrated by the fact that the arbitrator and the counsel regularly spend
considerable time together unrelated to professional work commitments or the
activities of professional associations or social organizations.
3.3.7 The arbitrator has within the past three years received more than three appoint-
ments by the same counsel or the same law firm.
3.4.1 The arbitrator’s law firm is currently acting adverse to one of the parties or an
affiliate of one of the parties.
3.4.2 The arbitrator had been associated within the past three years with a party or
an affiliate of one of the parties in a professional capacity, such as a former employee
or partner.
3.5.1 The arbitrator holds shares, either directly or indirectly, which by reason of
number or denomination constitute a material holding in one of the parties or an
affiliate of one of the parties that is publicly listed.
3.5.2 The arbitrator has publicly advocated a specific position regarding the case
that is being arbitrated, whether in a published paper or speech or otherwise.
3.5.3 The arbitrator holds one position in an arbitration institution with appointing
authority over the dispute.
3.5.4 The arbitrator is a manager, director or member of the supervisory board, or
has a similar controlling influence, in an affiliate of one of the parties, where the
affiliate is not directly involved in the matters in dispute in the arbitration.
The Red List is divided into waivable and nonwaivable bias. Nonwaivable conflicts
indicate absolute “hard” protection, and as such they are a reflection of due process.
This is the nonwaivable Red List of situations where the arbitrator cannot serve:
1.1. There is an identity between a party and the arbitrator, or the arbitrator is a legal
representative of an entity that is a party in the arbitration.
1.2. The arbitrator is a manager, director or member of the supervisory board, or
has a similar controlling influence in one of the parties.
1.3. The arbitrator has a significant financial interest in one of the parties or the
outcome of the case.
1.4. The arbitrator regularly advises the appointing party or an affiliate of the
appointing party, and the arbitrator or his or her firm derives a significant financial
income therefrom.
Whether a potential arbitrator in his subjective analysis considers himself to be
impartial and independent regardless of a Red List factor is irrelevant: this is a per se
rule such as price-fixing in antitrust laws, where it is always evil and there is no “rule
of reason.” The Red List continues with lesser “evils,” which may be waived by the
parties when fully disclosed. The waivable Red List is as follows:
2.1. RELATIONSHIP OF THE ARBITRATOR TO THE DISPUTE
2.1.1 The arbitrator has given legal advice or provided an expert opinion on the
dispute to a party or an affiliate of one of the parties.
2.1.2 The arbitrator has previous involvement in the case.
2.2.1 The arbitrator holds shares, either directly or indirectly, in one of the parties
or an affiliate of one of the parties that is privately held.
2.2.2 A close family member4 of the arbitrator has a significant financial interest in
the outcome of the dispute.
2.2.3 The arbitrator or a close family member of the arbitrator has a close relation-
ship with a third party who may be liable to recourse on the part of the unsuccessful
party in the dispute.
2.3.1 The arbitrator currently represents or advises one of the parties or an affiliate
of one of the parties.
2.3.2 The arbitrator currently represents the lawyer or law firm acting as counsel for
one of the parties.
2.3.3 The arbitrator is a lawyer in the same law firm as the counsel to one of the
parties.
2.3.4 The arbitrator is a manager, director or member of the supervisory board, or
has a similar controlling influence, in an affiliate5 of one of the parties if the affili-
ate is directly involved in the matters in dispute in the arbitration.
2.3.5 The arbitrator’s law firm had a previous but terminated involvement in the
case without the arbitrator being involved himself or herself.
2.3.6 The arbitrator’s law firm currently has a significant commercial relationship
with one of the parties or an affiliate of one of the parties.
2.3.7 The arbitrator regularly advises the appointing party or an affiliate of the
appointing party, but neither the arbitrator nor his or her firm derives a significant
financial income therefrom.
2.3.8 The arbitrator has a close family relationship with one of the parties or with a
manager, director or member of the supervisory board or any person having a sim-
ilar controlling influence in one of the parties or an affiliate of one of the parties or
with a counsel representing a party.
2.3.9 A close family member of the arbitrator has a significant financial interest in
one of the parties or an affiliate of one of the parties.
The meaning and relevance of impartiality is not, however, limited to the person of the
arbitrator, but covers the conduct of the proceedings from beginning to end, as can be
seen in the ICC Rules:
In all cases, the Arbitral Tribunal shall act fairly and impartially and ensure that
each party has a reasonable opportunity to present its case.39
5.5 WAIVER
A waiver of conflict or bias is covered by Article 4 of the IBA Guidelines and follows
the strong waiver tradition in arbitration spiced with common sense as it relates to a
globalized economy and business. In the waiver doctrine of bias, it is essential that
informed parties who are at least to a certain amount free to make their own decisions
can accept a biased arbitrator if they so want. From an ADR perspective, this is neither
unusual nor generally considered problematic, even though from the classical proce-
dural law point of view the starting point usually is a completely independent and
impartial judge regardless of party wishes. Even though it is considered at least some-
times a type of ADR, arbitration does necessitate some standard of due process and
fairness concerning impartiality of the decision maker as the award should be an
impartial decision based on facts and the norms applicable to the case in question. In
other words, there is a minimum standard that is not waivable. Beyond that, the stan-
dards concerning disclosure and equitable contract have to do with the idea that any
waiver should be informed and voluntary.
Allowing a manifestly biased person to continue to act as an arbitrator in proceed-
ings based on impartiality is likely to constitute such a violation of due process as to
be actionable in any case. Such a right cannot be waived in abstracto.41 The right to
impartial proceedings may be deemed to be a nonwaivable one both ex ante and in
abstracto, except perhaps when the partiality has been institutionalized and is equal on
both sides (i.e., there is a bias in favor of both or all groups of interest, such as occurs
in labor law arbitration). The disqualification process per se does not amount to a
waiver whether based on statute, rules, or agreement if the result is not compatible
with due process.
A waiver ex post and in concreto may, however, arise if a party consciously and
deliberately chooses not to object to or challenge the appointment of an arbitrator or
fails to resort to the remedies or measures available. For a waiver to arise, the parties
must have full knowledge of all the relevant facts constituting the bias. A good ques-
tion is whether the waiver is binding if the award carries manifest earmarks of bias and
partiality after a waiver of the bias. Should a party then be deemed to be bound by his
own choice, which was presumably based on good faith reliance on the impartiality of
the arbitrator despite the arbitrator’s bias?42 Such an outcome could appear unfounded
and unjust. Also, the basic nature of arbitration is to deliver a neutral decision by a
WAIVER 127
neutral third party. If a waiver was given, it was naturally done trusting the arbitrator
would still respect his duty to be neutral. Thus, it would be not only from a procedural
but also from a contractual point problematic to find the waiver absolutely binding.
However, it is very difficult to prove that an arbitrator has not acted impartially, and
the opposing party would probably find an award in its favor acceptable as the expected
outcome. Therefore, a party should consider carefully before accepting a partial arbi-
trator. If no waiver is deemed to have occurred by the prior reliance, the party must
take action within a reasonable time or a waiver is created.43
The Convention provides: “The composition of the arbitral authority . . . in accor-
dance with the agreement of the parties,” and the word agreement may be deemed to
carry an implicit condition of both initial impartiality of an arbitrator and a duty to
disclose all grounds for a bias, as well as an implicit covenant that the arbitrator’s ini-
tial impartiality shall not change, but that if it does so, the change shall be disclosed to
the parties. The paramount role of the waiver doctrine as well as that of impartiality
impose a duty of full disclosure as to a material bias including what may only appear
to be a bias without any material or true substance.
The audi alteram partem principle (as reflected in the right to present one’s case) and
the principle of impartiality both require that:
(i) Every communication between a party and an arbitrator or the panel be made in
the presence of all the parties allowing an immediate comment or answer or
communicated to all of them in the same manner at the same time. This is
The secretary is a necessary officer in many both ad hoc and institutional arbitration
cases. The presence of the secretary and his person should be consented to by the par-
ties. It is also proper to require that the secretary be impartial as if she were an arbitra-
tor although decision making, deliberations, and the conduct of the proceedings are not
within the secretary’s functions. The exact scope of the rights and duties of a secretary
have not been defined and depend on the circumstances of the case, and in particular,
on the number of arbitrators. Besides managing and organizing submissions, evidence,
and hearings, the secretary may be valuable as the exclusive channel of communica-
tions between hearings to avoid any impression of attempts of undue influence or
improper communications. Sometimes the permanent secretariat carries out some of
the tasks of the secretary.49
For example, Swiss Rules Article 15(5) provides:
The arbitral tribunal may, after consulting with the parties, appoint a secretary.
Article 9 of these Rules shall apply by analogy to the secretary.
As we move from the primarily procedural questions to the more contractual and lia-
bility part of the relationship between arbitrators and the parties, the fees and costs of
arbitration is an ever-occurring issue. Arbitration has a reputation of being an expen-
sive and exclusive method of dispute resolution. This is probably often due to the need
to pay fees to arbitrators unlike in court proceedings, as well parties in arbitration often
choosing those with the best expertise both as arbitrators and counsel.
The costs may be justified because of the benefits of arbitration. There are always
some obvious savings as in general, there is no appeal. The proceedings may in other
ways be less time-consuming than court proceedings. Awards have been given in less
than six months or a year even in some of the most complex cases. However, some
48 IBA Ethics 8.
49 About Chinese law, see Tang Houzhi and Wang Shengchang, supra note 8, at 23:
Exchanges of arbitration documents between the parties and between the parties and the
arbitrators must be done through the secretariat of the arbitral institution. The respondent
shall submit his written defense within 45 days and counterclaim, if any within 60 days, after
receipt of the arbitration notice from the secretariat of the arbitral institution. The parties may
authorize attorneys to act on their behalf in arbitration proceedings. Such attorneys may be
Chinese or non-Chinese persons.
See also ICC Rules Art. 3.
5.9 LIABILITY
The mission of an arbitrator or arbitral panel is sui generis and has numerous dimen-
sions. The panel is at the same time acting within the mandates in abstracto and in
concreto. The mandate in abstracto is the power vested in the panel by the govern-
ment. In this respect, the panel’s function resembles that of a judge. The scope of this
power and authority and the consequences of its abuse are key issues of due process.
The mandate in concreto is likewise an authority vested in the panel, but one done by
the parties in casu. The scope of this mandate is defined by the parties within their
132 THE PANEL AND DUE PROCESS
freedom of contract, and in the absence of their express agreement, by applicable laws
and other rules. In institutional arbitration, the power is vested in the panel by the institu-
tion when it is acting as the appointing authority. The mandate in concreto resembles to
some extent retention of an expert or a professional with the exception that a nominating
party will not have any (or at least very little) control over the arbitrator except when the
parties agree unanimously. Even then there is an area where an arbitrator and a panel
remain totally independent, with this independence being protected by the mandate in
abstracto. The powers (i.e., the mandate in concreto) may likewise be abused or vio-
lated, which may result in the award being unenforceable or other legal consequences.
The task or mission of arbitrator resembles that of a director in a company. Both
directors and arbitrators need to abide by certain procedural and ethical rules—and
failure to do so may lead to liability. In neither case should this liability be extended to
matters of judgment or discretion if the procedure and ethical standards applied in the
decision-making process have been impeccable.
The liability of an arbitrator may arise in theory from violation of due process as
described in this book. These may include violations of fundamental procedural rules such
as audi alteram partem, failure to disclose conflict of interest or bias, negligence, gross
negligence or even deliberate wrongdoing. In this area, common standards are emerging
from a large variety of national traditions and professional and institutional interests.
Anyway, liability should be more likely to follow from not taking the procedural standards
into account than faults in the substantive law application.
The mission (i.e., the mandate in abstracto of the arbitrators) has been defined in
IBA Ethics as follows:
All arbitrators should devote such time and attention as the parties may reasonably
require having regard to all the circumstances of the case, and shall do their best to
conduct the arbitration in such a manner that costs do not rise to an unreasonable
proportion of the interests at stake.
It is also defined by the Arbitration Act 1996 (of England) § 33 as follows:
(1) The tribunal shall
(a) act fairly and impartially as between the parties, giving each party a reasonable
opportunity of putting his case and dealing with that of his opponent, and
(b) adopt procedures suitable to the circumstances of the particular case,
avoiding unnecessary delay or expense, so as to provide a fair means for the
resolution of the matters falling to be determined.
(2) The tribunal shall comply with that general duty in conducting the arbitral pro-
ceedings, in its decisions on matters of procedure and evidence and in the exercise
of all other powers conferred on it.
The task (i.e., the mandate in concreto) is defined by the parties in the arbitration
agreement or in the submissions.54 The liability is quasi-contractual, including the
54 Argentina Act (supra note 7) Art. 745, 748, and 756 provide:
Art. 745
Acceptance by arbitrators of their appointment as such shall entitle the parties to compel them
to carry out their functions and to hold them liable for costs and damages derived from the
non-performance of arbitral functions.
LIABILITY 133
giving of an extensive and irrevocable power and authority subject to unanimous
veto only.55
In addition, IBA Ethics impose the following standards on a person accepting
appointment as an arbitrator:
A prospective arbitrator shall accept an appointment only if he is fully satisfied that
he is able to discharge his duties without bias. A prospective arbitrator shall accept
an appointment only if he is fully satisfied that he is competent to determine the
issues in dispute, and has an adequate knowledge of the language of the arbitration.
A prospective arbitrator should accept an appointment only if he is able to give to
the arbitration the time and attention which the parties are reasonably entitled to
expect.
The liability of arbitrators has been debated, with some voices advocating that arbi-
trators should enjoy immunity from liability.56 Such an extreme position is difficult to
defend, and the trend in thinking seems to be toward treating the arbitrator as a profes-
sional, taking into account arbitration’s very special features.57 For some practitioners,
arbitration has become their only profession and business. Also as arbitration institutes
have been sued, they attempt to limit their liability.58
Art. 748:
The terms of reference shall become ineffective:
1. By unanimous decision of those who concluded them;
2. By expiration of the term fixed in the terms of reference or, failing this, the legal term,
irrespective of any liability of the arbitrators for interests and damages because the term
unfruitfully expired on account of their fault and notwithstanding the payment of any
penalty under Article 740, sect. 4, if any of the parties were at fault;
3. If during three months the parties or the arbitrators did not take any action aimed at
giving impetus to the arbitral proceedings.
Art. 756
Arbitrators who without justification do not render their award within the stated term will lose
all right to their fees and will be, furthermore, held liable for costs and damages.
55 See Ottoarndt Glossner, INTERNATIONAL HANDBOOK ON COMMERCIAL ARBITRATION 10 (Supp. 17,
Jan. 1994), describing the position of German law as follows:
According to German law there exists between the parties, on the one hand, and the arbitrator,
on the other, a contract to arbitrate (Schiedsrichtersvertrang). By virtue of this contract the
arbitrator must faithfully fulfil the functions he has assumed. Although the contract to
arbitrate is governed by the provisions applicable to contracts in general, the courts have held
that the liability of the arbitrator is the same as that of a judge. Accordingly, he will not be
held liable for errors made in good faith.
56 This seems to be the case in the United States as Holtzmann reports:
The general rule in the United States is that an arbitrator, like a judge, is immune from civil
liability for acts related to his or her decision-making function, even if the arbitrator was care-
less and made a wrong award. This principle is not found in the arbitration statutes, but it is
established in court decision. Courts have extended this immunity to arbitral institutions,
such as the AAA.
Howard M. Holtzmann, Report on U.S. Arbitration Law, in INTERNATIONAL HANDBOOK ON
COMMERCIAL ARBITRATION 18 (Supp. 13, Sept. 1992).
57 Arbitration Act 1996 of England § 29 (see Appendices, p. 267).
58 ICC Rules Art. 34 (see Appendices, p. 416).
LIABILITY 135
2. After the award has been made and the possibilities of correction, interpretation
and additional awards referred to in Articles 35 to 37 have lapsed or been exhausted,
neither the Chambers nor the arbitrators, the tribunal-appointed experts or the
secretary of the arbitral tribunal shall be under an obligation to make statements to
any person about any matter concerning the arbitration, nor shall a party seek
to make any of these persons a witness in any legal or other proceedings arising out
of the arbitration.
The Swiss Rules tackle the issues in line with the most current trend establishing
liability for gross negligence or deliberate wrongdoing only. They provide further
that there is no duty to give testimony after corrective and other such measures have
been exhausted and establish a bar to a party action to compel those involved to
testify.
5.10 CONFIDENTIALITY
The duty of confidentiality covers the arbitrators even in the absence of statutory law
to back it up.62 It is an implicit condition and covenant of the arbitration agreement,
and sometimes even an express one. IBA Ethics provide:
The deliberations of the arbitral tribunal, and the contents of the award itself, remain
confidential in perpetuity unless the parties release the arbitrators from this obliga-
tion. An arbitrator should not participate in, or give any information for the purpose
of assistance in, any proceedings to consider the award unless, exceptionally, he
considers it his duty to disclose any material misconduct or fraud on the part of his
fellow arbitrators.63
CIETAC Rules Article 33 provides:
1. Hearings shall be held in camera. Where both parties request an open hearing, the
arbitral tribunal shall make a decision.
2. For cases heard in camera, the parties, their representatives, witnesses, interpret-
ers, arbitrators, experts consulted by the arbitral tribunal and appraisers appointed
by the arbitral tribunal and the relevant staff-members of the Secretariat of the
CIETAC shall not disclose to any outsiders any substantive or procedural matters
of the case.64
Confidentiality may relate to many things and be understood in a number of ways.
First, it may be understood as privacy as opposed to a public hearing: the proceedings
62 In general, see ALAN REDFERN & MARTIN HUNTER, LAW AND PRACTICE OF INTERNATIONAL
COMMERCIAL ARBITRATION 27–43 (3rd ed. 1999). For institutional arbitration, see London Court
of International Arbitration (LCIA) Rules Art. 30 (see Appendices, p. 446). See also World
Intellectual Property Organization (WIPO) Rules Art. 52.
63 IBA Ethics Art. 9.
64 China International Economic and Trade Arbitration Commission (CIETAC).
CONFIDENTIALITY 137
arbitral proceedings were already heard or tried by the court in conflict with the duty
to disclose, establishing res judicata.
Swiss Rules Article 43 eliminates most of this controversy by establishing a
clear rule:
1. Unless the parties expressly agree in writing to the contrary, the parties undertake
as a general principle to keep confidential all awards and orders as well as all
materials submitted by another party in the framework of the arbitral proceedings
not otherwise in the public domain, save and to the extent that a disclosure may be
required of a party by a legal duty, to protect or pursue a legal right or to enforce or
challenge an award in legal proceedings before a judicial authority. This undertak-
ing also applies to the arbitrators, the tribunal-appointed experts, the secretary of
the arbitral tribunal and the Chambers.
2. The deliberations of the arbitral tribunal are confidential.
The third issue of some importance to the international arbitration community and
for the development of law and research in arbitration practice is the confidentiality of
the award itself. The issue is unclear in the absence of specific rules. Swiss Rules
Article 43 tackles the issue with impeccable accuracy and style:
3. An award may be published, whether in its entirety or in the form of excerpts or
a summary, only under the following conditions:
(a) A request for publication is addressed to the Chambers;
(b) All references to the parties’ names are deleted; and
(c) No party objects to such publication within the time-limit fixed for that
purpose by the Chambers.
Disclosing the award in its entirety is often inevitable in enforcement proceedings.
Many awards are, however, enforced voluntarily, which in itself is honorable but
may as a side effect hinder the development of international arbitration law and
practice.
5.11 SUMMARY
The key procedural question related to the panel in arbitration is that of impartiality.
Impartiality of an arbitrator is also a key factor among due process requirements. It in
a way symbolizes the questions raised by the status of arbitration on one hand as an
ADR method and on the other as a privatized court procedure.
Impartiality also raises theoretically challenging questions, as more-or-less similar
standards are imposed on arbitrators and judges even though their institutional settings
and natural attachments to the parties and the parties’ circles of life are far more exten-
sive. The objective test of impartiality is decisive, but it might be that the standard of
impartiality is in some cases at least de facto a bit lower. Also, the waiver doctrine is
often be used to bypass the problem.
For example, the IBA guidelines are useful in deciding what facts actually have to
be disclosed and what facts do cause bias. However, even these guidelines have to be
SUMMARY 139
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Chapter 6
Arbitration, just like basically any legal decision making, is a combination of three
elements: (a) facts, (b) law, and (c) application of the law to the facts.
This chapter focuses on questions related to facts in arbitration. Just as in court
proceedings, there are many: Which facts are important? Whose task is it to include the
facts in the process? Which of the parties has to incorporate which facts? Are only the
parties or also the tribunal responsible for having a sound factual basis for the proceed-
ings? How can a party bring facts into the proceeding? What kind of evidence can be
presented and collected? Finally, what are the criteria by which facts are accepted or
rejected as a basis of an award?
The second element in adjudication and in arbitration is the law or laws.1 The ques-
tion of law and question of facts cannot really be separated. First, as disputes are
decided on legal grounds, the law defines the legally relevant facts. Also, the concep-
tion of factual reality that lies behind the legislation and substantive law formulates
what is relevant for the legal proceeding in question. Second, many of the facts are not
brute in such a way that they can be understood without the specific language and
meaning attributed to them in the relevant community. Thus, the law also defines facts,
141
and therefore is not just an external scale imposed on them. For example, what is a
reasonable time for a claim on faulty delivery? What is a faulty delivery? Facts and law
work together.
The third element is application of the law to the facts. For example, the actual
application could be called intelligence, referring to the intellectual exercise of recon-
structing the past on the grounds of established facts and then applying the relevant
laws to those facts. As stated above, in a procedural context facts and law cannot really
be discussed separately. They are separate entities both of which get their meaning
partly from one another in the proceedings.
Even though facts are often seen as empirical reality, it is evident they have a strong
due process dimension. We cannot enforce substantive law in proceedings without
facts, and thus establishing them is a prerequisite of legal protection of substantive
rights. However, establishment of facts is a procedural activity governed by procedural
law and ultimately by due process rights and requirements. First, procedural rules and
orders have be such that the arbitral procedure can be seen to be an alternative access
to justice as compared to general court procedures. If the rules of evidence in arbitra-
tion would de facto make it impossible for a party to receive legal protection for sub-
stantive rights, the waiver of right of access to a court would not be valid. More
positively formulated, to be a valid waiver of access to courts, arbitration has to pro-
vide a reasonable possibility of legal protection. Second, the arbitration procedure has
to be fair. The parties have to be able to present their cases and have the opportunity to
be heard. These rights include the presenting evidence and examining witnesses as
well as challenging the evidence presented by the other party.
The primary objective of the proceedings is to resolve the conflict between the parties
and give legal protection to the rights of the parties. At a secondary level, this requires
determining the issues raised by the parties and claims made on the basis of the estab-
lished relevant facts and applicable law. Usually this involves the tribunal deciding
questions of facts and evidence as only rarely do the parties agree on all the facts. The
interest of the parties in establishing facts is naturally limited to the extent such facts
serve their own interests by supporting their claims or defenses. The strategy of a party
as to bringing evidence is often the function of a number of considerations:
Each party may have a different strategy, which overlaps to a greater or lesser extent
with that of his adversary.
Establishing the facts describes in generic terms something that is easy to compre-
hend in abstracto, but if we move to the real world and a disagreement of some
2 Hascher writes:
Le recours à la preuve testimoniale n’est jamais obligatoire pour l’arbitre qui peut donc
l’écarter si un témoignage est sans pertinence ou si les faits sont suffisamment établis par
d’autres modes de preuve.
Dominique Hascher, La Révision en Arbitrage International, LIBER AMICORUM CLAUDE
REYMOND 115 (2004). Irrelevance may be established by agreement of the parties. The most
common agreement to this effect is the “entire agreement” clause.
5 BLACK’S LAW DICTIONARY (Bryan A. Gardner ed., 9th ed., 2009) defines misrepresentation as:
1. the act of making a false or misleading statement . . . with the intent to deceive.
2. . . . an assertion which does not accord with the facts . . . innocent misrepresentation, a
false statement not known to be false; a misrepresentation that, though false, was not made
fraudulently.
See also BLACK’S definition of negligent misrepresentation and fraudulent misrepresentation.
The burden of proof, of course, defines who has to bear the risk of a fact not being
proven in the proceedings. De facto, it also allocates the duty to act to prove a fact to
support the claim or defense. In the end, decisions about burden of proof are often
critical for the result of the proceedings and the findings in the award and securing
access to justice especially if the evidence is scarce, and thus they have a due process
connection. The role of burden of proof in establishing the facts of the case also under-
lines the importance of procedural aspects for the decision on the facts of the case in
legal decision.
In general, a party seeking a change or confirmation bears the burden of proof to
establish the relevant facts that will cause the panel to accept his position and award
him the relief he seeks (or alternatively to accept his defense and reject a claim made
against him). At the outset, this looks very simple. However, a party on whom the
burden of proof would rest solely on the basis of this principle may not be in a position
to bring the evidence himself or it may be considerably more accessible to his adver-
sary or a third party. The burden of proof may shift or be shifted to the party for
whom it is easier to prove the matter or to whom the evidence is more easily accessi-
ble. The rules of burden of proof are interrelated with those of the production or means
of evidence.10
The rules on the division of burden of proof in international commercial arbitration are
unclear.11 They are also neither clear nor uniform in national codes of procedure although
very much in line in principle.12 Sometimes parties have agreed on how the burden of
proof is to be divided between them in case of a dispute (such as whether the goods
delivered were defective or conforming at the time of delivery). Sometimes the agree-
ment restrains the bringing of evidence or provides that for the purposes of the proceed-
ings, certain evidence submitted will be irrebuttable (i.e., it cannot be challenged).13
10 Refusal to bring evidence or produce documents may de facto amount to proof of the existence
of a fact negative or detrimental to the party refusing to comply with a request for production.
11 Allan Philip, The Standards and Burden of Proof in International Arbitration, 10 ARB. INT’L
Vol 10 (1994). How the burden of proof is divided in casu is primarily in the discretion of a
party but ultimately in the discretion of the panel. Consultations may be held when issues are
complicated and evidence is being brought in sequence.
12 Merkin writes:
The Arbitration Act 1996: any residual possibility that the weight attached to evidence by the
arbitrators can be challenged has, it would seem, been all but removed by the Arbitration Act
1996. Subject to the right of the parties to agree otherwise, and provided that the procedure
for the presentation of evidence is fair and does not give rise to serious irregularity, s 34(2)(f)
of the 1996 Act confers upon the arbitrators a more or less complete discretion to decide the
relevance or weight of any evidence, oral, written or other, sought to be tendered on any mat-
ters of fact or opinion.
Robert Merkin, ARBITRATION LAW 607 (2004).
13 ICC Uniform Customs and Practice for Documentary Credits, 1993 Revision in force as of Jan.
1, 1994 (“UCP 500”) Art. 3 and 4 provide:
3. a) Credits, by their nature, are separate transactions from the sales or other contract(s) on
which they may be based and banks are in no way concerned with or bound by such
(i) was there a defect (e.g., was the prefabricated concrete cast reinforced by speci-
fied steel structures as provided in the contract)?;
(ii) was the defect visible, and if so, when was it visible prior to having been con-
cealed during construction under other structures of the building?;
(iii) was the employer’s representative in a position or under a duty to inspect the
concrete and the steel structure at any stage, and if so, did he inspect it?;
(iv) if visible and to be inspected, was the defect of such a nature that he should or
could have understood that it was defective, and if so;
(v) did he accept, protest, or reject this part of the construction?
Sometimes a single fact, when fully established, renders most or even all other tes-
timony moot or worthless (e.g., in the example cited above, a witness, supported by
notes in writing that he made at the time the employer’s representative noticed the
alleged defect, told the contractor to remove the defective parts and deliver new ones
at no additional cost). On the basis of this testimony, all the other evidence relating to
issues (ii–iv) above seems to become irrelevant except (i), which may remain relevant
if the existence of a defect is still disputed.
What about the existence of a defect? Was it established or is further evidence nec-
essary? The problem is whether the parties could or should know this in advance or
during the proceedings. What has been established and what has not been established
is within the exclusive powers of the arbitrators. If they consider the witness testimony
to be fully creditworthy, should the arbitrators not advise the parties of their conclu-
sions at necessary intervals to expedite the proceedings, save costs, and allow the par-
ties to focus on the facts not yet established? This is perhaps uncommon but by no
means prohibited or impossible. Such measures and reviews by the arbitrators would
seem to improve the chances of having the relevant facts fully established in a
contract(s), even if any reference whatsoever to such contract(s) is included in the Credit.
Consequently, the undertaking of a bank to pay, accept and pay Draft(s) or negotiate and/
or to fulfil any other obligation under the Credit, is not subject to claims or defences by the
Applicant resulting from his relationships with the Issuing Bank or the Beneficiary;
b) A Beneficiary can in no case avail himself of the contractual relationships existing
between the banks or between the Applicant and the Issuing Bank.
4. In credit operations all parties concerned deal with documents, and not with goods, ser-
vices and/or other performances to which the documents may relate. Uniform Rules for
Demand Guarantees (ICC Publication No. 458), Art. 2(b) provides:
Guarantees by their nature are separate transactions from the contract(s) or tender conditions
on which they may be based, and Guarantors are in no way concerned with or bound by such
contract(s), or tender conditions, despite the inclusion of a reference to them in the Guarantee.
The duty of a Guarantor under a Guarantee is to pay the sum or sums therein stated on the
presentation of a written demand for payment and other documents specified in the Guarantee
which appear on their face to be in accordance with the terms of the Guarantee.
The panel may adopt either a very passive or active role with respect to all the above
factors: relevance, sufficiency, and burden of proof.15 The reason for being passive
may be based on law, arbitration, tradition, fear of appearing to be partial or subjective,
or perhaps the desire to avoid the appearance of “advocating” rather than “arbitrating.”16
We may further defend this passivity by referring to the character of the matter as
dispositive and to the fact the parties are at full liberty to settle the matter and/or to
organize the procedures for its settlement in any manner they deem fit. But are not all
matters in arbitration of such a dispositive character? Should the parties and the panel
have a lesser duty to establish the facts than does a witness?
Different legal traditions exist in these respects, which may be reflected in interna-
tional arbitration.17 Sometimes arbitrators are expected to act in line with the rules
applicable in court proceedings, and if they do not act accordingly, it may shock or
puzzle the parties. On the other hand, business communities and legal traditions may
expect the arbitrator to conduct the proceedings in a manner closer to business behav-
ior and culture than the formal traditions of the “old” judiciary. Arbitrators are often
expected to handle the proceedings in a flexible and gentleman-like manner, and even
(at least when expressly authorized) to adjudicate ex aequo et bono or bear the
The panel must use its autonomy and procedural powers20 to conduct the proceedings
cost-effectively and expeditiously while still establishing the relevant facts. This is
(i) what may or may not be relevant evidence in light of the prayers for relief and
claims made or the modifications thereof;
(ii) sufficiency of the evidence submitted; and
(iii) division of burden of proof on open issues.
Such interventions could bring in an element of true intelligence, and when properly
conducted, would not jeopardize the panel’s impartiality and neutrality. However, the
problem with an active role of the panel is that the parties might get an impression on
partiality or an impression that the arbitrator has already chosen a point of view in the
case and is no longer neutral towards new evidence. The activity of the panel should be
understood in the context and not per se interpreted to imply partiality. However, the
arbitrators have to be careful not to give ground to false impressions. The same concerns
also i.e. the role of the panel in collecting evidence and not just the consultations.
In addition to such “guidance” given to the parties, the panel may wish to intervene
directly on “its own account” in the interests of being able to fully understand the case.
Before taking direct action, the panel should hear the parties on the action contem-
plated and on the reasons for it (“consultation” or hearing).
If the guidance has not produced the desired facts, the direct action may include the
following:
In general, the parties call witnesses or experts and submit documents in their posses-
sion. However, sometimes persons identified as witnesses are reluctant to appear in the
proceedings or simply refuse.22 Relevant documents or other evidence may be in the
possession of persons reluctant to surrender them to the parties or to the panel. A party
may also refuse to produce documents or other evidence, answer questions, or disclose
other facts (e.g., allow on-site inspections). If difficulties are encountered in bringing
evidence, there is a “toolbox” of measures available depending on the procedural
rules applicable to the proceedings, the parties, and the reluctant or hostile third
parties.23 Clearly, this tool-box is needed to provide the parties a possibility to defend
and concretize their rights effectively.
If a party to the arbitral proceedings refuses to produce a document or bring other evi-
dence or allow a measure requested by the other party, the arbitral tribunal may endorse
the request by a procedural order. Article 3(6) of the IBA Rules addresses this “internal
issue” as follows:
The Arbitral Tribunal shall, in consultation with the Parties and in timely fashion,
consider the Request to Produce and the objections.24 The Arbitral Tribunal may
order the Party to whom such Request is addressed to produce to the Arbitral
Tribunal and to the other Parties those requested documents in its possession, cus-
tody or control as to which the Arbitral Tribunal determines that (i) the issues that
the requesting Party wishes to prove are relevant and material to the outcome of the
case, and (ii) none of the reasons for objection set forth in Article 9.2 apply.
The rule describes the steps in the process:
(i) Request by a party to the other;
(ii) Refusal by the other party;
(iii) Same request by the party to the Arbitral Tribunal;
(iv) Consultations with the parties;
(v) Analysis of relevance and materiality by the Arbitral Tribunal;
(vi) Order to produce/No order.
If the order is given but not respected by the party against whom it was issued, there
are further alternatives for action:
To what extent the above measures are available depends on the procedural laws
applicable, primarily those of the seat of arbitration (lex arbitri) or secondarily of
another having jurisdiction over the party or the person in possession of the docu-
ments.26 Sometimes no enforcement is done due to the costs and time required, with
24 Request to produce is a term defined in the IBA Rules as meaning a request by a party for
a procedural order by which the arbitral tribunal would direct another party to produce
documents.
25 Arbitration Act 1996 of England § 42 (see Appendices, p. 273).
26 Hascher writes:
Les arbitres ne peuvent ordonner l’ecécution forcée de leurs décisions en matière de discovery
comme d’ailleurs de production de pièces, s’ils ne disposent de l’assistance d’un juge éta-
tique. Il convient de rappeler que l’application directe des conventions internationales
d’entraide judiciaire est réservée aux tribunaux ordinaires. Dans ces conditions, l’unique
solution pour le tribunal arbitral serait de demander le concours du juge, dans la mesure tout
If the documents and other evidence are in the possession of third parties and these
third parties refuse to produce or submit them, a party may (1) submit a request to this
effect to the arbitral tribunal, or (2) be entitled under other procedural rules to take
other measures to force the production or submission of such evidence.29 Sometimes
au moins où la loi du siège prévoit une telle faculté. Il faut remarquer que le recours au juge
pour ordonner la discovery en ralation avec un arbitrage a été supprimé en droit anglais, ou
est le plus souvent refusé comme aux Etats-Unis. En pratique, le problème de la production
forcée des documents ne se pose guère. La sanction consiste à tirer toutes conséquences sue le
plan de la preuve d’une abstention ou d’un refus après en avoir averti les parties, ainsi que
l’établissent de très nombreuses decisions parmi lesquelles on citera la sentence CCI8520 de
1997 dont il a été parlé plus haut (section I, paragraphe 2); l’ordonnance rendue le 7 octobre
1993 dans l’affaire CCI7078: ‘if the opposing party bound to produce documents . . . fails to
produce the documents within the established period of time without showing sufficient cause
for such failure, the Arbitral Tribunal decide what consequences would follow from such
failure and may, inter alia, rely on inferences it can make from the known circumstances.’ ou
encore la sentence no 426-276-3, Arthur J. Fritz and Co. v. STTS, prononcée le 30 juin 1989
par le Tribunal irano-américain de La Haye.
Dominique Hascher, Principles et Pratiques de Procédure dans l’arbitrage Commercial
International, in RECUEIL DES COURS: COLLECTED COURSES OF THE HAGUE ACADEMY OF INTERNATIONAL
LAW 92–93, Tome 279 de la Collection (1999).
27 IBA Rules Art. 9(4) and (5).
28 Arbitration Act 1996 of England § 41(7) provides:
If a party fails to comply with any other kind of peremptory order, then, without prejudice to
section 42 (enforcement by court of tribunal’s peremptory orders), the tribunal may do any of
the following:
(a) direct that the party in default shall not be entitled to rely upon any allegation or
material which was the subject matter of the order;
(b) draw such adverse inferences from the act of non-compliance as the circumstances
justify;
(c) proceed to an award on the basis of such materials as have been properly provided to it;
(d) make such order as it thinks fit as to the payment of costs of the arbitration incurred in
consequence of the non-compliance.
29 Rhys Davies et al. conclude in Third Party Discovery in Arbitration Proceedings, 7 INT’L ARB.
L. R. 164 (Oct. 2004):
Although third party discovery may be available in the United States, England and Wales and
Germany, the conditions under which it may be ordered vary significantly. There are also
significant differences within the United States. If third party discovery is likely to be neces-
sary, a party negotiating an arbitration agreement needs carefully to choose the situs of the
arbitration, so as to maximise the chances of obtaining the discovery sought. By contrast, if
third party discovery is likely to be unhelpful, this may involve negotiating a location like
Germany, where its availability is very limited.
The above IBA Rule covered the production of documents. The same procedure
applies to other evidence as provided in Article 4(10):
If a Party wishes to present evidence from a person who will not appear voluntarily
at its request, the Party may, within the time ordered by the Arbitral Tribunal, ask
it to take whatever steps are legally available to obtain the testimony of that person.
The Party shall identify the intended witness, shall describe the subjects on which
the witness’s testimony is sought and shall state why such subjects are relevant and
material to the outcome of the case. The Arbitral Tribunal shall decide on this
See Model Law Decisions: Vibroflotation A.G. v. Express Builders Co. Ltd. High Court of
Hong Kong (Kaplan J.), 15 August 1994, Original in English, Unpublished: CLOUT,
“Subpoenas duces tecum can be granted under Model Law Article 27, if requested by the arbi-
tral tribunal or by a party with the approval of the arbitral tribunal.”
30 This can hardly be interpreted to mean objective failure (i.e., unavailability of any legal mea-
sure or action or an exhaustion of the same but failure to voluntarily obtain such evidence).
The arbitrators “sitting in the driver’s seat” are in ultimate control of the relevance of
evidence and its sufficiency, but only secondarily under a duty to cause the relevant
facts to be established.31 Should the parties either on their own initiative or under the
guidance of the panel fail to bring essential evidence that is available or accessible, the
panel may, in its discretion, take its own initiative and order documents to be produced
or other testimony or evidence to be submitted. This applies to evidence presumably in
possession either of a party or a nonparty to the arbitration. The tribunal may consider
that respecting and protecting the parties’s substantive rights requires taking action
concerning evidence, even when balanced against other relevant arguments, such as
party autonomy, timeliness and impartiality.
Article 3(9) of the IBA Rules provides:
The Arbitral Tribunal, at any time before the arbitration is concluded, may request
a Party to produce to the Arbitral Tribunal and to the other Parties any documents
that it believes to be relevant and material to the outcome of the case.
Article 9(11) further provides:
The Arbitral Tribunal may, at any time before the arbitration is concluded, order
any Party to provide, or to use its best efforts to provide, the appearance for testi-
mony at an Evidentiary Hearing of any witness, including one whose testimony has
not yet been offered.
In addition, the arbitral tribunal may, after due consultations with the parties, appoint
one or more experts to report on issues specified by the panel in addition to those
appointed and presented by the parties.32 Such tribunal-appointed experts have the
same power and authority to request information and to have access to documents and
facts as the panel itself.33
The same principles are codified in the ICC Rules. The main principle does not leave
much room for interpretation as to who is in charge of conducting the proceedings:
The Arbitral Tribunal shall proceed within as short a time as possible to establish
the facts of the case by all appropriate means.34
The requirements of (1) “as short a time as possible” and (2) “by all appropriate
means” do not, however, impose the primary burden on the panel as to establishing the
In exceptional cases no evidentiary or other hearings may be necessary or all the com-
munications as submissions may be organized via telecommunications or videoconfer-
ences. Despite organizational meetings (including the drafting of terms of reference)
there may be hearings for argumentation and submission of pleadings and for taking
evidence. The latter may prove to be unnecessary:
35 ICC Rules Art. 18(4) and 20 provide for a separate documented timetable for the conducting
of the proceedings.
36 Id. Art. 20(4).
37 Id. Art. 20(5).
Such special arrangements may prove to be necessary or beneficial should witness tes-
timony be contradictory or fail to form a consistent and logical sequence of events. Such
special measures may refresh memories, help the panel to distinguish from facts produced
by failing memory or subjectivity without roots in reality, or in the worst case scenario,
expose false or misleading testimony and eliminate its perhaps fatal consequences.
An entire agreement clause, which is very common in commercial practice and belongs
to almost any collection of standard “boilerplate” language, provides in essence that
everything agreed upon is expressed in the contract document itself and that no evidence
of any other agreements, terms or conditions, intentions, purpose, or meaning is neces-
sary or even permissible.39 It does not require much to raise the counterargument that
(i) forcing all the parties to the agreement in negotiation at the precontractual stage
to openly express their expectations and intentions and understandings in the
agreement itself;
(ii) facilitating the reading and interpretation of the agreement at a post-signing stage
specifically by those who were not personally involved in the process;
(iii) ensuring cost-effective proceedings in case of a dispute or need to enforce the
agreement; and
(iv) eliminating attempts to introduce new contents to the agreement by way of false
or misleading evidence.
All these interests are fully legitimate, and even though it is impossible to reach
perfection, this does not entitle the panel or parties to disregard the entire agreement
clause as meaningless.
The ideology of the entire agreement clause is closely in line with the tradition and
mechanism of the prevention of fraud in court proceedings and deeply rooted in
common law. The objective is to prevent fraud and a loss of rights by forcing the
parties to express their bargain clearly including all its terms and conditions. The entire
agreement clause is an important or may even be a fundamental element in the panel’s
assessment of relevance and admissibility of evidence or testimony tendered by the
parties and it cannot be overlooked as insignificant. The entire agreement clause is part
of the agreement of the parties and it is to be respected and enforced by them.
However, we have to make certain entire agreement clauses do not limit a party’s
access to justice in a way that would conflict with fair trial principles. In fact, in many
The submissions of the parties may leave room for many questions41 relating to legal
theories or facts. Also, the parties may wish to ask questions and should be allowed
and encouraged to do so if it serves the interest of establishing the facts. The admission
of facts streamlines the proceedings while a denial helps to identify the facts in dispute
and to determine the relevance of the available evidence.
The effectiveness of questions and answers as a vehicle in reconstructing the past
depends on a number of factors:
By asking questions, the panel may expedite the establishment of the relevant facts.
The right timing of such an intervention may be at the end of the first rounds of submis-
sions in connection with the drafting of the terms of reference (if the rules provide for
such a document) or at a comparable stage of the proceedings.42
Discovery is the process of learning about facts not yet known. It means obtaining
access to information, most often to the files of the adversary.43 Discovery serves the
objectives of arbitration: establishment of the facts and avoidance of surprises.44 In
addition, it is related with the right to present one’s case and opportunity to be heard as
well as access to justice and protection of substantive rights.
There are some considerable differences in legal tradition relating to the time and
extent of discovery. Discovery, including pretrial discovery, is extensive in American
litigation, but the culture in international arbitration remains very reserved.45 Holtzmann
describes U.S. practices:
Rules requiring submission of documents on the proper demand of a party
(i.e. “document discovery”), which are a typical feature of court litigation in the
United States, are not included in the FAA or the UAA. Most arbitration rules
permit arbitrators to order a party to submit documents. If a party, or other person
having the documents, refuses to submit them, the party seeking discovery may
request a court having jurisdiction to order submission of the documents; generally,
however, courts are reluctant to become involved in arbitral proceedings and will
order discovery only in exceptional circumstances.46
DISCOVERY 161
Besides access to relevant files, discovery may mean hearing in advance the persons
who are likely to give testimony in the proceedings, in particular those called by the
adversary. Discovery means in practice an opportunity hear a person nominated as a
witness or expert often on the basis of his written statement by way of cross-examination
prior to the evidentiary hearing before the tribunal. The written statement, which may
or may not have been given under oath, serves as an introduction to what the person
knows and intends to testify and as such forms a sound basis for cross-examination in
advance. Although perhaps expensive, all this eliminates the risk of surprise, puts both
parties on an equal footing, may help the parties to settle, fulfills the criterion of audi
alteram partem, and presumably allows the actual hearing before the tribunal to run
more smoothly and be less time-consuming. There will be no (or at least less) need to
narrow down or identify the area of a person’s knowledge by asking questions about
matters the person has no knowledge about in the actual hearing before the tribunal.
The ethics of interviewing witnesses in advance is questioned or even rejected in
some legal systems. However, under the IBA Rules, interviews are endorsed:
It shall not be improper for a Party, its officers, employees, legal advisors or other
representatives to interview its witnesses or potential witnesses.47
If such interviews are conducted properly and professionally, the risk of abuse,
inappropriate behavior, or undue influence can be avoided. In particular, if witnesses
give their statements in writing in advance and the other party is given the opportunity
to cross-examine the witnesses in advance, this would seem to improve the chances of
accurately establishing the relevant facts.
6.8 WITNESSES
To evaluate the merits of a potential case, it is often necessary for a party to hear witnesses
and interview other persons.48 Such an investigation, particularly if its results are recorded
in writing, may encourage the parties to settle out of court and will in any case expedite
the proceedings by allowing the parties and the panel to focus on what is relevant.
However, doing this may raise legal and ethical concerns. Is undue influence being
exercised? What access, if any, does the adversary have to this testimony? How should
the testimony be recorded for future purposes if it should no longer be available at a
later stage? The pros of such advance hearings seem stronger than the cons. This also
seems to be the prevailing tradition.
(i) Explaining to the witness his rights and his duties (perhaps also in writing in his
or native language to make sure that any suspicion of undue influence is elimi-
nated). This applies in particular to officers and employees whose position may
be sensitive and who may tend to believe that the testimony should be in favor of
the employer or the company. If this suspicion is eliminated, the results are
better.
(ii) The testimony should preferably be recorded in writing to be submitted in advance
for a number of reasons.49 First, when reduced to writing, accuracy will increase,
and during the drafting exercise the witness may verify dates and matters from
her notebooks, documents, etc. improving and completing the substance thereof.
Second, such a record allows the testimony to be made available to other parties
and to the panel, which serves both due process purposes and improves the effi-
ciency of the proceedings.
(iii) The witness statement may also serve as secondary evidence should the witness
be prevented from appearing at a later stage due to illness, death or for another
such reason.
The preparation for the evidentiary hearing generally includes the measures neces-
sary to avoid surprises, such as listing the evidence of the parties or even informing the
tribunal and the opposite party of the content of the witnesses contribution. According
to the IBA Rules:
The taking of evidence shall be conducted on the principle that each Party shall be
entitled to know, reasonably in advance of any Evidentiary Hearing, the evidence
on which the other Party relies.50
Further:
The Arbitral Tribunal may order each Party to submit within a specified time to
the Arbitral Tribunal and to the other parties a written witness statement by each
witness on whose testimony it relies, . . .51
49 AAA Rules 32 (see Appendices, p. 238); Swiss Rules Art. 25(5) and (6) (see Appendices,
p. 467). Holtzmann, supra note 46, at 20 reports on U.S. practices:
Parties may choose to present a witness’ sworn written statement, called an “affidavit,” and
the arbitral tribunal gives such written statements the weight it considers appropriate in the
circumstances.
50 IBA Rules Preamble (3).
51 Id. Art. 4(4).
WITNESSES 163
Witness statements are not meant to replace or be a substitute fora hearing of the
witness in person before the panel. The main rule still is that the witness should testify
before the tribunal and be cross-examined, as provided in the IBA Rules:
Each witness who has submitted a Witness Statement shall appear for testimony at
an Evidentiary Hearing, unless the Parties agree otherwise.52
If the Parties agree that a witness who has submitted a Witness Statement does not
need to appear for testimony at an Evidentiary Hearing, such an agreement shall not
be considered to reflect an agreement as to the correctness of the content of the
Witness Statement.53
The testimony of the witness before the panel may be organized by way of a
videoconference or by phone as the parties may agree or the panel may decide.
6.8.2 Language
In principle, the witness should testify in his native language unless he gives his con-
sent to doing so in another language. In the former case, interpretation may become
necessary but in the latter, the risk of misunderstanding increases and the reliability
and accuracy of the testimony may suffer to the extent that in the interest of establish-
ing the truth, the panel may need to order the hearing to be conducted in witness’s
native language.54 If a witness testifies and the hearing is conducted in a language other
than that of the proceedings, interpretation of the testimony into the language of the
hearing may be needed to allow the panel and the parties to follow, understand, and ask
questions.55
There are diverse traditions in legal systems as to witness testimony including methods
ensuring the witness understands the importance of telling the truth. In the courts, wit-
nesses are often required to testify under oath or a corresponding assurance.
Administration of an oath may not always be within the authority of the panel, which
means other methods may be in place.56 In the context of international arbitration, all
involved should show respect and understanding as to the background and culture of
the witnesses in particular as giving testimony often has deeply rooted religious or
Even at its best, witness testimony is always subjective. Very often witnesses have
such ties to the parties or to the matter in the dispute that subjectivity or bias cannot be
eliminated despite good faith attempts by counsel, the panel, and the witness himself.
Such a bias may be based on:
These emotions are part of human nature, but they raise two important legal issues:
(1) how can the correctness of witness statements be evaluated?, and (2) when may the
witness refrain from answering?. The first issue is tackled in the IBA Rules with ele-
gance by leaving the panel with sufficient room to be flexible:
The Arbitral Tribunal shall determine the admissibility, relevance, materiality and
weight of evidence.58
The latter issue is addressed with equal quality:
The Arbitral Tribunal may limit or exclude any question to, answer by or appear-
ance of a witness . . . if it considers such question, answer or appearance to be
WITNESSES 165
irrelevant, immaterial, burdensome, duplicative or covered by a reason for objec-
tion.59 (emphasis added)
Reasons for objection include legal impediments or privileges under the applicable
legal or ethical rules.60 These may include the laws of the place of residence of the
witness or his ethical or religious convictions. The panel may take the necessary action
on its initiative as well as on a motion by a party.61
Article 25(2) of the Swiss Rules indicates a flexible approach:
Any person may be a witness or an expert witness. If witnesses or expert witnesses
are to be heard, at least fifteen days before the hearing each party shall communi-
cate to the arbitral tribunal and to the other party the names and addresses of the
witnesses or expert witnesses it intends to present, the subject upon and the lan-
guages in which such witnesses or expert witnesses will give their testimony.
6.8.5 Questioning
Assuming witness statements have been submitted prior to the examination of the wit-
ness, the panel needs to determine the order of questioning. In general, the party who
nominated the witness and primarily relies on his testimony shall start (i.e., the claim-
ant will examine her witness first and the respondent his).
The Claimant shall ordinarily first present the testimony of its witnesses, followed
by the Respondent presenting testimony of its witnesses, and then by the presenta-
tion by Claimant of rebuttal witnesses.62
If all parties have nominated the same witness or if there are claims by all parties or
for other reasons, the above order may be amended mutatis mutandis by the panel in
its discretion:
The Arbitral Tribunal, upon request of a Party or on its own motion, may vary this
order of proceeding.. . .63
The panel may allow or encourage counsel to assist in establishing the proper disci-
pline by raising objections if any of the above is infringed on by a party.
The panel should also intervene and take appropriate action to make certain that
The arbitral tribunal may at its discretion wholly assume the role of questioning and
examination, at least at the first stage, and even exclude direct examination or direct
cross-examination by the parties.67 In order not to violate due process, the parties
should be allowed to submit their questions to the panel, and the panel will then ask
those questions unless they find them irrelevant or otherwise objectionable.
WITNESSES 167
6.8.6 Cross-Examination and Special Arrangements
The opposite party has to have a real possibility to test, question and challenge the
evidence presented by the other party, and provide alternative evidence. This way, the
right to cross-examine a witness is in principle a part of due process. The examination
may be direct in the sense that a party, usually through his counsel, directly asks the
witness the questions, or it may be indirect, in which case the questions are asked by
the members of the panel (e.g., from lists of questions submitted by counsel). In prin-
ciple, the organization of the examination should be consistent allowing direct exami-
nation to all or no parties. This is another principle of due process expressed in the IBA
Rules as being based on:
[C]onsiderations of fairness or equality of the Parties that the Arbitral Tribunal
determines to be compelling.68
The same principles apply if the panel decides not to admit certain testimony.69
Witnesses may be heard simultaneously or in confrontation on a motion of a party
or in the panel’s discretion.70 Special arrangements may be called for to protect confi-
dentiality.71 Hearings by telecommunication or videoconferences can hardly be
regarded as innovative any more.72 A witness may be allowed to have documents or
personal notes with him in support of his memory as giving testimony is not an exer-
cise in memorization.
In arbitration the parties, their witnesses, and any experts are assumed to adjust their
time schedules to that of the proceedings. The same applies to arbitrators as well.
Effective management of the proceedings often requires agreement on a time schedule
for the submissions, pleadings, evidentiary hearings, and other measures that may be
necessary to accomplish the mission.73
The time schedule should allow a reasonable opportunity for parties to cause
the witnesses to appear and to give them sufficient advance notice. If a witness is
prevented from giving testimony, this does not amount to violation of due process if a
reasonable opportunity for this was given by the panel. However, modern communica-
tions in combination with written witness statements make it always possible for the
panel to consider a person’s testimony although the person is not able to be physically
present.
Witnesses usually have the right to be compensated for their work and time lost. The
specifics of such a right may depend on lex arbitri or other procedural rules. If a wit-
ness has been appointed by his employer, the compensation may be a part of the remu-
neration paid under the employment relationship. In practice, these issues are usually
settled in advance between the parties and the witness, but they may become problem-
atic in the event of a reluctant witness being compelled to testify or demanding unrea-
sonable fees for doing so.
6.9 EXPERTS
The purpose of hearing from experts is to elucidate issues of a technical, legal, medi-
cal, biological, or other discipline of some sophistication to better understand the rel-
evant facts and their significance. Expert testimony does not in general relate to the
direct reconstruction of past facts although it may offer explanations and establish
causes and effects, but it may be used for pure fact-finding or fact-establishing pur-
poses. In most cases, technical experts are looked to for establishing compatibility with
a standard or specification (or a deviation therefrom) and elucidating underlying rea-
sons for this to be true.74
UNCITRAL Model Law Article 26 provides:
(1) Unless otherwise agreed by the parties, the arbitral tribunal
(a) may appoint one or more experts to report to it on specific issues to be
determined by the arbitral tribunal;
EXPERTS 169
(b) may require a party to give the expert any relevant information or to
produce, or to provide access to, any relevant documents, goods or other
property for his inspection.
(2) Unless otherwise agreed by the parties, if a party so requests or if the arbitral
tribunal considers it necessary, the expert shall, after delivery of his written or
oral report, participate in a hearing where the parties have the opportunity to put
questions to him and to present expert witnesses in order to testify on the points
at issue.
Experts are most often party-appointed. An expert’s role in arbitral hearings is very
close to that of a witness75 except experts are expected to submit a report in writing.
IBA Rules Article 5(2) provides that the Expert Report should contain at least the
following:
(a) the full name and address of the Party-Appointed Expert, his or her present and
past relationship (if any) with any of the Parties, and a description of his or her
background, qualifications, training and experience;
(b) a statement of the facts on which he or she is basing his or her expert opinions
and conclusions;
(c) his or her expert opinions and conclusions, including a description of the method,
evidence and information used in arriving at the conclusions;
(d) an affirmation of the truth of the Expert Report; and
(e) the signature of the Party-Appointed Expert and its date and place.
Experience in legal practice has proved the statements, conclusions, and opinions of
experts vary and tend to favor the position of the party who appointed them. There
are many natural reasons for this, but at the same time, contradictory or inconsistent
statements create a need to strike a balance. Clarity may be obtained by organizing a
“tête-a-tête” conference between the experts.
IBA Rules Article 5(3) provide:
The Arbitral Tribunal in its discretion may order that any Party-Appointed Experts
who have submitted Expert Reports on the same or related issues meet and confer
on such issues. At such meeting, the Party-Appointed Experts shall attempt to reach
agreement on those issues as to which they had differences of opinion in their
Expert Reports, and they shall record in writing any such issues on which they
reach agreement.
Such a situation may call for a nomination of an expert by the panel itself:
The Arbitral Tribunal, after having consulted with the Parties, may appoint one or
more independent Tribunal-Appointed Experts to report to it on specific issues des-
ignated by the Arbitral Tribunal. The Arbitral Tribunal shall establish the terms of
reference for any Tribunal-Appointed Expert report after having consulted with the
Parties. A copy of the final terms of reference shall be sent by the Arbitral Tribunal
to the Parties.76
The tribunal may order or conduct a site inspection or take action to preserve assets or
evidence.79 This may relate to property in the possession of a party or of a third party.80
AAA Rule 33 provides:
An arbitrator finding it necessary to make an inspection or investigation in connec-
tion with the arbitration shall direct the AAA to so advise the parties. The arbitrator
shall set the date and time and the AAA shall notify the parties. Any party who so
desires may be present at such an inspection or investigation. In the event that one
or all parties are not present at the inspection or investigation, the arbitrator shall
1. The arbitral tribunal, after consulting with the parties, may appoint one or more experts to
report to it, in writing, on specific issues to be determined by the tribunal. A copy of the
expert’s terms of reference, established by the arbitral tribunal, shall be communicated to the
parties.
2. The parties shall give the expert any relevant information or produce for his inspection any
relevant documents or goods that he may require of them. Any dispute between a party and
such expert as to the relevance of the required information or production shall be referred to
the arbitral tribunal for decision.
3. Upon receipt of the expert’s report, the arbitral tribunal shall communicate a copy of the
report to the parties who shall be given the opportunity to express, in writing, their
opinion on the report. A party shall be entitled to examine any document on which the expert
has relied in his report.
4. At the request of either party the expert, after delivery of the report, may be heard at a hear-
ing where the parties shall have the opportunity to be present and to interrogate the expert. At
this hearing either party may present expert witnesses in order to testify on the points at issue.
The provisions of Article 25 shall be applicable to such proceedings.
5. The provisions of Article 9 shall apply by analogy to any expert appointed by the arbitral
tribunal.
77 IBA Rules Art. 5(4)–(6).
78 Id. Art. 6(6).
79 World Intellectual Property Organization (”WIPO”) Rules Art. 49 and 50 (see Appendices, p. 528).
80 Arbitration Act 1996 of England § 38(4) and 38(6) (see Appendices, p. 271).
6.11 SUMMARY
Experienced litigators often say that cases are won or lost on facts. Getting the facts
right is a necessary element to getting legal protection for substantive rights. The facts
are right if they are a result of a correct procedure, where the parties present their
claims, theories, and evidence and the tribunal uses its authority to get the best possible
raw material for the award. The key is that the procedure in formulating the factual
premises be fair and efficient.
First, procedural rules have be such that the arbitral procedure is an adequate substi-
tute to general court procedure from an access to justice perspective. The arbitral law
of evidence will have to support and allow legal protection for substantive rights to
make the (implied) waiver of access to court valid. Second, the arbitration procedure
has to be fair. Parties have to be able to present their cases and to have an opportunity
to be heard. These rights include presenting evidence and examining witnesses as well
as challenging the evidence presented by the other party.
When trying to support the parties in protecting their substantive rights in the pro-
ceedings, the arbitrators sometimes have to balance between procedural and substan-
tive fairness. Trying to support one of the parties in protecting substantive rights might
easily make the arbitrator look partial or in fact even be partial. However, a certain care
might be necessary to balance the unequal position of the parties and to protect their
substantive rights. This dilemma can never be completely resolved as the arbitrator
will always have to balance between the two important goals.
The panel is in many ways in control of and responsible for the proceedings. Control
and responsibility refer to two dimensions of steering the procedure. First, there is the
question of who takes the initiative, manages the procedure, and has an active role in
the proceedings. Second, there is the question of who eventually decides on procedural
matters.
Roles in arbitration vary a lot according to who the arbitrator is and who the parties
are. Both the arbitrators and the parties might come from procedurally different cul-
tural backgrounds and have different personalities. However, in comparison to court
procedure, it is obvious that arbitration is much more communicative in nature, with
the arbitrators not necessarily having the passive role judges might have in the many
different procedural cultures. In most cases, the arbitrators have more discretion in
organizing the procedure compared to courts, but the parties can sometimes even over-
ride the decisions of the tribunal, which does not often happen in the courts.
In managing the procedure, the key element is the equal treatment of the parties,
which is a due process requirement and part of lex proceduralia. The tribunal has to
make certain that it does not act in a way that would result in an objective impression
of bias whether or not the tribunal was actually biased. In addition, all the parties have
to be given an equal and sufficient opportunity to present their case. Finally, the tribu-
nal should work toward a correct result.
The power of the panel to manage the proceedings may be divided into its sole
powers and powers it holds in common with the parties as follows:
(1) Power and authority in common with the parties (i.e., if the parties agree on the
issue, the arbitrators shall conduct the proceedings in accordance with the
agreement).1 This power and authority belongs sometimes completely to the panel
173
(i.e., all decision making in substantive or procedural issues to the extent proce-
dural or substantive matters are not covered by such an agreement of the parties);
ICC Rules Article 15(1) provides:
The proceedings before the Arbitral Tribunal shall be governed by these Rules and,
where these Rules are silent, by any rules which the parties or, failing them, the
Arbitral Tribunal may settle on, whether or not reference is thereby made to the
rules of procedure of a national law to be applied to the arbitration.
(2) Power and authority that belongs solely to the arbitrators (i) beyond the powers of
the parties to agree on it fully or (ii) that at least requires the panel’s consent;
(3) Power and authority that belongs to an institution or a third party under the
applicable rules (e.g., ICC Court of Arbitration);
(4) Power and authority that belongs to the parties only (e.g., amending the arbitration
agreement);2
(5) Power and authority that belongs to the courts (i.e., elements of control, support,
and enforcement);
(6) Powers that both the panel and the courts have (interim and protective measures).
Finally, in some areas covered by hard core due process neither the parties nor the
arbitrators have power to manage the proceedings in the way they want.
To achieve a just result in the dispute, the tribunal must establish the relevant facts.3
Prior to doing so, it needs to determine what is relevant as these two questions are
interrelated. Relevance is primarily determined by the relief sought and the theories
invoked, but this does not necessarily identify all the facts that may be relevant.
The lack or insufficiency of evidence or emerging new facts may change the theories
(i) may determine with certainty that specific facts and information is (when submit-
ted) or would be (when not yet submitted) relevant to support the relief sought or
the defense invoked;
(ii) cannot always exclude with certainty the relevance of evidence or facts tendered
by the parties or which might be available but not tendered by the parties.
Not admitting evidence may therefore be risky and even amount to a violation of
due process.
There is very little doubt that the parties are primarily responsible for establishing
the facts (i.e., for “reconstructing the past”).4 It is debatable to what extent (if at all) the
arbitral panel has a duty to participate in this exercise should the parties fail to do it
properly by not presenting all available evidence (or even refusing to do so when
requested by the adversary or ordered by the panel),5 even though there is not much
doubt as to the panel’s right to do so.6
COURSES OF THE HAGUE ACADEMY OF INTERNATIONAL LAW 114, Tome 279 de la Collection (1999)
writes:
Le tribunal arbitral est souverain pour décider des divers actes de la procédure selon un
principe généralement admis en droit processuel, et qui trouve sa justification dans les
fonctions juridictionnelles mêmes des arbitres lors de la conduite de l’instance. Sauf accord
contraire des parties, il est acquis que l’arbitre est libre d’user des mesures d’instruction de
son choix et n’a pas à mettre en œuvre tout ce qui est demandé par une partie.
7 Piero Bernardini, The Role of the International Arbitrator, LIBER AMICORUM CLAUDE REYMOND
2 (2004).
8 Gabrielle Kaufmann-Kohler, Globalization of Arbitral Procedure, 36 VANDERBILT J. TRANSNAT’L
L. 1331 (Oct. 2003) writes:
The common-law system is often described as adversarial in that the court has a passive role
and the presentation of the evidence is left to the parties. By contrast, civil-law systems are
regarded as inquisitorial with the judge assuming an active rule in the taking of evidence,
sometimes specifying the facts upon which evidence is required, and directing the parties to
produce specific proof. However, this clear-cut divide between inquisitorial and adversarial
concepts is an oversimplification. Important differences exist within the civil-law system.
For instance, a German judge’s approach would be truly inquisitorial, while French civil
procedure is actually much closer to an adversarial system.
9 Arbitration Act 1996 of England § 23 (see Appendices, pp. 264–65).
10 Id. § 25(1–3) (see Appendices, pp. 265–66).
11 Id. § 4(4) (see Appendices, p. 257).
The mission of arbitrators in the great majority of cases is to settle the dispute in lieu
of a court in accordance with the applicable law. This mission also defines the scope of
their authority. Only rarely do arbitrators have wider powers to settle the dispute
ex aequo et bono or according to some other standard. Their decision making is thus
tied to the applicable substantive law.13
The rules as to the “burden of education” attempt to answer how the arbitrators are
to gain the necessary expertise in the applicable material law to fulfill their mission to
resolve the dispute in accordance with it.14 An arbitrator may at the outset already have
l’expert du droit. Les parties n’ont pas le devoir de prouver la règle de droit: elles se conten-
tent de lui donner les faits et, quelles que soient les explications juridiques qu’elles avancent à
cet égard, il « peut et doit d’office examiner la situation sous tous ses aspects juridiques ». Il
garde lamaîtrise du choix des règles de droit comme celle de leur interpretation. Dès lors, il
ne peut ni ne doit avoir besoin de s’adresser à un tiers pour ce faire. Le Code franòais de
procedure civile l’affirme en deux temps: l’article 232 énonce d’abord que « Le juge peut com-
mettre toute personne de son choix pour l’éclairer [. . .] sur une question de fait qui requiert
les lumières d’un technician », puis tire la conclusion qui s’impose à l’article 238 al. 3 en
précisant que ce dernier « ne doit jamais porter d’appréciations d’ordre juridique ». En droit
Suisse, la loi de procédure civile genevoise dispose en son article 255 que le juge peut «
s’éclairer sur une question de fait », et la loi de procedure civile vaudoise (art.220) admet
également l’expertise pour « certifier une circonstance ou un état de fait » (comp. La loi de
procédure civile fédérale qui prévoit en son article 57 l’assistance de l’expert « lorsque le juge
doit être éclairé sur des circonstances de la cause qui exigent des connaissances spéciales »).
15 Gabrielle Kaufmann-Kohler, supra note 8, at 1331:
The status of the substantive law in international arbitration is an issue on which no consensus
has yet emerged. The main question is whether the parties must prove the law in the same
fashion as they prove the facts, or whether the arbitral tribunal is free to establish and assess
the contents of the law. In court, this question only arises with respect to foreign law. In
international arbitration, it arises with respect to any law. An arbitral tribunal has no lex
fori and hence no “foreign” law. Or differently put, it has only foreign law. Whatever the
perspective, the issue is the same.
16 Id. at 1332:
In international arbitration, there appears to be no uniform practice. There may be a trend to
produce the evidence of legal experts, at least when none of the members of the arbitral tri-
bunal is familiar with the applicable law. Beyond this trend the conceptions vary.
Gabrielle Kaufmann-Kohler, Iura Novit Arbiter—est-ce bien raisonnable? Réflections sur le
statut du droit de fond devant l’arbitre international, DE LEGEL FERENDA, RÉFLECTIONS SUR LE
DROIT DÉSIRABLE EN L’HONNEUR DU PROFESSEUR ALAIN HIRSH 142 (2004) writes:
Pour dissiper le flou, la formule suivante semble apte à répondre aux besoins, tout en intégrant
les traditions procedurals opposées qui sont en présence: les parties allèguent et établissent le
droit de fond; l’arbitre a la faculté, mais non l’obligation de faire ses propres recherches; s’il
fait usage de cette faculté, l’arbitre donne aux parties l’occasion de s’exprimer (que l’absence
The powers of the arbitrators to administer and grant relief are to be determined based
on a number of grounds. Primarily, the powers are defined by the mandate in abstracto
and limited to the freedom of contract: the arbitrators may not go beyond what the
parties could have agreed on to settle the dispute. The powers are not limited to what a
court could do or could have done any more than to the formalities of court proceed-
ings.18 These powers are reflected in the jura novit arbiter powers and the mission and
the duty of arbitrators to work toward establishing the facts in accordance with the
mandate in abstracto. An international arbitration agreement as such is often suprana-
tional in its character, and as such generally is not subject to any rules other than inter-
national due process and the due process of the seat of arbitration that lies beyond the
agreement of the parties.
Secondarily, the powers of the panel are limited by the mandate in concreto (i.e., the
arbitration agreement and any underlying agreement). They define how the proceed-
ings are to be conducted and what are the substantive remedies and the available
relief.19 The mandate in concreto is protected by due process as provided in the
Convention and, as such, within the mandate in abstracto and a part thereof. The man-
date in concreto is subject to ordre public in substance and due process as to proce-
dural issues.
Thirdly, the powers of the arbitral panel are limited by the relief sought as reflected
in the ultra petita doctrine. The possible collusion between the jura novit arbiter and
ultra petita doctrines are to be solved by consultations. In order to grant relief (i.e.,
“give justice”), the arbitral panel must know the law and establish the facts. Knowledge
d’une telle occasion donne lieu à recours ou non); si le droit normalement applicable n’est pas
établi sur un point déterminé, l’arbitre applique (sur ce point seulement) un droit proche du
droit normalement applicable ou une règle transnationale. Cette formule peut évidemment
être adaptée et précisée en fonction de l’accessibilité du droit de fond dans un arbitrage
donné. Certains me diront peut-être qu’elle reflète d’ores et déjà la pratique. C’est possible;
n’empêche que si elle est effectivement utilisée, elle est rarement exprimée en toutes letters.
Une articulation plus nette et une diffusion plus large permettront à la formule de s’ancrer
dans les esprits. Une fois établie, elle viendra completer le corps de règles transnationales du
droit de l’arbitrage.
17 See Model Law Decisions: Trustees of Rotoaira Forest Trust v. Attorney-General, High Court
of New Zealand, Auckland Registry (Fisher, J), 30 Nov. 1998, Original in English, unpub-
lished.
18 If this is not accepted, we should ask what restraints may be imposed on these powers by the
courts or statutory law of a country.
19 E.g., entire agreement clauses limiting the admissibility of evidence and “sole and exclusive
remedy” clauses limiting the relief available.
The role of the panel is usually relatively active due to the nature of arbitration as a
dispute resolution mechanism. The panel usually has a great margin of discretion in
choosing the way the procedure will be conducted. However, the panel also has to
work towards achieving a fair and just result in the proceedings while remaining
impartial and keeping up the image of objectivity. Finally, while being active and
effectively managing the procedure, the panel has to remember to reserve to the parties
a fair opportunity to be heard.
SUMMARY 183
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Chapter 8
Fair trial is a classical concept. It can be classified as a transnational principal that all
people are entitled to a fair trial in determination of their civil rights and obligations.
Arbitration is a substitute for a court trial in state court, but there is no exception to the
application of some transnational procedural safeguards. Thus due process require-
ments (or lex proceduralia as named above) can also be placed under the concept of
fair arbitration.
Fair arbitration includes the idea that the process should be accessible. The question
of accessibility has been discussed in context of jurisdiction and more specifically with
regards to the arbitration agreement. The idea is that to be valid and enforceable, an
arbitration agreement has to also de facto allow if not guarantee access to arbitration.
Access is the starting point, as it means it is possible for a party to both initiate and go
through the proceedings to enforce its substantive rights in arbitration.
The core of fair arbitration is the fairness of the procedure itself, including equality
of arms (i.e., no party should be at a disadvantage vis-à-vis the other(s)), reasonable
opportunity to present one’s case, and the principle and rule of audiatur altera pars.
This means that access to arbitration is not enough, as the procedure itself has to
also be fair. The fairness of the procedure is an intrinsic value, but it also has an instru-
mental dimension. If the procedure is fair, substantive rights are more likely to be
enforced.
What kind of arbitration is fair then? It is clear a party has to be able to effectively
participate in the proceedings. This general idea has plenty of practical derivatives in
the way proceedings have to be conducted. Both of the parties have to have equal
opportunities to participate. It is a good question, however, in what extent this means
plain equality or actual factual equality.
In addition, it is clear that independence and impartiality of the tribunal are a part of
the fairness requirement. The meaning of these requirements in arbitration has been
discussed above.
185
8.2 EQUALITY OF ARMS AND REASONABLE OPPORTUNITY TO
PRESENT ONE’S CASE
First, the right to be heard and the opportunity to present one’s case provide for the
parties to be informed of the proceedings. Besides the formal and direct parties to the
arbitration agreement, there may be others in such a position with respect either to
the parties or the dispute that they should be heard or given an opportunity to participate
in some a capacity or at a minimum given notice such proceedings are pending. Such
an action may be compulsory or may require consent by the parties to the dispute.
The following are examples of such situations:
(i) if a contracting party files a claim against a guarantor or indemnitor for the failure
or breach of the principal debtor prior to the initiation of any proceedings against
the principal debtor (or the final decision in such proceedings initiated), the
principal debtor may have to be heard;
(ii) if a guarantor or indemnitor raises a defense or counterclaim for setoff that the
principal debtor would have been entitled to raise or claim, but such a defense or
counterclaim has not yet been raised by the debtor or decided by any court or
arbitral tribunal, the principal debtor may have to be heard;
(iii) if a debtor raises defenses or counterclaims against an assignee of rights, which
defenses or counterclaims relate to the assignor’s failures or breaches under the
assigned agreement prior to the effective date of the assignment or thereafter,
the assignor may have to be heard;1
Fair arbitration also sets standards on the way parties should be able to participate.
The basic rule is the requirement of equality and full opportunity to participate.
As Article 18 of UNCITRAL Model Law on international arbitrations states:
The parties shall be treated with equality and each party shall be given a full oppor-
tunity of presenting his case.2
This provision has been called the “Magna Carta of arbitral procedure.”3 It means
inter alia:
1) right to all information in submissions; proper notice of the initiation of the pro-
ceedings must be given. Proper notice implies reasonable time to prepare the case
and full disclosure of the parties and the claims made and reference to the rules
applicable, if any;4
notice of the time and place of the arbitration hearing, but nevertheless fails to be present, the
arbitrator may proceed with the hearing in the party’s absence. Most state statutes contain
express provisions on default. The UAA, for example, states that “the arbitrators may hear
and determine the controversy upon the evidence produced notwithstanding the failure of a
party duly notified to appear” (Sect. 5).
5 Swiss Rules Art. 20 (see Appendices, pp. 465–66).
6 See Model Law Decisions: Paklito Investments Ltd. v. Klockner East Asia Ltd., High Court of
Hong Kong, 15 January 1993, published in English: [1993] 2 HKLR 39; ICCA Yearbook,
1994 Hong Kong No. 6. “The enforcement of award may be refused where party has not been
given a fair opportunity to present its case.” The Helsinki Court of Appeals did just this in its
decision on 26.6.2003 (S 02/3757) when it set aside an arbitral award because of the arbitra-
tor’s failure to give a party a reasonable opportunity to answer to a plea of prescription (10-year
statute of limitation) on which the arbitrator based his award.
7 The right to discovery or production of documents is, however, limited in the discretion of the
panel. Gabrielle Kaufmann-Kohler & Philippe Bärtsch, Discovery in International Arbitration:
How Much is Too Much? ZEITSCHRIFT FÜR SCHIEDSVERFAHREN 17 [German Arbitration Journal],
Part 1 (2004) write:
However, one can see two situations in which an award would run a risk of annulment or
non-enforcement for the reason that the arbitrator did not allow discovery. This is so, first, if
the parties have agreed on discovery. Under some national laws an award may be annulled
because the arbitral tribunal did not follow the procedure agreed by the parties. The same is
true with respect to non-enforcement of awards under Article V(d) New York Convention.
Second, one cannot rule out that the refusal to order production of documents may in certain
circumstances be a breach of a party’s opportunity or right to be heard. Such right includes
the right to present evidence in support of one’s case. If a party lacks documents indispens-
able to establish relevant facts for which it bears the burden of proof and such documents are
demonstrably within the control of its opponent, one could reasonably argue that a refusal to
grant a production request may deprive the party seeking discovery from its opportunity to be
heard.
The requirement of equality and full opportunity to participate is perhaps the most
fundamental rule of due process and ordre public. A natural comparison to the model
law is the European Human Rights Convention (ECHR) Article 6(1):
In the determination of his civil rights and obligations or of any criminal charge
against him, everyone is entitled to a fair and public hearing within a reasonable
time by an independent and impartial tribunal established by law. Judgment
shall be pronounced publicly but the press and public may be excluded from all or
part of the trial in the interests of morals, public order or national security in
a democratic society, where the interests of juveniles or the protection of the
private life of the parties so require, or to the extent strictly necessary in the opinion
of the court in special circumstances where publicity would prejudice the interests
of justice.
Some of the requirements set in Article 6(1) are irrelevant for arbitration and waived
when a party enters into an arbitration agreement, but the hard core of the opportunity
to participate is the same. It is deeply rooted in the tradition of various systems of justice.
The content of the most fundamental procedural principles is further explained in
ECHR Article 6(3) concerning criminal charges:
Everyone charged with a criminal offence has the following minimum rights:
a. to be informed promptly, in a language which he understands and in detail,
of the nature and cause of the accusation against him;
b. to have adequate time and facilities for the preparation of his defence;
c. to defend himself in person or through legal assistance of his own choosing
or, if he has not sufficient means to pay for legal assistance, to be given it free
when the interests of justice so require;
d. to examine or have examined witnesses against him and to obtain the
attendance and examination of witnesses on his behalf under the same conditions
as witnesses against him;
e. to have the free assistance of an interpreter if he cannot understand or speak
the language used in court.
Even though it is obvious that criminal matters are not resolved in international com-
mercial arbitration, the article opens the idea of participation as a procedural principle.
9 3. In the determination of any criminal charge against him, everyone shall be entitled to the
following minimum guarantees, in full equality:
(a) To be informed promptly and in detail in a language which he understands of the nature
and cause of the charge against him;
(b) To have adequate time and facilities for the preparation of his defence and to communi-
cate with counsel of his own choosing;
(c) To be tried without undue delay;
(d) To be tried in his presence, and to defend himself in person or through legal assistance of
his own choosing; to be informed, if he does not have legal assistance, of this right; and to
have legal assistance assigned to him, in any case where the interests of justice so require, and
without payment by him in any such case if he does not have sufficient means to pay for it;
(e) To examine, or have examined, the witnesses against him and to obtain the attendance and
examination of witnesses on his behalf under the same conditions as witnesses against him;
(f) To have the free assistance of an interpreter if he cannot understand or speak the language
used in court;
(g) Not to be compelled to testify against himself or to confess guilt.
International Covenant on Civil and Political Rights, Adopted and opened for signature, ratifi-
cation and accession by U.N. General Assembly Resolution 2200A (XXI) of 16 Dec. 1966,
entry into force 23 Mar. 1976, in accordance with Article 49.
10 See Dominique Hascher, Principles et Pratiques de Procédure dans l’arbitrage Commercial
International, in RECUEIL DES COURS: COLLECTED COURSES OF THE HAGUE ACADEMY OF
INTERNATIONAL LAW 108, Tome 279 de la Collection 126 (1999).
11 Hascher writes, supra note 10, at 129:
L’égalité procédurale entre les parties n’exige en rien d’étendre à l’une la mesure prise à
l’égard de l’autre. L’insonomie procédurale n’a pas de sens, sinon de contrarier l’efficience
de la procédure.
12 Arbitration Act 1996 of England § 36 (see Appendices, p. 270). Holtzmann, supra note 4, at 23
reports:
Although the right to be represented by a lawyer is not expressly mentioned in the FAA, it is
considered to be a fundamental right. Many state arbitration statutes contain specific provi-
sions that a party has a right to be represented by a lawyer and that this right cannot be waived
in advance (UAA, Sect. 6). Reflecting this same principle, all of the rules under which the
AAA conducts commercial domestic or international arbitration expressly provide that any
party may be represented by a lawyer.
13 Arbitration practice contains instances where counsel has in casu been denied the right to be
present unless certain misbehavior was corrected as a disciplinary measure. Nane Oganesyan
writes in Law Firms Again Admitted Before the Russian Arbitrazh Courts to Enforce Arbitral
Awards, 9 IBA ARB.& ADR NEWSLETTER 77 (International BAR Association Section on
Business Law) (Oct. 2004):
On 16 July the Russian Constitutional Court recognised as unconstitutional the provisions of
these laws in respect of the exclusive rights of advocates to appear in court and these provi-
sions were struck out. The Constitutional Court held that the constitutional principle of equal
rights is violated by placing advocates and their associations in a privileged position with
regard to other organizations providing legal services.
The conflict between the right to present one’s case and the timeliness of the proceed-
ings is probably one of the most difficult problems in many proceedings. In many cases
it is natural to assume the parties know how much time is needed to prepare their pre-
sentations in the various phases of the proceedings so as to participate efficiently.
However, in many cases one of the parties (normally the respondent) is not so eager to
get to the award in the case. There might be attempts to abuse procedural rights in
order to stall the proceedings. Even though the tribunal has to allow the parties the
opportunity to present their case so as to work toward a correct resolution, the tribunal
cannot always allow the parties to have all the time they claim necessary for preparation.
Timeliness is also one of the criteria of fair trial, and the tribunal has to control the
proceedings to guarantee it. However, if the tribunal sets strict time limits for partici-
pation or excludes certain claims, facts, or evidence after the deadline, a party may at
least claim later that it was not given a reasonable opportunity to present its case.
Expediency has at least two important dimensions. First, getting an award in a rea-
sonable time is an important prerequisite, or better, a part of the effective enforcement
of substantive rights. One of the benefits of arbitration is definitely timeliness, and
other procedural rights cannot lead to this benefit being lost. Timeliness can be seen
not only as a part of the mandate in concreto, but also a part of the mandate in abstracto.
However, the limits set in the practice of the ECHR for state courts are probably not a
reasonable comparison for arbitral proceedings. Thus, the standard of timeliness has to
be taken from other arbitral proceedings. The paradox is that setting limits that are too
strict could put the enforceability of the award at risk. Second, the longer the process
is, the more expensive it generally becomes. This is another good reason to manage the
proceedings effectively. As the IBA Ethics state:
All arbitrators should devote such time and attention as the parties may reasonably
require having regard to all the circumstances of the case, and shall do their best to
15 IBA Rules of Ethics for International Arbitrators 7 (1987) (“IBA Rules”); Gabrielle Kaufmann-
Kohler. Qui contrôle l’arbitrage? Autonomie des parties pouvoirs des arbitres at principe
d’efficacité, in LIBER AMICORUM CLAUDE REYMOND 164 (2004) writes:
En résumé, tant la mission juridictionelle de l’arbitre que le contrat d’arbitre, compris comme
l’investiture donnant à l’arbitre les moyens de juger, peuvent justifier des pouvoirs accrus de
l’arbitre au service de l’efficacité du processus arbitral. Ces deux fondements se rejoignent
pour donner à l’arbitre un statut renforcé.
16 Gabrielle Kaufmann-Kohler, Beyond Gadgetry—Substantive New Concepts to Improve
Arbitral Efficiency, 5 J. WORLD INVESTMENT & TRADE 70 (Feb. 2004) writes:
The calendar must be realistic. “Le mieux est l’ennemi du bien.” If the calendar is too tight,
if the time limits are too short, if you have no “float time,” as construction people would say,
then it will not work. You will not keep your calendar. If there is just one delay on the critical
path, then it will disrupt the entire course, since you have covered the entire arbitration. The
calendar should be non-extendable. As a rule, no extension. Remember, the calendar is real-
istic, so this should not be a problem. In any event, no postponement of the hearings dates.
Obviously, force majeure is always expected. Obviously, it would have to be spelled out in
advance very clearly that there will be no extensions, and then people will take the dates
seriously and work accordingly. Efficiency can be gained not only through an all-inclusive,
firm schedule but also through a well-managed hearing. That is my second point. Hearing
management starts at the very outset of the arbitration, at the initial procedural hearing, when
you discuss how the evidentiary hearing will proceed. It then continues with a pre-hearing
conference where you clear the way, you resolve all outstanding organizational and proce-
dural issues in advance. This will save time at the hearing, avoid last-minute surprises and
make sure that everybody prepares with the correct focus.
17 Dominique Hascher, Principles et Pratiques de Procédure dans l’arbitrage Commercial
International, in RECUEIL DES COURS: COLLECTED COURSES OF THE HAGUE ACADEMY OF
INTERNATIONAL LAW 108, Tome 279 de la Collection (1999).
18 For an example of an arbitrator’s failure to render an award expeditiously (over 10 years), see
Hong Huat Development Co. (Pte) Ltd. v. Hiap Hong & Co. (Pte) Ltd. [2000] 2 SLR 609.
19 Swiss Rules Art. 40(2) (see Appendices, p. 473).
20 ICC Rules Art. 19 (see Appendices, p. 411).
21 Japan Act § 31:
(1) Within the period of time determined by the arbitral tribunal, the claimant (which herein-
after means the party that carried out the act to commence the arbitral proceedings) shall state
the relief or remedy sought, the facts supporting its claim and the points at issue. In such case,
the claimant may submit all documentary evidence it considers to be relevant or may add a
reference to the documentary evidence or other evidence it will submit.
(2) Within the period of time determined by the arbitral tribunal, the respondent (which here-
inafter means any party to the arbitral proceedings other than the claimant) shall state its
defense in respect of the particulars stated according to the provisions of the preceding para-
graph. In such case, the provisions of the latter part of the same paragraph shall apply.
(3) Any party may amend or supplement its statement during the course of the arbitral pro-
ceedings. Provided, the arbitral tribunal may refuse to allow such amendment or supplemen-
tation if made in delay.
(4) The preceding three paragraphs shall not apply when otherwise agreed by the parties.
(Arbitration Law No 138 of 2003 of Japan as reported and translated into English by the Japan
Commercial Arbitration Association and by Professor Yoshimitsu Aoyama et alia). See also
ICC Rules Art. 22(1) (see Appendices, pp. 364–65). See also Dominique Hascher, La Révision
en Arbitrage International, LIBER AMICORUM CLAUDE REYMOND 127 (2004):
La notion de clôture de l’instruction revêt une grande importance puisque, sauf circonstances
exeptionnelles, aucune pièce ne devrait être communiquée au tribunal arbitral après la date
de clôture fixée pour les échanges ou les débats afin de respecter l’égalité des droits entre les
parties ainsi qu’un minimum de loyauté.
22 Arbitration Act 1996 of England § 34(3) (see Appendices, pp. 269–70).
23 AAA Rules 35 and 36 (American Arbitration Association, Commercial Arbitration Rules and
Mediation Procedures (Including Procedures for Large, Complex Commercial Disputes), as
Amended and Effective on June 1, 2009) (see Appendices, p. 239).
Both court procedures and arbitration end in a decision by the tribunal. Without such
a decision being reached, the procedure does not perform the task of providing a way
to enforce the substantive rights of the parties. However, the publicity requirements of
court procedures regarding judgments that are fundamental rights of the parties are not
applicable in arbitration.
In arbitration, the proceedings are usually terminated by an award, although some
exceptions may occur that result in there not being a final award. This may be due to
settlement or agreement of the parties or their “veto.”24 UNCITRAL Model Law
Article 32 provides:
(1) The arbitral proceedings are terminated by the final award or by an order of the
arbitral tribunal in accordance with paragraph (2) of this article.
(2) The arbitral tribunal shall issue an order for the termination of the arbitral pro-
ceedings when:
(a) the claimant withdraws his claim, unless the respondent objects thereto and
the arbitral tribunal recognizes a legitimate interest on his part in obtaining a
final settlement of the dispute;
(b) the parties agree on the termination of the proceedings;
(c) the arbitral tribunal finds that the continuation of the proceedings has for any
other reason become unnecessary or impossible.
(3) The mandate of the arbitral tribunal terminates with the termination of the arbi-
tral proceedings, subject to the provisions of articles 33 and 34(4).
The award is given after deliberation of the tribunal. The discretion of the panel and
its deliberations belong to the exclusive powers of the arbitrators and there should be
no outside involvement or intervention in this process.25 The mandate and jurisdiction
are given to a specific panel of arbitrators, and they are the ones who have to make the
decision. Outside involvement might seriously hurt the appearance of independence
and impartiality of the tribunal. It might also confuse the relationship of evidence and
decision making in the procedure. The tribunals’s consultation with the parties may,
AWARD 197
The award should be clear and specific so as to allow enforcement.30 Should this not
be the case, the award may need to be interpreted or explained by the panel or alterna-
tively by a court.31
UNCITRAL Model Law provides in Article 33:
(1) Within thirty days of receipt of the award, unless another period of time has
been agreed upon by the parties:
(a) a party, with notice to the other party, may request the arbitral tribunal to
correct in the award any errors in computation, any clerical or typographical
errors or any errors of similar nature;
(b) if so agreed by the parties, a party, with notice to the other party, may
request the arbitral tribunal to give an interpretation of a specific point or part
of the award. If the arbitral tribunal considers the request to be justified, it shall
make the correction or give the interpretation within thirty days of receipt of the
request. The interpretation shall form part of the award.
(2) The arbitral tribunal may correct any error of the type referred to in paragraph
(1)(a) of this article on its own initiative within thirty days of the date of the
award.
(3) Unless otherwise agreed by the parties, a party, with notice to the other party,
may request, within thirty days of receipt of the award, the arbitral tribunal to make
an additional award as to claims presented in the arbitral proceedings but omitted
from the award. If the arbitral tribunal considers the request to be justified, it shall
make the additional award within sixty days.
(4) The arbitral tribunal may extend, if necessary, the period of time within which
it shall make a correction, interpretation or an additional award under paragraph (1)
or (3) of this article.
(5) The provisions of article 31 shall apply to a correction or interpretation of the
award or to an additional award.
In complex arbitration proceedings there may be numerous rulings, orders, deci-
sions, and awards in sequence as opposed to a proceeding where only a single final
award is required. If the panel issues interim or partial awards, time may be gained and
costs saved, but the panel may become tied to something that it wishes to amend in
light of facts emerging later in the proceedings. The earlier award may, however, con-
stitute res judicata and bar such a remedy. Traditionally interim awards are perhaps
30 ICC Rules Art. 35 (see Appendices, p. 416). See also Martin Platte, An Arbitrator’s Duty to
Render Enforceable Awards, 20 J. INT’L ARB. (June 2003).
31 See Section 6.7(a) Control by the Parties. Holtzmann, supra note 4, at 29 reports:
The FAA provides that, upon application of a party, the federal court in the district where the
award was made may make an order modifying or correcting the award (i) where there was a
miscalculation of figures or mistake in the description of a person or thing referred to in the
award; (ii) where the arbitrators have awarded upon a matter not submitted to them; or
(iii) where the award is imperfect in a matter of form not affecting the merits of the contro-
versy (Sect. 11). Similar provisions are contained in many state arbitration statutes (UAA
Sect. 13). The limited circumstances in which courts are permitted to modify awards in
certain cases involving patents are discussed in Chap.II.3.a.i above.
8.6 SUMMARY
Fair arbitration is a fair trial with a twist of ADR. The concepts of fair trial and fair
hearing are deeply rooted in the legal and procedural traditions of various countries.
Despite arbitration being different, it still shares the same deep-level structures as court
procedures. Of all the ADR methods, arbitration is the closest to ordinary procedure,
so sometimes it is not even counted as an alternative method. Essential is the idea that
one or more neutral third persons resolves the dispute. That is why the parties have to
be guaranteed inter alia a right to inform the dispute resolvers properly, take part in the
SUMMARY 199
procedure effectively, and make certain the dispute resolvers are impartial. The structure
of arbitration as a dispute resolution method leads to the need for legal protection at the
deepest level being basically the same as in court procedures, and partly maybe being
even more effective to address some arbitration-specific problems.
A strong tradition of fair trial in many legal cultures makes the fair arbitration
requirements a strong set of norms. It is in part difficult to construct a transnational due
process of law in areas which are very arbitration-specific and in some cases even
technical. But leaning on the shared basic ideology of what a fair procedure in a court,
whether private or state run, should be like ought to provide good guidance even with
the most difficult problems.
Fair arbitration means that parties need to have access to the tribunal, and the pro-
cedure itself has to follow the fundamental ideas of fairness, equality of arms, reason-
able opportunity to present one’s case and the principle and rule of audiatur alteram
pars. Fairness of the procedure is an intrinsic value, but it also has an instrumental
dimension. If the procedure is fair, substantive rights are more likely to be enforced.
201
Due process requirements can be seen to refer especially to all the more or less
black letter law minimum requirements in arbitration, perhaps more specifically the
international minimum requirements. The analysis focuses on the requirements explic-
itly relevant for enforcement, specifically using the Convention as a starting point (as
occurs in Chapter 2 of this book). We might also pay attention to the possibly appli-
cable human rights conventions, especially the European Convention on Human Rights
(ECHR). In the analysis, we would discover that an arbitration agreement may validly
limit access to courts and the right to a court hearing may be waived. However, the
quality standards of a fair trial are still applicable indirectly unless waived, as the
States have to provide for protection of the rights guaranteed in the ECHR. So, human
right conventions and their related interpretations could be a second source for
minimum rules concerning arbitration procedure. Clear rules such as minimum
requirements can also be found in the international soft law regarding arbitration
(e.g., guidelines).
The principle of fair arbitration basically refers to the same set of norms and require-
ments as due process. However, a minor difference in the approach might be con-
structed into the terminology. Fair arbitration might be seen more as a principle
referring to quality standards in the procedure. This way, the idea of fair arbitration
would not refer to just the utter minimum limits for the procedure, but to the maximum
of fairness in the proceedings. Thus, the term would refer more to the idea that proce-
dural standards have to be taken seriously and that ignoring the procedural standards
might lead to problems as opposed to being concerned with the exact content of the
minimum requirements. As principles, fairness requirements would penetrate basi-
cally all the decisions in the proceedings.
Lex proceduralia, on the other hand, would refer more to the legal theoretical nature
of due process requirements and fair arbitration. The international procedural require-
ments discussed in this book share the nature of lex mercatoria in that they are a set of
norms that floats above national jurisdictions and various systems of soft law. The
binding force of the lex proceduralia is not based on its formal authority, but rather on
its effect as an interpretive framework for other norms and the filling in of gaps in the
law, along with the more directly binding force of other legal institutions. Also, lex
proceduralia refers to the international and customary nature of the body of law in
question instead of being just a part of the national formally valid system of norms.
All three of these concepts are facets of the same phenomena: transnational law on
good procedure. They all illustrate the idea that in arbitral proceedings as well, the par-
ties have procedural rights that have to be taken seriously, even if it might seem at first
glance that arbitral tribunals and the agreements of the parties are very independent.
A natural comparison to arbitration in many ways is also the wide field of ADR
(alternative dispute resolution). However, in arbitration it is not the parties but the
arbitrator who resolves the dispute. This means the parties need to be able to have
reasonable input into the proceedings. They also need to be able to trust the panel to be
fair and the award to be legitimate.
Procedural aspects are important for the same reasons as in ordinary procedure,
which go beyond enhancing the substantive correctness of the decision. The better the
opportunities the parties have to provide a basis for the decision are, the more
It is essential from both a practical and theoretical perspective to consider what due
process requirements mean and what kind of legal arguments they inspire. The above
analysis of three facets of due process already partly explains the models of argumen-
tation or at least opens the discussion. How should the fundamental procedural require-
ments be constructed and applied as norms?
In this book, the core of procedural minimum standards was first approached by
studying the New York Convention on the Recognition and Enforcement of Foreign
Arbitration Awards (“the Convention”). The meaning of due process was seen to be
bound with the international unenforceability of the award. Later on, national legisla-
tion and different kinds of international soft law as well as human rights conventions
were used in defining the content of due process in commercial arbitration.
Application of the law in arbitration is sufficiently difficult without having to explain
how to use lex proceduralia (or norms of due process and/or fair arbitration) in argu-
mentation. First, we have to determine the applicable law, which may be quite compli-
cated indeed. Second, and at least theoretically more importantly, we have to deal with
different kinds of sets of soft law. Neither the national arbitration laws nor the agree-
ments of the parties normally provide very specific rules of how to conduct the pro-
ceedings, although different sets of institutional rules, guidelines, and model laws are
available to fill in the gaps. Accordingly, the application of law in arbitral proceedings
is not very simple unless we believe the margin of discretion granted to the decision
makers is not only free of exact rules but of any normative impulses.
Lex proceduralia arguments in a way form a third layer of applicable norms. They
partly share the normative character of soft law by not being (at least directly) formally
binding, or better, formally applicable (at least when it comes to using them as prin-
ciples of fair arbitration). But they also share an authoritative and institutional basis
similar to fundamental rights in national legislation. Naturally, their normative nature
has consequences on how the arguments function.
Some norms in the body of law regarding fair arbitration are very much rule-like and
thus in fact easily formulated as due process minimum requirements. For example, a
party cannot act as an arbitrator in his own case. That is an absolute rule, even if a national
arbitration law of some country would accept it. The rule is also easily definable.
However, much more often this is not the case, but principles of fair arbitration are
still relevant for deciding about the procedure and interpreting the different kinds of
norms and rules applicable. For example, whether an arbitrator is considered impartial
despite a minor business contact years before the proceedings depends very much of the
Fairness and finality could easily be set in conflict with each other. As the procedural
rights of the parties can be enforced mostly only after the proceedings by challenging
the arbitral award, enforcing procedural rights means compromising the finality of
1 See inter alia, Sarosh Zaiwalla, Challenging Arbitral Awards: Finality is Good but Justice is
Better, J. INT’L ARB. 199 (2004).
With a bit of effort, due process requirements could be divided into two groups. First,
there are requirements related to the jurisdiction of the tribunal, the arbitration agree-
ment, and the guarantee of adequate access to justice. This means that in interpreting
normative material and applying it to a case in arbitration, we have to remember that
as a usually exclusive method of dispute resolution, arbitration has to be available
(access to arbitration). Arbitration also has to be of such nature that it de facto makes
it possible for a party to enforce his substantive rights. In addition, it has to be a reason-
able substitute for normally available court proceedings. As arbitration limits access to
ordinary courts, it is important the limitation be lawful. The requirements related to
arbitration agreement and jurisdiction, as well as in part the requirements related to the
composition of the tribunal, are control of the limitations of access to courts. The more
inexpensive, certain, timely, and fair the proceedings are, the better they guarantee
access to justice.
Second, there are more direct procedural requirements. The core of fair arbitration
is the fairness of the procedure itself, equality of arms, reasonable opportunity to pres-
ent one’s case, and the principle and rule of audiatur altera pars. This means that
access to arbitration is not enough—the procedure itself has to be fair as well. Fairness
of the procedure has to be respected as an intrinsic value, but it also has an instrumen-
tal dimension. If the procedure is fair, substantive rights are often more likely enforced
in the procedure. Also, fairness means that a party has to be able to effectively and
equally participate in the proceedings.
Basically, fairness requirements in arbitration are very similar to those in general
court procedure, and a lot could be learned about fair arbitration by further analysis of
fair trial. The two relatively separate disciplines should be brought closer together.
However arbitration naturally sets the norms in quite a different context compared to
state courts. Yet, fair arbitration should not be seen as a poor man’s version of fair
procedure. The flexibility of arbitration should not be understood as resulting in there
being no restraints on using the margin of discretion on procedural decisions. Due
process principles should be seen as guidelines of interpretation to fill in the gaps and
direct the application of procedural norms. In this scenario, flexibility of arbitration
could result in a procedure that could actually guarantee access and fairness better than
its well-established comparison: the court procedure.
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AAA Rules 1
IMPORTANT NOTICE
These rules and any amendment of them shall apply in the form in effect at the time the
administrative filing requirements are met for a demand for arbitration or submission
agreement received by the AAA. To ensure that you have the most current informa-
tion, see our Web Site at www.adr.org.
INTRODUCTION
Each year, many millions of business transactions take place. Occasionally, disagree-
ments develop over these business transactions. Many of these disputes are resolved
by arbitration, the voluntary submission of a dispute to an impartial person or persons
for final and binding determination. Arbitration has proven to be an effective way to
resolve these disputes privately, promptly, and economically.
The American Arbitration Association (AAA), a not-for-profit, public service organi-
zation, offers a broad range of dispute resolution services to business executives, attor-
neys, individuals, trade associations, unions, management, consumers, families,
communities, and all levels of government. Services are available through AAA head-
quarters in New York and through offices located in major cities throughout the United
States. Hearings may be held at locations convenient for the parties and are not limited
1 © 2009 American Arbitration Association, Inc. All rights reserved. These Rules are the copy-
righted property of the American Arbitration Association (AAA) and are intended to be used
in conjunction with the AAA’s administrative services. Any unauthorized use or modification
of these Rules may violate copyright laws and other applicable laws. Please contact
800.778.7879 or [email protected] for additional information.
221
to cities with AAA offices. In addition, the AAA serves as a center for education
and training, issues specialized publications, and conducts research on all forms of
out-of-court dispute settlement.
The parties can provide for arbitration of future disputes by inserting the following
clause into their contracts:
Any controversy or claim arising out of or relating to this contract, or the breach
thereof, shall be settled by arbitration administered by the American Arbitration
Association under its Commercial Arbitration Rules, and judgment on the award
rendered by the arbitrator(s) may be entered in any court having jurisdiction
thereof.
Arbitration of existing disputes may be accomplished by use of the following:
The parties also agree that the AAA Optional Rules for Emergency Measures of
Protection shall apply to the proceedings.
These Optional Rules may be found below.
The services of the AAA are generally concluded with the transmittal of the award.
Although there is voluntary compliance with the majority of awards, judgment on the
award can be entered in a court having appropriate jurisdiction if necessary.
ADMINISTRATIVE FEES
The AAA charges a filing fee based on the amount of the claim or counterclaim. This
fee information, which is included with these rules, allows the parties to exercise con-
trol over their administrative fees.
The fees cover AAA administrative services; they do not cover arbitrator compensa-
tion or expenses, if any, reporting services, or any post-award charges incurred by the
parties in enforcing the award.
The parties might wish to submit their dispute to mediation prior to arbitration. In
mediation, the neutral mediator assists the parties in reaching a settlement but does not
have the authority to make a binding decision or award. Mediation is administered by
the AAA in accordance with its Commercial Mediation Procedures. There is no addi-
tional administrative fee where parties to a pending arbitration attempt to mediate their
dispute under the AAA’s auspices.
If the parties want to adopt mediation as a part of their contractual dispute settlement
procedure, they can insert the following mediation clause into their contract in con-
junction with a standard arbitration provision:
If a dispute arises out of or relates to this contract, or the breach thereof, and if the
dispute cannot be settled through negotiation, the parties agree first to try in good
faith to settle the dispute by mediation administered by the American Arbitration
Association under its Commercial Mediation Procedures before resorting to arbi-
tration, litigation, or some other dispute resolution procedure.
If the parties want to use a mediator to resolve an existing dispute, they can enter into
the following submission:
Unless the parties agree otherwise, the procedures for Large, Complex Commercial
Disputes, which appear in this pamphlet, will be applied to all cases administered by
the AAA under the Commercial Arbitration Rules in which the disclosed claim or
counterclaim of any party is at least $500,000 exclusive of claimed interest, arbitration
fees and costs.
The key features of these procedures include:
• a highly qualified, trained Roster of Neutrals;
• a mandatory preliminary hearing with the arbitrators, which may be conducted
by teleconference;
• broad arbitrator authority to order and control discovery, including depositions;
• presumption that hearings will proceed on a consecutive or block basis.
Whenever, by stipulation or in their contract, the parties have provided for mediation
or conciliation of existing or future disputes under the auspices of the American
Arbitration Association (AAA) or under these procedures, the parties and their repre-
sentatives, unless agreed otherwise in writing, shall be deemed to have made these
procedural guidelines, as amended and in effect as of the date of filing of a request for
mediation, a part of their agreement and designate the AAA as the administrator of
their mediation.
The parties by mutual agreement may vary any part of these procedures including, but
not limited to, agreeing to conduct the mediation via telephone or other electronic or
technical means.
Any party or parties to a dispute may initiate mediation under the AAA’s auspices by
making a request for mediation to any of the AAA’s regional offices or case manage-
ment centers via telephone, email, regular mail or fax. Requests for mediation may
also be filed online via WebFile at www.adr.org.
The party initiating the mediation shall simultaneously notify the other party or parties
of the request. The initiating party shall provide the following information to the AAA
and the other party or parties as applicable:
i. A copy of the mediation provision of the parties’ contract or the parties’ stipu-
lation to mediate.
ii. The names, regular mail addresses, email addresses, and telephone numbers of
all parties to the dispute and representatives, if any, in the mediation.
iii. A brief statement of the nature of the dispute and the relief requested.
iv. Any specific qualifications the mediator should possess.
Where there is no preexisting stipulation or contract by which the parties have provided
for mediation of existing or future disputes under the auspices of the AAA, a party may
request the AAA to invite another party to participate in “mediation by voluntary
submission”. Upon receipt of such a request, the AAA will contact the other party or
parties involved in the dispute and attempt to obtain a submission to mediation.
M-3. REPRESENTATION
Subject to any applicable law, any party may be represented by persons of the party’s
choice. The names and addresses of such persons shall be communicated in writing to
all parties and to the AAA.
Parties may search the online profiles of the AAA’s Panel of Mediators at www.aaa-
mediation.com in an effort to agree on a mediator. If the parties have not agreed to the
appointment of a mediator and have not provided any other method of appointment,
the mediator shall be appointed in the following manner:
• Upon receipt of a request for mediation, the AAA will send to each party a list
of mediators from the AAA’s Panel of Mediators. The parties are encouraged
to agree to a mediator from the submitted list and to advise the AAA of their
agreement.
• If the parties are unable to agree upon a mediator, each party shall strike unac-
ceptable names from the list, number the remaining names in order of prefer-
ence, and return the list to the AAA. If a party does not return the list within the
time specified, all mediators on the list shall be deemed acceptable. From among
the mediators who have been mutually approved by the parties, and in accor-
dance with the designated order of mutual preference, the AAA shall invite a
mediator to serve.
• If the parties fail to agree on any of the mediators listed, or if acceptable media-
tors are unable to serve, or if for any other reason the appointment cannot be
made from the submitted list, the AAA shall have the authority to make the
appointment from among other members of the Panel of Mediators without the
submission of additional lists.
AAA mediators are required to abide by the Model Standards of Conduct for Mediators
in effect at the time a mediator is appointed to a case. Where there is a conflict between
the Model Standards and any provision of these Mediation Procedures, these Mediation
Procedures shall govern. The Standards require mediators to (i) decline a mediation if
the mediator cannot conduct it in an impartial manner, and (ii) disclose, as soon as
practicable, all actual and potential conflicts of interest that are reasonably known to
the mediator and could reasonably be seen as raising a question about the mediator’s
impartiality.
Prior to accepting an appointment, AAA mediators are required to make a reasonable
inquiry to determine whether there are any facts that a reasonable individual would
consider likely to create a potential or actual conflict of interest for the mediator. AAA
mediators are required to disclose any circumstance likely to create a presumption of
bias or prevent a resolution of the parties’ dispute within the time-frame desired by the
parties. Upon receipt of such disclosures, the AAA shall immediately communicate
the disclosures to the parties for their comments.
The parties may, upon receiving disclosure of actual or potential conflicts of interest of
the mediator, waive such conflicts and proceed with the mediation. In the event that a
M-6. VACANCIES
If any mediator shall become unwilling or unable to serve, the AAA will appoint
another mediator, unless the parties agree otherwise, in accordance with section M-4.
The parties shall ensure that appropriate representatives of each party, having authority
to consummate a settlement, attend the mediation conference.
M-9. PRIVACY
M-10. CONFIDENTIALITY
Neither the AAA nor any mediator is a necessary party in judicial proceedings relating to
the mediation. Neither the AAA nor any mediator shall be liable to any party for any error,
act or omission in connection with any mediation conducted under these procedures.
The mediator shall interpret and apply these procedures insofar as they relate to the
mediator’s duties and responsibilities. All other procedures shall be interpreted and
applied by the AAA.
M-15. DEPOSITS
Unless otherwise directed by the mediator, the AAA will require the parties to deposit
in advance of the mediation conference such sums of money as it, in consultation with
the mediator, deems necessary to cover the costs and expenses of the mediation and
shall render an accounting to the parties and return any unexpended balance at the
conclusion of the mediation.
M-16. EXPENSES
All expenses of the mediation, including required traveling and other expenses or
charges of the mediator, shall be borne equally by the parties unless they agree other-
wise. The expenses of participants for either side shall be paid by the party requesting
the attendance of such participants.
There is no filing fee to initiate a mediation or a fee to request the AAA to invite parties
to mediate.
The cost of mediation is based on the hourly mediation rate published on the media-
tor’s AAA profile. This rate covers both mediator compensation and an allocated
portion for the AAA’s services. There is a four-hour minimum charge for a mediation
conference. Expenses referenced in Section M-16 may also apply.
If a matter submitted for mediation is withdrawn or cancelled or results in a settlement
after the agreement to mediate is filed but prior to the mediation conference the cost is
$250 plus any mediator time and charges incurred.
(a) The parties shall be deemed to have made these rules a part of their arbitration
agreement whenever they have provided for arbitration by the American Arbitration
Association (hereinafter AAA) under its Commercial Arbitration Rules or for arbitra-
tion by the AAA of a domestic commercial dispute without specifying particular rules.
These rules and any amendment of them shall apply in the form in effect at the time
the administrative requirements are met for a demand for arbitration or submission
agreement received by the AAA. The parties, by written agreement, may vary the pro-
cedures set forth in these rules. After appointment of the arbitrator, such modifications
may be made only with the consent of the arbitrator.
(b) Unless the parties or the AAA determines otherwise, the Expedited Procedures
shall apply in any case in which no disclosed claim or counterclaim exceeds $75,000,
exclusive of interest and arbitration fees and costs. Parties may also agree to use these
procedures in larger cases. Unless the parties agree otherwise, these procedures will
not apply in cases involving more than two parties. The Expedited Procedures shall be
applied as described in Sections E-1 through E-10 of these rules, in addition to any
other portion of these rules that is not in conflict with the Expedited Procedures.
(c) Unless the parties agree otherwise, the Procedures for Large, Complex Commercial
Disputes shall apply to all cases in which the disclosed claim or counterclaim of any
2 The AAA applies the Supplementary Procedures for Consumer-Related Disputes to arbitration
clauses in agreements between individual consumers and businesses where the business has a
standardized, systematic application of arbitration clauses with customers and where the terms
and conditions of the purchase of standardized, consumable goods or services are nonnego-
tiable or primarily non-negotiable in most or all of its terms, conditions, features, or choices.
The product or service must be for personal or household use. The AAA will have the discre-
tion to apply or not to apply the Supplementary Procedures and the parties will be able to bring
any disputes concerning the application or non-application to the attention of the arbitrator.
Consumers are not prohibited from seeking relief in a small claims court for disputes or claims
within the scope of its jurisdiction, even in consumer arbitration cases filed by the business.
3 A dispute arising out of an employer promulgated plan will be administered under the AAA’s
National Rules for the Resolution of Employment Disputes.
When parties agree to arbitrate under these rules, or when they provide for arbitration
by the AAA and an arbitration is initiated under these rules, they thereby authorize the
AAA to administer the arbitration. The authority and duties of the AAA are prescribed
in the agreement of the parties and in these rules, and may be carried out through such
of the AAA’s representatives as it may direct. The AAA may, in its discretion, assign
the administration of an arbitration to any of its offices.
The AAA shall establish and maintain a National Roster of Commercial Arbitrators
(“National Roster”) and shall appoint arbitrators as provided in these rules. The term
“arbitrator” in these rules refers to the arbitration panel, constituted for a particular
case, whether composed of one or more arbitrators, or to an individual arbitrator, as the
context requires.
(i) The initiating party (the “claimant”) shall, within the time period, if any,
specified in the contract(s), give to the other party (the “respondent”) written
notice of its intention to arbitrate (the “demand”), which demand shall contain
a statement setting forth the nature of the dispute, the names and addresses of
all other parties, the amount involved, if any, the remedy sought, and the hearing
locale requested.
(ii) The claimant shall file at any office of the AAA two copies of the demand and
two copies of the arbitration provisions of the contract, together with the appropriate
filing fee as provided in the schedule included with these rules.
(iii) The AAA shall confirm notice of such filing to the parties.
Parties to any existing dispute may commence an arbitration under these rules by filing
at any office of the AAA two copies of a written submission to arbitrate under these
rules, signed by the parties. It shall contain a statement of the nature of the dispute, the
names and addresses of all parties, any claims and counterclaims, the amount involved,
if any, the remedy sought, and the hearing locale requested, together with the appropri-
ate filing fee as provided in the schedule included with these rules. Unless the parties
state otherwise in the submission, all claims and counterclaims will be deemed to be
denied by the other party.
After filing of a claim, if either party desires to make any new or different claim or
counterclaim, it shall be made in writing and filed with the AAA. The party asserting
such a claim or counterclaim shall provide a copy to the other party, who shall have
15 days from the date of such transmission within which to file an answering statement
with the AAA. After the arbitrator is appointed, however, no new or different claim
may be submitted except with the arbitrator’s consent.
R-7. JURISDICTION
(a) The arbitrator shall have the power to rule on his or her own jurisdiction, including
any objections with respect to the existence, scope or validity of the arbitration
agreement.
(b) The arbitrator shall have the power to determine the existence or validity of a
contract of which an arbitration clause forms a part. Such an arbitration clause shall be
treated as an agreement independent of the other terms of the contract. A decision by
R-8. MEDIATION
At any stage of the proceedings, the parties may agree to conduct a mediation confer-
ence under the Commercial Mediation Procedures in order to facilitate settlement. The
mediator shall not be an arbitrator appointed to the case. Where the parties to a pending
arbitration agree to mediate under the AAA’s rules, no additional administrative fee is
required to initiate the mediation.
At the request of any party or upon the AAA’s own initiative, the AAA may conduct
an administrative conference, in person or by telephone, with the parties and/or their
representatives. The conference may address such issues as arbitrator selection, poten-
tial mediation of the dispute, potential exchange of information, a timetable for hear-
ings and any other administrative matters.
The parties may mutually agree on the locale where the arbitration is to be held. If any
party requests that the hearing be held in a specific locale and the other party files no
objection thereto within 15 days after notice of the request has been sent to it by the
AAA, the locale shall be the one requested. If a party objects to the locale requested by
the other party, the AAA shall have the power to determine the locale, and its decision
shall be final and binding.
(a) If the parties have not appointed an arbitrator and have not provided any other
method of appointment, the arbitrator shall be appointed in the following manner:
The AAA shall send simultaneously to each party to the dispute an identical list of
10 (unless the AAA decides that a different number is appropriate) names of persons
chosen from the National Roster. The parties are encouraged to agree to an arbitrator
from the submitted list and to advise the AAA of their agreement.
(b) If the parties are unable to agree upon an arbitrator, each party to the dispute shall
have 15 days from the transmittal date in which to strike names objected to, number
the remaining names in order of preference, and return the list to the AAA. If a party
(a) If the agreement of the parties names an arbitrator or specifies a method of appoint-
ing an arbitrator, that designation or method shall be followed. The notice of appoint-
ment, with the name and address of the arbitrator, shall be filed with the AAA by the
appointing party. Upon the request of any appointing party, the AAA shall submit a list
of members of the National Roster from which the party may, if it so desires, make the
appointment.
(b) Where the parties have agreed that each party is to name one arbitrator, the arbitra-
tors so named must meet the standards of Section R-17 with respect to impartiality and
independence unless the parties have specifically agreed pursuant to Section R-17(a)
that the party-appointed arbitrators are to be non-neutral and need not meet those
standards.
(c) If the agreement specifies a period of time within which an arbitrator shall be
appointed and any party fails to make the appointment within that period, the AAA
shall make the appointment.
(d) If no period of time is specified in the agreement, the AAA shall notify the party to
make the appointment. If within 15 days after such notice has been sent, an arbitrator
has not been appointed by a party, the AAA shall make the appointment.
(a) If, pursuant to Section R-12, either the parties have directly appointed arbitrators,
or the arbitrators have been appointed by the AAA, and the parties have authorized
them to appoint a chairperson within a specified time and no appointment is made
within that time or any agreed extension, the AAA may appoint the chairperson.
(b) If no period of time is specified for appointment of the chairperson and the party-
appointed arbitrators or the parties do not make the appointment within 15 days from
the date of the appointment of the last party-appointed arbitrator, the AAA may appoint
the chairperson.
Where the parties are nationals of different countries, the AAA, at the request of any
party or on its own initiative, may appoint as arbitrator a national of a country other
than that of any of the parties. The request must be made before the time set for the
appointment of the arbitrator as agreed by the parties or set by these rules.
If the arbitration agreement does not specify the number of arbitrators, the dispute
shall be heard and determined by one arbitrator, unless the AAA, in its discretion,
directs that three arbitrators be appointed. A party may request three arbitrators in the
demand or answer, which request the AAA will consider in exercising its discretion
regarding the number of arbitrators appointed to the dispute.
R-16. DISCLOSURE
(a) Any person appointed or to be appointed as an arbitrator shall disclose to the AAA
any circumstance likely to give rise to justifiable doubt as to the arbitrator’s impartial-
ity or independence, including any bias or any financial or personal interest in the
result of the arbitration or any past or present relationship with the parties or their rep-
resentatives. Such obligation shall remain in effect throughout the arbitration.
(b) Upon receipt of such information from the arbitrator or another source, the AAA
shall communicate the information to the parties and, if it deems it appropriate to do
so, to the arbitrator and others.
(c) In order to encourage disclosure by arbitrators, disclosure of information pursuant
to this Section R-16 is not to be construed as an indication that the arbitrator considers
that the disclosed circumstance is likely to affect impartiality or independence.
(a) Any arbitrator shall be impartial and independent and shall perform his or her
duties with diligence and in good faith, and shall be subject to disqualification for
(i) partiality or lack of independence,
(ii) inability or refusal to perform his or her duties with diligence and in good faith,
and
(a) No party and no one acting on behalf of any party shall communicate ex parte with
an arbitrator or a candidate for arbitrator concerning the arbitration, except that a party,
or someone acting on behalf of a party, may communicate ex parte with a candidate for
direct appointment pursuant to Section R-12 in order to advise the candidate of the
general nature of the controversy and of the anticipated proceedings and to discuss the
candidate’s qualifications, availability, or independence in relation to the parties or to
discuss the suitability of candidates for selection as a third arbitrator where the parties
or party-designated arbitrators are to participate in that selection.
(b) Section R-18(a) does not apply to arbitrators directly appointed by the parties who,
pursuant to Section R-17(a), the parties have agreed in writing are non-neutral. Where
the parties have so agreed under Section R-17(a), the AAA shall as an administrative
practice suggest to the parties that they agree further that Section R-18(a) should none-
theless apply prospectively.
R-19. VACANCIES
(a) If for any reason an arbitrator is unable to perform the duties of the office, the AAA
may, on proof satisfactory to it, declare the office vacant. Vacancies shall be filled in
accordance with the applicable provisions of these rules.
(b) In the event of a vacancy in a panel of neutral arbitrators after the hearings have
commenced, the remaining arbitrator or arbitrators may continue with the hearing and
determination of the controversy, unless the parties agree otherwise.
(c) In the event of the appointment of a substitute arbitrator, the panel of arbitrators
shall determine in its sole discretion whether it is necessary to repeat all or part of any
prior hearings.
(a) At the request of any party or at the discretion of the arbitrator or the AAA, the
arbitrator may schedule as soon as practicable a preliminary hearing with the parties
(a) At the request of any party or at the discretion of the arbitrator, consistent with the
expedited nature of arbitration, the arbitrator may direct
i) the production of documents and other information, and
ii) the identification of any witnesses to be called.
(b) At least five business days prior to the hearing, the parties shall exchange copies of
all exhibits they intend to submit at the hearing.
(c) The arbitrator is authorized to resolve any disputes concerning the exchange of
information.
The arbitrator shall set the date, time, and place for each hearing. The parties shall
respond to requests for hearing dates in a timely manner, be cooperative in scheduling
the earliest practicable date, and adhere to the established hearing schedule. The AAA
shall send a notice of hearing to the parties at least 10 days in advance of the hearing
date, unless otherwise agreed by the parties.
The arbitrator and the AAA shall maintain the privacy of the hearings unless the law
provides to the contrary. Any person having a direct interest in the arbitration is entitled
to attend hearings. The arbitrator shall otherwise have the power to require the exclu-
sion of any witness, other than a party or other essential person, during the testimony
of any other witness. It shall be discretionary with the arbitrator to determine the pro-
priety of the attendance of any other person other than a party and its representatives.
R-24. REPRESENTATION
Before proceeding with the first hearing, each arbitrator may take an oath of office and,
if required by law, shall do so. The arbitrator may require witnesses to testify under
oath administered by any duly qualified person and, if it is required by law or requested
by any party, shall do so.
Any party desiring a stenographic record shall make arrangements directly with a ste-
nographer and shall notify the other parties of these arrangements at least three days in
advance of the hearing. The requesting party or parties shall pay the cost of the record.
If the transcript is agreed by the parties, or determined by the arbitrator to be the
official record of the proceeding, it must be provided to the arbitrator and made avail-
able to the other parties for inspection, at a date, time, and place determined by the
arbitrator.
R-27. INTERPRETERS
Any party wishing an interpreter shall make all arrangements directly with the inter-
preter and shall assume the costs of the service.
R-28. POSTPONEMENTS
The arbitrator may postpone any hearing upon agreement of the parties, upon request
of a party for good cause shown, or upon the arbitrator’s own initiative.
Unless the law provides to the contrary, the arbitration may proceed in the absence of
any party or representative who, after due notice, fails to be present or fails to obtain a
postponement. An award shall not be made solely on the default of a party. The arbitra-
tor shall require the party who is present to submit such evidence as the arbitrator may
require for the making of an award.
(a) The claimant shall present evidence to support its claim. The respondent shall then
present evidence to support its defense. Witnesses for each party shall also submit to
questions from the arbitrator and the adverse party. The arbitrator has the discretion to
vary this procedure, provided that the parties are treated with equality and that each
party has the right to be heard and is given a fair opportunity to present its case.
R-31. EVIDENCE
(a) The parties may offer such evidence as is relevant and material to the dispute and
shall produce such evidence as the arbitrator may deem necessary to an understanding
and determination of the dispute. Conformity to legal rules of evidence shall not be
necessary. All evidence shall be taken in the presence of all of the arbitrators and all of
the parties, except where any of the parties is absent, in default or has waived the right
to be present.
(b) The arbitrator shall determine the admissibility, relevance, and materiality of the
evidence offered and may exclude evidence deemed by the arbitrator to be cumulative
or irrelevant.
(c) The arbitrator shall take into account applicable principles of legal privilege, such
as those involving the confidentiality of communications between a lawyer and
client.
(d) An arbitrator or other person authorized by law to subpoena witnesses or docu-
ments may do so upon the request of any party or independently.
(a) The arbitrator may receive and consider the evidence of witnesses by declaration or
affidavit, but shall give it only such weight as the arbitrator deems it entitled to after
consideration of any objection made to its admission.
(b) If the parties agree or the arbitrator directs that documents or other evidence be
submitted to the arbitrator after the hearing, the documents or other evidence shall be
filed with the AAA for transmission to the arbitrator. All parties shall be afforded an
opportunity to examine and respond to such documents or other evidence.
(a) The arbitrator may take whatever interim measures he or she deems necessary,
including injunctive relief and measures for the protection or conservation of property
and disposition of perishable goods.
(b) Such interim measures may take the form of an interim award, and the arbitrator
may require security for the costs of such measures.
(c) A request for interim measures addressed by a party to a judicial authority shall not be
deemed incompatible with the agreement to arbitrate or a waiver of the right to arbitrate.
The arbitrator shall specifically inquire of all parties whether they have any further
proofs to offer or witnesses to be heard. Upon receiving negative replies or if satisfied
that the record is complete, the arbitrator shall declare the hearing closed. If briefs are
to be filed, the hearing shall b e declared closed as of the final date set by the arbitrator
for the receipt of briefs. If documents are to be filed as provided in Section R-32 and
the date set for their receipt is later than that set for the receipt of briefs, the later date
shall be the closing date of the hearing. The time limit within which the arbitrator is
required to make the award shall commence, in the absence of other agreements by the
parties, upon the closing of the hearing.
Any party who proceeds with the arbitration after knowledge that any provision or
requirement of these rules has not been complied with and who fails to state an objec-
tion in writing shall be deemed to have waived the right to object.
The parties may modify any period of time by mutual agreement. The AAA or the
arbitrator may for good cause extend any period of time established by these
(a) Any papers, notices, or process necessary or proper for the initiation or continua-
tion of an arbitration under these rules, for any court action in connection therewith, or
for the entry of judgment on any award made under these rules may be served on a
party by mail addressed to the party, or its representative at the last known address or
by personal service, in or outside the state where the arbitration is to be held, provided
that reasonable opportunity to be heard with regard to the dispute is or has been granted
to the party.
(b) The AAA, the arbitrator and the parties may also use overnight delivery or elec-
tronic facsimile transmission (fax), to give the notices required by these rules. Where
all parties and the arbitrator agree, notices may be transmitted by electronic mail
(E-mail), or other methods of communication.
(c) Unless otherwise instructed by the AAA or by the arbitrator, any documents
submitted by any party to the AAA or to the arbitrator shall simultaneously be pro-
vided to the other party or parties to the arbitration.
When the panel consists of more than one arbitrator, unless required by law or by the
arbitration agreement, a majority of the arbitrators must make all decisions.
The award shall be made promptly by the arbitrator and, unless otherwise agreed by
the parties or specified by law, no later than 30 days from the date of closing the hear-
ing, or, if oral hearings have been waived, from the date of the AAA’s transmittal of
the final statements and proofs to the arbitrator.
(a) Any award shall be in writing and signed by a majority of the arbitrators. It shall be
executed in the manner required by law.
(b) The arbitrator need not render a reasoned award unless the parties request such an
award in writing prior to appointment of the arbitrator or unless the arbitrator deter-
mines that a reasoned award is appropriate.
(a) The arbitrator may grant any remedy or relief that the arbitrator deems just and
equitable and within the scope of the agreement of the parties, including, but not lim-
ited to, specific performance of a contract.
If the parties settle their dispute during the course of the arbitration and if the parties
so request, the arbitrator may set forth the terms of the settlement in a “consent award.”
A consent award must include an allocation of arbitration costs, including administra-
tive fees and expenses as well as arbitrator fees and expenses.
Parties shall accept as notice and delivery of the award the placing of the award or a
true copy thereof in the mail addressed to the parties or their representatives at the last
known addresses, personal or electronic service of the award, or the filing of the award
in any other manner that is permitted by law.
Within 20 days after the transmittal of an award, any party, upon notice to the other
parties, may request the arbitrator, through the AAA, to correct any clerical, typo-
graphical, or computational errors in the award. The arbitrator is not empowered to
redetermine the merits of any claim already decided. The other parties shall be given
10 days to respond to the request. The arbitrator shall dispose of the request within 20
days after transmittal by the AAA to the arbitrator of the request and any response
thereto.
The AAA shall, upon the written request of a party, furnish to the party, at the party’s
expense, certified copies of any papers in the AAA’s possession that may be required
in judicial proceedings relating to the arbitration.
(a) No judicial proceeding by a party relating to the subject matter of the arbitration
shall be deemed a waiver of the party’s right to arbitrate.
(b) Neither the AAA nor any arbitrator in a proceeding under these rules is a necessary
or proper party in judicial proceedings relating to the arbitration.
(c) Parties to an arbitration under these rules shall be deemed to have consented that
judgment upon the arbitration award may be entered in any federal or state court having
jurisdiction thereof.
(d) Parties to an arbitration under these rules shall be deemed to have consented that
neither the AAA nor any arbitrator shall be liable to any party in any action for dam-
ages or injunctive relief for any act or omission in connection with any arbitration
under these rules.
As a not-for-profit organization, the AAA shall prescribe an initial filing fee and a case
service fee to compensate it for the cost of providing administrative services. The fees
in effect when the fee or charge is incurred shall be applicable. The filing fee shall be
advanced by the party or parties making a claim or counterclaim, subject to final appor-
tionment by the arbitrator in the award. The AAA may, in the event of extreme hard-
ship on the part of any party, defer or reduce the administrative fees.
R-50. EXPENSES
The expenses of witnesses for either side shall be paid by the party producing such
witnesses. All other expenses of the arbitration, including required travel and other
expenses of the arbitrator, AAA representatives, and any witness and the cost of any
proof produced at the direct request of the arbitrator, shall be borne equally by the par-
ties, unless they agree otherwise or unless the arbitrator in the award assesses such
expenses or any part thereof against any specified party or parties.
(a) Arbitrators shall be compensated at a rate consistent with the arbitrator’s stated rate
of compensation.
(b) If there is disagreement concerning the terms of compensation, an appropriate rate
shall be established with the arbitrator by the AAA and confirmed to the parties.
(c) Any arrangement for the compensation of a neutral arbitrator shall be made through
the AAA and not directly between the parties and the arbitrator.
The AAA may require the parties to deposit in advance of any hearings such sums of
money as it deems necessary to cover the expense of the arbitration, including the
arbitrator’s fee, if any, and shall render an accounting to the parties and return any
unexpended balance at the conclusion of the case.
The arbitrator shall interpret and apply these rules insofar as they relate to the arbitra-
tor’s powers and duties. When there is more than one arbitrator and a difference arises
among them concerning the meaning or application of these rules, it shall be decided
by a majority vote. If that is not possible, either an arbitrator or a party may refer the
question to the AAA for final decision. All other rules shall be interpreted and applied
by the AAA.
If arbitrator compensation or administrative charges have not been paid in full, the
AAA may so inform the parties in order that one of them may advance the required
payment. If such payments are not made, the arbitrator may order the suspension or
termination of the proceedings. If no arbitrator has yet been appointed, the AAA may
suspend the proceedings.
EXPEDITED PROCEDURES
Except in extraordinary circumstances, the AAA or the arbitrator may grant a party no
more than one seven-day extension of time to respond to the demand for arbitration or
counterclaim as provided in Section R-4.
In addition to notice provided by Section R-39(b), the parties shall also accept notice
by telephone. Telephonic notices by the AAA shall subsequently be confirmed in
writing to the parties. Should there be a failure to confirm in writing any such oral
notice, the proceeding shall nevertheless be valid if notice has, in fact, been given by
telephone.
(a) The AAA shall simultaneously submit to each party an identical list of five pro-
posed arbitrators drawn from its National Roster from which one arbitrator shall be
appointed.
(b) The parties are encouraged to agree to an arbitrator from this list and to advise the
AAA of their agreement. If the parties are unable to agree upon an arbitrator, each
party may strike two names from the list and return it to the AAA within seven days
from the date of the AAA’s mailing to the parties. If for any reason the appointment of
an arbitrator cannot be made from the list, the AAA may make the appointment from
other members of the panel without the submission of additional lists.
(c) The parties will be given notice by the AAA of the appointment of the arbitrator,
who shall be subject to disqualification for the reasons specified in Section R-17. The
parties shall notify the AAA within seven days of any objection to the arbitrator
appointed. Any such objection shall be for cause and shall be confirmed in writing to
the AAA with a copy to the other party or parties.
At least two business days prior to the hearing, the parties shall exchange copies of all
exhibits they intend to submit at the hearing. The arbitrator shall resolve disputes con-
cerning the exchange of exhibits.
Where no party’s claim exceeds $10,000, exclusive of interest and arbitration costs,
and other cases in which the parties agree, the dispute shall be resolved by submission
of documents, unless any party requests an oral hearing, or the arbitrator determines
that an oral hearing is necessary. The arbitrator shall establish a fair and equitable pro-
cedure for the submission of documents.
In cases in which a hearing is to be held, the arbitrator shall set the date, time, and place
of the hearing, to be scheduled to take place within 30 days of confirmation of the arbi-
trator’s appointment. The AAA will notify the parties in advance of the hearing date.
(a) Generally, the hearing shall not exceed one day. Each party shall have equal oppor-
tunity to submit its proofs and complete its case. The arbitrator shall determine the
order of the hearing, and may require further submission of documents within two
days after the hearing. For good cause shown, the arbitrator may schedule additional
hearings within seven business days after the initial day of hearings.
(b) Generally, there will be no stenographic record. Any party desiring a stenographic
record may arrange for one pursuant to the provisions of Section R-26.
Unless otherwise agreed by the parties, the award shall be rendered not later than 14 days
from the date of the closing of the hearing or, if oral hearings have been waived, from the
date of the AAA’s transmittal of the final statements and proofs to the arbitrator.
Prior to the dissemination of a list of potential arbitrators, the AAA shall, unless the
parties agree otherwise, conduct an administrative conference with the parties and/or
their attorneys or other representatives by conference call. The conference will take
place within 14 days after the commencement of the arbitration. In the event the parties
are unable to agree on a mutually acceptable time for the conference, the AAA may
contact the parties individually to discuss the issues contemplated herein. Such admin-
istrative conference shall be conducted for the following purposes and for such addi-
tional purposes as the parties or the AAA may deem appropriate:
(a) to obtain additional information about the nature and magnitude of the dispute
and the anticipated length of hearing and scheduling;
(b) to discuss the views of the parties about the technical and other qualifications of
the arbitrators;
(c) to obtain conflicts statements from the parties; and
(d) to consider, with the parties, whether mediation or other non-adjudicative meth-
ods of dispute resolution might be appropriate.
(a) Large, Complex Commercial Cases shall be heard and determined by either one or
three arbitrators, as may be agreed upon by the parties. If the parties are unable to
agree upon the number of arbitrators and a claim or counterclaim involves at least
$1,000,000, then three arbitrator(s) shall hear and determine the case. If the parties are
unable to agree on the number of arbitrators and each claim and counterclaim is less
than $1,000,000, then one arbitrator shall hear and determine the case.
(b) The AAA shall appoint arbitrator(s) as agreed by the parties. If they are unable to
agree on a method of appointment, the AAA shall appoint arbitrators from the Large,
Complex Commercial Case Panel, in the manner provided in the Regular Commercial
Arbitration Rules. Absent agreement of the parties, the arbitrator(s) shall not have
served as the mediator in the mediation phase of the instant proceeding.
(a) Arbitrator(s) shall take such steps as they may deem necessary or desirable to avoid
delay and to achieve a just, speedy and cost-effective resolution of Large, Complex
Commercial Cases.
(b) Parties shall cooperate in the exchange of documents, exhibits and information
within such party’s control if the arbitrator(s) consider such production to be consistent
with the goal of achieving a just, speedy and cost-effective resolution of a Large,
Complex Commercial Case.
(c) The parties may conduct such discovery as may be agreed to by all the parties pro-
vided, however, that the arbitrator(s) may place such limitations on the conduct of such
discovery as the arbitrator(s) shall deem appropriate. If the parties cannot agree on
production of documents and other information, the arbitrator(s), consistent with the
expedited nature of arbitration, may establish the extent of the discovery.
(d) At the discretion of the arbitrator(s), upon good cause shown and consistent with
the expedited nature of arbitration, the arbitrator(s) may order depositions of, or the
propounding of interrogatories to, such persons who may possess information deter-
mined by the arbitrator(s) to be necessary to determination of the matter.
(e) The parties shall exchange copies of all exhibits they intend to submit at the hearing
10 business days prior to the hearing unless the arbitrator(s) determine otherwise.
(f) The exchange of information pursuant to this rule, as agreed by the parties and/or
directed by the arbitrator(s), shall be included within the Scheduling and Procedure
Order.
(g) The arbitrator is authorized to resolve any disputes concerning the exchange of
information.
(h) Generally hearings will be scheduled on consecutive days or in blocks of consecu-
tive days in order to maximize efficiency and minimize costs.
O-1. APPLICABILITY
Where parties by special agreement or in their arbitration clause have adopted these
rules for emergency measures of protection, a party in need of emergency relief prior
to the constitution of the panel shall notify the AAA and all other parties in writing of
the nature of the relief sought and the reasons why such relief is required on an emer-
gency basis. The application shall also set forth the reasons why the party is entitled to
such relief. Such notice may be given by facsimile transmission, or other reliable
means, but must include a statement certifying that all other parties have been notified
or an explanation of the steps taken in good faith to notify other parties.
Within one business day of receipt of notice as provided in Section O-1, the AAA shall
appoint a single emergency arbitrator from a special AAA panel of emergency arbitra-
tors designated to rule on emergency applications. The emergency arbitrator shall
immediately disclose any circumstance likely, on the basis of the facts disclosed in the
application, to affect such arbitrator’s impartiality or independence. Any challenge to
the appointment of the emergency arbitrator must be made within one business day of
the communication by the AAA to the parties of the appointment of the emergency
arbitrator and the circumstances disclosed.
O-3. SCHEDULE
The emergency arbitrator shall as soon as possible, but in any event within two busi-
ness days of appointment, establish a schedule for consideration of the application for
emergency relief. Such schedule shall provide a reasonable opportunity to all parties to
be heard, but may provide for proceeding by telephone conference or on written sub-
missions as alternatives to a formal hearing.
If after consideration the emergency arbitrator is satisfied that the party seeking the
emergency relief has shown that immediate and irreparable loss or damage will result
in the absence of emergency relief, and that such party is entitled to such relief, the
emergency arbitrator may enter an interim award granting the relief and stating the
reasons therefore.
O-6. SECURITY
Any interim award of emergency relief may be conditioned on provision by the party
seeking such relief of appropriate security.
A request for interim measures addressed by a party to a judicial authority shall not be
deemed incompatible with the agreement to arbitrate or a waiver of the right to arbi-
trate. If the AAA is directed by a judicial authority to nominate a special master to
O-8. COSTS
The costs associated with applications for emergency relief shall initially be appor-
tioned by the emergency arbitrator or special master, subject to the power of the panel
to determine finally the apportionment of such costs.
ADMINISTRATIVE FEES
The administrative fees of the AAA are based on the amount of the claim or counter-
claim. Arbitrator compensation is not included in this schedule. Unless the parties
agree otherwise, arbitrator compensation and administrative fees are subject to alloca-
tion by the arbitrator in the award.
In an effort to make arbitration costs reasonable for consumers, the AAA has a sepa-
rate fee schedule for consumer-related disputes. Please refer to Section C-8 of the
Supplementary Procedures for Consumer-Related Disputes when filing a consumer-
related claim.
The AAA applies the Supplementary Procedures for Consumer-Related Disputes to
arbitration clauses in agreements between individual consumers and businesses where
the business has a standardized, systematic application of arbitration clauses with cus-
tomers and where the terms and conditions of the purchase of standardized, consum-
able goods or services are non-negotiable or primarily non-negotiable in most or all of
its terms, conditions, features, or choices. The product or service must be for personal
or household use. The AAA will have the discretion to apply or not to apply the
Supplementary Procedures and the parties will be able to bring any disputes concern-
ing the application or non-application to the attention of the arbitrator. Consumers are
not prohibited from seeking relief in a small claims court for disputes or claims within
the scope of its jurisdiction, even in consumer arbitration cases filed by the business.
Recognizing the continued fragility of the business environment and wishing to pro-
vide cost-saving alternatives to parties filing an arbitration case, the American
Arbitration Association is offering an optional fee payment schedule that parties may
choose instead of the Standard Fee Schedule. It is a pilot that will be available on cases
filed through May 30, 2010,5 and is intended to give parties added flexibility in both
5 The Pilot Flexible Fee Schedule is subject to change or cancellation at any time prior to the
date of May 30, 2010.
Note: The date of receipt by the AAA of the demand/notice for arbitration will be used
to calculate the ninety(90)-day time limit for payment of the Proceed Fee.
An initial filing fee is payable in full by a filing party when a claim, counterclaim, or
additional claim is filed. A case service fee will be incurred for all cases that proceed
The following is the fee schedule for use in disputes involving claims in excess of $10
million. If you have any questions, please consult your local AAA office or case man-
agement center.
Fees are subject to increase if the amount of a claim or counterclaim is modified after
the initial filing date. Fees are subject to decrease if the amount of a claim or counter-
claim is modified before the first hearing.
REFUND SCHEDULE
The AAA offers a refund schedule on filing fees connected with the Standard Fee
Schedule. For cases with claims up to $75,000, a minimum filing fee of $300 will not
be refunded. For all other cases, a minimum fee of $500 will not be refunded. Subject
to the minimum fee requirements, refunds will be calculated as follows:
• 100% of the filing fee, above the minimum fee, will be refunded if the case is
settled or withdrawn within five calendar days of filing.
• 50% of the filing fee will be refunded if the case is settled or withdrawn between
six and 30 calendar days of filing.
• 25% of the filing fee will be refunded if the case is settled or withdrawn between
31 and 60 calendar days of filing.
No refund will be made once an arbitrator has been appointed (this includes one arbi-
trator on a three-arbitrator panel). No refunds will be granted on awarded cases.
Note: The date of receipt of the demand for arbitration with the AAA will be used to
calculate refunds of filing fees for both claims and counterclaims.
The fees described above do not cover the cost of hearing rooms, which are available
on a rental basis. Check with the AAA for availability and rates.
An Act to restate and improve the law relating to arbitration pursuant to an arbitration
agreement; to make other provision relating to arbitration and arbitration awards; and
for connected purposes.
[17th June 1996]
BE IT ENACTED by the Queen’s most Excellent Majesty, by and with the advice and
consent of the Lords Spiritual and Temporal, and Commons, in this present Parliament
assembled, and by the authority of the same, as follows:
PART I
ARBITRATION PURSUANT TO AN ARBITRATION AGREEMENT
Introductory
General principles.
1. The provisions of this Part are founded on the following principles, and shall be
construed accordingly—
(a) the object of arbitration is to obtain the fair resolution of disputes by an impartial
tribunal without unnecessary delay or expense;
(b) the parties should be free to agree how their disputes are resolved, subject only
to such safeguards as are necessary in the public interest;
(c) in matters governed by this Part the court should not intervene except as pro-
vided by this Part.
255
Scope of application of provisions.
2. (1) The provisions of this Part apply where the seat of the arbitration is in England
and Wales or Northern Ireland.
(2) The following sections apply even if the seat of the arbitration is outside England
and Wales or Northern Ireland or no seat has been designated or determined—
(a) sections 9 to 11 (stay of legal proceedings, &c.), and
(b) section 66 (enforcement of arbitral awards).
(3) The powers conferred by the following sections apply even if the seat of the arbitra-
tion is outside England and Wales or Northern Ireland or no seat has been designated
or determined—
(a) section 43 (securing the attendance of witnesses), and
(b) section 44 (court powers exercisable in support of arbitral proceedings);
but the court may refuse to exercise any such power if, in the opinion of the court, the
fact that the seat of the arbitration is outside England and Wales or Northern Ireland,
or that when designated or determined the seat is likely to be outside England and
Wales or Northern Ireland, makes it inappropriate to do so.
(4) The court may exercise a power conferred by any provision of this Part not men-
tioned in subsection (2) or (3) for the purpose of supporting the arbitral process
where—
(a) no seat of the arbitration has been designated or determined, and
(b) by reason of a connection with England and Wales or Northern Ireland the court
is satisfied that it is appropriate to do so.
(5) Section 7 (separability of arbitration agreement) and section 8 (death of a party)
apply where the law applicable to the arbitration agreement is the law of England and
Wales or Northern Ireland even if the seat of the arbitration is outside England and
Wales or Northern Ireland or has not been designated or determined.
3. In this Part “the seat of the arbitration” means the juridical seat of the arbitration
designated—
(a) by the parties to the arbitration agreement, or
(b) by any arbitral or other institution or person vested by the parties with powers in
that regard, or
(c) by the arbitral tribunal if so authorised by the parties,
or determined, in the absence of any such designation, having regard to the parties’
agreement and all the relevant circumstances.
4. (1) The mandatory provisions of this Part are listed in Schedule 1 and have effect
notwithstanding any agreement to the contrary.
(2) The other provisions of this Part (the “non-mandatory provisions”) allow the parties
to make their own arrangements by agreement but provide rules which apply in the
absence of such agreement.
(3) The parties may make such arrangements by agreeing to the application of institu-
tional rules or providing any other means by which a matter may be decided.
(4) It is immaterial whether or not the law applicable to the parties’ agreement is the
law of England and Wales or, as the case may be, Northern Ireland.
(5) The choice of a law other than the law of England and Wales or Northern Ireland
as the applicable law in respect of a matter provided for by a non-mandatory provision
of this Part is equivalent to an agreement making provision about that matter. For this
purpose an applicable law determined in accordance with the parties’ agreement, or
which is objectively determined in the absence of any express or implied choice, shall
be treated as chosen by the parties.
Agreements to be in writing.
5. (1) The provisions of this Part apply only where the arbitration agreement is in writ-
ing, and any other agreement between the parties as to any matter is effective for the
purposes of this Part only if in writing. The expressions “agreement,” “agree” and
“agreed” shall be construed accordingly.
(2) There is an agreement in writing—
(a) if the agreement is made in writing (whether or not it is signed by the parties),
(b) if the agreement is made by exchange of communications in writing, or
(c) if the agreement is evidenced in writing.
(3) Where parties agree otherwise than in writing by reference to terms which are in
writing, they make an agreement in writing.
(4) An agreement is evidenced in writing if an agreement made otherwise than in writ-
ing is recorded by one of the parties, or by a third party, with the authority of the parties
to the agreement.
(5) An exchange of written submissions in arbitral or legal proceedings in which the
existence of an agreement otherwise than in writing is alleged by one party against
another party and not denied by the other party in his response constitutes as between
those parties an agreement in writing to the effect alleged.
(6) References in this Part to anything being written or in writing include its being
recorded by any means.
7. Unless otherwise agreed by the parties, an arbitration agreement which forms or was
intended to form part of another agreement (whether or not in writing) shall not be
regarded as invalid, non-existent or ineffective because that other agreement is invalid,
or did not come into existence or has become ineffective, and it shall for that purpose
be treated as a distinct agreement.
8. (1) Unless otherwise agreed by the parties, an arbitration agreement is not discharged
by the death of a party and may be enforced by or against the personal representatives
of that party.
(2) Subsection (1) does not affect the operation of any enactment or rule of law by
virtue of which a substantive right or obligation is extinguished by death.
9. (1) A party to an arbitration agreement against whom legal proceedings are brought
(whether by way of claim or counterclaim) in respect of a matter which under the
agreement is to be referred to arbitration may (upon notice to the other parties to
the proceedings) apply to the court in which the proceedings have been brought to stay
the proceedings so far as they concern that matter.
(2) An application may be made notwithstanding that the matter is to be referred to
arbitration only after the exhaustion of other dispute resolution procedures.
(3) An application may not be made by a person before taking the appropriate proce-
dural step (if any) to acknowledge the legal proceedings against him or after he has
taken any step in those proceedings to answer the substantive claim.
(4) On an application under this section the court shall grant a stay unless satisfied that
the arbitration agreement is null and void, inoperative, or incapable of being performed.
10. (1) Where in legal proceedings relief by way of interpleader is granted and any
issue between the claimants is one in respect of which there is an arbitration agreement
between them, the court granting the relief shall direct that the issue be determined in
accordance with the agreement unless the circumstances are such that proceedings
brought by a claimant in respect of the matter would not be stayed.
(2) Where subsection (1) applies but the court does not direct that the issue be deter-
mined in accordance with the arbitration agreement, any provision that an award is a
condition precedent to the bringing of legal proceedings in respect of any matter shall
not affect the determination of that issue by the court.
11. (1) Where Admiralty proceedings are stayed on the ground that the dispute in
question should be submitted to arbitration, the court granting the stay may, if in those
proceedings property has been arrested or bail or other security has been given to
prevent or obtain release from arrest—
(a) order that the property arrested be retained as security for the satisfaction of any
award given in the arbitration in respect of that dispute, or
(b) order that the stay of those proceedings be conditional on the provision of equiv-
alent security for the satisfaction of any such award.
(2) Subject to any provision made by rules of court and to any necessary modifications,
the same law and practice shall apply in relation to property retained in pursuance of
an order as would apply if it were held for the purposes of proceedings in the court
making the order.
12. (1) Where an arbitration agreement to refer future disputes to arbitration provides
that a claim shall be barred, or the claimant’s right extinguished, unless the claimant
takes within a time fixed by the agreement some step—
(a) to begin arbitral proceedings, or
(b) to begin other dispute resolution procedures which must be exhausted before arbitral
proceedings can be begun, the court may by order extend the time for taking that step.
13. (1) The Limitation Acts apply to arbitral proceedings as they apply to legal
proceedings.
(2) The court may order that in computing the time prescribed by the Limitation Acts
for the commencement of proceedings (including arbitral proceedings) in respect of a
dispute which was the subject matter—
(a) of an award which the court orders to be set aside or declares to be of no effect, or
(b) of the affected part of an award which the court orders to be set aside in part,
or declares to be in part of no effect, the period between the commencement of
the arbitration and the date of the order referred to in paragraph (a) or (b) shall be
excluded.
(3) In determining for the purposes of the Limitation Acts when a cause of action
accrued, any provision that an award is a condition precedent to the bringing of legal
proceedings in respect of a matter to which an arbitration agreement applies shall be
disregarded.
(4) In this Part “the Limitation Acts” means—
(a) in England and Wales, the Limitation Act 1980, the Foreign Limitation Periods
Act 1984 and any other enactment (whenever passed) relating to the limitation of
actions;
14. (1) The parties are free to agree when arbitral proceedings are to be regarded as
commenced for the purposes of this Part and for the purposes of the Limitation Acts.
(2) If there is no such agreement the following provisions apply.
(3) Where the arbitrator is named or designated in the arbitration agreement, arbitral
proceedings are commenced in respect of a matter when one party serves on the other
party or parties a notice in writing requiring him or them to submit that matter to the
person so named or designated.
(4) Where the arbitrator or arbitrators are to be appointed by the parties, arbitral
proceedings are commenced in respect of a matter when one party serves on the other
party or parties notice in writing requiring him or them to appoint an arbitrator or to
agree to the appointment of an arbitrator in respect of that matter.
(5) Where the arbitrator or arbitrators are to be appointed by a person other than a
party to the proceedings, arbitral proceedings are commenced in respect of a matter
when one party gives notice in writing to that person requesting him to make the
appointment in respect of that matter.
15. (1) The parties are free to agree on the number of arbitrators to form the tribunal
and whether there is to be a chairman or umpire.
(2) Unless otherwise agreed by the parties, an agreement that the number of arbitrators
shall be two or any other even number shall be understood as requiring the appoint-
ment of an additional arbitrator as chairman of the tribunal.
(3) If there is no agreement as to the number of arbitrators, the tribunal shall consist of
a sole arbitrator.
16. (1) The parties are free to agree on the procedure for appointing the arbitrator or
arbitrators, including the procedure for appointing any chairman or umpire.
(2) If or to the extent that there is no such agreement, the following provisions apply.
17. (1) Unless the parties otherwise agree, where each of two parties to an arbitration
agreement is to appoint an arbitrator and one party (“the party in default”) refuses to
do so, or fails to do so within the time specified, the other party, having duly appointed
his arbitrator, may give notice in writing to the party in default that he proposes to
appoint his arbitrator to act as sole arbitrator.
(2) If the party in default does not within 7 clear days of that notice being given—
(a) make the required appointment, and
(b) notify the other party that he has done so, the other party may appoint his arbitra-
tor as sole arbitrator whose award shall be binding on both parties as if he had been
so appointed by agreement.
(3) Where a sole arbitrator has been appointed under subsection (2), the party in default
may (upon notice to the appointing party) apply to the court which may set aside the
appointment.
(4) The leave of the court is required for any appeal from a decision of the court under
this section.
18. (1) The parties are free to agree what is to happen in the event of a failure of the
procedure for the appointment of the arbitral tribunal. There is no failure if an appoint-
ment is duly made under section 17 (power in case of default to appoint sole arbitra-
tor), unless that appointment is set aside.
(2) If or to the extent that there is no such agreement any party to the arbitration agree-
ment may (upon notice to the other parties) apply to the court to exercise its powers
under this section.
(3) Those powers are—
(a) to give directions as to the making of any necessary appointments;
(b) to direct that the tribunal shall be constituted by such appointments (or any one
or more of them) as have been made;
(c) to revoke any appointments already made;
(d) to make any necessary appointments itself.
(4) An appointment made by the court under this section has effect as if made with the
agreement of the parties.
(5) The leave of the court is required for any appeal from a decision of the court under
this section.
Chairman.
20. (1) Where the parties have agreed that there is to be a chairman, they are free
to agree what the functions of the chairman are to be in relation to the making of
decisions, orders and awards.
(2) If or to the extent that there is no such agreement, the following provisions apply.
(3) Decisions, orders and awards shall be made by all or a majority of the arbitrators
(including the chairman).
(4) The view of the chairman shall prevail in relation to a decision, order or award in
respect of which there is neither unanimity nor a majority under subsection (3).
21. (1) Where the parties have agreed that there is to be an umpire, they are free to
agree what the functions of the umpire are to be, and in particular—
(a) whether he is to attend the proceedings, and
(b) when he is to replace the other arbitrators as the tribunal with power to make
decisions, orders and awards.
(2) If or to the extent that there is no such agreement, the following provisions apply.
(3) The umpire shall attend the proceedings and be supplied with the same documents
and other materials as are supplied to the other arbitrators.
(4) Decisions, orders and awards shall be made by the other arbitrators unless and
until they cannot agree on a matter relating to the arbitration. In that event they shall
forthwith give notice in writing to the parties and the umpire, whereupon the umpire
shall replace them as the tribunal with power to make decisions, orders and awards as
if he were sole arbitrator.
(5) If the arbitrators cannot agree but fail to give notice of that fact, or if any of them
fails to join in the giving of notice, any party to the arbitral proceedings may (upon
notice to the other parties and to the tribunal) apply to the court which may order
that the umpire shall replace the other arbitrators as the tribunal with power to make
decisions, orders and awards as if he were sole arbitrator.
(6) The leave of the court is required for any appeal from a decision of the court under
this section.
22. (1) Where the parties agree that there shall be two or more arbitrators with no
chairman or umpire, the parties are free to agree how the tribunal is to make decisions,
orders and awards.
(2) If there is no such agreement, decisions, orders and awards shall be made by all or
a majority of the arbitrators.
23. (1) The parties are free to agree in what circumstances the authority of an arbitrator
may be revoked.
(2) If or to the extent that there is no such agreement the following provisions apply.
(3) The authority of an arbitrator may not be revoked except—
(a) by the parties acting jointly, or
(b) by an arbitral or other institution or person vested by the parties with powers in
that regard.
24. (1) A party to arbitral proceedings may (upon notice to the other parties, to the
arbitrator concerned and to any other arbitrator) apply to the court to remove an
arbitrator on any of the following grounds—
(a) that circumstances exist that give rise to justifiable doubts as to his impartiality;
(b) that he does not possess the qualifications required by the arbitration agreement;
(c) that he is physically or mentally incapable of conducting the proceedings or there
are justifiable doubts as to his capacity to do so;
(d) that he has refused or failed
(i) properly to conduct the proceedings, or
(ii) to use all reasonable despatch in conducting the proceedings or making an
award, and that substantial injustice has been or will be caused to the applicant.
(2) If there is an arbitral or other institution or person vested by the parties with power to
remove an arbitrator, the court shall not exercise its power of removal unless satisfied
that the applicant has first exhausted any available recourse to that institution or person.
(3) The arbitral tribunal may continue the arbitral proceedings and make an award
while an application to the court under this section is pending.
(4) Where the court removes an arbitrator, it may make such order as it thinks fit with
respect to his entitlement (if any) to fees or expenses, or the repayment of any fees or
expenses already paid.
(5) The arbitrator concerned is entitled to appear and be heard by the court before it
makes any order under this section.
(6) The leave of the court is required for any appeal from a decision of the court under
this section.
Resignation of arbitrator.
25. (1) The parties are free to agree with an arbitrator as to the consequences of his
resignation as regards—
(a) his entitlement (if any) to fees or expenses, and
26. (1) The authority of an arbitrator is personal and ceases on his death.
(2) Unless otherwise agreed by the parties, the death of the person by whom an arbitra-
tor was appointed does not revoke the arbitrator’s authority.
27. (1) Where an arbitrator ceases to hold office, the parties are free to agree—
(a) whether and if so how the vacancy is to be filled,
(b) whether and if so to what extent the previous proceedings should stand, and
(c) what effect (if any) his ceasing to hold office has on any appointment made by
him (alone or jointly).
(2) If or to the extent that there is no such agreement, the following provisions apply.
(3) The provisions of sections 16 (procedure for appointment of arbitrators) and 18
(failure of appointment procedure) apply in relation to the filling of the vacancy as in
relation to an original appointment.
(4) The tribunal (when reconstituted) shall determine whether and if so to what extent
the previous proceedings should stand. This does not affect any right of a party to
challenge those proceedings on any ground which had arisen before the arbitrator
ceased to hold office.
(5) His ceasing to hold office does not affect any appointment by him (alone or jointly)
of another arbitrator, in particular any appointment of a chairman or umpire.
28. (1) The parties are jointly and severally liable to pay to the arbitrators such reason-
able fees and expenses (if any) as are appropriate in the circumstances.
(2) Any party may apply to the court (upon notice to the other parties and to the arbitra-
tors) which may order that the amount of the arbitrators’ fees and expenses shall be
considered and adjusted by such means and upon such terms as it may direct.
(3) If the application is made after any amount has been paid to the arbitrators by way
of fees or expenses, the court may order the repayment of such amount (if any) as is
shown to be excessive, but shall not do so unless it is shown that it is reasonable in the
circumstances to order repayment.
(4) The above provisions have effect subject to any order of the court under section
24(4) or 25(3)(b) (order as to entitlement to fees or expenses in case of removal or
resignation of arbitrator).
(5) Nothing in this section affects any liability of a party to any other party to pay all
or any of the costs of the arbitration (see sections 59 to 65) or any contractual right of
an arbitrator to payment of his fees and expenses.
(6) In this section references to arbitrators include an arbitrator who has ceased to act
and an umpire who has not replaced the other arbitrators.
Immunity of arbitrator.
29. (1) An arbitrator is not liable for anything done or omitted in the discharge or
purported discharge of his functions as arbitrator unless the act or omission is shown
to have been in bad faith.
(2) Subsection (1) applies to an employee or agent of an arbitrator as it applies to the
arbitrator himself.
(3) This section does not affect any liability incurred by an arbitrator by reason of his
resigning (but see section 25).
30. (1) Unless otherwise agreed by the parties, the arbitral tribunal may rule on its own
substantive jurisdiction, that is, as to—
(a) whether there is a valid arbitration agreement,
(b) whether the tribunal is properly constituted, and
(c) what matters have been submitted to arbitration in accordance with the arbitra-
tion agreement.
31. (1) An objection that the arbitral tribunal lacks substantive jurisdiction at the outset
of the proceedings must be raised by a party not later than the time he takes the first
step in the proceedings to contest the merits of any matter in relation to which he
challenges the tribunal’s jurisdiction. A party is not precluded from raising such an
objection by the fact that he has appointed or participated in the appointment of an
arbitrator.
(2) Any objection during the course of the arbitral proceedings that the arbitral tribunal
is exceeding its substantive jurisdiction must be made as soon as possible after the
matter alleged to be beyond its jurisdiction is raised.
(3) The arbitral tribunal may admit an objection later than the time specified in sub-
section (1) or (2) if it considers the delay justified.
(4) Where an objection is duly taken to the tribunal’s substantive jurisdiction and the
tribunal has power to rule on its own jurisdiction, it may—
(a) rule on the matter in an award as to jurisdiction, or
(b) deal with the objection in its award on the merits. If the parties agree which of
these courses the tribunal should take, the tribunal shall proceed accordingly.
(5) The tribunal may in any case, and shall if the parties so agree, stay proceedings
whilst an application is made to the court under section 32 (determination of prelimi-
nary point of jurisdiction).
32. (1) The court may, on the application of a party to arbitral proceedings (upon notice
to the other parties), determine any question as to the substantive jurisdiction of the
tribunal. A party may lose the right to object (see section 73).
(2) An application under this section shall not be considered unless—
(a) it is made with the agreement in writing of all the other parties to the proceed-
ings, or
(b) it is made with the permission of the tribunal and the court is satisfied
(i) that the determination of the question is likely to produce substantial savings
in costs,
(ii) that the application was made without delay, and
(iii) that there is good reason why the matter should be decided by the court.
34. (1) It shall be for the tribunal to decide all procedural and evidential matters, subject
to the right of the parties to agree any matter.
(2) Procedural and evidential matters include—
(a) when and where any part of the proceedings is to be held;
(b) the language or languages to be used in the proceedings and whether translations
of any relevant documents are to be supplied;
(c) whether any and if so what form of written statements of claim and defence are
to be used, when these should be supplied and the extent to which such statements
can be later amended;
(d) whether any and if so which documents or classes of documents should be
disclosed between and produced by the parties and at what stage;
36. Unless otherwise agreed by the parties, a party to arbitral proceedings may be
represented in the proceedings by a lawyer or other person chosen by him.
38. (1) The parties are free to agree on the powers exercisable by the arbitral tribunal
for the purposes of and in relation to the proceedings.
(2) Unless otherwise agreed by the parties the tribunal has the following powers.
(3) The tribunal may order a claimant to provide security for the costs of the arbitra-
tion. This power shall not be exercised on the ground that the claimant is—
(a) an individual ordinarily resident outside the United Kingdom, or
(b) a corporation or association incorporated or formed under the law of a country
outside the United Kingdom, or whose central management and control is exercised
outside the United Kingdom.
(4) The tribunal may give directions in relation to any property which is the subject of
the proceedings or as to which any question arises in the proceedings, and which is
owned by or is in the possession of a party to the proceedings—
(a) for the inspection, photographing, preservation, custody or detention of the
property by the tribunal, an expert or a party, or
(b) ordering that samples be taken from, or any observation be made of or experi-
ment conducted upon, the property.
(5) The tribunal may direct that a party or witness shall be examined on oath or affir-
mation, and may for that purpose administer any necessary oath or take any necessary
affirmation.
(6) The tribunal may give directions to a party for the preservation for the purposes of
the proceedings of any evidence in his custody or control.
39. (1) The parties are free to agree that the tribunal shall have power to order on a
provisional basis any relief which it would have power to grant in a final award.
(2) This includes, for instance, making—
(a) a provisional order for the payment of money or the disposition of property as
between the parties, or
(b) an order to make an interim payment on account of the costs of the arbitration.
(3) Any such order shall be subject to the tribunal’s final adjudication; and the tribunal’s
final award, on the merits or as to costs, shall take account of any such order.
(4) Unless the parties agree to confer such power on the tribunal, the tribunal has no
such power. This does not affect its powers under section 47 (awards on different
issues, &c.).
40. (1) The parties shall do all things necessary for the proper and expeditious conduct
of the arbitral proceedings.
(2) This includes—
(a) complying without delay with any determination of the tribunal as to procedural
or evidential matters, or with any order or directions of the tribunal, and
(b) where appropriate, taking without delay any necessary steps to obtain a decision
of the court on a preliminary question of jurisdiction or law (see sections 32 and 45).
41. (1) The parties are free to agree on the powers of the tribunal in case of a party’s fail-
ure to do something necessary for the proper and expeditious conduct of the arbitration.
(2) Unless otherwise agreed by the parties, the following provisions apply.
(3) If the tribunal is satisfied that there has been inordinate and inexcusable delay on
the part of the claimant in pursuing his claim and that the delay—
(a) gives rise, or is likely to give rise, to a substantial risk that it is not possible to
have a fair resolution of the issues in that claim, or
(b) has caused, or is likely to cause, serious prejudice to the respondent, the tribunal
may make an award dismissing the claim.
(4) If without showing sufficient cause a party—
(a) fails to attend or be represented at an oral hearing of which due notice was
given, or
(b) where matters are to be dealt with in writing, fails after due notice to submit
written evidence or make written submissions, the tribunal may continue the pro-
ceedings in the absence of that party or, as the case may be, without any written
evidence or submissions on his behalf, and may make an award on the basis of the
evidence before it.
(5) If without showing sufficient cause a party fails to comply with any order or
directions of the tribunal, the tribunal may make a peremptory order to the same effect,
prescribing such time for compliance with it as the tribunal considers appropriate.
(6) If a claimant fails to comply with a peremptory order of the tribunal to provide
security for costs, the tribunal may make an award dismissing his claim.
(7) If a party fails to comply with any other kind of peremptory order, then, without
prejudice to section 42 (enforcement by court of tribunal’s peremptory orders), the
tribunal may do any of the following—
(a) direct that the party in default shall not be entitled to rely upon any allegation or
material which was the subject matter of the order;
42. (1) Unless otherwise agreed by the parties, the court may make an order requiring
a party to comply with a peremptory order made by the tribunal.
(2) An application for an order under this section may be made—
(a) by the tribunal (upon notice to the parties),
(b) by a party to the arbitral proceedings with the permission of the tribunal (and
upon notice to the other parties), or
(c) where the parties have agreed that the powers of the court under this section shall
be available.
(3) The court shall not act unless it is satisfied that the applicant has exhausted any
available arbitral process in respect of failure to comply with the tribunal’s order.
(4) No order shall be made under this section unless the court is satisfied that the
person to whom the tribunal’s order was directed has failed to comply with it within
the time prescribed in the order or, if no time was prescribed, within a reasonable
time.
(5) The leave of the court is required for any appeal from a decision of the court under
this section.
43. (1) A party to arbitral proceedings may use the same court procedures as are avail-
able in relation to legal proceedings to secure the attendance before the tribunal of a
witness in order to give oral testimony or to produce documents or other material evi-
dence.
(2) This may only be done with the permission of the tribunal or the agreement of the
other parties.
(3) The court procedures may only be used if—
(a) the witness is in the United Kingdom, and
(b) the arbitral proceedings are being conducted in England and Wales or, as the
case may be, Northern Ireland.
44. (1) Unless otherwise agreed by the parties, the court has for the purposes of and in
relation to arbitral proceedings the same power of making orders about the matters
listed below as it has for the purposes of and in relation to legal proceedings.
(2) Those matters are—
(a) the taking of the evidence of witnesses;
(b) the preservation of evidence;
(c) making orders relating to property which is the subject of the proceedings or as
to which any question arises in the proceedings—
(i) for the inspection, photographing, preservation, custody or detention of the
property, or
(ii) ordering that samples be taken from, or any observation be made of or exper-
iment conducted upon, the property; and for that purpose authorising any person
to enter any premises in the possession or control of a party to the arbitration;
(d) the sale of any goods the subject of the proceedings;
(e) the granting of an interim injunction or the appointment of a receiver.
(3) If the case is one of urgency, the court may, on the application of a party or
proposed party to the arbitral proceedings, make such orders as it thinks necessary for
the purpose of preserving evidence or assets.
(4) If the case is not one of urgency, the court shall act only on the application of a
party to the arbitral proceedings (upon notice to the other parties and to the tribunal)
made with the permission of the tribunal or the agreement in writing of the other
parties.
(5) In any case the court shall act only if or to the extent that the arbitral tribunal,
and any arbitral or other institution or person vested by the parties with power in that
regard, has no power or is unable for the time being to act effectively.
(6) If the court so orders, an order made by it under this section shall cease to
have effect in whole or in part on the order of the tribunal or of any such arbitral or
other institution or person having power to act in relation to the subject-matter of the
order.
(7) The leave of the court is required for any appeal from a decision of the court under
this section.
45. (1) Unless otherwise agreed by the parties, the court may on the application of a
party to arbitral proceedings (upon notice to the other parties) determine any question
of law arising in the course of the proceedings which the court is satisfied substantially
affects the rights of one or more of the parties. An agreement to dispense with reasons
for the tribunal’s award shall be considered an agreement to exclude the court’s juris-
diction under this section.
(2) An application under this section shall not be considered unless—
(a) it is made with the agreement of all the other parties to the proceedings, or
(b) it is made with the permission of the tribunal and the court is satisfied—
(i) that the determination of the question is likely to produce substantial savings
in costs, and
(ii) that the application was made without delay.
(3) The application shall identify the question of law to be determined and, unless
made with the agreement of all the other parties to the proceedings, shall state the
grounds on which it is said that the question should be decided by the court.
(4) Unless otherwise agreed by the parties, the arbitral tribunal may continue the
arbitral proceedings and make an award while an application to the court under this
section is pending.
(5) Unless the court gives leave, no appeal lies from a decision of the court whether the
conditions specified in subsection (2) are met.
(6) The decision of the court on the question of law shall be treated as a judgment of
the court for the purposes of an appeal. But no appeal lies without the leave of the court
which shall not be given unless the court considers that the question is one of general
importance, or is one which for some other special reason should be considered by the
Court of Appeal.
The award
47. (1) Unless otherwise agreed by the parties, the tribunal may make more than one
award at different times on different aspects of the matters to be determined.
(2) The tribunal may, in particular, make an award relating—
(a) to an issue affecting the whole claim, or
(b) to a part only of the claims or cross-claims submitted to it for decision.
(3) If the tribunal does so, it shall specify in its award the issue, or the claim or part of
a claim, which is the subject matter of the award.
Remedies.
48. (1) The parties are free to agree on the powers exercisable by the arbitral tribunal
as regards remedies.
(2) Unless otherwise agreed by the parties, the tribunal has the following powers.
(3) The tribunal may make a declaration as to any matter to be determined in the pro-
ceedings.
(4) The tribunal may order the payment of a sum of money, in any currency.
(5) The tribunal has the same powers as the court—
(a) to order a party to do or refrain from doing anything;
(b) to order specific performance of a contract (other than a contract relating to
land);
(c) to order the rectification, setting aside or cancellation of a deed or other document.
Interest.
49. (1) The parties are free to agree on the powers of the tribunal as regards the award
of interest.
(2) Unless otherwise agreed by the parties the following provisions apply.
(3) The tribunal may award simple or compound interest from such dates, at such rates
and with such rests as it considers meets the justice of the case—
(a) on the whole or part of any amount awarded by the tribunal, in respect of any
period up to the date of the award;
(b) on the whole or part of any amount claimed in the arbitration and outstanding at
the commencement of the arbitral proceedings but paid before the award was made,
in respect of any period up to the date of payment.
50. (1) Where the time for making an award is limited by or in pursuance of the
arbitration agreement, then, unless otherwise agreed by the parties, the court may in
accordance with the following provisions by order extend that time.
(2) An application for an order under this section may be made—
(a) by the tribunal (upon notice to the parties), or
(b) by any party to the proceedings (upon notice to the tribunal and the other parties),
but only after exhausting any available arbitral process for obtaining an extension of
time.
(3) The court shall only make an order if satisfied that a substantial injustice would
otherwise be done.
(4) The court may extend the time for such period and on such terms as it thinks fit, and
may do so whether or not the time previously fixed (by or under the agreement or by a
previous order) has expired.
(5) The leave of the court is required for any appeal from a decision of the court under
this section.
Settlement.
51. (1) If during arbitral proceedings the parties settle the dispute, the following
provisions apply unless otherwise agreed by the parties.
(2) The tribunal shall terminate the substantive proceedings and, if so requested by the
parties and not objected to by the tribunal, shall record the settlement in the form of an
agreed award.
(3) An agreed award shall state that it is an award of the tribunal and shall have the
same status and effect as any other award on the merits of the case.
(4) The following provisions of this Part relating to awards (sections 52 to 58) apply to
an agreed award.
(5) Unless the parties have also settled the matter of the payment of the costs of the
arbitration, the provisions of this Part relating to costs (sections 59 to 65) continue to
apply.
52. (1) The parties are free to agree on the form of an award.
(2) If or to the extent that there is no such agreement, the following provisions apply.
(3) The award shall be in writing signed by all the arbitrators or all those assenting to
the award.
(4) The award shall contain the reasons for the award unless it is an agreed award or
the parties have agreed to dispense with reasons.
(5) The award shall state the seat of the arbitration and the date when the award is
made.
53. Unless otherwise agreed by the parties, where the seat of the arbitration is in
England and Wales or Northern Ireland, any award in the proceedings shall be treated
as made there, regardless of where it was signed, despatched or delivered to any of the
parties.
Date of award.
54. (1) Unless otherwise agreed by the parties, the tribunal may decide what is to be
taken to be the date on which the award was made.
(2) In the absence of any such decision, the date of the award shall be taken to be the
date on which it is signed by the arbitrator or, where more than one arbitrator signs the
award, by the last of them.
Notification of award.
55. (1) The parties are free to agree on the requirements as to notification of the award
to the parties.
(2) If there is no such agreement, the award shall be notified to the parties by service
on them of copies of the award, which shall be done without delay after the award is
made.
(3) Nothing in this section affects section 56 (power to withhold award in case of non-
payment).
56. (1) The tribunal may refuse to deliver an award to the parties except upon full
payment of the fees and expenses of the arbitrators.
57. (1) The parties are free to agree on the powers of the tribunal to correct an award
or make an additional award.
(2) If or to the extent there is no such agreement, the following provisions apply.
(3) The tribunal may on its own initiative or on the application of a party—
(a) correct an award so as to remove any clerical mistake or error arising from an
accidental slip or omission or clarify or remove any ambiguity in the award, or
(b) make an additional award in respect of any claim (including a claim for interest
or costs) which was presented to the tribunal but was not dealt with in the award.
These powers shall not be exercised without first affording the other parties a rea-
sonable opportunity to make representations to the tribunal.
Effect of award.
58. (1) Unless otherwise agreed by the parties, an award made by the tribunal pursuant
to an arbitration agreement is final and binding both on the parties and on any persons
claiming through or under them.
(2) This does not affect the right of a person to challenge the award by any available
arbitral process of appeal or review or in accordance with the provisions of this Part.
59. (1) References in this Part to the costs of the arbitration are to—
(a) the arbitrators’ fees and expenses,
(b) the fees and expenses of any arbitral institution concerned, and
(c) the legal or other costs of the parties.
(2) Any such reference includes the costs of or incidental to any proceedings to
determine the amount of the recoverable costs of the arbitration (see section 63).
60. An agreement which has the effect that a party is to pay the whole or part of the
costs of the arbitration in any event is only valid if made after the dispute in question
has arisen.
Award of costs.
61. (1) The tribunal may make an award allocating the costs of the arbitration as
between the parties, subject to any agreement of the parties.
62. Unless the parties otherwise agree, any obligation under an agreement between
them as to how the costs of the arbitration are to be borne, or under an award allocating
the costs of the arbitration, extends only to such costs as are recoverable.
63. (1) The parties are free to agree what costs of the arbitration are recoverable.
(2) If or to the extent there is no such agreement, the following provisions apply.
(3) The tribunal may determine by award the recoverable costs of the arbitration on
such basis as it thinks fit. If it does so, it shall specify—
(a) the basis on which it has acted, and
(b) the items of recoverable costs and the amount referable to each.
(4) If the tribunal does not determine the recoverable costs of the arbitration, any party
to the arbitral proceedings may apply to the court (upon notice to the other parties)
which may—
(a) determine the recoverable costs of the arbitration on such basis as it thinks
fit, or
(b) order that they shall be determined by such means and upon such terms as it may
specify.
(5) Unless the tribunal or the court determines otherwise—
(a) the recoverable costs of the arbitration shall be determined on the basis that there
shall be allowed a reasonable amount in respect of all costs reasonably incurred,
and
(b) any doubt as to whether costs were reasonably incurred or were reasonable in
amount shall be resolved in favour of the paying party.
(6) The above provisions have effect subject to section 64 (recoverable fees and
expenses of arbitrators).
(7) Nothing in this section affects any right of the arbitrators, any expert, legal adviser
or assessor appointed by the tribunal, or any arbitral institution, to payment of their
fees and expenses.
64. (1) Unless otherwise agreed by the parties, the recoverable costs of the arbitration
shall include in respect of the fees and expenses of the arbitrators only such reasonable
fees and expenses as are appropriate in the circumstances.
(2) If there is any question as to what reasonable fees and expenses are appropriate in
the circumstances, and the matter is not already before the court on an application
under section 63(4), the court may on the application of any party (upon notice to the
other parties)—
(a) determine the matter, or
(b) order that it be determined by such means and upon such terms as the court may
specify.
(3) Subsection (1) has effect subject to any order of the court under section 24(4) or
25(3)(b) (order as to entitlement to fees or expenses in case of removal or resignation
of arbitrator).
(4) Nothing in this section affects any right of the arbitrator to payment of his fees and
expenses.
65. (1) Unless otherwise agreed by the parties, the tribunal may direct that the recover-
able costs of the arbitration, or of any part of the arbitral proceedings, shall be limited
to a specified amount.
(2) Any direction may be made or varied at any stage, but this must be done suffi-
ciently in advance of the incurring of costs to which it relates, or the taking of any steps
in the proceedings which may be affected by it, for the limit to be taken into account.
66. (1) An award made by the tribunal pursuant to an arbitration agreement may, by
leave of the court, be enforced in the same manner as a judgment or order of the court
to the same effect.
(2) Where leave is so given, judgment may be entered in terms of the award.
(3) Leave to enforce an award shall not be given where, or to the extent that, the person
against whom it is sought to be enforced shows that the tribunal lacked substantive
jurisdiction to make the award. The right to raise such an objection may have been lost
(see section 73).
(4) Nothing in this section affects the recognition or enforcement of an award under
any other enactment or rule of law, in particular under Part II of the Arbitration Act
67. (1) A party to arbitral proceedings may (upon notice to the other parties and to the
tribunal) apply to the court—
(a) challenging any award of the arbitral tribunal as to its substantive jurisdiction; or
(b) for an order declaring an award made by the tribunal on the merits to be of no
effect, in whole or in part, because the tribunal did not have substantive jurisdiction.
A party may lose the right to object (see section 73) and the right to apply is subject
to the restrictions in section 70(2) and (3).
(2) The arbitral tribunal may continue the arbitral proceedings and make a further
award while an application to the court under this section is pending in relation to an
award as to jurisdiction.
(3) On an application under this section challenging an award of the arbitral tribunal as
to its substantive jurisdiction, the court may by order—
(a) confirm the award,
(b) vary the award, or
(c) set aside the award in whole or in part.
(4) The leave of the court is required for any appeal from a decision of the court under
this section.
68. (1) A party to arbitral proceedings may (upon notice to the other parties and to
the tribunal) apply to the court challenging an award in the proceedings on the ground
of serious irregularity affecting the tribunal, the proceedings or the award. A party
may lose the right to object (see section 73) and the right to apply is subject to the
restrictions in section 70(2) and (3).
(2) Serious irregularity means an irregularity of one or more of the following
kinds which the court considers has caused or will cause substantial injustice to the
applicant—
(a) failure by the tribunal to comply with section 33 (general duty of tribunal);
(b) the tribunal exceeding its powers (otherwise than by exceeding its substantive
jurisdiction: see section 67);
(c) failure by the tribunal to conduct the proceedings in accordance with the proce-
dure agreed by the parties;
(d) failure by the tribunal to deal with all the issues that were put to it;
69. (1) Unless otherwise agreed by the parties, a party to arbitral proceedings may
(upon notice to the other parties and to the tribunal) appeal to the court on a question
of law arising out of an award made in the proceedings. An agreement to dispense with
reasons for the tribunal’s award shall be considered an agreement to exclude the court’s
jurisdiction under this section.
(2) An appeal shall not be brought under this section except—
(a) with the agreement of all the other parties to the proceedings, or
(b) with the leave of the court. The right to appeal is also subject to the restrictions
in section 70(2) and (3).
(3) Leave to appeal shall be given only if the court is satisfied—
(a) that the determination of the question will substantially affect the rights of one or
more of the parties,
(b) that the question is one which the tribunal was asked to determine,
(c) that, on the basis of the findings of fact in the award—
(i) the decision of the tribunal on the question is obviously wrong, or
70. (1) The following provisions apply to an application or appeal under section 67, 68
or 69.
(2) An application or appeal may not be brought if the applicant or appellant has not
first exhausted—
(a) any available arbitral process of appeal or review, and
(b) any available recourse under section 57 (correction of award or additional
award).
(3) Any application or appeal must be brought within 28 days of the date of the award
or, if there has been any arbitral process of appeal or review, of the date when the
applicant or appellant was notified of the result of that process.
71. (1) The following provisions have effect where the court makes an order under
section 67, 68 or 69 with respect to an award.
(2) Where the award is varied, the variation has effect as part of the tribunal’s award.
(3) Where the award is remitted to the tribunal, in whole or in part, for reconsideration,
the tribunal shall make a fresh award in respect of the matters remitted within three
months of the date of the order for remission or such longer or shorter period as the
court may direct.
(4) Where the award is set aside or declared to be of no effect, in whole or in part, the
court may also order that any provision that an award is a condition precedent to the
bringing of legal proceedings in respect of a matter to which the arbitration agreement
applies, is of no effect as regards the subject matter of the award or, as the case may
be, the relevant part of the award.
72. (1) A person alleged to be a party to arbitral proceedings but who takes no part in
the proceedings may question—
(a) whether there is a valid arbitration agreement,
(b) whether the tribunal is properly constituted, or
(c) what matters have been submitted to arbitration in accordance with the arbitra-
tion agreement, by proceedings in the court for a declaration or injunction or other
appropriate relief.
(2) He also has the same right as a party to the arbitral proceedings to challenge an
award—
(a) by an application under section 67 on the ground of lack of substantive jurisdic-
tion in relation to him, or
(b) by an application under section 68 on the ground of serious irregularity (within
the meaning of that section) affecting him; and section 70(2) (duty to exhaust arbitral
procedures) does not apply in his case.
73. (1) If a party to arbitral proceedings takes part, or continues to take part, in the
proceedings without making, either forthwith or within such time as is allowed by the
arbitration agreement or the tribunal or by any provision of this Part, any objection—
(a) that the tribunal lacks substantive jurisdiction,
(b) that the proceedings have been improperly conducted,
(c) that there has been a failure to comply with the arbitration agreement or with any
provision of this Part, or
(d) that there has been any other irregularity affecting the tribunal or the proceed-
ings, he may not raise that objection later, before the tribunal or the court, unless he
shows that, at the time he took part or continued to take part in the proceedings, he
did not know and could not with reasonable diligence have discovered the grounds
for the objection.
(2) Where the arbitral tribunal rules that it has substantive jurisdiction and a party to
arbitral proceedings who could have questioned that ruling—
(a) by any available arbitral process of appeal or review, or
(b) by challenging the award, does not do so, or does not do so within the time
allowed by the arbitration agreement or any provision of this Part, he may not object
later to the tribunal’s substantive jurisdiction on any ground which was the subject
of that ruling.
74. (1) An arbitral or other institution or person designated or requested by the parties
to appoint or nominate an arbitrator is not liable for anything done or omitted in the
discharge or purported discharge of that function unless the act or omission is shown
to have been in bad faith.
(2) An arbitral or other institution or person by whom an arbitrator is appointed or
nominated is not liable, by reason of having appointed or nominated him, for anything
done or omitted by the arbitrator (or his employees or agents) in the discharge or
purported discharge of his functions as arbitrator.
(3) The above provisions apply to an employee or agent of an arbitral or other institu-
tion or person as they apply to the institution or person himself.
75. The powers of the court to make declarations and orders under section 73 of the
Solicitors Act 1974 or Article 71H of the Solicitors (Northern Ireland) Order 1976
(power to charge property recovered in the proceedings with the payment of solicitors’
costs) may be exercised in relation to arbitral proceedings as if those proceedings were
proceedings in the court.
Supplementary
76. (1) The parties are free to agree on the manner of service of any notice or other
document required or authorised to be given or served in pursuance of the arbitration
agreement or for the purposes of the arbitral proceedings.
(2) If or to the extent that there is no such agreement the following provisions apply.
(3) A notice or other document may be served on a person by any effective means.
(4) If a notice or other document is addressed, pre-paid and delivered by post—
(a) to the addressee’s last known principal residence or, if he is or has been carrying
on a trade, profession or business, his last known principal business address, or
(b) where the addressee is a body corporate, to the body’s registered or principal
office, it shall be treated as effectively served.
(5) This section does not apply to the service of documents for the purposes of legal
proceedings, for which provision is made by rules of court.
(6) References in this Part to a notice or other document include any form of commu-
nication in writing and references to giving or serving a notice or other document shall
be construed accordingly.
77. (1) This section applies where service of a document on a person in the manner
agreed by the parties, or in accordance with provisions of section 76 having effect in
default of agreement, is not reasonably practicable.
(2) Unless otherwise agreed by the parties, the court may make such order as it thinks
fit—
(a) for service in such manner as the court may direct, or
(b) dispensing with service of the document.
(3) Any party to the arbitration agreement may apply for an order, but only after
exhausting any available arbitral process for resolving the matter.
(4) The leave of the court is required for any appeal from a decision of the court under
this section.
78. (1) The parties are free to agree on the method of reckoning periods of time for the
purposes of any provision agreed by them or any provision of this Part having effect in
default of such agreement.
(2) If or to the extent there is no such agreement, periods of time shall be reckoned in
accordance with the following provisions.
(3) Where the act is required to be done within a specified period after or from a
specified date, the period begins immediately after that date.
(4) Where the act is required to be done a specified number of clear days after a speci-
fied date, at least that number of days must intervene between the day on which the act
is done and that date.
(5) Where the period is a period of seven days or less which would include a Saturday,
Sunday or a public holiday in the place where anything which has to be done within
the period falls to be done, that day shall be excluded. In relation to England and Wales
or Northern Ireland, a “public holiday” means Christmas Day, Good Friday or a day
which under the Banking and Financial Dealings Act 1971 is a bank holiday.
79. (1) Unless the parties otherwise agree, the court may by order extend any time limit
agreed by them in relation to any matter relating to the arbitral proceedings or specified
in any provision of this Part having effect in default of such agreement. This section
does not apply to a time limit to which section 12 applies (power of court to extend
time for beginning arbitral proceedings, &c.).
80. (1) References in this Part to an application, appeal or other step in relation to legal
proceedings being taken “upon notice” to the other parties to the arbitral proceedings,
or to the tribunal, are to such notice of the originating process as is required by rules of
court and do not impose any separate requirement.
(2) Rules of court shall be made—
(a) requiring such notice to be given as indicated by any provision of this Part, and
(b) as to the manner, form and content of any such notice.
(3) Subject to any provision made by rules of court, a requirement to give notice to the
tribunal of legal proceedings shall be construed—
(a) if there is more than one arbitrator, as a requirement to give notice to each of
them; and
(b) if the tribunal is not fully constituted, as a requirement to give notice to any arbi-
trator who has been appointed.
(4) References in this Part to making an application or appeal to the court within a
specified period are to the issue within that period of the appropriate originating pro-
cess in accordance with rules of court.
(5) Where any provision of this Part requires an application or appeal to be made to the
court within a specified time, the rules of court relating to the reckoning of periods,
the extending or abridging of periods, and the consequences of not taking a step within
the period prescribed by the rules, apply in relation to that requirement.
81. (1) Nothing in this Part shall be construed as excluding the operation of any rule of
law consistent with the provisions of this Part, in particular, any rule of law as to—
(a) matters which are not capable of settlement by arbitration;
(b) the effect of an oral arbitration agreement; or
(c) the refusal of recognition or enforcement of an arbitral award on grounds of
public policy.
(2) Nothing in this Act shall be construed as reviving any jurisdiction of the court to set
aside or remit an award on the ground of errors of fact or law on the face of the award.
Minor definitions.
82. (1) In this Part “arbitrator,” unless the context otherwise requires, includes an
umpire; “available arbitral process,” in relation to any matter, includes any process of
appeal to or review by an arbitral or other institution or person vested by the parties
with powers in relation to that matter; “claimant,” unless the context otherwise requires,
includes a counterclaimant, and related expressions shall be construed accordingly;
“dispute” includes any difference; “enactment” includes an enactment contained in
Northern Ireland legislation; “legal proceedings” means civil proceedings in the High
Court or a county court; “peremptory order” means an order made under section 41(5)
or made in exercise of any corresponding power conferred by the parties; “premises”
includes land, buildings, moveable structures, vehicles, vessels, aircraft and hover-
craft; “question of law” means (a) for a court in England and Wales, a question of
the law of England and Wales, and (b) for a court in Northern Ireland, a question of the
law of Northern Ireland; “substantive jurisdiction,” in relation to an arbitral tribunal,
refers to the matters specified in section 30(1)(a) to (c), and references to the tribunal
exceeding its substantive jurisdiction shall be construed accordingly.
(2) References in this Part to a party to an arbitration agreement include any person
claiming under or through a party to the agreement.
83. In this Part the expressions listed below are defined or otherwise explained by the
provisions indicated agreement, agree and agreed section 5(1) agreement in writing
section 5(2) to (5) arbitration agreement sections 6 and 5(1) arbitrator section 82(1)
available arbitral process section 82(1) claimant section 82(1) commencement (in rela-
tion to arbitral proceedings) section 14 costs of the arbitration section 59 the court
section 105 dispute section 82(1) enactment section 82(1) legal proceedings section
82(1) Limitation Acts section 13(4) notice (or other document) section 76(6) party in
relation to an arbitration agreement section 82(2) where section 106(2) or (3) applies
section 106(4) peremptory order section 82(1) (and see section 41(5)) premises section
82(1) question of law section 82(1) recoverable costs sections 63 and 64 seat of
the arbitration section 3 serve and service (of notice or other document) section 76(6)
substantive jurisdiction (in relation to an arbitral tribunal) section 82(1) (and see
section 30(1)(a) to (c)) upon notice (to the parties or the tribunal) section 80 written
and in writing section 5(6).
Transitional provisions.
84. (1) The provisions of this Part do not apply to arbitral proceedings commenced
before the date on which this Part comes into force.
(2) They apply to arbitral proceedings commenced on or after that date under an arbi-
tration agreement whenever made.
(3) The above provisions have effect subject to any transitional provision made by an
order under section 109(2) (power to include transitional provisions in commencement
order).
PART II
OTHER PROVISIONS RELATING TO ARBITRATION
85. (1) In the case of a domestic arbitration agreement the provisions of Part I are
modified in accordance with the following sections.
(2) For this purpose a “domestic arbitration agreement” means an arbitration agree-
ment to which none of the parties is—
(a) an individual who is a national of, or habitually resident in, a state other than the
United Kingdom, or
86. (1) In section 9 (stay of legal proceedings), subsection (4) (stay unless the arbitration
agreement is null and void, inoperative, or incapable of being performed) does not
apply to a domestic arbitration agreement.
(2) On an application under that section in relation to a domestic arbitration agreement
the court shall grant a stay unless satisfied—
(a) that the arbitration agreement is null and void, inoperative, or incapable of being
performed, or
(b) that there are other sufficient grounds for not requiring the parties to abide by the
arbitration agreement.
(3) The court may treat as a sufficient ground under subsection (2)(b) the fact that the
applicant is or was at any material time not ready and willing to do all things necessary
for the proper conduct of the arbitration or of any other dispute resolution procedures
required to be exhausted before resorting to arbitration.
(4) For the purposes of this section the question whether an arbitration agreement is a
domestic arbitration agreement shall be determined by reference to the facts at the time
the legal proceedings are commenced.
87. (1) In the case of a domestic arbitration agreement any agreement to exclude the
jurisdiction of the court under—
(a) section 45 (determination of preliminary point of law), or
(b) section 69 (challenging the award: appeal on point of law), is not effective unless
entered into after the commencement of the arbitral proceedings in which the
question arises or the award is made.
(2) For this purpose the commencement of the arbitral proceedings has the same
meaning as in Part I (see section 14).
(3) For the purposes of this section the question whether an arbitration agreement is a
domestic arbitration agreement shall be determined by reference to the facts at the time
the agreement is entered into.
88. (1) The Secretary of State may by order repeal or amend the provisions of sections
85 to 87.
(2) An order under this section may contain such supplementary, incidental and
transitional provisions as appear to the Secretary of State to be appropriate.
(3) An order under this section shall be made by statutory instrument and no such order
shall be made unless a draft of it has been laid before and approved by a resolution of
each House of Parliament.
89. (1) The following sections extend the application of the Unfair Terms in Consumer
Contracts Regulations 1994 in relation to a term which constitutes an arbitration
agreement. For this purpose “arbitration agreement” means an agreement to submit to
arbitration present or future disputes or differences (whether or not contractual).
(2) In those sections “the Regulations” means those regulations and includes any
regulations amending or replacing those regulations.
(3) Those sections apply whatever the law applicable to the arbitration agreement.
90. The Regulations apply where the consumer is a legal person as they apply where
the consumer is a natural person.
91. (1) A term which constitutes an arbitration agreement is unfair for the purposes of
the Regulations so far as it relates to a claim for a pecuniary remedy which does not
exceed the amount specified by order for the purposes of this section.
(2) Orders under this section may make different provision for different cases and for
different purposes.
(3) The power to make orders under this section is exercisable—
(a) for England and Wales, by the Secretary of State with the concurrence of the
Lord Chancellor,
(b) for Scotland, by the Secretary of State with the concurrence of the Lord Advocate,
and
92. Nothing in Part I of this Act applies to arbitration under section 64 of the County
Courts Act 1984.
93. (1) A judge of the Commercial Court or an official referee may, if in all the circum-
stances he thinks fit, accept appointment as a sole arbitrator or as umpire by or by
virtue of an arbitration agreement.
(2) A judge of the Commercial Court shall not do so unless the Lord Chief Justice has
informed him that, having regard to the state of business in the High Court and the
Crown Court, he can be made available.
(3) An official referee shall not do so unless the Lord Chief Justice has informed
him that, having regard to the state of official referees’ business, he can be made
available.
(4) The fees payable for the services of a judge of the Commercial Court or official
referee as arbitrator or umpire shall be taken in the High Court.
(5) In this section “arbitration agreement” has the same meaning as in Part I; and
“official referee” means a person nominated under section 68(1)(a) of the Supreme
Court Act 1981 to deal with official referees’ business.
(6) The provisions of Part I of this Act apply to arbitration before a person appointed
under this section with the modifications specified in Schedule 2.
94. (1) The provisions of Part I apply to every arbitration under an enactment (a
“statutory arbitration”), whether the enactment was passed or made before or after
the commencement of this Act, subject to the adaptations and exclusions specified in
sections 95 to 98.
(2) The provisions of Part I do not apply to a statutory arbitration if or to the extent that
their application—
(a) is inconsistent with the provisions of the enactment concerned, with any rules or
procedure authorised or recognised by it, or
(b) is excluded by any other enactment.
(3) In this section and the following provisions of this Part “enactment”—
(a) in England and Wales, includes an enactment contained in subordinate legisla-
tion within the meaning of the Interpretation Act 1978;
(b) in Northern Ireland, means a statutory provision within the meaning of section
1(f) of the Interpretation Act (Northern Ireland) 1954.
96. (1) The following provisions of Part I apply to a statutory arbitration with the
following adaptations.
(2) In section 30(1) (competence of tribunal to rule on its own jurisdiction), the reference
in paragraph (a) to whether there is a valid arbitration agreement shall be construed as
a reference to whether the enactment applies to the dispute or difference in question.
(3) Section 35 (consolidation of proceedings and concurrent hearings) applies only so as
to authorise the consolidation of proceedings, or concurrent hearings in proceedings,
under the same enactment.
98. (1) The Secretary of State may make provision by regulations for adapting or
excluding any provision of Part I in relation to statutory arbitrations in general or
statutory arbitrations of any particular description.
(2) The power is exercisable whether the enactment concerned is passed or made
before or after the commencement of this Act.
(3) Regulations under this section shall be made by statutory instrument which shall be
subject to annulment in pursuance of a resolution of either House of Parliament.
PART III
RECOGNITION AND ENFORCEMENT OF CERTAIN FOREIGN AWARDS
99. Part II of the Arbitration Act 1950 (enforcement of certain foreign awards) contin-
ues to apply in relation to foreign awards within the meaning of that Part which are not
also New York Convention awards.
100. (1) In this Part a “New York Convention award” means an award made, in
pursuance of an arbitration agreement, in the territory of a state (other than the United
Kingdom) which is a party to the New York Convention.
101. (1) A New York Convention award shall be recognised as binding on the persons
as between whom it was made, and may accordingly be relied on by those persons by
way of defence, set-off or otherwise in any legal proceedings in England and Wales or
Northern Ireland.
(2) A New York Convention award may, by leave of the court, be enforced in the same
manner as a judgment or order of the court to the same effect. As to the meaning of
“the court” see section 105.
(3) Where leave is so given, judgment may be entered in terms of the award.
102. (1) A party seeking the recognition or enforcement of a New York Convention
award must produce—
(a) the duly authenticated original award or a duly certified copy of it, and
(b) the original arbitration agreement or a duly certified copy of it.
(2) If the award or agreement is in a foreign language, the party must also produce
a translation of it certified by an official or sworn translator or by a diplomatic or
consular agent.
103. (1) Recognition or enforcement of a New York Convention award shall not be
refused except in the following cases.
104. Nothing in the preceding provisions of this Part affects any right to rely upon or
enforce a New York Convention award at common law or under section 66.
105. (1) In this Act “the court” means the High Court or a county court, subject to the
following provisions.
(2) The Lord Chancellor may by order make provision—
(a) allocating proceedings under this Act to the High Court or to county courts; or
(b) specifying proceedings under this Act which may be commenced or taken only
in the High Court or in a county court.
(3) The Lord Chancellor may by order make provision requiring proceedings of any
specified description under this Act in relation to which a county court has jurisdiction
to be commenced or taken in one or more specified county courts. Any jurisdiction so
exercisable by a specified county court is exercisable throughout England and Wales
or, as the case may be, Northern Ireland.
(4) An order under this section—
(a) may differentiate between categories of proceedings by reference to such criteria
as the Lord Chancellor sees fit to specify, and
(b) may make such incidental or transitional provision as the Lord Chancellor con-
siders necessary or expedient.
(5) An order under this section for England and Wales shall be made by statutory
instrument which shall be subject to annulment in pursuance of a resolution of either
House of Parliament.
(6) An order under this section for Northern Ireland shall be a statutory rule for the
purposes of the Statutory Rules (Northern Ireland) Order 1979 which shall be subject
to annulment in pursuance of a resolution of either House of Parliament in like manner
as a statutory instrument and section 5 of the Statutory Instruments Act 1946 shall
apply accordingly.
Crown application.
106. (1) Part I of this Act applies to any arbitration agreement to which Her Majesty,
either in right of the Crown or of the Duchy of Lancaster or otherwise, or the Duke of
Cornwall, is a party.
(2) Where Her Majesty is party to an arbitration agreement otherwise than in right of the
Crown, Her Majesty shall be represented for the purposes of any arbitral proceedings—
(a) where the agreement was entered into by Her Majesty in right of the Duchy of
Lancaster, by the Chancellor of the Duchy or such person as he may appoint, and
107. (1) The enactments specified in Schedule 3 are amended in accordance with that
Schedule, the amendments being consequential on the provisions of this Act.
(2) The enactments specified in Schedule 4 are repealed to the extent specified.
Extent.
108. (1) The provisions of this Act extend to England and Wales and, except as men-
tioned below, to Northern Ireland.
(2) The following provisions of Part II do not extend to Northern Ireland section 92
(exclusion of Part I in relation to small claims arbitration in the county court), and sec-
tion 93 and Schedule 2 (appointment of judges as arbitrators).
(3) Sections 89, 90 and 91 (consumer arbitration agreements) extend to Scotland and
the provisions of Schedules 3 and 4 (consequential amendments and repeals) extend to
Scotland so far as they relate to enactments which so extend, subject as follows.
(4) The repeal of the Arbitration Act 1975 extends only to England and Wales and
Northern Ireland.
Commencement.
109. (1) The provisions of this Act come into force on such day as the Secretary of
State may appoint by order made by statutory instrument, and different days may be
appointed for different purposes.
(2) An order under subsection (1) may contain such transitional provisions as appear
to the Secretary of State to be appropriate.
Short title.
Arbitration Rules
(Revised and Adopted by the China Council for the Promotion of International
Trade/China Chamber of International Commerce on January 11, 2005.
Effective as from May 1, 2005.)
These Rules are formulated in accordance with the Arbitration Law of the People’s
Republic of China and the provisions of other relevant laws, as well as the “Decision”
of the former Administration Council of the Central People’s Government and the
“Notice” and the “Official Reply” of the State Council.
303
3. Where an arbitration agreement or an arbitration clause contained in a contract
provides for arbitration by the CIETAC or one of its Sub-Commissions or by the
CIETAC using one of its prior names, the parties shall be deemed to have unanimously
agreed that the arbitration shall be administered by the CIETAC or by one of its
Sub-Commissions.
4. Where an arbitration agreement or an arbitration clause contained in a contract
provides for arbitration by the China Council for the Promotion of International Trade/
China Chamber of International Commerce or by the Arbitration Commission or the
Court of Arbitration of the China Council for the Promotion of International Trade/
China Chamber of International Commerce, the parties shall be deemed to have unan-
imously agreed that the arbitration shall be administered by the CIETAC.
5. The Chairman of the CIETAC shall perform the functions and duties vested in him/
her by these Rules while a Vice-Chairman may perform the Chairman’s functions and
duties with the Chairman’s authorization.
6. The CIETAC has a Secretariat, which handles its day-to-day work under the direc-
tion of its Secretary-General.
7. The CIETAC is based in Beijing, and has a South China Sub-Commission (for-
merly known as Shenzhen Sub-Commission) in Shenzhen Special Economic Zone and
a Shanghai Sub-Commission in Shanghai. These Sub-Commissions are integral parts
of the CIETAC. The Sub-Commissions have their respective secretariats, which handle
their day-to-day work under the direction of the Secretaries-General of the respective
Sub-Commissions.
8. The parties may agree to have their disputes arbitrated by the CIETAC in Beijing,
the South China Sub-Commission in Shenzhen or the Shanghai Sub-Commission in
Shanghai. In the absence of such an agreement, the Claimant shall have the option to
submit the case for arbitration by the CIETAC in Beijing, the South China Sub-
Commission in Shenzhen or the Shanghai Sub-Commission in Shanghai. When such
option is exercised, the first choice by the party shall prevail. In case of any dispute, the
final decision shall be made by the CIETAC.
9. The CIETAC may, in its discretion, establish arbitration centers for specific busi-
ness sectors and issue arbitration rules therefor.
10. The CIETAC shall establish a Panel of Arbitrators, and may, in its discretion,
establish Panels of Arbitrators for specific business sectors.
Article 3 Jurisdiction
1. These Rules uniformly apply to the CIETAC and its Sub-Commissions. When arbi-
tration proceedings are administered by a Sub-Commission, the functions and duties
under these Rules allocated to the Chairman, the secretariat and the Secretary-General
of the CIETAC shall be performed, respectively, by a Vice-Chairman authorized by
the Chairman, a secretariat and a Secretary-General of the relevant Sub-Commission
except for the power to make decisions on challenges to arbitrators.
2. The parties shall be deemed to have agreed to arbitrate in accordance with these
Rules whenever they have provided for arbitration by the CIETAC. Where the parties
have agreed on the application of other arbitration rules, or any modification of these
Rules, the parties’ agreement shall prevail except where such agreement is inoperative
or in conflict with a mandatory provision of the law of the place of arbitration.
3. Where the parties agree to refer their disputes to arbitration under these Rules with-
out providing the name of an arbitration institution, they shall be deemed to have
agreed to refer the dispute to arbitration by the CIETAC.
4. Where the parties agree to refer their dispute to arbitration under the CIETAC’s
arbitration rules for a specific business sector or profession and the dispute falls within
the scope of such rules, the parties’ agreement shall prevail; otherwise, these Rules
shall apply.
1. The CIETAC shall, upon the written application of a party, accept a case in accor-
dance with an arbitration agreement concluded between the parties, either before or
after the occurrence of the dispute, in which it is provided that disputes are to be
referred to arbitration by the CIETAC.
2. An arbitration agreement means an arbitration clause in a contract concluded
between the parties or any other form of written agreement providing for the settle-
ment of disputes by arbitration.
3. The arbitration agreement shall be in writing. An arbitration agreement is in writing
if it is contained in a tangible form of a document such as a contract, letter, telegram,
telex, facsimile, EDI, or Email. An arbitration agreement shall be deemed to exist
where its existence is asserted by one party and not denied by the other during the
exchange of the Request for Arbitration and the Statement of Defense.
4. An arbitration clause contained in a contract shall be treated as a clause independent
and separate from all other clauses of the contract, and an arbitration agreement
attached to a contract shall also be treated as independent and separate from all other
clauses of the contract. The validity of an arbitration clause or an arbitration agreement
shall not be affected by any modification, rescission, termination, transfer, expiry,
invalidity, ineffectiveness, revocation or non-existence of the contract.
1. The CIETAC shall have the power to determine the existence and validity of an
arbitration agreement and its jurisdiction over an arbitration case. The CIETAC may,
if necessary, delegate such power to the arbitral tribunal.
2. Where the CIETAC is satisfied by prima facie evidence that an arbitration agree-
ment providing for arbitration by the CIETAC exists, it may make a decision based on
such evidence that it has jurisdiction over the arbitration case, and the arbitration shall
proceed. Such a decision shall not prevent the CIETAC from making a new decision
on jurisdiction based on facts and/or evidence found by the arbitral tribunal during the
arbitration proceedings that are inconsistent with the prima facie evidence.
3. An objection to an arbitration agreement and/or jurisdiction over an arbitration case
shall be raised in writing before the first oral hearing is held by the arbitral tribunal.
Where a case is to be decided on the basis of documents only, such an objection shall
be raised before the submission of the first substantive defense.
4. The arbitration shall proceed notwithstanding an objection to the arbitration agree-
ment and/or jurisdiction over the arbitration case.
5. The aforesaid objections to and/or decisions on jurisdiction by the CIETAC shall include
objections to and/or decisions on a party’s standing to participate in the arbitration.
The parties shall proceed with the arbitration in bona fide cooperation.
A party shall be deemed to have waived its right to object where it knows or should
have known that any provision of, or requirement under, these Rules has not been
complied with and yet participates in or proceeds with the arbitration proceedings
without promptly and explicitly submitting its objection in writing to such non-
compliance.
The arbitral proceedings shall commence on the date on which the CIETAC or one of
its Sub-Commissions receives a Request for Arbitration.
1. Upon receipt of the Request for Arbitration and its attachments, if the CIETAC after
examination finds the formalities required for arbitration application to be incomplete,
it may request the Claimant to complete them. Where the formalities are found to be
complete, the CIETAC shall send a Notice of Arbitration to both parties together with
one copy each of the CIETAC Arbitration Rules, the Panel of Arbitrators and the
Arbitration Fee Schedule. The Request for Arbitration and its attachments submitted
by the Claimant shall be sent to the Respondent under the same cover.
2. The CIETAC or its Sub-Commission shall, after accepting a case, appoint a staff-
member of its secretariat to assist the arbitral tribunal in the procedural administration
of the case.
1. Within forty-five (45) days from the date of receipt of the Notice of Arbitration, the
Respondent shall file a Statement of Defense in writing with the Secretariat of the
CIETAC or its Sub-Commission. The arbitral tribunal may extend that time period if
it believes that there are justified reasons. The Statement of Defense shall be signed by
Article 13 Counterclaim
1. Within forty-five (45) days from the date of receipt of the Notice of Arbitration, the
Respondent shall file with the CIETAC its counterclaim in writing, if any. The arbitral
tribunal may extend that time period if it believes that there are justified reasons.
2. When filing a counterclaim, the Respondent shall specify its counterclaim in its
written Statement of Counterclaim and state the facts and grounds upon which its
counterclaim is based with relevant evidence attached thereto.
3. When filing a counterclaim, the Respondent shall pay an arbitration fee in advance
according to the Arbitration Fee Schedule of the CIETAC within a specified time
period.
4. Where the formalities required for filing a counterclaim are found to be complete,
the CIETAC shall send the Statement of Counterclaim and its attachments to the
Claimant. The Claimant shall, within thirty (30) days from the date of receipt of the
Statement of Counterclaim and the attachment, submit in writing its Statement of
Defense to the Respondent’s counterclaim.
5. The arbitral tribunal has the power to decide whether to accept a Statement of
Defense submitted after expiration of the above time limit.
6. Failure of the Claimant to file a Statement of Defense to the Respondent’s counter-
claim shall not operate to affect the arbitral proceedings.
The Claimant may amend its claim and the Respondent may amend its counterclaim.
However, the arbitral tribunal may not permit any such amendment if it considers that
the amendment is too late and may delay the arbitral proceedings.
When submitting the Request for Arbitration, the Statement of Defense, the Statement
of Counterclaim, evidence and other documents, the parties shall make the submis-
sions in quintuplicate. Where there are more than two parties, additional copies shall
be provided accordingly. Where the arbitral tribunal is composed of a sole arbitrator,
the number of copies submitted may be reduced by two. Where the preservation of
property or protection of evidence is applied for, the party shall forward one additional
copy accordingly.
Article 16 Representation
When any party applies for the preservation of property, the CIETAC shall forward the
party’s application for a ruling to the competent court at the place where the domicile
of the party against whom the preservation of property is sought is located or where the
property of the said party is located.
When a party applies for the protection of evidence, the CIETAC shall forward the
party’s application for a ruling to the competent court at the place where the evidence
is located.
An arbitrator shall not represent either party and shall remain independent of the
parties and treat them equally.
1. The parties shall appoint arbitrators from the Panel of Arbitrators provided by the
CIETAC.
2. Where the parties have agreed to appoint arbitrators from outside of the CIETAC’s
Panel of Arbitrators, the arbitrators so appointed by the parties or nominated according
to the agreement of the parties may act as co-arbitrator, presiding arbitrator or sole
arbitrator after the appointment has been confirmed by the Chairman of the CIETAC
in accordance with the law.
1. Within fifteen (15) days from the date of receipt of the Notice of Arbitration, the
Claimant and the Respondent shall each appoint one arbitrator or entrust the Chairman
of the CIETAC to make such appointment. Where a party fails to appoint or to entrust
the Chairman of the CIETAC to appoint an arbitrator within the specified time period,
the arbitrator shall be appointed by the Chairman of the CIETAC.
2. Within fifteen (15) days from the date of the Respondent’s receipt of the Notice of
Arbitration, the presiding arbitrator shall be jointly appointed by the parties or appointed
by the Chairman of the CIETAC upon the parties’ joint authorization.
3. The parties may each recommend one to three arbitrators as candidates for the pre-
siding arbitrator and shall submit the list of recommended candidates to the CIETAC
within the time period specified in paragraph 2. Where there is only one common can-
didate in the lists, such candidate shall be the presiding arbitrator jointly appointed by
the parties. Where there are more than one common candidate in the lists, the Chairman
of the CIETAC shall choose a presiding arbitrator from among the common candidates
based on the specific nature and circumstances of the case, who shall act as the presid-
ing arbitrator jointly appointed by the parties. Where there is no common candidate in
the lists, the presiding arbitrator shall be appointed by the Chairman of the CIETAC
from outside of the lists of recommended candidates.
4. Where the parties have failed to jointly appoint the presiding arbitrator according to
the above provisions, the presiding arbitrator shall be appointed by the Chairman of
the CIETAC.
Where the arbitral tribunal is composed of one arbitrator, the sole arbitrator shall be
appointed pursuant to the procedure stipulated in Paragraphs 2, 3 and 4 of Article 22.
Article 24 Multi-Party
1. Where there are two or more Claimants and/or Respondents in an arbitration case,
the Claimant side and/or the Respondent side each shall, through consultation, jointly
appoint or jointly entrust the Chairman of the CIETAC to appoint one arbitrator from
the CIETAC’s Panel of Arbitrators.
2. Where the Claimant side and/or the Respondent side fail to jointly appoint or jointly
entrust the Chairman of the CIETAC to appoint one arbitrator within fifteen (15) days
from the date of receipt of the Notice of Arbitration, the arbitrator shall be appointed
by the Chairman of the CIETAC.
3. The presiding arbitrator or the sole arbitrator shall be appointed in accordance with
the procedure stipulated in Paragraphs 2, 3 and 4 of Article 22. When appointing the
presiding arbitrator or the sole arbitrator pursuant to Paragraph 3 of Article 22, the
Claimant side and/or the Respondent side each shall, through consultation, submit a
list of their jointly agreed candidates to the CIETAC.
Article 25 Disclosure
1. An arbitrator appointed by the parties or by the Chairman of the CIETAC shall sign
a Declaration and disclose to the CIETAC in writing any facts or circumstances likely
to give rise to justifiable doubts as to his/her impartiality or independence.
2. If circumstances that need to be disclosed arise during the arbitral proceedings, the
arbitrator shall promptly disclose such circumstances in writing to the CIETAC.
3. The CIETAC shall communicate the Declaration and/or the disclosure of the arbi-
trator to the parties.
1. In the event that an arbitrator is prevented de jure or de facto from fulfilling his/her
functions, or he/she fails to fulfill his/her functions in accordance with the require-
ments of these Rules or within the time period specified in these Rules, the Chairman
of the CIETAC shall have the power to decide whether the arbitrator shall be replaced.
The arbitrator may also withdraw form his/her office.
2. In the event that an arbitrator is unable to fulfill his/her functions owing to his/her
demise, removal from the CIETAC’s Panel of Arbitrators, withdrawal, resignation or
any other reasons, a substitute arbitrator shall be appointed within a time period speci-
fied by the CIETAC pursuant to the procedure applied to the appointment of the arbi-
trator being replaced.
3. After the replacement of the arbitrator, the arbitral tribunal shall decide whether the
whole or a part of the previous proceedings of the case shall be repeated.
4. The Chairman of the CIETAC shall make a final decision on whether an arbitrator
should be replaced or not with or without stating the reasons therefor.
In the event that, after the conclusion of the last oral hearing, an arbitrator on a three-
member arbitral tribunal is unable to participate in the deliberation and/or render the
award owing to his/her demise or removal from the CIETAC’s Panel of Arbitrators,
the other two arbitrators may request the Chairman of the CIETAC to replace the arbi-
trator pursuant to Article 27. After consulting with the parties and upon the approval
of the Chairman of the CIETAC, the other two arbitrators may continue the arbitration
and make decisions, rulings or the award. The Secretariat of the CIETAC shall notify
the parties of the above circumstances.
SECTION 3 HEARING
1. The arbitral tribunal shall examine the case in any way that it deems appropriate
unless otherwise agreed by the parties. Under any circumstance, the arbitral tribunal
shall act impartially and fairly and shall afford reasonable opportunities to all parties
for presentations and debates.
2. The arbitral tribunal shall hold oral hearings when examining the case. However,
oral hearings may be omitted and the case shall be examined on the basis of documents
only if the parties so request or agree and the arbitral tribunal also deems that oral hear-
ings are unnecessary.
3. Unless otherwise agreed by the parties, the arbitral tribunal may adopt an inquisito-
rial or adversarial approach when examining the case, having regard to the circum-
stances of the case.
4. The arbitral tribunal may hold deliberation at any place or in any manner that it
considers appropriate.
5. The arbitral tribunal may, if it considers it necessary, issue procedural directions and
lists of questions, hold pre-hearing meetings and preliminary hearings, and produce
terms of reference, etc., unless otherwise agreed by the parties.
1. The date of the first oral hearing shall be fixed by the arbitral tribunal and notified to
the parties by the Secretariat of the CIETAC at least twenty (20) days in advance of the
oral hearing date. A party having justified reasons may request a postponement of the
oral hearing. However, such request must be communicated to the arbitral tribunal at
least ten (10) days in advance of the oral hearing date. The arbitral tribunal shall decide
whether to postpone the oral hearing or not.
1. Where the parties have agreed on the place of arbitration in writing, the parties’
agreement shall prevail.
2. Where the parties have not agreed on the place of arbitration, the place of arbitration
shall be the domicile of the CIETAC or its Sub-Commission.
3. The arbitral award shall be deemed as being made at the place of arbitration.
1. Where the parties have agreed on the place of oral hearings, the case shall be heard
at that agreed place except for circumstances stipulated in Paragraph 3 of Article 69 of
these Rules.
2. Unless the parties agree otherwise, a case accepted by the CIETAC shall be heard in
Beijing, or if the arbitral tribunal considers it necessary, at other places with the
approval of the Secretary-General of the CIETAC. A case accepted by a Sub-
Commission of the CIETAC shall be heard at the place where the Sub-Commission is
located, or if the arbitral tribunal considers it necessary, at other places with the
approval of the Secretary-General of the Sub-Commission.
Article 33 Confidentiality
1. Hearings shall be held in camera. Where both parties request an open hearing, the
arbitral tribunal shall make a decision.
2. For cases heard in camera, the parties, their representatives, witnesses, interpreters,
arbitrators, experts consulted by the arbitral tribunal and appraisers appointed by the
arbitral tribunal and the relevant staff-members of the Secretariat of the CIETAC shall
not disclose to any outsiders any substantive or procedural matters of the case.
Article 34 Default
1. If the Claimant fails to appear at an oral hearing without showing sufficient cause for
such failure, or withdraws from an on-going oral hearing without the permission of the
arbitral tribunal, the Claimant may be deemed to have withdrawn its Request for
Arbitration. In such a case, if the Respondent has filed a counterclaim, the arbitral tri-
bunal shall proceed with the hearing of the counterclaim and make a default award.
1. During the oral hearing, the arbitral tribunal may arrange a stenographic and/or
audio-visual record. The arbitral tribunal may, when it considers it necessary, take
minutes stating the main points of the oral hearing and request the parties and/or their
representatives, witnesses and/or other persons involved to sign and/or affix their seals
to the minutes.
2. The stenographic and/or audio-visual record of the oral hearing shall be available for
the use and reference by the arbitral tribunal.
Article 36 Evidence
1. Each party shall have the burden of proving the facts relied on to support its claim,
defense or counterclaim.
2. The arbitral tribunal may specify a time period for the parties to produce evidence
and the parties shall produce evidence within the specified time period. The arbitral
tribunal may refuse to admit any evidence produced beyond the period. If a party has
difficulties to produce evidence within the specified time period, it may apply for an
extension before the expiration of the period. The arbitral tribunal shall decide whether
or not to extend the time period.
3. If a party having the burden of proof fails to produce evidence within the specified
time period, or the produced evidence is not sufficient to support its claim or counter-
claim, it shall bear the consequences thereof.
1. The arbitral tribunal may, on its own initiative, undertake investigations and collect
evidence as it considers necessary.
2. When investigating and collecting evidence by itself, the arbitral tribunal shall
promptly notify the parties to be present at such investigation if it considers it neces-
sary. In the event that one or both parties fail to be present, the investigation and col-
lection shall proceed without being affected.
3. The arbitral tribunal shall, through the Secretariat of the CIETAC, transmit the evi-
dence collected by itself to the parties and afford them an opportunity to comment.
1. The arbitral tribunal may consult or appoint experts and appraisers for clarification
on specific issues of a case. Such an expert or appraiser may either be a Chinese or
foreign organization or citizen.
2. The arbitral tribunal has the power to request the parties to deliver or produce to the
expert or appraiser any relevant materials, documents, or property and goods for check-
ing, inspection and/or appraisal. The parties shall be obliged to comply.
3. Copies of the expert’s report and the appraiser’s report shall be communicated to the
parties, who shall be given an opportunity to comment on the report. At the request of
either party and with the approval of the arbitral tribunal, the expert and appraiser may
be heard at an oral hearing where, if considered necessary and appropriate by the arbi-
tral tribunal, they may give explanations on their reports.
1. All evidence submitted by a party shall be filed with the Secretariat of the CIETAC
for transmission to the other party.
2. Where a case is examined by way of an oral hearing, the evidence shall be exhibited
at the hearing and examined by the parties.
3. In the event that evidence is submitted after the hearing and the arbitral tribunal
decides to admit the evidence without holding further hearings, the arbitral tribunal
may require the parties to submit their opinions thereon in writing within a specified
time period.
1. Where the parties have reached a settlement agreement by themselves through nego-
tiation or conciliation without involving the CIETAC, either party may, based on an
arbitration agreement concluded between them that provides for arbitration by the
CIETAC and the settlement agreement, request the CIETAC to constitute an arbitral
tribunal to render an arbitral award in accordance with the terms of the settlement
agreement. Unless the parties agree otherwise, the Chairman of the CIETAC shall
appoint a sole arbitrator to form such arbitral tribunal, which shall examine the case in
the procedure it considers appropriate and render an award in due course. The specific
procedure and the time limit for rendering the award shall not be subject to other provi-
sions of these Rules.
2. Where both parties have the desire for conciliation or one party so desires and the
other party agrees when approached by the arbitral tribunal, the arbitral tribunal may
conciliate the case during the course of the arbitration proceedings.
1. A party may file a request with the CIETAC to withdraw its claim or counterclaim
in its entirety. In the event that the Claimant withdraws its claim in its entirety, the
arbitral tribunal shall proceed with its examination of the counterclaim and render an
arbitral award thereon. In the event that the Respondent withdraws its counterclaim in
its entirety, the arbitral tribunal shall proceed with the examination of the claim and
render an arbitral award thereon.
2. Where a case is to be dismissed before the formation of the arbitral tribunal, the
decision shall be made by the Secretary-General of the CIETAC. Where the case is to
be dismissed after the formation of the arbitral tribunal, the decision shall be made by
the arbitral tribunal.
3. Where a party files with the CIETAC a request for arbitration for a claim which has
been withdrawn, the CIETAC shall decide whether or not to accept the request anew.
1. The arbitral tribunal shall render an arbitral award within six (6) months as from the
date on which the arbitral tribunal is formed.
1. The arbitral tribunal shall independently and impartially make its arbitral award on
the basis of the facts, in accordance with the law and the terms of the contracts, with
reference to international practices and in compliance with the principle of fairness and
reasonableness.
2. The arbitral tribunal shall state in the award the claims, the facts of the dispute, the
reasons on which the award is based, the result of the award, the allocation of the arbi-
tration costs and the date on which and the place at which the award is made. The facts
of the dispute and the reasons on which the award is based may not be stated in the
award if the parties have agreed so, or if the award is made in accordance with the
terms of a settlement agreement between the parties. The arbitral tribunal has the power
to determine in the arbitral award the specific time period for the parties to execute the
award and the liabilities to be borne by a party failing to execute the award within the
specified time.
3. The CIETAC’s stamp shall be affixed to the award.
4. Where a case is examined by an arbitral tribunal composed of three arbitrators, the
award shall be rendered by all three arbitrators or a majority of the arbitrators. A writ-
ten dissenting opinion shall be docketed into the file and may be attached to the award,
but it shall not form a part of the award.
5. Where the arbitral tribunal cannot reach a majority opinion, the award shall be ren-
dered in accordance with the presiding arbitrator’s opinion. The written opinion of
other arbitrators shall be docketed into the file and may be attached to the award, but it
shall not form a part of the award.
6. Unless the award is made in accordance with the opinion of the presiding arbitrator or
the sole arbitrator, the arbitral award shall be signed by a majority of arbitrators. An
arbitrator who has a dissenting opinion may or may not sign his/her name on the award.
7. The date on which the award is made shall be the date on which the award comes
into legal effect.
8. The arbitral award is final and binding upon both parties. Neither party may bring a suit
before a law court or make a request to any other organization for revising the award.
An interlocutory arbitral award or partial award may be made by the arbitral tribunal
on any issue of the case at any time during the arbitration before the final award is
The arbitral tribunal shall submit its draft award to the CIETAC for scrutiny before
signing the award. The CIETAC may remind the arbitral tribunal of issues in the award
on condition that the arbitral tribunal’s independence in rendering the award is not
affected.
Article 46 Fees
1. The arbitral tribunal has the power to determine in the arbitral award the arbitration
fee and other expenses to be paid by the parties to the CIETAC.
2. The arbitral tribunal has the power to decide in the award, according to the specific
circumstances of the case, that the losing party shall compensate the winning party for
the expenses reasonably incurred by it in pursuing its case. In deciding whether the
winning party’s expenses incurred in pursuing its case are reasonable, the arbitral tri-
bunal shall consider such factors as the outcome and complexity of the case, the work-
load of the winning party and/or its representative(s), and the amount in dispute, etc.
Within thirty (30) days from its receipt of the arbitral award, either party may request
in writing for a correction of any clerical, typographical, or calculation errors or any
errors of a similar nature contained in the award; if such an error does exist in the
award, the arbitral tribunal shall make a correction in writing within thirty (30) days
from the date of receipt of the written request for the correction. The arbitral tribunal
may likewise correct any such errors in writing on its own initiative within a reason-
able time after the award is issued. Such correction in writing shall form a part of the
arbitral award.
Within thirty (30) days from the date on which the arbitral award is received, either
party may request the arbitral tribunal in writing for an additional award on any claim
or counterclaim which was advanced in the arbitration proceedings but was omitted
from the award. If such omission does exist, the arbitral tribunal shall make an
additional award within thirty (30) days from the date of receipt of the written request.
1. The parties must automatically execute the arbitral award within the time period
specified in the award. If no time limit is specified in the award, the parties shall exe-
cute the arbitral award immediately.
2. Where one party fails to execute the award, the other party may apply to a competent
Chinese court for enforcement of the award pursuant to Chinese laws, or apply to a
competent court for enforcement of the award according to the 1958 United Nations
Convention on Recognition and Enforcement of Foreign Arbitral Awards or other
international treaties that China has concluded or acceded to.
Article 50 Application
1. Unless otherwise agreed by the parties, this Summary Procedure shall apply to any
case where the amount in dispute does not exceed RMB 500, 000 yuan, or to any case
where the amount in dispute exceeds RMB 500, 000 yuan, yet one party applies for
arbitration under this Summary Procedure and the other party agrees in writing.
2. Where no monetary claim is specified or the amount in dispute is not clear, the
CIETAC shall determine whether or not to apply the Summary Procedure after a
full consideration of such factors as the complexity of the case and the interests
involved, etc.
Where a Request for Arbitration is submitted to the CIETAC and is found to be accept-
able for arbitration under the Summary Procedure, the Secretariat of the CIETAC or its
Sub-Commission shall send a Notice of Arbitration to the parties.
1. Within twenty (20) days from the date of receipt of the Notice of Arbitration, the
Respondent shall submit its Statement of Defense and relevant evidence to the
Secretariat of the CIETAC; counterclaims, if any, shall also be filed with supporting
evidence within the said time period. The arbitral tribunal may extend this time period
if it considers it justified.
2. Within twenty (20) days from the date of receipt of the counterclaim and its attach-
ments, the Claimant shall file its Statement of Defense to the Respondent’s counter-
claim.
The arbitral tribunal may examine the case in the manner it considers appropriate. The
arbitral tribunal may in its full discretion decide to examine the case only on the basis
of the written materials and evidence submitted by the parties or to hold oral hear-
ings.
1. For a case examined by way of an oral hearing, the Secretariat of the CIETAC shall,
after the arbitral tribunal has fixed a date for the oral hearing, notify the parties of the
date at least fifteen (15) days in advance of the oral hearing date. A party having justi-
fied reasons may request the arbitral tribunal for a postponement of the oral hearing.
However, such request must be communicated to the arbitral tribunal at least seven (7)
days in advance of the oral hearing date. The arbitral tribunal shall decide whether to
postpone the oral hearing or not.
2. Where the arbitral tribunal decides to hear the case orally, only one oral hearing
shall be held unless it is otherwise truly necessary.
3. A notice of oral hearing subsequent to the first oral hearing and a notice of a post-
poned oral hearing shall not be subject to the fifteen (15)-day time limit provided for
in the foregoing Paragraph 1.
1. The arbitral tribunal shall render an arbitral award within three (3) months from the
date on which the arbitral tribunal is formed.
2. Upon the request of the arbitral tribunal, the Chairman of the CIETAC may extend
the time period if he/she considers it truly necessary and the reasons for the extension
truly justified.
The application of the Summary Procedure shall not be affected by any amendment to
the claim or by the filing of a counterclaim. Where the amount in dispute of the
amended claim or that of the counterclaim exceeds RMB 500,000 Yuan, the procedure
of the case shall be changed from the Summary Procedure to the general procedure
unless the parties have agreed to the continuous application of the Summary
Procedure.
As to matters not covered in this Chapter, the relevant provisions in the other Chapters
of these Rules shall apply.
Article 59 Application
1. The provisions of this Chapter shall apply to domestic arbitration cases accepted by
the CIEATC.
2. The provisions of the Summary Procedure of Chapter IV shall apply if a domestic
arbitration case falls within the scope of Article 50 of these Rules.
Article 60 Acceptance
1. Where a Request for Arbitration is found to meet the formality requirements speci-
fied in Article 10 of these Rules, the CIETAC shall accept the Request and notify the
parties accordingly within five (5) days from its receipt of the Request or immediately
upon its receipt of the Request. Where a Request for Arbitration is found not in con-
formity with the formality requirements, the CIETAC shall notify the party in writing
of its refusal of the Request with reasons stated.
2. Upon receipt of a Request for Arbitration, the CIETAC may request the party to
make corrections within a specified time period if it finds the Request is not in confor-
mity with the provisions of Article 10 of these Rules.
The arbitral tribunal shall be formed in accordance with the provisions of Articles 21,
22, 23 and 24 of these Rules.
1. Within twenty (20) days from the date of receipt of the Notice of Arbitration, the
Respondent shall submit its Statement of Defense and relevant evidence to the
CIETAC; counterclaims, if any, shall also be filed with supporting evidence within
the said time period. The arbitral tribunal may extend this time period if it considers it
justified.
2. Within twenty (20) days from the date of receipt of the counterclaim and its attach-
ments, the Claimant shall file its Statement of Defense to the Respondent’s counter-
claim.
1. For a case examined by way of an oral hearing, the Secretariat of the CIETAC or its
Sub-Commission shall notify the parties of the date of oral hearing at least fifteen (15)
days in advance of the oral hearing date. The arbitral tribunal may hold the oral hearing
ahead of the schedule with consent from both parties. A party having justified reasons
may request the arbitral tribunal for a postponement of the oral hearing. However, such
request must be communicated to the arbitral tribunal seven (7) days in advance of the
oral hearing date. The arbitral tribunal shall decide whether to postpone the oral hear-
ing or not.
2. A notice of oral hearing subsequent to the first oral hearing and a notice of a post-
poned oral hearing shall not be subject to the fifteen (15)-day time limit provided in the
foregoing Paragraph 1.
1. The arbitral tribunal shall make a brief written record of the oral hearing. Any party
or participant in the arbitration may apply for a correction of the record if any omission
or mistake is found in the record regarding its own statement. If the application is
refused by the arbitral tribunal, it shall nevertheless be recorded into the file.
2. The written record shall be signed or sealed by the arbitrator(s), the recorder, the
parties, and other participants in the arbitration, if any.
1. The arbitral tribunal shall render an award within four (4) months from the date on
which the arbitral tribunal is formed.
2. Upon the request of the arbitral tribunal, the Chairman of the CIETAC may extend
this time period if he/she considers it truly necessary and the reasons truly justified.
As to matters not covered in this Chapter, the relevant provisions in the other Chapters
of these Rules shall apply.
Article 67 Language
1. Where the parties have agreed on the arbitration language, their agreement shall
prevail. Absent such agreement, the Chinese language shall be the official language to
be used in the arbitration proceedings.
2. At an oral hearing, if a party or its representative(s) or witness requires language
interpretation, the Secretariat of the CIETAC or its Sub-Commission may provide an
interpreter, or the party may bring its own interpreter.
3. The arbitral tribunal and/or the Secretariat of the CIETAC or its Sub-Commission
may, if it considers necessary, request the parties to submit a corresponding version of
the documents and evidence by the parties in Chinese or in other languages.
1. All documents, notices and written materials in relation to the arbitration may be
sent to the parties and/or their representatives in person, or by registered mail or express
mail, facsimile, telex, cable, or by any other means considered proper by the Secretariat
of the CIETAC or its Sub-Commission.
2. Any written correspondence to a party and/or its representative(s) shall be deemed
to have been properly served on the party if delivered to the addressee or delivered at
his place of business, registration, domicile, habitual residence or mailing address, or
where, after reasonable inquiries by the other party, none of the aforesaid addresses
can be found, the written correspondence is sent by the Secretariat of the CIETAC or
its Sub-Commission to the addressee’s last known place of business, registered address,
domicile, habitual residence or mailing address by registered mail or by any other
means that provides a record of the attempt of delivery.
1. Apart from charging arbitration fees to the parties according to the Fee Schedule of
the CIETAC, the CIETAC may collect from the parties other extra, reasonable and
actual expenses including arbitrators’ special remuneration and their travel and accom-
modation expenses incurred in dealing with the case, as well as the costs and expenses
of experts, appraisers and interpreters appointed by the arbitral tribunal, etc.
Article 70 Interpretation
1. The headings of the articles in these Rules shall not serve as interpretations of the
contents of the provisions contained herein.
2. These Rules shall be interpreted by the CIETAC.
These Rules shall be effective as from May 1st, 2005. For cases accepted by the
CIETAC or by its Sub-Commissions before these Rules become effective, the
Arbitration Rules effective at the time of acceptance shall apply, or these Rules shall
apply where both parties agree.
INTRODUCTION
COMI arbitration rules are designed for disputes, which do not require extensive
presentation of evidence and where financial interests are not substantial.
When evaluating the applicability of small claims arbitration to an actual dispute,
deciding the exact procedure and interpreting these rules, the following objectives
should be taken into consideration:
(i) timeliness and fairness of the procedure;
(ii) enforceability of the arbitration award;
(iii) minimisation of costs.
COMI is governed by the board. The members of the board shall receive no compensa-
tion for their work. The board shall appoint a responsible arbitrator and a secretary for
each arbitration assignment.
1.1 Two or more parties may submit their judicial dispute to be settled in arbitration
proceedings in accordance with these rules.
A sole party may submit a dispute to be settled in these proceedings, if the parties have
so agreed in writing (for example in correspondence) or if other parties notify in writ-
ing that they agree on the proceedings.
The board has the right to decide that the dispute will not be heard in these proceed-
ings, if it considers that these proceedings are not suitable for the dispute.
327
1.2 The proceedings shall become pending, when a party or the parties have transmit-
ted a written request to COMI in a way described above for commencing the proceed-
ings, and when the processing charge, referred to in article 1.3, has been paid.
1.3 The processing charge is 5 000 € including a 1 500 € administration fee and a
3 500 € fee of the arbitrator. With the consent of the parties the board may decide to
raise the fee of the arbitrator before the commencement of the proceedings due to, inter
alia, the workload estimated to be unusually high (over 60 hours), an exceptionally
high interest relating to the dispute or both of the aforementioned. The fee of the arbi-
trator may be increased by 2 000 € maximum.
1.4 The written request on commencing the proceedings shall include:
(i) The names of the parties and of possible representatives, powers of attorneys and
contact information;
(ii) A preliminary description of the dispute;
(iii) A preliminary notice of the claims of the claimant;
(iv) The copies of the documents upon which the claims are based; and
(v) A copy of the arbitration agreement.
2.1 After receiving the written request, COMI appoints an arbitrator, a secretary and a
supervisor without delay. The appointment shall take place no later than within 14
days after the receipt of the written request. COMI shall then inform the parties and
their representatives in such manner, as it considers appropriate.
The secretary is responsible for all the practicalities such as the correspondence and
the arrangements for the oral hearings as well as inquiries and other tasks assigned to
him or her by the arbitrator. The secretary may not participate in the decision-making.
The secretary shall principally be a lawyer. Nevertheless, the board may decide to
appoint a law student in advanced studies to act as a secretary.
The supervisor shall revise the draft award of the arbitrator before it be given but he or
she does not have any decision-making power. The supervisor shall decide the amount
of particular compensation of expenses, which may be charged by an exception. The
supervisor shall be a lawyer who has achieved a doctoral degree.
2.2 An arbitrator shall be an impartial and independent lawyer who has full legal
capacity.
2.3 Before the appointment COMI requests a prospective arbitrator to disclose whether
he or she is, in his or her discretion, disqualified as described in the Act on Arbitration.
The prospective arbitrator shall also disclose any circumstances, which might give rise
to justifiable doubt as to the arbitrator’s impartiality and independence.
(ii) The oral hearings and their locations, technical arrangements and timetables;
(iv) The closing date, after which no new claims may be presented or new facts or
evidence referred to (preclusion).
2.6 Unless all the parties have received the application (written request) and the appen-
dices, the arbitrator or the secretary shall provide them with the said documents.
3.1 As soon as the arbitrator is appointed, he or she shall set the time limit, by which
the claimant shall communicate the statement of claim and the respondent the state-
ment of defence to the arbitrator. This time limit shall generally be 21 days from the
appointment of the arbitrator if he or she does not decide otherwise. A potential chal-
lenge of the arbitrator does not affect the time limit.
ARTICLE 4. HEARING
4.1 After the statements referred to in article 3.4 have been submitted to the parties,
new claims, grounds and evidence may be presented only with the consent of the arbi-
trator and provided that there are important reasons of procedural economy or other
important reasons. The arbitrator may, after receiving the statements referred to above,
request the parties to further clarify or supplement their statements.
4.2 An oral hearing is conducted only if the arbitrator considers it necessary in order to
take the evidence or to establish the judicial facts or at the request of at least one of the
parties.
4.3 The oral hearing will be organised in 4 to 6 weeks from the time limit referred to
in article 3.4, at a date decided by the arbitrator.
4.4 If necessary, the arbitrator may reserve the parties an opportunity to present written
closing arguments within 7 days after the end of the oral hearing and an opportunity to
respond to the closing arguments of other parties within 7 days after the time limit set
for the closing arguments.
4.5 The proceedings shall be declared closed when the closing arguments have been
made and responded to, or if an oral hearing has not been conducted, after the written
statements referred to in article 3.4 have been submitted. The arbitrator may re-open
the proceedings he or she declared to be closed owing to important reasons of proce-
dural economy.
5.1 Witness and expert statements shall be submitted in writing unless an oral hearing
is conducted.
5.2 In an oral hearing each party shall give a short statement after which the evidence
is presented. The oral hearing shall conclude with the closing arguments.
5.3 The arbitrator has the authority to restrict the presenting of the evidence, if the
evidence is irrelevant, if the evidence could be obtained more inexpensively or with
less effort otherwise or if the presenting of the evidence would be against the arbitra-
tor’s procedural instruction. The arbitrator may ask questions and order the parties to
provide additional evidence. Witnesses may be heard by telephone or using other tech-
nical means.
5.4 If necessary, a witness may be heard outside the hearing in the court of first
instance in accordance with the law.
5.5 Failure to answer the arbitrators’ questions or responding to his or her requests of
information may be considered as a detriment to the defaulter in evaluating the evi-
dence. The proceedings may be continued and the dispute settled despite the passivity
or the absence of a party. Failure to comply with the procedural instruction or timeta-
bles shall be taken into account in deciding on the allocation of the liability for the
expenses between parties.
6.1 The award or the ruling shall be given within 4 weeks after the closure of the pro-
ceedings. The board or the supervisor appointed by the board shall revise the draft
award before it be given. The award shall be reasoned only at the parties’ request pre-
sented in the written statements referred to in article 3.4 or if the arbitrator considers it
to be otherwise justifiable and reasonable. If necessary, the arbitrator may supplement
or clarify the award.
6.2 At the request of the parties, the arbitrator may record the settlement between par-
ties in the form of an arbitral award.
6.3 At the request of the parties, the arbitrator may also give a partial award.
ARTICLE 7. COSTS
7.1 The parties are collectively liable for the processing charge, which includes the
administration fee and the fee of the arbitrator, provided to initiate the proceedings.
Compensation for expenses is generally not charged. By the decision of the board or
the supervisor, the parties may be obliged to compensate collectively the unusually
high expenses arising in the course of the proceedings. Certain expenses, such as travel
expenses and unusually high costs for the arrangements of the oral hearing shall be
compensated. The processing charge shall be confirmed in the arbitral award. It shall
be charged even if the dispute is settled in the course of the proceedings.
7.2 The arbitrator shall order the unsuccessful party to bear the processing charge. The
fee may be apportioned between parties owing to a particular reason such as ambiguity
of the issue.
7.3 The parties shall bear their own legal expenses unless the arbitrator orders, owing
to a particular reason, one party to bear the expenses of the other party entirely or in
part.
8.1 COMI, the supervisor, the arbitrator or the secretary are not liable towards the par-
ties for the damage or loss resulting from the proceedings referred to in these rules
unless the damage or loss is caused deliberately or by gross negligence.
8.2 The party shall lose his or her right to claim that the procedural error has taken
place unless he or she makes such a claim without undue delay.
9.1 These rules are in force until the board approves new rules and declares the date of
their entry into force. If the rules are amended during the proceedings, it shall be con-
ducted according to the rules that were in force when the proceedings were initiated.
ARBITRATION INSTITUTE
Finland
ARBITRATION RULES
335
ARBITRATION RULES
The Arbitration Institute of the Central Chamber of Commerce of Finland
TABLE OF CONTENTS
IV ARBITRAL PROCEEDINGS
§ 20 Procedure
§ 21 Language of Arbitration
§ 22 Place of Arbitration
§ 23 Claim
§ 24 Defence
§ 25 Alteration and Amendment of Claim
§ 26 Oral Hearing
§ 27 Production of Evidence
§ 28 Use of an Expert
§ 29 Failure of a Party to Appear
1 Pursuant to this subparagraph, the Institute can act as the appointing authority pursuant to,
among others, the UNCITRAL Arbitration Rules.
The Board shall be composed of no less than 7 and no more than 9 members. The
Central Chamber of Commerce shall elect the members for a period of three years and
shall appoint one member to be the Chairman of the Board and another member to be
the Vice-Chairman of the Board. The members shall be persons of good repute who
are familiar with the business community. The Chairman, the Vice-Chairman and at
least two other members shall be lawyers two of whom shall be qualified to serve as a
judge.
In arbitral proceedings governed by these Rules, a member of the Board may not act
as an arbitrator or be appointed as arbitrator by the Board. However, a member of the
Board may act and be appointed as a sole arbitrator or chairman of an arbitral tribunal
where so requested by the parties or by the arbitrators appointed by the parties.
(Amended 29.11.2000)
The Board may appoint a Working Committee and a Chairman of such committee.
The Central Chamber of Commerce shall appoint the Secretary of the Institute in
charge of the Secretariat of the Institute. The Secretary shall be a lawyer who is suffi-
ciently experienced and versed in languages.
Three members in addition to either the Chairman or the Vice-Chairman shall form a
quorum of the Board. In the event both the Chairman and the Vice-Chairman of the
Board are unable to attend or to act in a case, the Board will have a quorum when at
least four members of the Board are present. These members shall appoint a member
who is a lawyer to be the Chairman of the meeting. The Board will make its decisions
on a simple majority. In the case of a tie-vote, the Chairman shall cast the deciding
vote.
If the parties have not agreed on the number of arbitrators, there shall be three arbitra-
tors, unless the Institute considers it to be appropriate to appoint a sole arbitrator taking
into account the nature of the dispute, the amount in dispute or other circumstances. If
a sole arbitrator is to be appointed, the appointment shall be made by the Institute. In
other cases, each party shall appoint an equal number of arbitrators and the Institute
shall appoint the Chairman of the arbitral tribunal unless the parties have agreed oth-
erwise.
If a party does not comply with his duty of appointment, the Institute may require
him to do so within a fixed period of time of no less than 30 days. If a party fails to
notify the Institute of the appointment of the arbitrator within such time limit, then the
Institute shall make the appointment.
If there are more than two parties involved in the arbitration, the Institute, notwith-
standing the provisions of subsection 1, may appoint all arbitrators. (New subsection
29.11.2000)
§ 7 Replacement of an Arbitrator
§ 8 Qualifications of an Arbitrator
An arbitrator appointed by the Institute must be independent and impartial and possess
full legal capacity and sufficient knowledge in the field at issue in the arbitration.
Only a lawyer is qualified to be appointed as the Chairman of the arbitral tribunal or
as the sole arbitrator, unless the Institute decides otherwise due to special reasons.
§ 9 Challenge of an Arbitrator
§ 10 Discharge of an Arbitrator
At the request of a party, the Institute shall discharge an arbitrator found to be unqual-
ified to his position by the Institute. The Institute shall also discharge an arbitrator who
fails to fulfill his duties or, without valid reasons, delays the proceedings.
Before a decision on the discharge of an arbitrator is made, the Institute shall when-
ever possible provide an opportunity for the parties and the arbitrators to be heard on
this issue.
The claimant initiating the arbitration proceedings shall file with the Institute a request
for arbitration in duplicate, including enclosures. The request shall, inter alia, include
the following:
1) the names, profession, postal address, telephone number, facsimile number and
e-mail address of the parties and the counsel; (Amended 29.11.2000)
2) an account of the dispute;
3) a preliminary statement of the claimant’s claim;
4) the arbitrator appointed by the claimant;
5) a copy of any documents on which the claim is based and, unless incorporated in the
former, a copy of the arbitration agreement; and
6) an appropriate power of attorney.
§ 12 Dismissal of a Claim
If it is obvious that the Institute lacks jurisdiction over the dispute, the request for arbi-
tration shall be dismissed by the Institute.
The arbitral proceedings shall be deemed to be commenced when the request men-
tioned in § 11 or a copy thereof has been served on the respondent in the matter.
In response to the request for arbitration, the Institute shall hear the respondent and
request the respondent to submit a written reply.
Where necessary, the claimant may be required to ensure the communication to the
respondent by verifiable means of the documents necessary for such hearing.
§ 15 Respondent’s Answer
The respondent’s answer with regard to the request for arbitration shall include:
1) a response to the statements included in the request for arbitration as well as on the
number of arbitrators;
2) the arbitrator appointed by the respondent; and
3) an appropriate power of attorney.
If the respondent desires to raise any objection concerning the validity of the arbitra-
tion agreement or its applicability to the dispute specified in the request, such objection
and the grounds therefor shall be included in the answer.
§ 16 Respondent’s Claims
The Institute may require the parties to supplement the request or the answer, as the
case may be. In the event a party fails to comply with such a requirement, the case may
be wholly or partly dismissed. The failure of a respondent to supplement his answer as
required above shall not, however, prevent the arbitral tribunal from proceeding in
respect of the claimant’s claims.
The Institute may fix a sum which shall be paid by the parties into an account desig-
nated by the Central Chamber of Commerce, which, together with interest accrued
thereon, shall constitute a security for the fees and costs of the proceedings including
the fees of the arbitrators. If the arbitration is of an international character, such sum
shall be fixed, unless the Institute based upon special reasons shall deem it appropriate
to leave the fixing of the amount of such security to the discretion of the arbitral tribu-
nal. Security other than a cash deposit may also be accepted.
If the Institute has not required the parties to provide a security for costs, the arbitral
tribunal shall have a similar right. Each party shall pay half of the amount of the secu-
rity, but the parties shall be jointly and severally liable for the entire amount. If a party
fails to pay his share of the security, the other party shall be afforded an opportunity to
pay the unpaid share. If the unpaid amount shall still remain unpaid, the case shall be
wholly or partly dismissed, stayed or suspended.
When the respondent has submitted his answer or the time limit fixed for this purpose
has expired, the Institute shall:
a) appoint, in accordance with § 6, the Chairman of the arbitral tribunal, the sole arbi-
trator or the arbitrators, as the case may be;
b) determine, at the request of a party, the place of arbitration, unless the parties have
agreed on the place; and
c) where necessary, fix the amount of the security mentioned in § 18 and the time limit
within which it shall be paid.
Any Board member who under the provisions of the Finnish Arbitration Act (967/92)
could be disqualified to act as an arbitrator in the case, must refrain from participating
in the decision and in the discussions of the Board concerning the appointment.
(Amended 29.11.2000)
As soon as the arbitral tribunal has been appointed, and, where applicable, the
security has been provided, the Institute shall transmit the file to the arbitral tribunal.
IV ARBITRAL PROCEEDINGS
§ 20 Procedure
Each party shall be given a sufficient opportunity of presenting his case. In other
respects, the provisions in the arbitration agreement regarding the arbitration proce-
dure shall be complied with.
§ 21 Language of Arbitration
Unless the parties have agreed on the language or languages to be used in the proceed-
ings, such language or languages shall be determined by the arbitral tribunal.
The arbitral tribunal may request that each document presented in a case must be
accompanied with a translation into a language of the arbitration.
§ 22 Place of Arbitration
If requested by a party, the Institute may, at the time it appoints the arbitrators, deter-
mine the place of arbitration if the parties have not agreed on such place. Otherwise the
place of arbitration shall be determined by the arbitral tribunal.
§ 23 Claim
The arbitral tribunal shall request the claimant to submit within a specified time a state-
ment of claim, which shall include:
§ 24 Defence
The respondent shall, within a time specified by the arbitral tribunal, submit a defence,
which shall include:
a) a statement as to whether and to what extent the respondent accepts or contests the
claim;
b) grounds for the contesting the claim;
c) where applicable, a counterclaim or demand for a set-off and the grounds therefor;
and
During the course of the arbitral proceedings, a party may amend or supplement his
claims or grounds therefor and also make a counterclaim or demand for a set-off,
unless this would cause undue delay of the proceedings.
§ 26 Oral Hearing
As a rule, an oral hearing shall be held during the arbitral proceedings in a manner
determined by the arbitral tribunal and taking into consideration the reasonable wishes
of the parties.
If an arbitrator is replaced during the course of the arbitral proceedings, the newly
composed arbitral tribunal shall decide whether and to what extent a prior oral hearing
shall be repeated.
§ 27 Production of Evidence
At the request of the arbitral tribunal, the parties shall state the evidence on which they
wish to rely, specifying what they wish to prove with each item of evidence.
The arbitral tribunal shall determine to what extent written affidavits may be sub-
mitted as evidence.
The arbitral tribunal may refuse to accept evidence that relates to a fact that is
irrelevant or that has already been established or if the evidence can be produced by
other means in a considerably less burdensome fashion or at a considerably lesser
expense.
After having conscientiously scrutinized and evaluated all evidence produced during
the proceedings, the arbitral tribunal shall determine what shall be deemed proven in
the matter.
§ 28 Use of an Expert
Unless the parties have otherwise agreed, after hearing the parties, the arbitral tribunal
may appoint an expert to investigate and to give an opinion on a material fact relevant
to the determination of the case, if special professional knowledge is needed to evalu-
ate such fact.
The arbitral tribunal may also require a party to give the expert any information
necessary for him in the performance of his task and to give the expert an opportunity
to inspect documents, goods or other property.
If a party, after attaining knowledge that the rules applicable to arbitral proceedings
have not been complied with, fails to promptly state his objection with regard thereto,
he shall be deemed to have waived his right to object.
At the request of either party the arbitral tribunal may during the course of the arbitral
proceedings issue an injunction or order any other interim measure it deems necessary
in respect of the subject matter of the dispute. The arbitral tribunal may order the
requesting party to provide security for damage in such form as the arbitral tribunal
considers appropriate for any costs and damages caused by the measure to the party
against whom it is directed.
A court or another competent authority may, however, before or during the course
of arbitral proceedings, despite the arbitration agreement grant such interim measure,
which the authority has the power to grant.
§ 31 Termination of Arbitration
If the parties agree that the proceedings will be discontinued, or if the arbitral tribunal
comes to a conclusion that the proceedings cannot be continued, the arbitral tribunal
shall issue an order for the termination of the arbitral proceedings. A copy of this order
shall be submitted to the Institute.
If the claimant withdraws his claim, the arbitral tribunal shall issue an order for the
termination of the proceedings. If, however, the respondent demands that an arbitral
award be issued, and the arbitral tribunal determines that the respondent has a suffi-
cient reason to have the dispute finally settled, the proceedings can be continued in
order to settle the dispute through the issuance of an arbitral award.
The arbitral tribunal shall decide the dispute in accordance with the rules of law appli-
cable to the substance of the dispute.
If the parties have designated the law of a given state as applicable to the substance
of the dispute, the arbitral tribunal shall apply that law. Failing such designation by the
parties and if the dispute is international, the arbitral tribunal shall apply the rules of
law which it deems to be appropriate. (Amended 29.11.2000)
The arbitral tribunal may, however, decide the dispute ex aequo et bono only if the
parties have expressly authorised it to do so.
§ 33 Voting
Any decisions of the arbitral tribunal shall be made by a majority of all its members. If
such a majority is not attained, the opinion of the Chairman shall prevail.
§ 34 Settlement
If during the arbitral proceeding the parties settle the dispute, the arbitral tribunal may
record the settlement in the form of an arbitral award on agreed terms.
§ 35 Partial Award
The arbitral tribunal may, at the request of a party, render a partial arbitral award on an
independent claim in a dispute where several claims have been made. The arbitral tri-
bunal may also, at the request of a party, render a partial award on that part of the claim
that has been admitted by the respondent.
A claim and a demand for a set-off with regard thereto shall, however, be deter-
mined jointly.
§ 36 Interim Award
The arbitral tribunal may, if the parties have so agreed, decide by an interim arbitral
award a separate issue in dispute, if rendering an award on other matters in dispute is
dependent on rendering such an interim award.
The award shall be made in writing and shall be signed by the arbitrators. If an arbitra-
tor’s signature is missing, the award shall state the reason for the absence of the signa-
ture. A dissenting opinion of an arbitrator, if any, shall be attached to the award.
The award shall state the date on which and the place where the award was made.
The award shall be deemed to be made at the place which has been agreed or deter-
mined to be the place of arbitration.
The arbitral award shall be rendered no later than one year after the Institute has sent
the file in the case to the arbitral tribunal.
The Board may, due to special reasons, grant an extension to such period set out in
subsection 1 as a result of an application by the arbitral tribunal or the Chairman of the
arbitral tribunal. The Secretary of the Institute may grant an extension to the period
until the next Board meeting.
A duly signed copy of the award shall be given to each party at a session of the
arbitral tribunal or it shall be delivered to the parties by other verifiable means.
(Amended 22.11.2001)
A party may request the arbitral tribunal to correct in the award any errors in computa-
tion or any clerical or typographical errors, or any other errors of a similar nature. A
party must, after notification to the other party, request for such correction within 30
days from his receipt of a copy of the award.
If the arbitral tribunal considers the request to be justified, the arbitral tribunal shall
make the requested correction without delay and, if possible, within 30 days after the
receipt of the request by the Chairman of the arbitral tribunal.
The arbitral tribunal may, at their own initiative, within 30 days after the rendering
of the award, correct any error of the type referred to in paragraph 1 of this section.
Before such correction is made, the parties shall, when necessary, be provided an
opportunity to be heard with regard to the correction to be made.
§ 40 Additional Award
Either party, with notice to the other party, may request the arbitral tribunal to make an
additional award as to claims presented in the arbitral proceedings but omitted from
the award. If the arbitral tribunal considers the request for an additional award to be
justified, they shall complete the award as soon as possible. Before rendering the addi-
tional award, the parties shall be heard.
The parties are jointly and severally liable for compensating the arbitrators for their
work and expenses.
The arbitral tribunal may in the award fix and order to be paid the remuneration due
to the arbitrators.
When deciding on the fees of the arbitrators the time required to resolve the dispute,
the complexity of the subject matter, the amount in dispute and other relevant circum-
stances shall be taken into account.
The losing party in the matter shall be ordered to pay the costs of the arbitration as
well as the costs of the arbitration of the winning party, unless there is a justifiable
reason to decide otherwise.
If the parties settle the dispute or if the dispute is dismissed for some other reason
before arbitral proceedings in respect of the dispute shall have commenced, the Institute
shall decide on the fees to compensate the Central Chamber of Commerce for its costs
and on the possible fees and compensation for expenses payable to the arbitrators.
If the settlement or the dismissal of a dispute takes place after the arbitral proceed-
ings shall have commenced, the arbitral tribunal may fix and order to be paid the arbi-
trators’ fees and compensation for expenses.
The Central Chamber of Commerce of Finland may establish a schedule for the
proposed arbitrators’ fees. (Amended 13.12.1994)
The claimant shall pay a registration fee when filing a request, and the respondent shall
pay a fee when presenting any counterclaim. The amount of the registration fee shall
be determined by the Central Chamber of Commerce.
An arbitral award shall include an order concerning any costs and charges of the
arbitration payable to the Central Chamber of Commerce.
The documents presented to the Institute and any award or final order issued in order
to terminate the proceedings shall, after issuance, be filed in the archives of the
Institute.
No information concerning the documents or the award referred to above may be
disclosed to anyone other than the parties, the arbitrators involved in the proceedings
and the members of the Board, unless all parties concerned explicitly consent to such
a disclosure.
The Central Chamber of Commerce or any member of the Board of the Institute or the
Secretary of the Institute shall not be liable for any loss incurred by the parties in any
arbitration under the Rules of the Institute, save for loss resulting from their wilful
misconduct or gross negligence. An arbitrator shall not be liable for any loss incurred
by the parties in such arbitral proceedings, save for loss resulting from wilful miscon-
duct or gross negligence.
These rules shall enter into force on January 1, 1993 and will replace the Rules of the
Institute confirmed on May 16, 1979.
These rules are to be applied to any arbitral proceedings which are commenced after
the effective date of these rules.
(Some linguistic corrections have been made on January 12, 2004.)
The claimant initiating the arbitration proceedings shall file with the Institute a request
for arbitration in duplicate, including enclosures. The request shall, inter alia, include
the following:
1) the names, profession, postal address, telephone number, facsimile number and
e-mail address of the parties and the counsel;
2) an account of the dispute;
351
3) a preliminary statement of the claimant’s claim;
4) a copy of any documents on which the claim is based and, unless incorporated in the
former, a copy of the arbitration agreement; and
5) an appropriate power of attorney.
§ 2 Registration Fee
The claimant shall pay a registration fee when filing a request, and the respondent shall
pay a fee when presenting any counterclaim. The amount of the registration fee shall
be determined by the Central Chamber of Commerce.
An arbitral award shall include an order concerning any costs and charges of the arbi-
tration payable to the Central Chamber of Commerce.
§ 3 Dismissal of a Claim
If it is obvious that the Institute lacks jurisdiction over the dispute, the request for arbi-
tration shall be dismissed by the Institute.
The arbitral proceedings shall be deemed to be commenced when the request men-
tioned in § 1 or a copy thereof has been served on the respondent in the matter.
In response to the request for arbitration, the Institute shall hear the respondent and
request the respondent to submit a written reply.
Where necessary, the claimant may be required to ensure the communication to the
respondent by verifiable means of the documents necessary for such hearing.
§ 6 Respondent’s Answer
The respondent’s answer with regard to the request for arbitration shall include:
1) a response to the statements included in the request for arbitration; and
2) an appropriate power of attorney.
If the respondent desires to raise any objection concerning the validity of the arbitra-
tion agreement or its applicability to the dispute specified in the request, such objection
and the grounds therefor shall be included in the answer.
§ 7 Respondent’s Claims
The Institute may require the parties to supplement the request or the answer, as the
case may be. In the event that a party fails to comply with such a requirement, the case
may be wholly or partly dismissed. The failure of a respondent to supplement his
answer as required above shall not, however, prevent the arbitrator from proceeding in
respect of the claimant’s claims.
The Institute may fix a sum which shall be paid by the parties into an account desig-
nated by the Central Chamber of Commerce, which, together with interest accrued
thereon, shall constitute a security for the fees and costs of the proceedings including
the fee of the arbitrator. If the arbitration is of an international character, such sum
shall be fixed, unless the Institute based upon special reasons shall deem it appropriate
to leave the fixing of the amount of such security to the discretion of the arbitrator.
Security other than a cash deposit may also be accepted.
If the Institute has not required the parties to provide a security for costs, the arbitrator
shall have a similar right. Each party shall pay half of the amount of the security, but
the parties shall be jointly and severally liable for the entire amount. If a party fails to
pay his share of the security, the other party shall be afforded the opportunity to pay
the unpaid share. If the unpaid amount shall still remain unpaid, the case shall be
wholly or partly dismissed, stayed or suspended.
When the respondent has submitted the answer or the time limit fixed for this purpose
has expired, the Institute shall:
a) appoint the arbitrator;
b) determine, at the request of a party, the place of arbitration, unless the parties have
agreed on the place; and
c) where necessary, fix the amount of the security referred to in § 9 and the time limit
within which it shall be paid.
Any Board member who under the provisions of the Finnish Arbitration Act (967/1992)
could be disqualified to act as an arbitrator in the case, must refrain from participating
in the decision and in the discussions of the Board concerning the appointment.
A member of the Institute may be appointed as the arbitrator under these rules only if
the parties so request.
II ARBITRATOR
§ 11 Arbitrator
If the parties have agreed on arbitration under these rules, the dispute shall be resolved
by one arbitrator appointed by the Arbitration Institute of the Central Chamber of
Commerce of Finland.
In the event of the resignation, discharge or death of the arbitrator, the Institute shall
appoint a substitute arbitrator to replace him.
An arbitrator appointed by the Institute must be independent and impartial and possess
full legal capacity and sufficient knowledge in the field at issue in the arbitration.
Only a lawyer is qualified to be appointed as the arbitrator, unless the Institute decides
otherwise due to special reasons.
At the request of a party, the Institute shall discharge the arbitrator found to be unqual-
ified to his position by the Institute. The Institute shall discharge the arbitrator who
fails to fulfil his duties or, without valid reasons, delays the proceedings.
§ 16 Procedure
a) besides the claim and a counterclaim, each party is entitled to submit at most
one statement in the case;
b) the statements shall be brief; and
c) the time limit for the submission of a statement is at most fourteen days from the
date when a party has been exhorted to submit a statement.
Also a party’s statement of evidence and specification of what is to be proven with the
evidence shall be considered a statement as referred to in paragraph 3, subparagraph
(a) above.
The arbitrator may require a party to make a final statement of his claim and of
the facts and evidence on which the party wishes to rely. Once the time limit for
the submission of such a statement has expired, the party cannot alter the claim nor
invoke a new fact or new evidence, unless the arbitrator for a special reasons allows
the same.
The arbitrator may, where necessary, employ a secretary.
§ 17 Claim
The arbitrator shall request the claimant to submit within a specified time a statement
of claim, which shall include:
a) a description of the specified claim in the dispute;
b) a statement of facts supporting the claim; and
c) the evidence the claimant intends to adduce in the matter.
The respondent shall, within a time specified by the arbitrator, submit a defence, which
shall include:
a) a statement as to whether and to what extent the respondent accepts or contests
the claim;
b) grounds for contesting the claim;
c) where applicable, a counterclaim or demand for a set-off and the grounds there-
for; and
d) the evidence the respondent intends to adduce in the matter.
§ 19 Language of Arbitration
Unless the parties have agreed on the language or languages to be used in the proceed-
ings, such language or languages shall be determined by the arbitrator.
The arbitrator may request that each document presented in the case must be accompa-
nied with a translation into the language of the arbitration.
§ 20 Place of Arbitration
If requested by a party, the Institute may, at the time it appoints the arbitrator, deter-
mine the place of arbitration if the parties have not agreed on such place. Otherwise the
place of arbitration shall be determined by the arbitrator.
§ 21 Oral Hearing
An oral hearing shall be held only if a party so requests and the arbitrator deems this
necessary. The arbitrator shall take note of the wishes of the parties when setting the
time, duration and form of the oral hearing, the manner of its arrangement and the
procedure for accepting evidence.
§ 22 Production of Evidence
At the request of the arbitrator, the parties shall state the evidence, and produce the
written evidence, on which they wish to rely, specifying what they wish to prove with
each item of evidence.
The arbitrator shall determine to what extent written affidavits may be submitted as
evidence.
The arbitrator may refuse to accept evidence that relates to a fact that is irrelevant or
that has already been established or if the evidence can be produced by other means in
a considerably less burdensome fashion or at a considerably lesser expense.
§ 23 Use of an Expert
Unless the parties have otherwise agreed, after hearing the parties, the arbitrator may
appoint an expert to investigate and to give an opinion on a material fact relevant to the
determination of the case, if special professional knowledge is needed to evaluate such
fact.
The arbitrator may also require a party to give the expert any information necessary for
him in the performance of his task and to give the expert an opportunity to inspect
documents, goods or other property.
If a party, after attaining knowledge that the rules applicable to arbitral proceedings
have not been complied with, fails to promptly state his objection with regard thereto,
he shall be deemed to have waived his right to object.
§ 26 Interim Measures
At the request of either party the arbitrator may during the course of the arbitral pro-
ceedings issue an injunction or order any other interim measure it deems necessary in
respect of the subject matter of the dispute. The arbitrator may order the requesting
party to provide security for damage in such form as the arbitrator considers appropri-
ate for any costs and damages caused by the measure to the party against whom it is
directed.
A court or other competent authority may, however, before or during the course of
arbitral proceedings, despite the arbitration agreement grant such interim measure,
which the authority has the power to grant.
§ 27 Termination of Arbitration
If the parties agree that the proceedings will be discontinued, or if the arbitrator comes
to a conclusion that the proceedings cannot be continued, the arbitrator shall issue an
IV ARBITRAL AWARD
The arbitrator shall decide the dispute in accordance with the rules of law applicable to
the substance of the dispute.
If the parties have designated the law of a given state as applicable to the substance of
the dispute, the arbitrator shall apply that law. Failing such designation by the parties
and if the dispute is international, the arbitrator shall apply the rules of law which he
deems to be appropriate.
The arbitrator may, however, decide the dispute ex aequo et bono only if the parties
have expressly authorised him to do so.
§ 29 Settlement
If during the arbitral proceedings the parties settle the dispute, the arbitrator may record
the settlement in the form of an arbitral award on agreed terms.
§ 30 Partial Award
The arbitrator may, at the request of a party, render a partial arbitral award on an inde-
pendent claim in a dispute where several claims have been made. The arbitrator may
also, at the request of a party, render a partial award on that part of the claim that has
been admitted by the respondent.
A claim and a demand for a set-off with regard thereto shall, however, be determined
jointly.
§ 31 Interim Award
The arbitrator may, if the parties have so agreed, decide by an interim arbitral award a
separate issue in dispute, if rendering an award on other matters in dispute is dependent
on rendering such an interim award.
The award shall be made in writing and shall be signed by the arbitrator.
The award shall state the date on which and the place where the award was made. The
award shall be deemed to be made at the place which has been agreed or determined to
be the place of arbitration.
The arbitral award shall not contain reasons, unless a party has no later than in his clos-
ing statement requested a statement of reasons.
The arbitral award shall be rendered no later than three months after the Institute has
sent the file in the case to the arbitrator.
The Board, or in urgent cases the secretary of the Institute, may grant an extension of
at most three months to the period referred to in paragraph 1.
A duly signed copy of the award shall be given to each party at a session of the arbitral
tribunal or it shall be delivered to the parties by other verifiable means.
A party may request the arbitrator to correct in the award any errors in computation or
any clerical or typographical errors, or any other errors of a similar nature. A party
must, after notification to the other party, request for such correction within 30 days
from his receipt of a copy of the award.
If the arbitrator considers the request to be justified, the arbitrator shall make the
requested correction without delay and, if possible, within 30 days after the receipt of
the request by the arbitrator.
The arbitrator may, at his own initiative, within 30 days after the rendering of the
award, correct any error of the type referred to in paragraph 1 of this section. Before
such correction is made, the parties shall, where necessary, be provided an opportunity
to be heard with regard to the correction to be made.
§ 35 Additional Award
Either party, with notice to the other party, may request the arbitrator to make an addi-
tional award as to claims presented in the arbitral proceedings but omitted from the
award. If the arbitrator considers the request for an additional award to be justified, he
shall complete the award as soon as possible. Before rendering the additional award,
the parties shall be heard.
The parties are jointly and severally liable for compensating the arbitrator for his work
and expenses.
The arbitrator may in the award fix and order to be paid the remuneration due to the
arbitrator.
When deciding on the fee of the arbitrator the time required to resolve the dispute, the
complexity of the subject matter, the amount in dispute and other relevant circum-
stances shall be taken into account.
The losing party in the matter shall be ordered to pay the costs of the arbitration as well
as the costs of the arbitration of the winning party, unless there is a justifiable reason
to decide otherwise.
If the parties settle the dispute before the arbitral tribunal has taken any measures in
the proceedings or if the dispute is dismissed for some other reason before the arbitral
tribunal has taken any measures in the proceedings, the Institute shall decide on the
fees to compensate the Central Chamber of Commerce for its costs and on the possible
fee and compensation for expenses payable to the arbitrator.
If the settlement or the dismissal of the dispute takes place after the arbitral tribunal has
taken any measures in the proceedings, the arbitrator may fix and order to be paid the
arbitrator’s fee and compensation for expenses.
The Central Chamber of Commerce of Finland may establish a schedule for the
proposed arbitrator’s fees.
An arbitral award shall include an order concerning any costs and charges of the arbi-
tration payable to the Central Chamber of Commerce.
The documents presented to the Institute and any award or final order issued in order
to terminate the proceedings shall, after issuance, be filed in the archives of the
Institute.
No information concerning the documents or the award referred to above may be dis-
closed to anyone other than the parties, the arbitrator involved in the proceedings and
the members of the Board, unless all parties concerned explicitly consent to such a
disclosure.
The Central Chamber of Commerce or any member of the Board of the Institute or the
Secretary of the Institute shall not be liable for any loss incurred by the parties in any
arbitration under these rules, save for loss resulting from their wilful misconduct or
gross negligence. The arbitrator shall not be liable for any loss incurred by the parties
in the arbitral proceedings, save for loss resulting from wilful misconduct or gross
negligence.
These rules shall enter into force on June 1, 2004. These rules are applied to any
arbitral proceedings in respect of which the request for arbitration has been received
by the Institute after the effective date of these rules.
Introductory Note
The International Bar Association takes the position that (whatever may be the case in
domestic arbitration) international arbitrators should in principle be granted immunity
from suit under national laws, except in extreme cases of wilful or reckless disregard
of their legal obligations. Accordingly, the International Bar Association wishes to
make it clear that it is not the intention of these rules to create opportunities for
aggrieved parties to sue international arbitrators in national courts. The normal
sanction for breach of an ethical duty is removal from office, with consequent loss of
1 This document is reproduced by kind permission of the International Bar Association, London.
© International Bar Association.
363
entitlement to remuneration. The International Bar Association also emphasises that
these rules do not affect, and are intended to be consistent with, the International Code
of Ethics for lawyers, adopted at Oslo on 25 July 1956, and amended by the General
Meeting of the International Bar Association at Mexico City on 24 July 1964.
1 Fundamental Rule
Arbitrators shall proceed diligently and efficiently to provide the parties with a just and
effective resolution of their disputes, and shall be and shall remain free from bias.
2 Acceptance of Appointment
2.1 A prospective arbitrator shall accept an appointment only if he is fully satisfied that
he is able to discharge his duties without bias.
2.2 A prospective arbitrator shall accept an appointment only if he is fully satisfied that
he is competent to determine the issues in dispute, and has an adequate knowledge of
the language of the arbitration.
2.3 A prospective arbitrator should accept an appointment only if he is able to give to the
arbitration the time and attention which the parties are reasonably entitled to expect.
2.4 It is inappropriate to contact parties in order to solicit appointment as arbitrator.
3 Elements of Bias
3.1 The criteria for assessing questions relating to bias are impartiality and indepen-
dence. Partiality arises when an arbitrator favours one of the parties, or where he is
prejudiced in relation to the subject-matter of the dispute. Dependence arises from
relationships between an arbitrator and one of the parties, or with someone closely
connected with one of the parties.
3.2 Facts which might lead a reasonable person, not knowing the arbitrator’s true state
of mind, to consider that he is dependent on a party create an appearance of bias. The
same is true if an arbitrator has a material interest in the outcome of the dispute, or if
he has already taken a position in relation to it. The appearance of bias is best over-
come by full disclosure as described in Article 4 below.
3:3 Any current direct or indirect business relationship between an arbitrator and a
party, or with a person who is known to be a potentially important witness, will nor-
mally give rise to justifiable doubts as to a prospective arbitrator’s impartiality or inde-
pendence. He should decline to accept an appointment in such circumstances unless
the parties agree in writing that he may proceed. Examples of indirect relationships are
where a member of the prospective arbitrator’s family, his firm, or any business part-
ner has a business relationship with one of the parties.
3.4 Past business relationships will not operate as an absolute bar to acceptance of
appointment, unless they are of such magnitude or nature as to be likely to affect a
prospective arbitrator’s judgment.
4 Duty of Disclosure
4.1 A prospective arbitrator should disclose all facts or circumstances that may give
rise to justifiable doubts as to his impartiality or independence. Failure to make such
disclosure creates an appearance of bias, and may of itself be a ground for disqualifica-
tion even though he non-disclosed facts or circumstances would not of themselves
justify disqualification.
4.2 A prospective arbitrator should disclose:
(a) any past or present business relationship, whether direct or indirect as illus-
trated in Article 3.3, including prior appointment as arbitrator, with any party to
the dispute, or any representative of a party, or any person known to be a poten-
tially important witness in the arbitration. With regard to present relationships, the
duty of disclosure applies irrespective of their magnitude, but with regard to past
relationships only if they were of more than a trivial nature in relation to the arbi-
trator’s professional or business affairs. Non-disclosure of an indirect relationship
unknown to a prospective arbitrator will not be a ground for disqualification unless
it could have been ascertained by making reasonable enquiries;
(b) the nature and duration of any substantial social relationships with any party or
any person known to be likely to be an important witness in the arbitration;
(c) the nature of any previous relationship with any fellow arbitrator (including
prior joint service as an arbitrator);
(d) the extent of any prior knowledge he may have of the dispute;
(e) the extent of any commitments which may affect his availability to perform his
duties as arbitrator as may be reasonably anticipated.
4.3 The duty of disclosure continues throughout the arbitral proceedings as regards
new facts or circumstances.
4.4 Disclosure should be made in writing and communicated to all parties and arbitra-
tors. When an arbitrator has been appointed, any previous disclosure made to the par-
ties should be communicated to the other arbitrators.
6 Fees
Unless the parties agree otherwise or a party defaults, an arbitrator shall make no uni-
lateral arrangements for fees or expenses.
7 Duty of Diligence
All arbitrators should devote such time and attention as the parties may reasonably
require having regard to all the circumstances of the case, and shall do their best to
conduct the arbitration in such a manner that costs do not rise to an unreasonable pro-
portion of the interests at stake.
Where the parties have so requested, or consented to a suggestion to this effect by the
arbitral tribunal, the tribunal as a whole (or the presiding arbitrator where appropriate),
may make proposals for settlement to both parties simultaneously, and preferably in
the presence of each other. Although any procedure is possible with the agreement of
the parties, the arbitral tribunal should point out to the parties that it is undesirable that
any arbitrator should discuss settlement terms with a party in the absence of the other
parties since this will normally have the result that any arbitrator involved in such
discussions will become disqualified from any future participation in the arbitration.
The deliberations of the arbitral tribunal, and the contents of the award itself, remain
confidential in perpetuity unless the parties release the arbitrators from this obligation.
An arbitrator should not participate in, or give any information for the purpose of assis-
tance in, any proceedings to consider the award unless, exceptionally, he considers it his
duty to disclose any material misconduct or fraud on the part of his fellow arbitrators.
22 May 2004
Introduction
* This document is reproduced by kind permission of the International Bar Association, London.
© International Bar Association.
369
issues. The Committee on Arbitration and ADR of the International Bar Association
appointed a Working Group of 19 experts1 in international arbitration from 14 coun-
tries to study, with the intent of helping this decision-making process, national laws,
judicial decisions, arbitration rules and practical considerations and applications
regarding impartiality and independence and disclosure in international arbitration.
The Working Group has determined that existing standards lack sufficient clarity and
uniformity in their application. It has therefore prepared these Guidelines, which set
forth some General Standards and Explanatory Notes on the Standards. Moreover, the
Working Group believes that greater consistency and fewer unnecessary challenges
and arbitrator withdrawals and removals could be achieved by providing lists of spe-
cific situations that, in the view of the Working Group, do or do not warrant disclosure
or disqualification of an arbitrator. Such lists—designated Red, Orange and Green (the
‘Application Lists’)—appear at the end of these Guidelines.2
4. The Guidelines reflect the Working Group’s understanding of the best current inter-
national practice firmly rooted in the principles expressed in the General Standards.
The Working Group has based the General Standards and the Application Lists upon
statutes and case law in jurisdictions and upon the judgment and experience of mem-
bers of the Working Group and others involved in international commercial arbitra-
tion. The Working Group has attempted to balance the various interests of parties,
representatives, arbitrators and arbitration institutions, all of whom have a responsibil-
ity for ensuring the integrity, reputation and efficiency of international commercial
arbitration. In particular, the Working Group has sought and considered the views of
many leading arbitration institutions, as well as corporate counsel and other persons
involved in international arbitration. The Working Group also published drafts of the
Guidelines and sought comments at two annual meetings of the International Bar
Association and other meetings of arbitrators. While the comments received by the
Working Group varied, and included some points of criticisms, the arbitration com-
munity generally supported and encouraged these efforts to help reduce the growing
problems of conflicts of interests. The Working Group has studied all the comments
received and has adopted many of the proposals that it has received. The Working
Group is very grateful indeed for the serious considerations given to its proposals by
so many institutions and individuals all over the globe and for the comments and pro-
posals received.
1 The members of the Working Group are: (1) Henri Alvarez, Canada; (2) John Beechey,
England; (3) Jim Carter, United States; (4) Emmanuel Gaillard, France, (5) Emilio Gonzales
de Castilla, Mexico; (6) Bernard Hanotiau, Belgium; (7) Michael Hwang, Singapore; (8) Albert
Jan van den Berg, Belgium; (9) Doug Jones, Australia; (10) Gabrielle Kaufmann-Kohler,
Switzerland; (11) Arthur Marriott, England; (12) Tore Wiwen Nilsson, Sweden; (13) Hilmar
Raeschke-Kessler, Germany; (14) David W. Rivkin, United States; (15) Klaus Sachs, Germany;
(16) Nathalie Voser, Switzerland (Rapporteur); (17) David Williams, New Zealand; (18) Des
Williams, South Africa; (19); Otto de Witt Wijnen, The Netherlands (Chair).
2 Detailed Background Information to the Guidelines has been published in Business Law
International at BLI Vol 5, No 3, September 2004, pp 433-458 and is available at the IBA
website www.ibanet.org
Part I:
General Standards Regarding Impartiality,
Independence and Disclosure
Every arbitrator shall be impartial and independent of the parties at the time of accept-
ing an appointment to serve and shall remain so during the entire arbitration proceed-
ing until the final award has been rendered or the proceeding has otherwise finally
terminated.
3 Similarly, the Working Group is of the opinion that these Guidelines should apply by analogy
to civil servants and government officers who are appointed as arbitrators by States or State
entities that are parties to arbitration proceedings.
(a) An arbitrator shall decline to accept an appointment or, if the arbitration has
already been commenced, refuse to continue to act as an arbitrator if he or she has any
doubts as to his or her ability to be impartial or independent.
(b) The same principle applies if facts or circumstances exist, or have arisen since the
appointment, that, from a reasonable third person’s point of view having knowledge of
the relevant facts, give rise to justifiable doubts as to the arbitrator’s impartiality or
independence, unless the parties have accepted the arbitrator in accordance with the
requirements set out in General Standard (4).
(c) Doubts are justifiable if a reasonable and informed third party would reach the
conclusion that there was a likelihood that the arbitrator may be influenced by factors
other than the merits of the case as presented by the parties in reaching his or her deci-
sion.
(d) Justifiable doubts necessarily exist as to the arbitrator’s impartiality or indepen-
dence if there is an identity between a party and the arbitrator, if the arbitrator is a
legal representative of a legal entity that is a party in the arbitration, or if the arbitra-
tor has a significant financial or personal interest in the matter at stake.
(a) It is the main ethical guiding principle of every arbitrator that actual bias from the
arbitrator’s own point of view must lead to that arbitrator declining his or her appoint-
ment. This standard should apply regardless of the stage of the proceedings. This prin-
ciple is so self-evident that many national laws do not explicitly say so. See eg Article
12, UNCITRAL Model Law. The Working Group, however, has included it in the
General Standards because explicit expression in these Guidelines helps to avoid con-
fusion and to create confidence in procedures before arbitral tribunals. In addition, the
Working Group believes that the broad standard of ‘any doubts as to an ability to be
impartial and independent’ should lead to the arbitrator declining the appointment.
(a) If facts or circumstances exist that may, in the eyes of the parties, give rise to doubts
as to the arbitrator’s impartiality or independence, the arbitrator shall disclose such
facts or circumstances to the parties, the arbitration institution or other appointing
authority (if any, and if so required by the applicable institutional rules) and to the
co-arbitrators, if any, prior to accepting his or her appointment or, if thereafter, as
soon as he or she learns about them.
(b) It follows from General Standards 1 and 2(a) that an arbitrator who has made a
disclosure considers himself or herself to be impartial and independent of the parties
despite the disclosed facts and therefore capable of performing his or her duties as
arbitrator. Otherwise, he or she would have declined the nomination or appointment
at the outset or resigned.
(c) Any doubt as to whether an arbitrator should disclose certain facts or circum-
stances should be resolved in favour of disclosure.
(a) General Standard 2(b) above sets out an objective test for disqualification of an
arbitrator. However, because of varying considerations with respect to disclosure, the
proper standard for disclosure may be different. A purely objective test for disclosure
exists in the majority of the jurisdictions analyzed and in the UNCITRAL Model Law.
Nevertheless, the Working Group recognizes that the parties have an interest in being
fully informed about any circumstances that may be relevant in their view. Because of
the strongly held views of many arbitration institutions (as reflected in their rules and
as stated to the Working Group) that the disclosure test should reflect the perspectives
of the parties, the Working Group in principle accepted, after much debate, a subjec-
tive approach for disclosure. The Working Group has adapted the language of Article
7(2) of the ICC Rules for this standard.
However, the Working Group believes that this principle should not be applied with-
out limitations. Because some situations should never lead to disqualification under the
objective test, such situations need not be disclosed, regardless of the parties’ perspec-
tive. These limitations to the subjective test are reflected in the Green List, which lists
some situations in which disclosure is not required. Similarly, the Working Group
emphasizes that the two tests (objective test for disqualification and subjective test for
disclosure) are clearly distinct from each other, and that a disclosure shall not auto-
matically lead to disqualification, as reflected in General Standard 3(b).
In determining what facts should be disclosed, an arbitrator should take into account
all circumstances known to him or her, including to the extent known the culture and
the customs of the country of which the parties are domiciled or nationals.
(b) Disclosure is not an admission of a conflict of interest. An arbitrator who has made
a disclosure to the parties considers himself or herself to be impartial and independent
of the parties, despite the disclosed facts, or else he or she would have declined the
nomination or resigned. An arbitrator making disclosure thus feels capable of perform-
ing his or her duties. It is the purpose of disclosure to allow the parties to judge whether
or not they agree with the evaluation of the arbitrator and, if they so wish, to explore
the situation further. The Working Group hopes that the promulgation of this General
Standard will eliminate the misunderstanding that disclosure demonstrates doubts suf-
ficient to disqualify the arbitrator. Instead, any challenge should be successful only if
an objective test, as set forth above, is met.
(c) Unnecessary disclosure sometimes raises an incorrect implication in the minds of
the parties that the disclosed circumstances would affect his or her impartiality or inde-
pendence. Excessive disclosures thus unnecessarily undermine the parties’ confidence
in the process. Nevertheless, after some debate, the Working Group believes it impor-
tant to provide expressly in the General Standards that in case of doubt the arbitrator
(a) If, within 30 days after the receipt of any disclosure by the arbitrator or after a
party learns of facts or circumstances that could constitute a potential conflict of inter-
est for an arbitrator, a party does not raise an express objection with regard to that
arbitrator, subject to paragraphs (b) and (c) of this General Standard, the party is
deemed to have waived any potential conflict of interest by the arbitrator based on
such facts or circumstances and may not raise any objection to such facts or circum-
stances at a later stage.
(b) However, if facts or circumstances exist as described in General Standard 2(d),
any waiver by a party or any agreement by the parties to have such a person serve as
arbitrator shall be regarded as invalid.
(c) A person should not serve as an arbitrator when a conflict of interest, such as those
exemplified in the waivable Red List, exists. Nevertheless, such a person may accept
appointment as arbitrator or continue to act as an arbitrator, if the following condi-
tions are met:
(i) All parties, all arbitrators and the arbitration institution or other appointing
authority (if any) must have full knowledge of the conflict of interest; and
(ii) All parties must expressly agree that such person may serve as arbitrator despite
the conflict of interest.
(d) An arbitrator may assist the parties in reaching a settlement of the dispute at any
stage of the proceedings. However, before doing so, the arbitrator should receive an
express agreement by the parties that acting in such a manner shall not disqualify the
arbitrator from continuing to serve as arbitrator. Such express agreement shall be
considered to be an effective waiver of any potential conflict of interest that may
arise from the arbitrator’s participation in such process or from information that the
(a) The Working Group suggests a requirement of an explicit objection by the parties
within a certain time limit. In the view of the Working Group, this time limit should
also apply to a party who refuses to be involved.
(b) This General Standard is included to make General Standard 4(a) consistent with
the non-waivable provisions of General Standard 2(d). Examples of such circum-
stances are described in the non-waivable Red List.
(c) In a serious conflict of interest, such as those that are described by way of example
in the waivable Red List, the parties may nevertheless wish to use such a person as an
arbitrator. Here, party autonomy and the desire to have only impartial and independent
arbitrators must be balanced. The Working Group believes persons with such a serious
conflict of interests may serve as arbitrators only if the parties make fully informed,
explicit waivers.
(d) The concept of the Arbitral Tribunal assisting the parties in reaching a settlement
of their dispute in the course of the arbitration proceedings is well established in some
jurisdictions but not in others. Informed consent by the parties to such a process
prior to its beginning should be regarded as effective waiver of a potential conflict of
interest. Express consent is generally sufficient, as opposed to a consent made in
writing which in certain jurisdictions requires signature. In practice, the requirement of
an express waiver allows such consent to be made in the minutes or transcript of a
hearing. In addition, in order to avoid parties using an arbitrator as mediator as a means
of disqualifying the arbitrator, the General Standard makes clear that the waiver should
remain effective if the mediation is unsuccessful. Thus, parties assume the risk of
what the arbitrator may learn in the settlement process. In giving their express consent,
the parties should realize the consequences of the arbitrator assisting the parties in
a settlement process and agree on regulating this special position further where
appropriate.
(5) Scope
These Guidelines apply equally to tribunal chairs, sole arbitrators and party-appointed
arbitrators. These Guidelines do not apply to non-neutral arbitrators, who do not have
an obligation to be independent and impartial, as may be permitted by some arbitra-
tion rules or national laws.
(6) Relationships
(a) The growing size of law firms should be taken into account as part of today’s real-
ity in international arbitration. There is a need to balance the interests of a party to use
the arbitrator of its choice and the importance of maintaining confidence in the impar-
tiality and independence of international arbitration. In the opinion of the Working
Group, the arbitrator must in principle be considered as identical to his or her law firm,
but nevertheless the activities of the arbitrator’s firm should not automatically consti-
tute a conflict of interest. The relevance of such activities, such as the nature, timing
and scope of the work by the law firm, should be reasonably considered in each indi-
vidual case. The Working Group uses the term ‘involvement’ rather than ‘acting for’
because a law firm’s relevant connections with a party may include activities other
than representation on a legal matter.
(b) When a party to an arbitration is a member of a group of companies, special ques-
tions regarding conflict of interest arise. As in the prior paragraph, the Working Group
(a) A party shall inform an arbitrator, the Arbitral Tribunal, the other parties and the
arbitration institution or other appointing authority (if any) about any direct or indi-
rect relationship between it (or another company of the same group of companies) and
the arbitrator. The party shall do so on its own initiative before the beginning of the
proceeding or as soon as it becomes aware of such relationship.
(b) In order to comply with General Standard 7(a), a party shall provide any informa-
tion already available to it and shall perform a reasonable search of publicly available
information.
(c) An arbitrator is under a duty to make reasonable enquiries to investigate any
potential conflict of interest, as well as any facts or circumstances that may cause his
or her impartiality or independence to be questioned. Failure to disclose a potential
conflict is not excused by lack of knowledge if the arbitrator makes no reasonable
attempt to investigate.
PART II:
Practical Application of the General Standards
1. The Working Group believes that if the Guidelines are to have an important practi-
cal influence, they should reflect situations that are likely to occur in today’s arbitra-
tion practice. The Guidelines should provide specific guidance to arbitrators, parties,
institutions and courts as to what situations do or do not constitute conflicts of interest
or should be disclosed.
1.1. There is an identity between a party and the arbitrator, or the arbitrator is a legal
representative of an entity that is a party in the arbitration.
1.2. The arbitrator is a manager, director or member of the supervisory board, or has a
similar controlling influence in one of the parties.
1.3. The arbitrator has a significant financial interest in one of the parties or the out-
come of the case.
4 Throughout the Application Lists, the term ‘close family member’ refers to a spouse, sibling,
child, parent or life partner.
5 Throughout the Application Lists, the term ‘affiliate’ encompasses all companies in one group
of companies including the parent company.
3. Orange List
3.1. Previous services for one of the parties or other involvement in the case
3.1.1 The arbitrator has within the past three years served as counsel for one of the
parties or an affiliate of one of the parties or has previously advised or been con-
sulted by the party or an affiliate of the party making the appointment in an unre-
lated matter, but the arbitrator and the party or the affiliate of the party have no
ongoing relationship.
3.1.2 The arbitrator has within the past three years served as counsel against one
of the parties or an affiliate of one of the parties in an unrelated matter.
3.1.3 The arbitrator has within the past three years been appointed as arbitrator on
two or more occasions by one of the parties or an affiliate of one of the parties.66
3.1.4 The arbitrator’s law firm has within the past three years acted for one of the
parties or an affiliate of one of the parties in an unrelated matter without the
involvement of the arbitrator.
3.1.5 The arbitrator currently serves, or has served within the past three years, as
arbitrator in another arbitration on a related issue involving one of the parties or an
affiliate of one of the parties.
3.2. Current services for one of the parties
3.2.1 The arbitrator’s law firm is currently rendering services to one of the parties
or to an affiliate of one of the parties without creating a significant commercial
relationship and without the involvement of the arbitrator.
3.2.2 A law firm that shares revenues or fees with the arbitrator’s law firm renders
services to one of the parties or an affiliate of one of the parties before the arbitral
tribunal.
3.2.3 The arbitrator or his or her firm represents a party or an affiliate to the arbi-
tration on a regular basis but is not involved in the current dispute.
3.3. Relationship between an arbitrator and another arbitrator or counsel.
6 It may be the practice in certain specific kinds of arbitration, such as maritime or commodities
arbitration, to draw arbitrators from a small, specialized pool. If in such fields it is the custom
and practice for parties frequently to appoint the same arbitrator in different cases, no disclo-
sure of this fact is required where all parties in the arbitration should be familiar with such
custom and practice.
7 Issues concerning special considerations involving barristers in England are discussed in the
Background Information issued by the Working Group.
4. Green List
IF IF IF
IF IF IF
Waivable Red
Orange List Green List
List
decline to accept
appointment/refuse to continue
to act as arbitrator and duty to disclose
disclose relevant facts and no duty to
relevant facts and
circumstances disclose
circumstances
Yes
Yes
385
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IBA Rules
David W Rivkin
Chair, SBL Committee D (Arbitration and ADR); Debevoise & Plimpton, New York,
USA
Wolfgang Kühn
Former Chair, SBL Committee D; Heuking Kühn Lüer Heussen Wojtek, Düsseldorf,
Germany
Giovanni M Ughi
Chair, SBL Committee D Working Party; Studio Legale Ughi e Nunziante, Milan,
Italy
Hans Bagner
Vinge, Stockholm, Sweden
John Beechey
Clifford Chance, London, England
1. This document is reproduced by kind permission of the International Bar Association, London. © International Bar
Association.
387
Jacques Buhart
Coudert Frères, Paris, France
Peter S Caldwell
Hong Kong
Bernardo M Cremades
B Cremades y Asociados, Madrid, Spain
Emmanuel Gaillard
Shearman & Sterling, Paris, France
Paul A Gelinas
Paris, France
Hans van Houtte
Stibbe Simont Monahan Duhot, Brussels, Belgium
Pierre A Karrer
Pestalozzi Gmuer & Patry, Zurich, Switzerland
Jan Paulsson
Freshfields, Paris, France
Hilmar Raeschke-Kessler
Rechtsanwaelte Beim Bundesgerichtshof, Karlsruhe- Ettlingen, Germany
Van Vechten Veeder QC
Essex Court Chambers, London, England
O L O de Witt Wijnen
Nauta Dutilh, Rotterdam, Netherlands
Links
Relations are maintained with all of the prominent international Arbitration institu-
tions worldwide.
Activities
The Committee provides programmes at IBA and SBL Conferences. Conference pro-
grammes are discussed in advance with members, who are encouraged to suggest
topics for discussion and debate.
This Subcommittee is devoted to the procedures and development of ADR. The sub-
ject has demanded far more attention from lawyers in recent years, and the Subcommittee
provides a forum for studying and sharing experience of practitioners in various
jurisdictions.
Foreword
Preamble
1. These IBA Rules on the Taking of Evidence in International Commercial Arbitration
(the “IBA Rules of Evidence”) are intended to govern in an efficient and economical
manner the taking of evidence in international commercial arbitrations, particularly
those between Parties from different legal traditions. They are designed to supplement
the legal provisions and the institutional or ad hoc rules according to which the Parties
are conducting their arbitration.
2. Parties and Arbitral Tribunals may adopt the IBA Rules of Evidence, in whole or in
part, to govern arbitration proceedings, or they may vary them or use them as guide-
lines in developing their own procedures. The Rules are not intended to limit the
flexibility that is inherent in, and an advantage of, international arbitration, and Parties
and Arbitral Tribunals are free to adapt them to the particular circumstances of each
arbitration.
3. Each Arbitral Tribunal is encouraged to identify to the Parties, as soon as it considers
it to be appropriate, the issues that it may regard as relevant and material to the outcome
of the case, including issues where a preliminary determination may be appropriate.
4. The taking of evidence shall be conducted on the principle that each Party shall be
entitled to know, reasonably in advance of any Evidentiary Hearing, the evidence on
which the other Parties rely.
The Rules
Article 1 Definitions
1. Whenever the Parties have agreed or the Arbitral Tribunal has determined to apply
the IBA Rules of Evidence, the Rules shall govern the taking of evidence, except to the
extent that any specific provision of them may be found to be in conflict with any man-
datory provision of law determined to be applicable to the case by the Parties or by the
Arbitral Tribunal.
2. In case of conflict between any provisions of the IBA Rules of Evidence and the
General Rules, the Arbitral Tribunal shall apply the IBA Rules of Evidence in the
manner that it determines best in order to accomplish the purposes of both the General
Rules and the IBA Rules of Evidence, unless the Parties agree to the contrary.
3. In the event of any dispute regarding the meaning of the IBA Rules of Evidence, the
Arbitral Tribunal shall interpret them according to their purpose and in the manner
most appropriate for the particular arbitration.
4. Insofar as the IBA Rules of Evidence and the General Rules are silent on any matter
concerning the taking of evidence and the Parties have not agreed otherwise, the
Arbitral Tribunal may conduct the taking of evidence as it deems appropriate, in accor-
dance with the general principles of the IBA Rules of Evidence.
Article 3 Documents
1. Within the time ordered by the Arbitral Tribunal, each Party shall submit to the
Arbitral Tribunal and to the other Parties all documents available to it on which it
relies, including public documents and those in the public domain, except for any
documents that have already been submitted by another Party.
2. Within the time ordered by the Arbitral Tribunal, any Party may submit to the
Arbitral Tribunal a Request to Produce.
3. A Request to Produce shall contain:
(a) (i) a description of a requested document sufficient to identify it, or (ii) a descrip-
tion in sufficient detail (including subject matter) of a narrow and specific requested
category of documents that are reasonably believed to exist;
1. Within the time ordered by the Arbitral Tribunal, each Party shall identify the wit-
nesses on whose testimony it relies and the subject matter of that testimony.
2. Any person may present evidence as a witness, including a Party or a Party’s officer,
employee or other representative.
3. It shall not be improper for a Party, its officers, employees, legal advisors or other
representatives to interview its witnesses or potential witnesses.
4. The Arbitral Tribunal may order each Party to submit within a specified time to the
Arbitral Tribunal and to the other Parties a written statement by each witness on whose
testimony it relies, except for those witnesses whose testimony is sought pursuant to
Article 4.10 (the “Witness Statement”). If Evidentiary Hearings are organized on sep-
arate issues (such as liability and damages), the Arbitral Tribunal or the Parties by
agreement may schedule the submission of Witness Statements separately for each
Evidentiary Hearing.
5. Each Witness Statement shall contain:
(a) the full name and address of the witness, his or her present and past relationship
(if any) with any of the Parties, and a description of his or her background, qualifica-
tions, training and experience, if such a description may be relevant and material to
the dispute or to the contents of the statement;
(b) a full and detailed description of the facts, and the source of the witness’s infor-
mation as to those facts, sufficient to serve as that witness’s evidence in the matter
in dispute;
(c) an affirmation of the truth of the statement; and
(d) the signature of the witness and its date and place.
1. The Arbitral Tribunal, after having consulted with the Parties, may appoint one or
more independent Tribunal-Appointed Experts to report to it on specific issues desig-
nated by the Arbitral Tribunal. The Arbitral Tribunal shall establish the terms of refer-
ence for any Tribunal-Appointed Expert report after having consulted with the Parties.
A copy of the final terms of reference shall be sent by the Arbitral Tribunal to the
Parties.
2. The Tribunal-Appointed Expert shall, before accepting appointment, submit to the
Arbitral Tribunal and to the Parties a statement of his or her independence from the
Parties and the Arbitral Tribunal. Within the time ordered by the Arbitral Tribunal,
the Parties shall inform the Arbitral Tribunal whether they have any objections to the
Tribunal-Appointed Expert’s independence. The Arbitral Tribunal shall decide
promptly whether to accept any such objection.
3. Subject to the provisions of Article 9.2, the Tribunal-Appointed Expert may request
a Party to provide any relevant and material information or to provide access to any
relevant documents, goods, samples, property or site for inspection. The authority of a
Tribunal-Appointed Expert to request such information or access shall be the same as
the authority of the Arbitral Tribunal. The Parties and their representatives shall have
the right to receive any such information and to attend any such inspection. Any dis-
agreement between a Tribunal-Appointed Expert and a Party as to the relevance, mate-
riality or appropriateness of such a request shall be decided by the Arbitral Tribunal, in
Subject to the provisions of Article 9.2, the Arbitral Tribunal may, at the request of a
Party or on its own motion, inspect or require the inspection by a Tribunal-Appointed
Expert of any site, property, machinery or any other goods or process, or documents,
as it deems appropriate. The Arbitral Tribunal shall, in consultation with the Parties,
determine the timing and arrangement for the inspection. The Parties and their repre-
sentatives shall have the right to attend any such inspection.
1. The Arbitral Tribunal shall at all times have complete control over the Evidentiary
Hearing. The Arbitral Tribunal may limit or exclude any question to, answer by or
appearance of a witness (which term includes, for the purposes of this Article, wit-
nesses of fact and any Experts), if it considers such question, answer or appearance to
be irrelevant, immaterial, burdensome, duplicative or covered by a reason for objec-
tion set forth in Article 9.2. Questions to a witness during direct and redirect testimony
may not be unreasonably leading.
1. The Arbitral Tribunal shall determine the admissibility, relevance, materiality and
weight of evidence.
2. The Arbitral Tribunal shall, at the request of a Party or on its own motion, exclude
from evidence or production any document, statement, oral testimony or inspection for
any of the following reasons:
(a) lack of sufficient relevance or materiality;
(b) legal impediment or privilege under the legal or ethical rules determined by the
Arbitral Tribunal to be applicable;
(c) unreasonable burden to produce the requested evidence;
(d) loss or destruction of the document that has been reasonably shown to have
occurred;
(e) grounds of commercial or technical confidentiality that the Arbitral Tribunal
determines to be compelling;
(f) grounds of special political or institutional sensitivity (including evidence that
has been classified as secret by a government or a public international institution)
that the Arbitral Tribunal determines to be compelling; or
(g) considerations of fairness or equality of the Parties that the Arbitral Tribunal
determines to be compelling.
It is recommended that all parties wishing to make reference to ICC arbitration in their
contracts use the following standard clause.
Parties are reminded that it may be desirable for them to stipulate in the arbitration
clause itself the law governing the contract, the number of arbitrators and the place and
language of the arbitration. The parties’ free choice of the law governing the contract
and of the place and language of the arbitration is not limited by the ICC Rules of
Arbitration.
401
Attention is called to the fact that the laws of certain countries require that parties to
contracts expressly accept arbitration clauses, sometimes in a precise and particular
manner.
“All disputes arising out of or in connection with the present contract shall be finally
settled under the Rules of Arbitration of the International Chamber of Commerce by
one or more arbitrators appointed in accordance with the said Rules.”
For translations of the above clause, please consult the web site of the ICC International
Court of Arbitration:
www.iccarbitration.org
Parties wishing to have recourse to both the ICC pre-arbitral referee procedure and
ICC arbitration should make specific reference to both procedures in their contracts.
The following standard clause is recommended:
“Any party to this contract shall have the right to have recourse to and shall be bound
by the pre-arbitral referee procedure of the International Chamber of Commerce in
accordance with its Rules for a Pre-Arbitral Referee Procedure.
All disputes arising out of or in connection with the present contract shall be finally
settled under the Rules of Arbitration of the International Chamber of Commerce by
one or more arbitrators appointed in accordance with the said Rules of Arbitration.”
For translations of the above clause, please consult the web site of the ICC International
Court of Arbitration:
www.iccarbitration.org
Rules of Arbitration
INTRODUCTORY PROVISIONS
Article 2 Definitions
In these Rules:
(i) “Arbitral Tribunal” includes one or more arbitrators.
(ii) “Claimant” includes one or more claimants and “Respondent” includes one or
more respondents.
(iii) “Award” includes, inter alia, an interim, partial or final Award.
1 All pleadings and other written communications submitted by any party, as well as
all documents annexed thereto, shall be supplied in a number of copies sufficient to
provide one copy for each party, plus one for each arbitrator, and one for the Secretariat.
A copy of any communication from the Arbitral Tribunal to the parties shall be sent to
the Secretariat.
2 All notifications or communications from the Secretariat and the Arbitral Tribunal
shall be made to the last address of the party or its representative for whom the same
are intended, as notified either by the party in question or by the other party. Such
notification or communication may be made by delivery against receipt, registered
post, courier, facsimile transmission, telex, telegram or any other means of telecom-
munication that provides a record of the sending thereof.
3 A notification or communication shall be deemed to have been made on the day it
was received by the party itself or by its representative, or would have been received if
made in accordance with the preceding paragraph.
4 Periods of time specified in or fixed under the present Rules shall start to run on the
day following the date a notification or communication is deemed to have been made
in accordance with the preceding paragraph. When the day next following such date is
1 A party wishing to have recourse to arbitration under these Rules shall submit its
Request for Arbitration (the “Request”) to the Secretariat, which shall notify the
Claimant and Respondent of the receipt of the Request and the date of such receipt.
2 The date on which the Request is received by the Secretariat shall, for all purposes,
be deemed to be the date of the commencement of the arbitral proceedings.
3 The Request shall, inter alia, contain the following information:
a) the name in full, description and address of each of the parties;
b) a description of the nature and circumstances of the dispute giving rise to the
claim(s);
c) a statement of the relief sought, including, to the extent possible, an indication of
any amount(s) claimed;
d) the relevant agreements and, in particular, the arbitration agreement;
e) all relevant particulars concerning the number of arbitrators and their choice in
accordance with the provisions of Articles 8, 9 and 10, and any nomination of an
arbitrator required thereby; and
f) any comments as to the place of arbitration, the applicable rules of law and the
language of the arbitration.
4 Together with the Request, the Claimant shall submit the number of copies thereof
required by Article 3(1) and shall make the advance payment on administrative
expenses required by Appendix III (“Arbitration Costs and Fees”) in force on the date
the Request is submitted. In the event that the Claimant fails to comply with either of
these requirements, the Secretariat may fix a time limit within which the Claimant
must comply, failing which the file shall be closed without prejudice to the right of the
Claimant to submit the same claims at a later date in another Request.
5 The Secretariat shall send a copy of the Request and the documents annexed thereto
to the Respondent for its Answer to the Request once the Secretariat has sufficient
copies of the Request and the required advance payment.
1 Within 30 days from the receipt of the Request from the Secretariat, the Respondent
shall file an Answer (the “Answer”) which shall, inter alia, contain the following
information:
a) its name in full, description and address;
b) its comments as to the nature and circumstances of the dispute giving rise to the
claim(s);
c) its response to the relief sought;
d) any comments concerning the number of arbitrators and their choice in light of
the Claimant’s proposals and in accordance with the provisions of Articles 8, 9 and
10, and any nomination of an arbitrator required thereby; and
e) any comments as to the place of arbitration, the applicable rules of law and the
language of the arbitration.
2 The Secretariat may grant the Respondent an extension of the time for filing the
Answer, provided the application for such an extension contains the Respondent’s
comments concerning the number of arbitrators and their choice and, where required
by Articles 8, 9 and 10, the nomination of an arbitrator. If the Respondent fails to do
so, the Court shall proceed in accordance with these Rules.
3 The Answer shall be supplied to the Secretariat in the number of copies specified by
Article 3 (1).
4 A copy of the Answer and the documents annexed thereto shall be communicated by
the Secretariat to the Claimant.
5 Any counterclaim(s) made by the Respondent shall be filed with its Answer and shall
provide:
a) a description of the nature and circumstances of the dispute giving rise to the
counterclaim(s); and
b) a statement of the relief sought, including, to the extent possible, an indication of
any amount(s) counterclaimed.
6 The Claimant shall file a reply to any counterclaim within 30 days from the date of
receipt of the counterclaim(s) communicated by the Secretariat. The Secretariat may
grant the Claimant an extension of time for filing the reply.
1 Where the parties have agreed to submit to arbitration under the Rules, they shall be
deemed to have submitted ipso facto to the Rules in effect on the date of commence-
ment of the arbitration proceedings, unless they have agreed to submit to the Rules in
effect on the date of their arbitration agreement.
2 If the Respondent does not file an Answer, as provided by Article 5, or if any party
raises one or more pleas concerning the existence, validity or scope of the arbitration
agreement, the Court may decide, without prejudice to the admissibility or merits of
the plea or pleas, that the arbitration shall proceed if it is prima facie satisfied that an
arbitration agreement under the Rules may exist. In such a case, any decision as to the
jurisdiction of the Arbitral Tribunal shall be taken by the Arbitral Tribunal itself. If the
Court is not so satisfied, the parties shall be notified that the arbitration cannot proceed.
In such a case, any party retains the right to ask any court having jurisdiction whether
or not there is a binding arbitration agreement.
3 If any of the parties refuses or fails to take part in the arbitration or any stage thereof,
the arbitration shall proceed notwithstanding such refusal or failure.
4 Unless otherwise agreed, the Arbitral Tribunal shall not cease to have jurisdiction
by reason of any claim that the contract is null and void or allegation that it is non-
existent, provided that the Arbitral Tribunal upholds the validity of the arbitration
agreement. The Arbitral Tribunal shall continue to have jurisdiction to determine the
respective rights of the parties and to adjudicate their claims and pleas even though the
contract itself may be non-existent or null and void.
1 Every arbitrator must be and remain independent of the parties involved in the
arbitration.
2 Before appointment or confirmation, a prospective arbitrator shall sign a statement
of independence and disclose in writing to the Secretariat any facts or circumstances
which might be of such a nature as to call into question the arbitrator’s independence
in the eyes of the parties. The Secretariat shall provide such information to the parties
in writing and fix a time limit for any comments from them.
3 An arbitrator shall immediately disclose in writing to the Secretariat and to the parties
any facts or circumstances of a similar nature which may arise during the arbitration.
4 The decisions of the Court as to the appointment, confirmation, challenge or replace-
ment of an arbitrator shall be final and the reasons for such decisions shall not be
communicated.
1 Where there are multiple parties, whether as Claimant or as Respondent, and where
the dispute is to be referred to three arbitrators, the multiple Claimants, jointly, and the
multiple Respondents, jointly, shall nominate an arbitrator for confirmation pursuant
to Article 9.
2 In the absence of such a joint nomination and where all parties are unable to agree to
a method for the constitution of the Arbitral Tribunal, the Court may appoint each
member of the Arbitral Tribunal and shall designate one of them to act as chairman. In
such case, the Court shall be at liberty to choose any person it regards as suitable to act
as arbitrator, applying Article 9 when it considers this appropriate.
1 An arbitrator shall be replaced upon his death, upon the acceptance by the Court of
the arbitrator’s resignation, upon acceptance by the Court of a challenge, or upon the
request of all the parties.
2 An arbitrator shall also be replaced on the Court’s own initiative when it decides that
he is prevented de jure or de facto from fulfilling his functions, or that he is not fulfill-
ing his functions in accordance with the Rules or within the prescribed time limits.
3 When, on the basis of information that has come to its attention, the Court considers
applying Article 12(2), it shall decide on the matter after the arbitrator concerned, the
parties and any other members of the Arbitral Tribunal have had an opportunity to
comment in writing within a suitable period of time. Such comments shall be commu-
nicated to the parties and to the arbitrators.
4 When an arbitrator is to be replaced, the Court has discretion to decide whether or
not to follow the original nominating process. Once reconstituted, and after having
invited the parties to comment, the Arbitral Tribunal shall determine if and to what
extent prior proceedings shall be repeated before the reconstituted Arbitral Tribunal.
5 Subsequent to the closing of the proceedings, instead of replacing an arbitrator who
has died or been removed by the Court pursuant to Articles 12(1) and 12(2), the Court
may decide, when it considers it appropriate, that the remaining arbitrators shall con-
tinue the arbitration. In making such determination, the Court shall take into account
the views of the remaining arbitrators and of the parties and such other matters that it
considers appropriate in the circumstances.
The Secretariat shall transmit the file to the Arbitral Tribunal as soon as it has been
constituted, provided the advance on costs requested by the Secretariat at this stage has
been paid.
1 The place of the arbitration shall be fixed by the Court unless agreed upon by the
parties.
2 The Arbitral Tribunal may, after consultation with the parties, conduct hearings and
meetings at any location it considers appropriate unless otherwise agreed by the parties.
3 The Arbitral Tribunal may deliberate at any location it considers appropriate.
1 The proceedings before the Arbitral Tribunal shall be governed by these Rules and,
where these Rules are silent, by any rules which the parties or, failing them, the Arbitral
Tribunal may settle on, whether or not reference is thereby made to the rules of proce-
dure of a national law to be applied to the arbitration.
2 In all cases, the Arbitral Tribunal shall act fairly and impartially and ensure that each
party has a reasonable opportunity to present its case.
In the absence of an agreement by the parties, the Arbitral Tribunal shall determine
the language or languages of the arbitration, due regard being given to all relevant
circumstances, including the language of the contract.
1 The parties shall be free to agree upon the rules of law to be applied by the Arbitral
Tribunal to the merits of the dispute. In the absence of any such agreement, the Arbitral
Tribunal shall apply the rules of law which it determines to be appropriate.
2 In all cases the Arbitral Tribunal shall take account of the provisions of the contract
and the relevant trade usages.
3 The Arbitral Tribunal shall assume the powers of an amiable compositeur or decide
ex aequo et bono only if the parties have agreed to give it such powers.
1 As soon as it has received the file from the Secretariat, the Arbitral Tribunal
shall draw up, on the basis of documents or in the presence of the parties and in the
light of their most recent submissions, a document defining its Terms of Reference.
This document shall include the following particulars:
a) the full names and descriptions of the parties;
b) the addresses of the parties to which notifications and communications arising in
the course of the arbitration may be made;
After the Terms of Reference have been signed or approved by the Court, no party
shall make new claims or counterclaims which fall outside the limits of the Terms of
Reference unless it has been authorized to do so by the Arbitral Tribunal, which shall
consider the nature of such new claims or counterclaims, the stage of the arbitration
and other relevant circumstances.
1 The Arbitral Tribunal shall proceed within as short a time as possible to establish the
facts of the case by all appropriate means.
2 After studying the written submissions of the parties and all documents relied upon,
the Arbitral Tribunal shall hear the parties together in person if any of them so requests
or, failing such a request, it may of its own motion decide to hear them.
Article 21 Hearings
1 When a hearing is to be held, the Arbitral Tribunal, giving reasonable notice, shall
summon the parties to appear before it on the day and at the place fixed by it.
2 If any of the parties, although duly summoned, fails to appear without valid excuse,
the Arbitral Tribunal shall have the power to proceed with the hearing.
3 The Arbitral Tribunal shall be in full charge of the hearings, at which all the parties
shall be entitled to be present. Save with the approval of the Arbitral Tribunal and the
parties, persons not involved in the proceedings shall not be admitted.
4 The parties may appear in person or through duly authorized representatives. In addi-
tion, they may be assisted by advisers.
1 When it is satisfied that the parties have had a reasonable opportunity to present their
cases, the Arbitral Tribunal shall declare the proceedings closed. Thereafter, no further
submission or argument may be made, or evidence produced, unless requested or
authorized by the Arbitral Tribunal.
2 When the Arbitral Tribunal has declared the proceedings closed, it shall indicate to
the Secretariat an approximate date by which the draft Award will be submitted to the
Court for approval pursuant to Article 27. Any postponement of that date shall be com-
municated to the Secretariat by the Arbitral Tribunal.
1 Unless the parties have otherwise agreed, as soon as the file has been transmitted to
it, the Arbitral Tribunal may, at the request of a party, order any interim or conservatory
Awards
1 The time limit within which the Arbitral Tribunal must render its final Award is six
months. Such time limit shall start to run from the date of the last signature by the
Arbitral Tribunal or by the parties of the Terms of Reference or, in the case of applica-
tion of Article 18(3), the date of the notification to the Arbitral Tribunal by the
Secretariat of the approval of the Terms of Reference by the Court.
2 The Court may extend this time limit pursuant to a reasoned request from the Arbitral
Tribunal or on its own initiative if it decides it is necessary to do so.
1 When the Arbitral Tribunal is composed of more than one arbitrator, an Award is
given by a majority decision. If there be no majority, the Award shall be made by the
chairman of the Arbitral Tribunal alone.
2 The Award shall state the reasons upon which it is based.
3 The Award shall be deemed to be made at the place of the arbitration and on the date
stated therein.
If the parties reach a settlement after the file has been transmitted to the Arbitral
Tribunal in accordance with Article 13, the settlement shall be recorded in the form of
an Award made by consent of the parties if so requested by the parties and if the
Arbitral Tribunal agrees to do so.
Before signing any Award, the Arbitral Tribunal shall submit it in draft form to the
Court. The Court may lay down modifications as to the form of the Award and, without
affecting the Arbitral Tribunal’s liberty of decision, may also draw its attention to
points of substance. No Award shall be rendered by the Arbitral Tribunal until it has
been approved by the Court as to its form.
1 Once an Award has been made, the Secretariat shall notify to the parties the text
signed by the Arbitral Tribunal, provided always that the costs of the arbitration have
been fully paid to the ICC by the parties or by one of them.
2 Additional copies certified true by the Secretary General shall be made available on
request and at any time to the parties, but to no one else.
3 By virtue of the notification made in accordance with Paragraph 1 of this Article, the
parties waive any other form of notification or deposit on the part of the Arbitral Tribunal.
4 An original of each Award made in accordance with the present Rules shall be depos-
ited with the Secretariat.
5 The Arbitral Tribunal and the Secretariat shall assist the parties in complying with
whatever further formalities may be necessary.
6 Every Award shall be binding on the parties. By submitting the dispute to arbitration
under these Rules, the parties undertake to carry out any Award without delay and
shall be deemed to have waived their right to any form of recourse insofar as such
waiver can validly be made.
1 On its own initiative, the Arbitral Tribunal may correct a clerical, computational or
typographical error, or any errors of similar nature contained in an Award, provided
such correction is submitted for approval to the Court within 30 days of the date of
such Award.
2 Any application of a party for the correction of an error of the kind referred to in
Article 29(1), or for the interpretation of an Award, must be made to the Secretariat
within 30 days of the receipt of the Award by such party, in a number of copies as
stated in Article 3 (1). After transmittal of the application to the Arbitral Tribunal, the
latter shall grant the other party a short time limit, normally not exceeding 30 days,
from the receipt of the application by that party, to submit any comments thereon.
If the Arbitral Tribunal decides to correct or interpret the Award, it shall submit its
decision in draft form to the Court not later than 30 days following the expiration of
the time limit for the receipt of any comments from the other party or within such other
period as the Court may decide.
Costs
1 After receipt of the Request, the Secretary General may request the Claimant to pay
a provisional advance in an amount intended to cover the costs of arbitration until the
Terms of Reference have been drawn up.
2 As soon as practicable, the Court shall fix the advance on costs in an amount likely
to cover the fees and expenses of the arbitrators and the ICC administrative costs for
the claims and counterclaims which have been referred to it by the parties. This amount
may be subject to readjustment at any time during the arbitration. Where, apart from
the claims, counterclaims are submitted, the Court may fix separate advances on costs
for the claims and the counterclaims.
3 The advance on costs fixed by the Court shall be payable in equal shares by the
Claimant and the Respondent. Any provisional advance paid on the basis of Article
30(1) will be considered as a partial payment thereof. However, any party shall be free
to pay the whole of the advance on costs in respect of the principal claim or the coun-
terclaim should the other party fail to pay its share. When the Court has set separate
advances on costs in accordance with Article 30(2), each of the parties shall pay the
advance on costs corresponding to its claims.
4 When a request for an advance on costs has not been complied with, and after con-
sultation with the Arbitral Tribunal, the Secretary General may direct the Arbitral
Tribunal to suspend its work and set a time limit, which must be not less than 15 days,
on the expiry of which the relevant claims, or counterclaims, shall be considered as
withdrawn. Should the party in question wish to object to this measure, it must make a
request within the aforementioned period for the matter to be decided by the Court.
Such party shall not be prevented, on the ground of such withdrawal, from reintroducing
the same claims or counterclaims at a later date in another proceeding.
5 If one of the parties claims a right to a set-off with regard to either claims or counter-
claims, such set-off shall be taken into account in determining the advance to cover the
costs of arbitration in the same way as a separate claim insofar as it may require the
Arbitral Tribunal to consider additional matters.
1 The costs of the arbitration shall include the fees and expenses of the arbitrators and
the ICC administrative expenses fixed by the Court, in accordance with the scale in
force at the time of the commencement of the arbitral proceedings, as well as the fees
Miscellaneous
1 The parties may agree to shorten the various time limits set out in these Rules. Any
such agreement entered into subsequent to the constitution of an Arbitral Tribunal
shall become effective only upon the approval of the Arbitral Tribunal.
2 The Court, on its own initiative, may extend any time limit which has been modified
pursuant to Article 32(1) if it decides that it is necessary to do so in order that the
Arbitral Tribunal or the Court may fulfil their responsibilities in accordance with these
Rules.
Article 33 Waiver
A party which proceeds with the arbitration without raising its objection to a failure
to comply with any provision of these Rules, or of any other rules applicable to the
proceedings, any direction given by the Arbitral Tribunal, or any requirement under
the arbitration agreement relating to the constitution of the Arbitral Tribunal, or to the
conduct of the proceedings, shall be deemed to have waived its right to object.
Neither the arbitrators, nor the Court and its members, nor the ICC and its employees,
nor the ICC National Committees shall be liable to any person for any act or omission
in connection with the arbitration.
In all matters not expressly provided for in these Rules, the Court and the Arbitral
Tribunal shall act in the spirit of these Rules and shall make every effort to make sure
that the Award is enforceable at law.
Article 1 Function
The Court shall consist of a Chairman, Vice-Chairmen, and members and alternate
members (collectively designated as members). In its work it is assisted by its
Secretariat (Secretariat of the Court).
Article 3 Appointment
1 The Chairman is elected by the ICC World Council upon the recommendation of the
Executive Board of the ICC.
2 The ICC World Council appoints the Vice-Chairmen of the Court from among the
members of the Court or otherwise.
3 Its members are appointed by the ICC World Council on the proposal of National
Committees, one member for each Committee.
4 On the proposal of the Chairman of the Court, the World Council may appoint alter-
nate members.
5 The term of office of all members, including, for the purposes of this paragraph, the
Chairman, Vice-Chairmen and alternate members, is three years. If a member is no
longer in a position to exercise his functions, his successor is appointed by the World
Council for the remainder of the term. Upon the recommendation of the Executive
Board, the duration of the term of office of any member may be extended beyond three
years if the World Council so decides.
The Plenary Sessions of the Court are presided over by the Chairman or, in his absence,
by one of the Vice-Chairmen designated by him. The deliberations shall be valid when
Article 5 Committees
The Court may set up one or more Committees and establish the functions and organi-
zation of such Committees.
Article 6 Confidentiality
The work of the Court is of a confidential nature which must be respected by everyone
who participates in that work in whatever capacity. The Court lays down the rules
regarding the persons who can attend the meetings of the Court and its Committees
and who are entitled to have access to the materials submitted to the Court and its
Secretariat.
Any proposal of the Court for a modification of the Rules is laid before the Commission
on Arbitration before submission to the Executive Board and the World Council of the
ICC for approval.
APPENDIX II
Internal Rules of the International
Court of Arbitration
1 The sessions of the Court, whether plenary or those of a Committee of the Court, are
open only to its members and to the Secretariat.
2 However, in exceptional circumstances, the Chairman of the Court may invite other
persons to attend. Such persons must respect the confidential nature of the work of
the Court.
3 The documents submitted to the Court, or drawn up by it in the course of its proceed-
ings, are communicated only to the members of the Court and to the Secretariat and to
persons authorized by the Chairman to attend Court sessions.
4 The Chairman or the Secretary General of the Court may authorize researchers
undertaking work of a scientific nature on international trade law to acquaint them-
selves with Awards and other documents of general interest, with the exception of
1 The Chairman and the members of the Secretariat of the Court may not act as arbitra-
tors or as counsel in cases submitted to ICC arbitration.
2 The Court shall not appoint Vice-Chairmen or members of the Court as arbitrators.
They may, however, be proposed for such duties by one or more of the parties, or
pursuant to any other procedure agreed upon by the parties, subject to confirmation.
3 When the Chairman, a Vice-Chairman or a member of the Court or of the Secretariat
is involved in any capacity whatsoever in proceedings pending before the Court, such
person must inform the Secretary General of the Court upon becoming aware of such
involvement.
4 Such person must refrain from participating in the discussions or in the decisions of
the Court concerning the proceedings and must be absent from the courtroom when-
ever the matter is considered.
5 Such person will not receive any material documentation or information pertaining
to such proceedings.
Article 3 Relations between the Members of the Court and the ICC
National Committees
1 By virtue of their capacity, the members of the Court are independent of the ICC
National Committees which proposed them for appointment by the ICC World Council.
2 Furthermore, they must regard as confidential, vis-à-vis the said National Committees,
any information concerning individual cases with which they have become acquainted
1 In accordance with the provisions of Article 1(4) of the Rules and Article 5 of its
Statutes (Appendix I), the Court hereby establishes a Committee of the Court.
2 The members of the Committee consist of a Chairman and at least two other mem-
bers. The Chairman of the Court acts as the Chairman of the Committee. If absent, the
Chairman may designate a Vice-Chairman of the Court or, in exceptional circum-
stances, another member of the Court as Chairman of the Committee.
3 The other two members of the Committee are appointed by the Court from among
the Vice-Chairmen or the other members of the Court. At each Plenary Session the
Court appoints the members who are to attend the meetings of the Committee to be
held before the next Plenary Session.
4 The Committee meets when convened by its Chairman. Two members constitute a
quorum.
5 (a) The Court shall determine the decisions that may be taken by the Committee.
(b) The decisions of the Committee are taken unanimously.
(c) When the Committee cannot reach a decision or deems it preferable to abstain, it
transfers the case to the next Plenary Session, making any suggestions it deems
appropriate.
(d) The Committee’s decisions are brought to the notice of the Court at its next
Plenary Session.
1 In case of absence, the Secretary General may delegate to the Deputy Secretary
General and/or the General Counsel the authority to confirm arbitrators, to certify true
copies of Awards and to request the payment of a provisional advance, respectively
provided for in Articles 9(2), 28(2) and 30(1) of the Rules.
2 The Secretariat may, with the approval of the Court, issue notes and other documents
for the information of the parties and the arbitrators, or as necessary for the proper
conduct of the arbitral proceedings.
3 Branches of the Secretariat may be established outside the headquarters of the ICC.
The Secretariat shall keep a list of offices designated as branches by the Secretary
General. Requests for Arbitration may be submitted to the Secretariat at its seat or at
any of its branches, and the Secretariat’s functions under the Rules may be carried out
When the Court scrutinizes draft Awards in accordance with Article 27 of the Rules, it
considers, to the extent practicable, the requirements of mandatory law at the place of
arbitration.
APPENDIX III
Arbitration Costs and Fees
1 Subject to Article 31(2) of the Rules, the Court shall fix the fees of the arbitrator in
accordance with the scale hereinafter set out or, where the sum in dispute is not stated,
at its discretion.
2 In setting the arbitrator’s fees, the Court shall take into consideration the diligence of
the arbitrator, the time spent, the rapidity of the proceedings, and the complexity of the
dispute, so as to arrive at a figure within the limits specified or, in exceptional circum-
stances (Article 31(2) of the Rules), at a figure higher or lower than those limits.
3 When a case is submitted to more than one arbitrator, the Court, at its discretion,
shall have the right to increase the total fees up to a maximum which shall normally
not exceed three times the fees of one arbitrator.
4 The arbitrator’s fees and expenses shall be fixed exclusively by the Court as required
by the Rules. Separate fee arrangements between the parties and the arbitrator are con-
trary to the Rules.
5 The Court shall fix the administrative expenses of each arbitration in accordance with
the scale hereinafter set out or, where the sum in dispute is not stated, at its discretion. In
exceptional circumstances, the Court may fix the administrative expenses at a lower or
higher figure than that which would result from the application of such scale, provided that
Any request received for an authority of the ICC to act as appointing authority will be
treated in accordance with the Rules of ICC as Appointing Authority in UNCITRAL or
Other Ad Hoc Arbitration Proceedings and shall be accompanied by a non-refundable
sum of US$ 2,500. No request shall be processed unless accompanied by the said sum.
For additional services, ICC may at its discretion fix administrative expenses, which
shall be commensurate with the services provided and shall not exceed the maximum
sum of US$ 10,000.
1 The Scales of Administrative Expenses and Arbitrator’s Fees set forth below shall be
effective as of 1 January 2008 in respect of all arbitrations commenced on or after such
date, irrespective of the version of the Rules applying to such arbitrations.
2 To calculate the administrative expenses and the arbitrator’s fees, the amounts calcu-
lated for each successive slice of the sum in dispute must be added together, except
that where the sum in dispute is over US$ 80 million, a flat amount of US$ 88,800 shall
constitute the entirety of the administrative expenses.
up to 50 000 $2 500
from 50 001 to 100 000 4.30%
from 100 001 to 200 000 2.30%
from 200 001 to 500 000 1.90%
from 500 001 to 1 000 000 1.37%
from 1 000 001 to 2 000 000 0.86%
from 2 000 001 to 5 000 000 0.41%
from 5 000 001 to 10 000 000 0.22%
from 10 000 001 to 30 000 000 0.09%
from 30 000 001 to 50 000 000 0.08%
from 50 000 001 to 80 000 000 0.01%
over 80 000 000 $ 88 800
(*)
For illustrative purposes only, the table on the following page indicates the resulting
administrative expenses in US$ when the proper calculations have been made.
minimum maximum
up to 50 000 $2 500 17.00%
from 50 001 to 100 000 2.50% 12.80%
from 100 001 to 200 000 1.35% 7.25%
from 200 001 to 500 000 1.29% 6.45%
from 500 001 to 1 000 000 0.90% 3.80%
from 1 000 001 to 2 000 000 0.65% 3.40%
from 2 000 001 to 5 000 000 0.35% 1.30%
from 5 000 001 to 10 000 000 0.12% 0.85%
from 10 000 001 to 30 000 000 0.06% 0.225%
from 30 000 001 to 50 000 000 0.056% 0.215%
from 50 000 001 to 80 000 000 0.031% 0.152%
from 80 000 001 to 100 000 000 0.02% 0.112%
over 100 000 000 0.01% 0.056%
(**)
For illustrative purposes only, the table on the following page indicates the resulting
administrative expenses in US$ when the proper calculations have been made.
up to 50 000 2 500
1.1 Any party wishing to commence an arbitration under these Rules (“the Claimant”)
shall send to the Registrar of the LCIA Court (“the Registrar”) a written request for
arbitration (“the Request”), containing or accompanied by:
(a) the names, addresses, telephone, facsimile, telex and e-mail numbers (if known)
of the parties to the arbitration and of their legal representatives;
(b) a copy of the written arbitration clause or separate written arbitration agree-
ment invoked by the Claimant (“the Arbitration Agreement”), together with a copy
of the contractual documentation in which the arbitration clause is contained or in
respect of which the arbitration arises;
(c) a brief statement describing the nature and circumstances of the dispute,
and specifying the claims advanced by the Claimant against another party to the
arbitration (“the Respondent”);
429
(d) a statement of any matters (such as the seat or language(s) of the arbitration, or
the number of arbitrators, or their qualifications or identities) on which the parties
have already agreed in writing for the arbitration or in respect of which the Claimant
wishes to make a proposal;
(e) if the Arbitration Agreement calls for party nomination of arbitrators, the name,
address, telephone, facsimile, telex and e-mail numbers (if known) of the Claimant’s
nominee;
(f) the fee prescribed in the Schedule of Costs (without which the Request shall be
treated as not having been received by the Registrar and the arbitration as not
having been commenced);
(g) confirmation to the Registrar that copies of the Request (including all accom-
panying documents) have been or are being served simultaneously on all other
parties to the arbitration by one or more means of service to be identified in such
confirmation.
1.2 The date of receipt by the Registrar of the Request shall be treated as the date on
which the arbitration has commenced for all purposes. The Request (including all
accompanying documents) should be submitted to the Registrar in two copies where a
sole arbitrator should be appointed, or, if the parties have agreed or the Claimant con-
siders that three arbitrators should be appointed, in four copies.
2.1 Within 30 days of service of the Request on the Respondent, (or such lesser period
fixed by the LCIA Court), the Respondent shall send to the Registrar a written response
to the Request (“the Response”), containing or accompanied by:
(a) confirmation or denial of all or part of the claims advanced by the Claimant in
the Request;
(b) a brief statement describing the nature and circumstances of any counterclaims
advanced by the Respondent against the Claimant;
(c) comment in response to any statements contained in the Request, as called for
under Article 1.1(d), on matters relating to the conduct of the arbitration;
(d) if the Arbitration Agreement calls for party nomination of arbitrators, the name,
address, telephone, facsimile, telex and e-mail numbers (if known) of the
Respondent’s nominee; and
(e) confirmation to the Registrar that copies of the Response (including all accom-
panying documents) have been or are being served simultaneously on all other
parties to the arbitration by one or more means of service to be identified in such
confirmation.
2.2 The Response (including all accompanying documents) should be submitted to the
Registrar in two copies, or if the parties have agreed or the Respondent considers that
three arbitrators should be appointed, in four copies.
3.1 The functions of the LCIA Court under these Rules shall be performed in its name
by the President or a Vice President of the LCIA Court or by a division of three or five
members of the LCIA Court appointed by the President or a Vice President of the
LCIA Court, as determined by the President.
3.2 The functions of the Registrar under these Rules shall be performed by the Registrar
or any deputy Registrar of the LCIA Court under the supervision of the LCIA Court.
3.3 All communications from any party or arbitrator to the LCIA Court shall be
addressed to the Registrar.
5.1 The expression “the Arbitral Tribunal” in these Rules includes a sole arbitrator or
all the arbitrators where more than one. All references to an arbitrator shall include the
masculine and feminine. (References to the President, Vice President and members of
the LCIA Court, the Registrar or deputy Registrar, expert, witness, party and legal
representative shall be similarly understood).
5.2 All arbitrators conducting an arbitration under these Rules shall be and remain at
all times impartial and independent of the parties; and none shall act in the arbitration
as advocates for any party. No arbitrator, whether before or after appointment, shall
advise any party on the merits or outcome of the dispute.
5.3 Before appointment by the LCIA Court, each arbitrator shall furnish to the Registrar
a written sum of his past and present professional positions; he shall agree in writing
upon fee rates conforming to the Schedule of Costs; and he shall sign a declaration to
the effect that there are no circumstances known to him likely to give rise to any justi-
fied doubts as to his impartiality or independence, other than any circumstances dis-
closed by him in the declaration. Each arbitrator shall thereby also assume a continuing
duty forthwith to disclose any such circumstances to the LCIA Court, to any other
members of the Arbitral Tribunal and to all the parties if such circumstances should
arise after the date of such declaration and before the arbitration is concluded.
5.4 The LCIA Court shall appoint the Arbitral Tribunal as soon as practicable after
receipt by the Registrar of the Response or after the expiry of 30 days following ser-
vice of the Request upon the Respondent if no Response is received by the Registrar
(or such lesser period fixed by the LCIA Court). The LCIA Court may proceed with
the formation of the Arbitral Tribunal notwithstanding that the Request is incomplete
or the Response is missing, late or incomplete. A sole arbitrator shall be appointed
unless the parties have agreed in writing otherwise, or unless the LCIA Court deter-
mines that in view of all the circumstances of the case a three-member tribunal is
appropriate.
5.5 The LCIA Court alone is empowered to appoint arbitrators. The LCIA Court will
appoint arbitrators with due regard for any particular method or criteria of selection
agreed in writing by the parties. In selecting arbitrators consideration will be given to
the nature of the transaction, the nature and circumstances of the dispute, the national-
ity, location and languages of the parties and (if more than two) the number of parties.
6.1 Where the parties are of different nationalities, a sole arbitrator or chairman of the
Arbitral Tribunal shall not have the same nationality as any party unless the parties who
are not of the same nationality as the proposed appointee all agree in writing otherwise.
6.2 The nationality of parties shall be understood to include that of controlling share-
holders or interests.
6.3 For the purpose of this Article, a person who is a citizen of two or more states shall
be treated as a national of each state; and citizens of the European Union shall be
treated as nationals of its different Member States and shall not be treated as having the
same nationality.
7.1 If the parties have agreed that any arbitrator is to be appointed by one or more of
them or by any third person, that agreement shall be treated as an agreement to nomi-
nate an arbitrator for all purposes. Such nominee may only be appointed by the LCIA
Court as arbitrator subject to his prior compliance with Article 5.3. The LCIA Court
may refuse to appoint any such nominee if it determines that he is not suitable or inde-
pendent or impartial.
7.2 Where the parties have howsoever agreed that the Respondent or any third person
is to nominate an arbitrator and such nomination is not made within time or at all, the
LCIA Court may appoint an arbitrator notwithstanding the absence of the nomination
and without regard to any late nomination. Likewise, if the Request for Arbitration
does not contain a nomination by the Claimant where the parties have howsoever
agreed that the Claimant or a third person is to nominate an arbitrator, the LCIA Court
may appoint an arbitrator notwithstanding the absence of the nomination and without
regard to any late nomination.
8.1 Where the Arbitration Agreement entitles each party howsoever to nominate an
arbitrator, the parties to the dispute number more than two and such parties have not
all agreed in writing that the disputant parties represent two separate sides for the for-
mation of the Arbitral Tribunal as Claimant and Respondent respectively, the LCIA
Court shall appoint the Arbitral Tribunal without regard to any party’s nomination.
8.2 In such circumstances, the Arbitration Agreement shall be treated for all purposes
as a written agreement by the parties for the appointment of the Arbitral Tribunal by
the LCIA Court.
9.1 In exceptional urgency, on or after the commencement of the arbitration, any party
may apply to the LCIA Court for the expedited formation of the Arbitral Tribunal,
including the appointment of any replacement arbitrator under Articles 10 and 11 of
these Rules.
9.2 Such an application shall be made in writing to the LCIA Court, copied to all other
parties to the arbitration; and it shall set out the specific grounds for exceptional
urgency in the formation of the Arbitral Tribunal.
9.3 The LCIA Court may, in its complete discretion, abridge or curtail any time-limit
under these Rules for the formation of the Arbitral Tribunal, including service of the
Response and of any matters or documents adjudged to be missing from the Request.
The LCIA Court shall not be entitled to abridge or curtail any other time-limit.
10.1 If either (a) any arbitrator gives written notice of his desire to resign as arbitrator
to the LCIA Court, to be copied to the parties and the other arbitrators (if any) or (b)
any arbitrator dies, falls seriously ill, refuses, or becomes unable or unfit to act, either
upon challenge by a party or at the request of the remaining arbitrators, the LCIA
Court may revoke that arbitrator’s appointment and appoint another arbitrator. The
LCIA Court shall decide upon the amount of fees and expenses to be paid for the
former arbitrator’s services (if any) as it may consider appropriate in all the circum-
stances.
10.2 If any arbitrator acts in deliberate violation of the Arbitration Agreement (includ-
ing these Rules) or does not act fairly and impartially as between the parties or does
not conduct or participate in the arbitration proceedings with reasonable diligence,
avoiding unnecessary delay or expense, that arbitrator may be considered unfit in the
opinion of the LCIA Court.
10.3 An arbitrator may also be challenged by any party if circumstances exist that give
rise to justifiable doubts as to his impartiality or independence. A party may challenge
an arbitrator it has nominated, or in whose appointment it has participated, only for
reasons of which it becomes aware after the appointment has been made.
10.4 A party who intends to challenge an arbitrator shall, within 15 days of the forma-
tion of the Arbitral Tribunal or (if later) after becoming aware of any circumstances
referred to in Article 10.1, 10.2 or 10.3, send a written statement of the reasons for its
challenge to the LCIA Court, the Arbitral Tribunal and all other parties. Unless
the challenged arbitrator withdraws or all other parties agree to the challenge within
15 days of receipt of the written statement, the LCIA Court shall decide on the
challenge.
11.1 In the event that the LCIA Court determines that any nominee is not suitable or
independent or impartial or if an appointed arbitrator is to be replaced for any reason,
the LCIA Court shall have a complete discretion to decide whether or not to follow the
original nominating process.
11.2 If the LCIA Court should so decide, any opportunity given to a party to make a
re-nomination shall be waived if not exercised within 15 days (or such lesser time as
the LCIA Court may fix), after which the LCIA Court shall appoint the replacement
arbitrator.
13.1 Until the Arbitral Tribunal is formed, all communications between parties and
arbitrators shall be made through the Registrar.
13.2 Thereafter, unless and until the Arbitral Tribunal directs that communications
shall take place directly between the Arbitral Tribunal and the parties (with simultane-
ous copies to the Registrar), all written communications between the parties and the
Arbitral Tribunal shall continue to be made through the Registrar.
13.3 Where the Registrar sends any written communication to one party on behalf of
the Arbitral Tribunal, he shall send a copy to each of the other parties. Where any party
14.1 The parties may agree on the conduct of their arbitral proceedings and they are
encouraged to do so, consistent with the Arbitral Tribunal’s general duties at all
times:
(i) to act fairly and impartially as between all parties, giving each a reasonable
opportunity of putting its case and dealing with that of its opponent; and
(ii) to adopt procedures suitable to the circumstances of the arbitration, avoiding
unnecessary delay or expense, so as to provide a fair and efficient means for the
final resolution of the parties’ dispute. Such agreements shall be made by the par-
ties in writing or recorded in writing by the Arbitral Tribunal at the request of and
with the authority of the parties.
14.2 Unless otherwise agreed by the parties under Article 14.1, the Arbitral Tribunal
shall have the widest discretion to discharge its duties allowed under such law(s) or
rules of law as the Arbitral Tribunal may determine to be applicable; and at all times
the parties shall do everything necessary for the fair, efficient and expeditious conduct
of the arbitration.
14.3 In the case of a three-member Arbitral Tribunal the chairman may, with the prior
consent of the other two arbitrators, make procedural rulings alone.
15.1 Unless the parties have agreed otherwise under Article 14.1 or the Arbitral
Tribunal should determine differently, the written stage of the proceedings shall be as
set out below.
15.2 Within 30 days of receipt of written notification from the Registrar of the forma-
tion of the Arbitral Tribunal, the Claimant shall send to the Registrar a Statement of
Case setting out in sufficient detail the facts and any contentions of law on which it
relies, together with the relief claimed against all other parties, save and insofar as such
matters have not been set out in its Request.
15.3 Within 30 days of receipt of the Statement of Case or written notice from the
Claimant that it elects to treat the Request as its Statement of Case, the Respondent
shall send to the Registrar a Statement of Defence setting out in sufficient detail which
of the facts and contentions of law in the Statement of Case or Request (as the case
may be) it admits or denies, on what grounds and on what other facts and contentions
of law it relies. Any counterclaims shall be submitted with the Statement of Defence
in the same manner as claims are to be set out in the Statement of Case.
16.1 The parties may agree in writing the seat (or legal place) of their arbitration.
Failing such a choice, the seat of arbitration shall be London, unless and until the LCIA
Court determines in view of all the circumstances, and after having given the parties
an opportunity to make written comment, that another seat is more appropriate.
16.2 The Arbitral Tribunal may hold hearings, meetings and deliberations at any con-
venient geographical place in its discretion; and if elsewhere than the seat of the arbi-
tration, the arbitration shall be treated as an arbitration conducted at the seat of the
arbitration and any award as an award made at the seat of the arbitration for all pur-
poses.
16.3 The law applicable to the arbitration (if any) shall be the arbitration law of the seat
of arbitration, unless and to the extent that the parties have expressly agreed in writing
on the application of another arbitration law and such agreement is not prohibited by
the law of the arbitral seat.
17.1 The initial language of the arbitration shall be the language of the Arbitration
Agreement, unless the parties have agreed in writing otherwise and providing always
that a non-participating or defaulting party shall have no cause for complaint if
18.1 Any party may be represented by legal practitioners or any other representatives.
18.2 At any time the Arbitral Tribunal may require from any party proof of authority
granted to its representative(s) in such form as the Arbitral Tribunal may determine.
Article 19 Hearings
19.1 Any party which expresses a desire to that effect has the right to be heard orally
before the Arbitral Tribunal on the merits of the dispute, unless the parties have agreed
in writing on documents-only arbitration.
19.2 The Arbitral Tribunal shall fix the date, time and physical place of any meetings
and hearings in the arbitration, and shall give the parties reasonable notice thereof.
19.3 The Arbitral Tribunal may in advance of any hearing submit to the parties a list
of questions which it wishes them to answer with special attention.
19.4 All meetings and hearings shall be in private unless the parties agree otherwise in
writing or the Arbitral Tribunal directs otherwise.
19.5 The Arbitral Tribunal shall have the fullest authority to establish timelimits for
meetings and hearings, or for any parts thereof.
Article 20 Witnesses
20.1 Before any hearing, the Arbitral Tribunal may require any party to give notice of
the identity of each witness that party wishes to call (including rebuttal witnesses), as
21.1 Unless otherwise agreed by the parties in writing, the Arbitral Tribunal:
(a) may appoint one or more experts to report to the Arbitral Tribunal on specific
issues, who shall be and remain impartial and independent of the parties through-
out the arbitration proceedings; and
(b) may require a party to give any such expert any relevant information or to
provide access to any relevant documents, goods, samples, property or site for
inspection by the expert.
21.2 Unless otherwise agreed by the parties in writing, if a party so requests or if the
Arbitral Tribunal considers it necessary, the expert shall, after delivery of his written
or oral report to the Arbitral Tribunal and the parties, participate in one or more hear-
ings at which the parties shall have the opportunity to question the expert on his report
and to present expert witnesses in order to testify on the points at issue.
22.1 Unless the parties at any time agree otherwise in writing, the Arbitral Tribunal
shall have the power, on the application of any party or of its own motion, but in either
case only after giving the parties a reasonable opportunity to state their views:
(a) to allow any party, upon such terms (as to costs and otherwise) as it shall
determine, to amend any claim, counterclaim, defence and reply;
(b) to extend or abbreviate any time-limit provided by the Arbitration Agreement
or these Rules for the conduct of the arbitration or by the Arbitral Tribunal’s own
orders;
(c) to conduct such enquiries as may appear to the Arbitral Tribunal to be neces-
sary or expedient, including whether and to what extent the Arbitral Tribunal
should itself take the initiative in identifying the issues and ascertaining the rele-
vant facts and the law(s) or rules of law applicable to the arbitration, the merits of
the parties’ dispute and the Arbitration Agreement;
(d) to order any party to make any property, site or thing under its control and
relating to the subject matter of the arbitration available for inspection by the
Arbitral Tribunal, any other party, its expert or any expert to the Arbitral
Tribunal;
(e) to order any party to produce to the Arbitral Tribunal, and to the other parties
for inspection, and to supply copies of, any documents or classes of documents in
their possession, custody or power which the Arbitral Tribunal determines to be
relevant;
(f) to decide whether or not to apply any strict rules of evidence (or any other
rules) as to the admissibility, relevance or weight of any material tendered by a
party on any matter of fact or expert opinion; and to determine the time, manner
and form in which such material should be exchanged between the parties and
presented to the Arbitral Tribunal;
(g) to order the correction of any contract between the parties or the Arbitration
Agreement, but only to the extent required to rectify any mistake which the
Arbitral Tribunal determines to be common to the parties and then only if and to
the extent to which the law(s) or rules of law applicable to the contract or
Arbitration Agreement permit such correction; and
(h) to allow, only upon the application of a party, one or more third persons to be
joined in the arbitration as a party provided any such third person and the applicant
party have consented thereto in writing, and thereafter to make a single final award,
or separate awards, in respect of all parties so implicated in the arbitration;
23.1 The Arbitral Tribunal shall have the power to rule on its own jurisdiction, includ-
ing any objection to the initial or continuing existence, validity or effectiveness of the
Arbitration Agreement. For that purpose, an arbitration clause which forms or was
intended to form part of another agreement shall be treated as an arbitration agreement
independent of that other agreement. A decision by the Arbitral Tribunal that such
other agreement is non-existent, invalid or ineffective shall not entail ipso jure the non-
existence, invalidity or ineffectiveness of the arbitration clause.
23.2 A plea by a Respondent that the Arbitral Tribunal does not have jurisdiction shall
be treated as having been irrevocably waived unless it is raised not later than the
Statement of Defence; and a like plea by a Respondent to Counterclaim shall be simi-
larly treated unless it is raised no later than the Statement of Defence to Counterclaim.
A plea that the Arbitral Tribunal is exceeding the scope of its authority shall be raised
promptly after the Arbitral Tribunal has indicated its intention to decide on the matter
alleged by any party to be beyond the scope of its authority, failing which such plea
shall also be treated as having been waived irrevocably. In any case, the Arbitral
Tribunal may nevertheless admit an untimely plea if it considers the delay justified in
the particular circumstances.
23.3 The Arbitral Tribunal may determine the plea to its jurisdiction or authority in an
award as to jurisdiction or later in an award on the merits, as it considers appropriate
in the circumstances.
23.4 By agreeing to arbitration under these Rules, the parties shall be treated as having
agreed not to apply to any state court or other judicial authority for any relief regarding
the Arbitral Tribunal’s jurisdiction or authority, except with the agreement in writing
of all parties to the arbitration or the prior authorisation of the Arbitral Tribunal or
following the latter’s award ruling on the objection to its jurisdiction or authority.
24.1 The LCIA Court may direct the parties, in such proportions as it thinks appropri-
ate, to make one or several interim or final payments on account of the costs of the
arbitration. Such deposits shall be made to and held by the LCIA and from time to time
may be released by the LCIA Court to the arbitrator(s), any expert appointed by the
Arbitral Tribunal and the LCIA itself as the arbitration progresses.
24.2 The Arbitral Tribunal shall not proceed with the arbitration without ascertaining
at all times from the Registrar or any deputy Registrar that the LCIA is in requisite
funds.
24.3 In the event that a party fails or refuses to provide any deposit as directed by the
LCIA Court, the LCIA Court may direct the other party or parties to effect a substitute
payment to allow the arbitration to proceed (subject to any award on costs). In such
circumstances, the party paying the substitute payment shall be entitled to recover that
amount as a debt immediately due from the defaulting party.
24.4 Failure by a claimant or counterclaiming party to provide promptly and in full the
required deposit may be treated by the LCIA Court and the Arbitral Tribunal as a with-
drawal of the claim or counterclaim respectively.
25.1 The Arbitral Tribunal shall have the power, unless otherwise agreed by the parties
in writing, on the application of any party:
(a) to order any respondent party to a claim or counterclaim to provide security
for all or part of the amount in dispute, by way of deposit or bank guarantee or in
any other manner and upon such terms as the Arbitral Tribunal considers appro-
priate. Such terms may include the provision by the claiming or counterclaiming
party of a cross-indemnity, itself secured in such manner as the Arbitral Tribunal
considers appropriate, for any costs or losses incurred by such respondent in pro-
viding security. The amount of any costs and losses payable under such cross-
indemnity may be determined by the Arbitral Tribunal in one or more awards;
(b) to order the preservation, storage, sale or other disposal of any property or
thing under the control of any party and relating to the subject matter of the arbi-
tration; and
(c) to order on a provisional basis, subject to final determination in an award, any
relief which the Arbitral Tribunal would have power to grant in an award, includ-
ing a provisional order for the payment of money or the disposition of property as
between any parties.
25.2 The Arbitral Tribunal shall have the power, upon the application of a party, to
order any claiming or counterclaiming party to provide security for the legal or other
costs of any other party by way of deposit or bank guarantee or in any other manner
and upon such terms as the Arbitral Tribunal considers appropriate. Such terms may
26.1 The Arbitral Tribunal shall make its award in writing and, unless all parties agree
in writing otherwise, shall state the reasons upon which its award is based. The award
shall also state the date when the award is made and the seat of the arbitration; and it
shall be signed by the Arbitral Tribunal or those of its members assenting to it.
26.2 If any arbitrator fails to comply with the mandatory provisions of any applicable
law relating to the making of the award, having been given a reasonable opportunity to
do so, the remaining arbitrators may proceed in his absence and state in their award the
circumstances of the other arbitrator’s failure to participate in the making of the award.
26.3 Where there are three arbitrators and the Arbitral Tribunal fails to agree on any
issue, the arbitrators shall decide that issue by a majority. Failing a majority decision
on any issue, the chairman of the Arbitral Tribunal shall decide that issue.
26.4 If any arbitrator refuses or fails to sign the award, the signatures of the majority
or (failing a majority) of the chairman shall be sufficient, provided that the reason for
the omitted signature is stated in the award by the majority or chairman.
26.5 The sole arbitrator or chairman shall be responsible for delivering the award to the
LCIA Court, which shall transmit certified copies to the parties provided that the costs
of arbitration have been paid to the LCIA in accordance with Article 28.
26.6 An award may be expressed in any currency. The Arbitral Tribunal may order
that simple or compound interest shall be paid by any party on any sum awarded at
such rates as the Arbitral Tribunal determines to be appropriate, without being bound
by legal rates of interest imposed by any state court, in respect of any period which the
Arbitral Tribunal determines to be appropriate ending not later than the date upon
which the award is complied with.
27.1 Within 30 days of receipt of any award, or such lesser period as may be agreed in
writing by the parties, a party may by written notice to the Registrar (copied to all other
parties) request the Arbitral Tribunal to correct in the award any errors in computation,
clerical or typographical errors or any errors of a similar nature. If the Arbitral Tribunal
considers the request to be justified, it shall make the corrections within 30 days of
receipt of the request. Any correction shall take the form of separate memorandum
dated and signed by the Arbitral Tribunal or (if three arbitrators) those of its members
assenting to it; and such memorandum shall become part of the award for all pur-
poses.
27.2 The Arbitral Tribunal may likewise correct any error of the nature described in
Article 27.1 on its own initiative within 30 days of the date of the award, to the same
effect.
27.3 Within 30 days of receipt of the final award, a party may by written notice to the
Registrar (copied to all other parties), request the Arbitral Tribunal to make an addi-
tional award as to claims or counterclaims presented in the arbitration but not deter-
mined in any award. If the Arbitral Tribunal considers the request to be justified, it
shall make the additional award within 60 days of receipt of the request. The provi-
sions of Article 26 shall apply to any additional award.
28.1 The costs of the arbitration (other than the legal or other costs incurred by the
parties themselves) shall be determined by the LCIA Court in accordance with the
29.1 The decisions of the LCIA Court with respect to all matters relating to the arbitra-
tion shall be conclusive and binding upon the parties and the Arbitral Tribunal. Such
decisions are to be treated as administrative in nature and the LCIA Court shall not be
required to give any reasons.
29.2 To the extent permitted by the law of the seat of the arbitration, the parties shall
be taken to have waived any right of appeal or review in respect of any such decisions
of the LCIA Court to any state court or other judicial authority. If such appeals or
review remain possible due to mandatory provisions of any applicable law, the LCIA
Court shall, subject to the provisions of that applicable law, decide whether the arbitral
proceedings are to continue, notwithstanding an appeal or review.
30.1 Unless the parties expressly agree in writing to the contrary, the parties undertake
as a general principle to keep confidential all awards in their arbitration, together with
all materials in the proceedings created for the purpose of the arbitration and all other
documents produced by another party in the proceedings not otherwise in the public
domain—save and to the extent that disclosure may be required of a party by legal
duty, to protect or pursue a legal right or to enforce or challenge an award in bona fide
legal proceedings before a state court or other judicial authority.
30.2 The deliberations of the Arbitral Tribunal are likewise confidential to its mem-
bers, save and to the extent that disclosure of an arbitrator’s refusal to participate in the
arbitration is required of the other members of the Arbitral Tribunal under Articles 10,
12 and 26.
30.3 The LCIA Court does not publish any award or any part of an award without the
prior written consent of all parties and the Arbitral Tribunal.
31.1 None of the LCIA, the LCIA Court (including its President, Vice Presidents and
individual members), the Registrar, any deputy Registrar, any arbitrator and any expert
to the Arbitral Tribunal shall be liable to any party howsoever for any act or omission
in connection with any arbitration conducted by reference to these Rules, save where
the act or omission is shown by that party to constitute conscious and deliberate wrong-
doing committed by the body or person alleged to be liable to that party.
31.2 After the award has been made and the possibilities of correction and additional
awards referred to in Article 27 have lapsed or been exhausted, neither the LCIA, the
LCIA Court (including its President, Vice Presidents and individual members), the
Registrar, any deputy Registrar, any arbitrator or expert to the Arbitral Tribunal shall
be under any legal obligation to make any statement to any person about any matter
concerning the arbitration, nor shall any party seek to make any of these persons a wit-
ness in any legal or other proceedings arising out of the arbitration.
32.1 A party who knows that any provision of the Arbitration Agreement (including
these Rules) has not been complied with and yet proceeds with the arbitration without
promptly stating its objection to such noncompliance, shall be treated as having irre-
vocably waived its right to object.
32.2 In all matters not expressly provided for in these Rules, the LCIA Court, the
Arbitral Tribunal and the parties shall act in the spirit of these Rules and shall make
every reasonable effort to ensure that an award is legally enforceable.
for arbitrations under the LCIA Rules; under UNCITRAL Rules when administered by
the LCIA; when the LCIA acts as Appointing Authority only; and when the LCIA is
appointed to decide challenges.
1(a) Registration Fee (payable in advance with Request for Arbitration non-refundable).
£1,500
1(b) Time spent**3 by the Registrar and his/her deputy, and by the Secretariat of the
LCIA in the administration of the arbitration.***4
Registrar and his/her deputy £200 per hour
Secretariat £100 per hour
1(c) A sum equivalent to 5% of the fees of the Tribunal (excluding expenses) in respect
of the LCIA’s general overhead.***
1(d) Expenses incurred by the Secretariat in connection with the arbitration (such
as postage, telephone, facsimile, travel etc.), and additional arbitration support ser-
vices, whether provided by the Secretariat from its own resources or otherwise.***
at applicable hourly rates or at cost
1(e) The LCIA’s fees and expenses will be invoiced in sterling, but may be paid in
other convertible currencies, at rates prevailing at the time of payment, provided that
any transfer and/or currency exchange charges shall be borne by the payer.
4(a) The Tribunal’s fees will be calculated by reference to work done by its members
in connection with the arbitration and will be charged at rates appropriate to the par-
ticular circumstances of the case, including its complexity and the special qualifica-
tions of the arbitrators. The Tribunal shall agree in writing upon fee rates conforming
to this Schedule of Fees and Costs prior to its appointment by the LCIA Court. The
rates will be advised by the Registrar to the parties at the time of the appointment of
the Tribunal, but may be reviewed annually if the duration of the arbitration requires.
The fee rates shall be within the following range: £150 to £350 per hour
However, in exceptional cases, the rate may be higher or lower, provided that, in such
cases, (a) the fees of the Tribunal shall be fixed by the LCIA Court on the recommen-
dation of the Registrar, following consultations with the arbitrator(s), and (b) the fees
shall be agreed expressly by all parties.
4(b) The Tribunal’s fees may include a charge for time spent travelling.
4(c) The Tribunal’s fees may also include a charge for time reserved but not used as a
result of late postponement or cancellation, provided that the basis for such charge
shall be advised in writing to, and approved by, the LCIA Court.
4(d) The Tribunal may also recover such expenses as are reasonably incurred in con-
nection with the arbitration, and as are in a reasonable amount, provided that claims for
expenses should be supported by invoices or receipts.
4(e) The Tribunal’s fees may be invoiced either in the currency of account between the
Tribunal and the parties, or in sterling. The Tribunal’s expenses may be invoiced in the
currency in which they were incurred, or in sterling.
4(f) In the event of the revocation of the appointment of any arbitrator, pursuant to the
provisions of Article 10 of the LCIA Rules, the LCIA Court shall decide upon the
amount of fees and expenses to be paid for the former arbitrator’s services (if any) as
it may consider appropriate in all the circumstances.
5. Deposits
5(a) The LCIA Court may direct the parties, in such proportions as it thinks appropri-
ate, to make one or several interim or final payments on account of the costs of the
arbitration. The LCIA Court may limit such payments to a sum sufficient to cover fees,
expenses and costs for the next stage of the arbitration.
5(b) The Tribunal shall not proceed with the arbitration without ascertaining at all
times from the Registrar or any deputy Registrar that the LCIA is in requisite funds.
5(c) In the event that a party fails or refuses to provide any deposit as directed by the
LCIA Court, the LCIA Court may direct the other party or parties to effect a substitute
payment to allow the arbitration to proceed (subject to any award on costs). In such
6. Interest on deposits
Interest on sums deposited shall be credited to the account of each party depositing
them, at the rate applicable to an amount equal to the amount so credited.
7. Interim payments
7(a) When interim payments are required to cover the LCIA’s administrative costs or
the Tribunal’s fees or expenses, including the fees or expenses of any expert appointed
by the Tribunal, such payments may be made out of deposits held, upon the approval
of the LCIA Court.
7(b) The LCIA may, in any event, submit interim invoices in respect of all current
arbitrations, in March, June, September and December of each year, for payment direct
by the parties or from funds held on deposit.
8. Registrar’s authority
8(a) For the purposes of sections 5(a) and 5(c) above, and of Articles 24.1 and 24.3 of
the LCIA Rules, the Registrar has the authority of the LCIA Court to make the direc-
tions referred to, under the supervision of the Court.
8(b) For the purposes of section 7(a) above, and of Article 24.1 of the LCIA Rules, the
Registrar has the authority of the LCIA Court to approve the payments referred to.
8(c) Any request by an arbitrator for payment on account of his fees shall be supported
by a fee note, which shall include, or be accompanied by, details of the time spent at
the rates that have been advised to the parties by the LCIA.
8(d) Any dispute regarding administration costs or the fees and expenses of the Tribunal
shall be determined by the LCIA Court.
9(a) The parties shall be jointly and severally liable to the Arbitral Tribunal and the
LCIA for the arbitration costs (other than the legal or other costs incurred by the parties
themselves).
9(b) The Tribunal’s Award(s) shall be transmitted to the parties by the LCIA Court
provided that the costs of the arbitration have been paid in accordance with Article 28
of the LCIA Rules.
LCIA
70 Fleet Street
London, EC4Y 1EU
England
Tel:+ 44 (0) 20 7936 7007
Fax:+ 44 (0) 20 7936 7008
www.lcia-arbitration.com
1. General
1(a) The finality of awards rendered in the context of international commercial arbitra-
tion should be respected save in exceptional circumstances.
1(b) Such exceptional circumstances may in particular be found to exist if recognition
or enforcement of the international arbitral award would be against international public
policy.
1(c) The expression “international public policy” is used in these Recommendations to
designate the body of principles and rules recognised by a State, which, by their nature,
may bar the recognition or enforcement of an arbitral award rendered in the context of
international commercial arbitration when recognition or enforcement of said award
would entail their violation on account either of the procedure pursuant to which it
was rendered (procedural international public policy) or of its contents (substantive
international public policy).
1(d) The international public policy of any State includes:
(i) fundamental principles, pertaining to justice or morality, that the State wishes to
protect even when it is not directly concerned
(ii) rules designed to serve the essential political, social or economic interests of the
State, these being known as “lois de police” or “public policy rules” and
451
(iii) the duty of the State to respect its obligations towards other States or interna-
tional organisations.
1(e) An example of a substantive fundamental principle is prohibition of abuse of
rights. An example of a procedural fundamental principle is the requirement that tribu-
nals be impartial. An example of a public policy rule is anti-trust law. An example of
an international obligation is a United Nations resolution imposing sanctions. Some
rules, such as those prohibiting corruption, may fall into more than one category.
1(f) Whether the seat of the arbitration was located within the territory of the forum or
abroad is not a consideration which should be taken into account by a court when
assessing an award’s conformity with international public policy.
1(g) If the court refuses recognition or enforcement of the arbitral award, it should not
limit itself to a mere reference to Article V.2 (b) of the New York Convention 1958 or
to its own statute or case law. Setting out in detail the method of its reasoning and the
grounds for refusing recognition or enforcement will help to promote a more coherent
practice and the development of a consensus on principles and rules which may be
deemed to belong to international public policy.
1(h) If any part of the award which violates international public policy can be sepa-
rated from any part which does not, that part which does not violate international
public policy may be recognised or enforced.
2. Fundamental Principles
3(a) An award’s violation of a mere “mandatory rule” (i.e. a rule that is mandatory but
does not form part of the State’s international public policy so as to compel its applica-
tion in the case under consideration) should not bar its recognition or enforcement,
even when said rule forms part of the law of the forum, the law governing the contract,
the law of the place of performance of the contract or the law of the seat of the arbitra-
tion.
3(b) A court should only refuse recognition or enforcement of an award giving effect
to a solution prohibited by a rule of public policy forming part of its own legal system
when:
(i) the scope of the said rule is intended to encompass the situation under consider-
ation; and
(ii) recognition or enforcement of the award would manifestly disrupt the essential
political, social or economic interests protected by the rule.
3(c) When the violation of a public policy rule of the forum alleged by a party cannot
be established from a mere review of the award and could only become apparent upon
a scrutiny of the facts of the case, the court should be allowed to undertake such reas-
sessment of the facts.
3(d) When a public policy rule of the forum enacted after the rendering of the award
prohibits the solution implemented by said award, a court should only refuse the
award’s recognition or enforcement if it is plain that the legislator intended the said
rule to have effect as regards awards rendered prior to its enactment.
4. International obligations
Any dispute, controversy or claim arising out of or in relation to this contract, including
the validity, invalidity, breach or termination thereof, shall be resolved by arbitration in
accordance with the Swiss Rules of International Arbitration of the Swiss Chambers of
Commerce in force on the date when the Notice of Arbitration is submitted in accordance
with these Rules.
The number of arbitrators1 shall be . . . (one or three);
The seat of the arbitration shall be . . . (name of city in Switzerland, unless the parties
agree on a city abroad);
The arbitral proceedings shall be conducted in . . . (insert desired language).
INTRODUCTION
(a) In the past, six Chambers of Commerce and Industry in Switzerland had their
own different rules of arbitration for the resolution of international commercial
disputes.
(b) In order to promote institutional arbitration in Switzerland and to harmonise the
existing rules of arbitration, the Chambers of Commerce and Industry of Basel,
Bern, Geneva, Ticino, Vaud and Zurich, joined by Neuchâtel in 2008, (herein-
after collectively “the Chambers”) have adopted the present uniform rules, the
Swiss Rules of International Arbitration (hereinafter the “Rules”), which replace
the Chambers’ former rules of international arbitration.
These Rules are based on the UNCITRAL Arbitration Rules, to which two types
of changes and additions have been made:
i. Changes and additions required to adapt the UNCITRAL Arbitration Rules to
institutional arbitration;
1. For the sake of convenience only the masculine form is used within these Rules.
455
ii. Changes and additions reflecting modern practice and comparative law in
the field of international arbitration.
These changes and additions have been deliberately kept to a minimum. A com-
parative version of these Rules, in which the modifications to the UNCITRAL
Arbitration Rules are italicised, is available on the website of the Chambers:
www.sccam.org.
(c) When a Notice of Arbitration is submitted to one of the Chambers listed in
Appendix A, an arbitral tribunal shall be constituted in accordance with these
Rules.
(d) In order to ensure the administration of arbitrations under these Rules, the
Chambers have appointed an Arbitration Committee (hereinafter the “Arbitration
Committee”), which shall exercise the powers vested in the Chambers under
these Rules, so that any reference to the Chambers in these Rules shall be deemed
to refer to the Arbitration Committee.
(e) The Arbitration Committee is comprised of experienced practitioners of interna-
tional arbitration. The Arbitration Committee shall designate from among its
members the person or persons who will assist the Chambers in the administra-
tion and monitoring of the arbitral proceedings. In addition, the Arbitration
Committee has designated from among its members a Special Committee (here-
inafter the “Special Committee”), which shall render decisions under Articles
11 and 12 on the challenge and revocation of arbitrators and under Article 16 on
the seat of arbitration, and advise the Chambers on other procedural matters that
may arise in relation to the application of these Rules.
SCOPE OF APPLICATION
Article 1
Article 2
1. For the purposes of these Rules, any notice, including a notification, communication
or proposal, is deemed to have been received if it is physically delivered to the addressee
or if it is delivered to its habitual residence, place of business or mailing address, or, if
none of these can be found after making reasonable inquiry, then at the addressee’s
last-known residence or place of business. Notice shall be deemed to have been
received on the day it is so delivered.
2. For the purposes of calculating a period of time under these Rules, such period shall
begin to run on the day following the day when a notice, notification, communication
or proposal is received. If the last day of such period is an official holiday or a non-
business day at the residence or place of business of the addressee, the period is
extended until the first business day which follows. Official holidays or non-business
days occurring during the running of the period of time are included in calculating the
period.
3. If the circumstances so justify, the Chambers may extend the time-limits provided
in Section I (Introductory Rules) and Section II (Composition of the arbitral tribunal),
as well as any time-limits that they have set.
Article 3
1. The party initiating recourse to arbitration (hereinafter called the “Claimant” or,
where applicable, “Claimants”) shall submit a Notice of Arbitration to the Chambers
at any of the addresses listed in Appendix A.
2. Arbitral proceedings shall be deemed to commence on the date on which the Notice
of Arbitration is received by the Chambers.
3. The Notice of Arbitration shall be submitted in as many copies as there are other
parties (hereinafter called the “Respondent” or, where applicable, “Respondents”),
together with an additional copy for each arbitrator and one copy for the Chambers,
and shall include the following:
(a) A demand that the dispute be referred to arbitration;
(b) The names, addresses, telephone and fax numbers and e-mail addresses (if any)
of the parties and of their counsel;
(c) A copy of the arbitration clause or the separate arbitration agreement that is
invoked;
Article 4
CONFIRMATION OF ARBITRATORS
Article 5
NUMBER OF ARBITRATORS
Article 6
1. If the parties have not agreed upon the number of arbitrators, the Chambers shall
decide whether the case shall be referred to a sole arbitrator or to a three-member arbi-
tral tribunal, taking into account all relevant circumstances.
2. As a rule, the Chambers shall refer the case to a sole arbitrator, unless the complex-
ity of the subject matter and/or the amount in dispute justify that the case be referred
to a three-member arbitral tribunal.
3. If the arbitration agreement provides for a three-member arbitral tribunal and if this
appears inappropriate in view of the amount in dispute or of other circumstances, the
Article 7
1. Where two or more parties have agreed that the dispute shall be referred to a sole
arbitrator, they shall jointly designate the sole arbitrator within thirty days from the
date when the Notice of Arbitration was received by the Respondent(s) unless the par-
ties’ agreement provides otherwise.
2. Where the parties have not agreed upon the number of arbitrators, they shall jointly
designate the sole arbitrator within thirty days from the date when the Chambers’ deci-
sion that the dispute shall be referred to a sole arbitrator was received by them.
3. If the parties fail to designate the sole arbitrator within the applicable time-limit, the
Chambers shall proceed with the appointment.
Article 8
Article 9
1. All arbitrators conducting an arbitration under these Rules shall be and remain at all
times impartial and independent of the parties.
2. A prospective arbitrator shall disclose to those who approach him in connection
with his possible appointment any circumstances likely to give rise to justifiable doubts
as to his impartiality or independence. An arbitrator, once appointed or chosen, shall
disclose such circumstances to the parties unless they have already been informed by
him of these circumstances.
Article 10
1. Any arbitrator may be challenged if circumstances exist that give rise to justifiable
doubts as to the arbitrator’s impartiality or independence.
2. A party may challenge the arbitrator appointed by it only for reasons of which it
becomes aware after the appointment has been made.
Article 11
1. If the arbitrator being challenged does not withdraw, the Special Committee shall
decide on the challenge.
2. The decision of the Special Committee is final. The Special Committee has no obli-
gation to give reasons.
Article 12
1. If an arbitrator fails to perform his functions despite a written warning from the
other arbitrators or from the Chambers, the Special Committee may revoke the appoint-
ment of that arbitrator.
2. The arbitrator shall have an opportunity to present his position to the Special
Committee. The decision of the Special Committee is final. The Special Committee
has no obligation to give reasons.
Article 13
Article 14
If an arbitrator is replaced, the proceedings shall as a rule resume at the stage where the
arbitrator who was replaced ceased to perform his functions, unless the arbitral tribu-
nal decides otherwise.
GENERAL PROVISIONS
Article 15
1. Subject to these Rules, the arbitral tribunal may conduct the arbitration in such
manner as it considers appropriate, provided that it ensures equal treatment of the
parties and their right to be heard.
2. At any stage of the proceedings, the arbitral tribunal may hold hearings for the pre-
sentation of evidence by witnesses, including expert witnesses, or for oral argument.
After consulting with the parties, the arbitral tribunal may also decide to conduct the
proceedings on the basis of documents and other materials.
3. At an early stage of the arbitral proceedings and in consultation with the parties, the
arbitral tribunal shall prepare a provisional time-table for the arbitral proceedings,
which shall be provided to the parties and, for information, to the Chambers.
4. All documents or information supplied to the arbitral tribunal by one party shall at
the same time be communicated by that party to the other party.
5. The arbitral tribunal may, after consulting with the parties, appoint a secretary.
Article 9 of these Rules shall apply by analogy to the secretary.
Article 16
1. If the parties have not determined the seat of the arbitration, or if such designation
is unclear or incomplete, the Special Committee shall determine the seat of the arbitra-
tion taking into account all relevant circumstances, or shall request the arbitral tribunal
to determine the seat.
2. Without prejudice to the determination of the seat of the arbitration, the arbitral
tribunal may decide where the proceedings shall be conducted. In particular, it may
hear witnesses and hold meetings for consultation among its members at any place it
deems appropriate, having regard to the circumstances of the arbitration.
3. The arbitral tribunal may meet at any place it deems appropriate for the inspection
of goods, other property or documents. The parties shall be given sufficient notice to
enable them to be present at such inspection.
4. The award shall be deemed to be made at the seat of the arbitration.
LANGUAGE
Article 17
1. Subject to an agreement by the parties, the arbitral tribunal shall, promptly after its
appointment, determine the language or languages to be used in the proceedings. This
determination shall apply to the Statement of Claim, the Statement of Defence,
and any further written statements and, if oral hearings take place, to the language or
languages to be used in such hearings.
2. The arbitral tribunal may order that any documents annexed to the Statement
of Claim or Statement of Defence, and any supplementary documents or exhibits
submitted in the course of the proceedings, delivered in their original language, shall
be accompanied by a translation into the language or languages agreed upon by the
parties or determined by the arbitral tribunal.
STATEMENT OF CLAIM
Article 18
1. Unless the Statement of Claim was contained in the Notice of Arbitration, within a
period of time to be determined by the arbitral tribunal, the Claimant shall communicate
STATEMENT OF DEFENCE
Article 19
1. Within a period of time to be determined by the arbitral tribunal and unless the
Statement of Defence was contained in the Answer to the Notice of Arbitration, the
Respondent shall communicate its Statement of Defence in writing to the Claimant and
to each of the arbitrators.
2. The Statement of Defence shall reply to the particulars (b), (c) and (d) of the
Statement of Claim (Article 18, paragraph 2). If the Respondent has raised an objec-
tion to the jurisdiction or to the proper constitution of the arbitral tribunal, the Statement
of Defence shall contain the factual and legal basis of such objection. As a rule, the
Respondent shall annex to its Statement of Defence all documents on which it relies
for its defence.
3. The provisions of Article 18, paragraphs 2 (b) - (d), shall apply to a counterclaim
and a claim relied on for the purpose of a set-off.
Article 20
1. During the course of the arbitral proceedings either party may amend or supplement
its claim or defence unless the arbitral tribunal considers it inappropriate to allow such
amendment having regard to the delay in making it or prejudice to the other party or
any other circumstances. However, a claim may not be amended in such a manner
that the amended claim falls outside the scope of the arbitration clause or separate
arbitration agreement.
Article 21
1. The arbitral tribunal shall have the power to rule on objections that it has no jurisdic-
tion, including any objections with respect to the existence or validity of the arbitration
clause or of the separate arbitration agreement.
2. The arbitral tribunal shall have the power to determine the existence or the validity
of the contract of which an arbitration clause forms a part. For the purposes of Article
21, an arbitration clause which forms part of a contract and which provides for arbitra-
tion under these Rules shall be treated as an agreement independent of the other terms
of the contract. A decision by the arbitral tribunal that the contract is null and void shall
not entail ipso jure the invalidity of the arbitration clause.
3. As a rule, a plea that the arbitral tribunal does not have jurisdiction shall be raised in the
Answer to the Notice of Arbitration, but in no event later than in the Statement of Defence
referred to in Article 19, or, with respect to a counterclaim, in the reply to the counterclaim.
4. In general, the arbitral tribunal should rule on a plea concerning its jurisdiction as a
preliminary question. However, the arbitral tribunal may proceed with the arbitration
and rule on such a plea in its final award.
5. The arbitral tribunal shall have jurisdiction to hear a set-off defence even when the
relationship out of which this defence is said to arise is not within the scope of the arbitra-
tion clause or is the object of another arbitration agreement or forum-selection clause.
Article 22
The arbitral tribunal shall decide which further written statements, in addition to the
Statement of Claim and the Statement of Defence, shall be required from the parties or may
be presented by them and shall set the periods of time for communicating such statements.
PERIODS OF TIME
Article 23
The periods of time set by the arbitral tribunal for the communication of written state-
ments (including the Statement of Claim and Statement of Defence) should not exceed
Article 24
1. Each party shall have the burden of proving the facts relied on to support its claim
or defence.
2. The arbitral tribunal may, if it considers it appropriate, require a party to deliver to
the tribunal and to the other party, within such a period of time as the arbitral tribunal
shall decide, a summary of the documents and other evidence which that party intends
to present in support of the facts in issue set out in its Statement of Claim or Statement
of Defence.
3. At any time during the arbitral proceedings the arbitral tribunal may require the
parties to produce documents, exhibits or other evidence within such a period of time
as the tribunal shall determine.
Article 25
1. In the event of an oral hearing, the arbitral tribunal shall give the parties adequate
advance notice of the date, time and place thereof.
2. Any person may be a witness or an expert witness. If witnesses or expert witnesses
are to be heard, at least fifteen days before the hearing each party shall communicate
to the arbitral tribunal and to the other party the names and addresses of the witnesses
or expert witnesses it intends to present, the subject upon and the languages in which
such witnesses or expert witnesses will give their testimony.
3. The arbitral tribunal shall make arrangements for the translation of oral statements
made at a hearing and for a record of the hearing if either is deemed necessary by the
tribunal under the circumstances of the case, or if the parties have agreed thereto
and have communicated such agreement to the tribunal at least fifteen days before the
hearing.
4. Hearings shall be held in camera unless the parties agree otherwise. The arbitral
tribunal may require the retirement of any witness or witnesses or expert witnesses
during the testimony of other witnesses or expert witnesses. The arbitral tribunal is
free to determine the manner in which witnesses or expert witnesses are examined.
5. Evidence of witnesses or expert witnesses may also be presented in the form of
written statements or reports signed by them.
6. It shall not be improper for a party, its officers, employees, legal advisors or counsel
to interview witnesses, potential witnesses or expert witnesses.
Article 26
1. At the request of either party, the arbitral tribunal may take any interim measures it
deems necessary or appropriate.
2. Such interim measures may be established in the form of an interim award. The
arbitral tribunal shall be entitled to order the provision of appropriate security.
3. A request for interim measures addressed by any party to a judicial authority shall
not be deemed incompatible with the agreement to arbitrate, or as a waiver of that
agreement.
4. The arbitral tribunal shall have discretion to apportion the costs relating to a request
for interim measures in the interim award or in the final award.
TRIBUNAL-APPOINTED EXPERTS
Article 27
1. The arbitral tribunal, after consulting with the parties, may appoint one or more
experts to report to it, in writing, on specific issues to be determined by the tribunal.
A copy of the expert’s terms of reference, established by the arbitral tribunal, shall be
communicated to the parties.
2. The parties shall give the expert any relevant information or produce for his inspec-
tion any relevant documents or goods that he may require of them. Any dispute between
a party and such expert as to the relevance of the required information or production
shall be referred to the arbitral tribunal for decision.
3. Upon receipt of the expert’s report, the arbitral tribunal shall communicate a copy of
the report to the parties who shall be given the opportunity to express, in writing, their
opinion on the report. A party shall be entitled to examine any document on which the
expert has relied in his report.
4. At the request of either party the expert, after delivery of the report, may be heard
at a hearing where the parties shall have the opportunity to be present and to interro-
gate the expert. At this hearing either party may present expert witnesses in order to
testify on the points at issue. The provisions of Article 25 shall be applicable to such
proceedings.
DEFAULT
Article 28
1. If, within the period of time set by the arbitral tribunal, the Claimant has failed to
communicate its claim without showing sufficient cause for such failure, the arbitral
tribunal shall issue an order for the termination of the arbitral proceedings. If, within
the period of time set by the arbitral tribunal, the Respondent has failed to communi-
cate its Statement of Defence without showing sufficient cause for such failure, the
arbitral tribunal shall order that the proceedings continue.
2. If one of the parties, duly notified under these Rules, fails to appear at a hearing,
without showing sufficient cause for such failure, the arbitral tribunal may proceed
with the arbitration.
3. If one of the parties, duly invited to produce documentary evidence, fails to do so
within the established period of time, without showing sufficient cause for such failure,
the arbitral tribunal may make the award on the evidence before it.
CLOSURE OF PROCEEDINGS
Article 29
1. The arbitral tribunal may inquire of the parties if they have any further proof to offer
or witnesses to be heard or submissions to make and, if there are none, it may declare
the proceedings closed.
2. The arbitral tribunal may, if it considers it necessary owing to exceptional circum-
stances, decide, on its own motion or upon application of a party, to reopen the pro-
ceedings at any time before the award is made.
WAIVER OF RULES
Article 30
A party who knows that any provision of, or requirement under, these Rules has
not been complied with and yet proceeds with the arbitration without promptly stating
its objection to such non-compliance, shall be deemed to have waived its right to
object.
DECISIONS
Article 31
1. When there are three arbitrators, any award or other decision of the arbitral tribunal
shall be made by a majority of the arbitrators. If there is no majority, the award shall
be made by the presiding arbitrator alone.
2. In the case of questions of procedure, when the arbitral tribunal so authorises, the
presiding arbitrator may decide on his own, subject to revision, if any, by the arbitral
tribunal.
Article 32
1. In addition to making a final award, the arbitral tribunal shall be entitled to make
interim, interlocutory, or partial awards. If appropriate, the arbitral tribunal may also
award costs in awards that are not final.
2. The award shall be made in writing and shall be final and binding on the parties. The
parties undertake to carry out the award without delay.
3. The arbitral tribunal shall state the reasons upon which the award is based, unless the
parties have agreed that no reasons are to be given.
4. An award shall be signed by the arbitrators and it shall contain the date on which
and the place where the award was made. Where there are three arbitrators and one or
two of them fail(s) to sign, the award shall state the reason for the absence of the
signature(s).
5. Publication of the award is governed by Article 43.
6. Originals of the award signed by the arbitrators shall be communicated to the parties
and to the Chambers by the arbitral tribunal. The Chambers shall retain a copy of the
award.
Article 33
1. The arbitral tribunal shall decide the case in accordance with the rules of law agreed
upon by the parties or, in the absence of a choice of law, by applying the rules of law
with which the dispute has the closest connection.
Article 34
1. If, before the award is made, the parties agree on a settlement of the dispute, the
arbitral tribunal shall either issue an order for the termination of the arbitral proceed-
ings or, if requested by both parties and accepted by the tribunal, record the settlement
in the form of an arbitral award on agreed terms. The arbitral tribunal is not obliged to
give reasons for such an award.
2. If, before the award is made, the continuation of the arbitral proceedings becomes
unnecessary or impossible for any reason not mentioned in paragraph 1, the arbitral
tribunal shall inform the parties of its intention to issue an order for the termination of
the proceedings. The arbitral tribunal shall have the power to issue such an order unless
a party raises justifiable grounds for objection.
3. Copies of the order for termination of the arbitral proceedings or of the arbitral
award on agreed terms, signed by the arbitrators, shall be communicated by the arbitral
tribunal to the parties and to the Chambers. Where an arbitral award on agreed terms
is made, the provisions of Article 32, paragraphs 2 and 4 to 6, shall apply.
Article 35
1. Within thirty days after the receipt of the award, either party, with notice to the other
party, may request that the arbitral tribunal give an interpretation of the award. The
arbitral tribunal may set a time-limit, normally not exceeding thirty days, for the other
party to comment on such request.
2. The interpretation shall be given in writing within forty-five days after the receipt
of the request. The interpretation shall form part of the award and the provisions of
Article 32, paragraphs 2 to 6, shall apply.
Article 36
1. Within thirty days after the receipt of the award, either party, with notice to the other
party, may request the arbitral tribunal to correct in the award any errors in computa-
tion, any clerical or typographical errors, or any errors of similar nature. The arbitral
tribunal may set a time-limit, normally not exceeding thirty days, for the other party to
comment on such request.
2. The arbitral tribunal may within thirty days after the communication of the award
make such corrections on its own initiative.
3. Such corrections shall be in writing, and the provisions of Article 32, paragraphs 2
to 6, shall apply.
ADDITIONAL A WARD
Article 37
1. Within thirty days after the receipt of the award, either party, with notice to the other
party, may request the arbitral tribunal to make an additional award as to claims
presented in the arbitral proceedings but omitted from the award. The arbitral tribunal
may set a time-limit, normally not exceeding thirty days, for the other party to comment
on such request.
2. If the arbitral tribunal considers the request for an additional award to be justified
and considers that the omission can be rectified without any further hearings or
evidence, it shall complete its award within sixty days after the receipt of the request.
3. When an additional award is made, the provisions of Article 32, paragraphs 2 to 6,
shall apply.
Article 38
The arbitral tribunal shall determine the costs of arbitration in its award. The term
“costs” includes only:
(a) The fees of the arbitral tribunal to be stated separately as to each arbitrator and
to be determined by the tribunal itself in accordance with Article 39;
(b) The travel and other expenses incurred by the arbitrators;
(c) The costs of expert advice and of other assistance required by the arbitral
tribunal;
Article 39
1. The fees of the arbitral tribunal shall be reasonable in amount, taking into account
the amount in dispute, the complexity of the subject-matter, the time spent by the
arbitrators and any other relevant circumstances of the case, including, but not limited
to, the discontinuation of the arbitral proceedings in case of settlement or other
reasons. In the event of such discontinuation, the fees of the arbitral tribunal may be
less than the minimum amount resulting from Appendix B (Schedule of the Costs of
Arbitration).
2. The fees of the arbitral tribunal shall be determined in conformity with Appendix B
(Schedule of the Costs of Arbitration).
3. The arbitral tribunal shall decide on the allocation of the fees among its members.
As a rule, the Chairman shall receive between 40 % and 50 % and each co-arbitrator
between 25 % and 30 % of the total fees, in view of the time and efforts spent by each
arbitrator.
Article 40
DEPOSIT OF COSTS
Article 41
1. The arbitral tribunal, on its establishment, shall request each party to deposit an
equal amount as an advance for the costs referred to in Article 38, paragraphs (a), (b),
(c) and (f). The arbitral tribunal shall provide a copy of such request for information to
the Chambers.
2. Where a Respondent submits a counterclaim, or it otherwise appears appropriate
in the circumstances, the arbitral tribunal may in its discretion establish separate
deposits.
3. During the course of the arbitral proceedings the arbitral tribunal may request
supplementary deposits from the parties. The arbitral tribunal shall provide a copy of
such request for information to the Chambers.
4. If the required deposits are not paid in full within thirty days after the receipt of the
request, the arbitral tribunal shall so inform the parties in order that one or another of
them may make the required payment. If such payment is not made, the arbitral tribunal
may order the suspension or termination of the arbitral proceedings.
5. In its final award, the arbitral tribunal shall render an accounting to the parties of the
deposits received. Any unexpended balance shall be returned to the parties.
Article 42
1. If the parties so agree, or if the provisions of Article 42, paragraph 2 are applicable,
the arbitral proceedings shall be conducted in accordance with an Expedited Procedure
based upon the foregoing provisions of these Rules, subject to the following changes:
(a) The Chambers may shorten the time-limits for the appointment of arbitrators;
(b) After the submission of the Answer to the Notice of Arbitration, the parties shall
in principle be entitled to submit one Statement of Claim and one Statement of
Defence (and Counterclaim) and, where applicable, one Statement of Defence
in reply to the Counterclaim;
(c) Unless the parties agree that the dispute shall be decided on the basis of
documentary evidence only, the arbitral tribunal shall hold a single hearing for
Article 43
1. Unless the parties expressly agree in writing to the contrary, the parties undertake as
a general principle to keep confidential all awards and orders as well as all materials
submitted by another party in the framework of the arbitral proceedings not otherwise
in the public domain, save and to the extent that a disclosure may be required of a party
by a legal duty, to protect or pursue a legal right or to enforce or challenge an award in
legal proceedings before a judicial authority. This undertaking also applies to the arbi-
trators, the tribunal-appointed experts, the secretary of the arbitral tribunal and the
Chambers.
2. The deliberations of the arbitral tribunal are confidential.
3 An award may be published, whether in its entirety or in the form of excerpts or a
summary, only under the following conditions:
(a) A request for publication is addressed to the Chambers;
(b) All references to the parties’ names are deleted; and
Article 44
1. Registration Fee
1.1 When submitting a Notice of Arbitration, the Claimant shall pay a Registration
Fee of
• CHF 4’500 for arbitrations where the amount in dispute does not exceed CHF
2’000’000;
• CHF 6’000 for arbitrations where the amount in dispute is between CHF 2’000’001
and CHF 10’000’000;
• CHF 8’000 for arbitrations where the amount in dispute exceeds CHF
10’000’000.
1.2 If the amount in dispute is not quantified, the Claimant shall pay a Registration Fee
of CHF 6’000.
1.3 If the Claimant fails to pay the Registration Fee, the Chambers shall not proceed
with the arbitration.
1.4 The Registration Fee is not refundable.
1.5 The above provisions shall apply to any counterclaim.
2.1 The arbitrators’ fees (Article 38, paragraph a) shall cover the activities of the
arbitral tribunal from the moment the file is transmitted until the last award.
2.2 Where the amount in dispute exceeds the threshold specified in Section 2.3 of this
Appendix B, Administrative Costs shall be payable to the Chambers, in addition to the
Registration Fee.
2.3 As a rule, the arbitrators’ fees and the Chambers’ Administrative Costs shall
be computed on the basis of the following scale, taking into account the criteria of
Article 39, paragraph 1:
2 The fees for a sole arbitrator represent 40% of the fees for a three-member arbitral tribunal.
3 This is a contribution, in the maximum amount of CHF 50’000, to the administrative costs of
the Chambers, in addition to the Registration Fee. In the event of discontinuation of the arbitral
proceedings (Article 39, paragraph 1), the Chambers may, in their discretion, reimburse all or
part of the Administrative Costs.
3. Arbitrators’ expenses
The expenses of the arbitrators shall relate to the actual disbursements for the arbitra-
tion, such as expenses relating to: travel (first class airfare accepted only for distances
exceeding 4000 kilometres), accommodation, meals (if in home city, only meals
among arbitrators are taken into account), taxi, communications costs, and any other
costs related to the conduct of the proceedings (such as rental of hearing rooms, court
reporting services, interpreters, etc.). The Chambers may issue general guidelines to
the arbitrators for the accounting of their expenses.
In consultation with the parties, the arbitral tribunal may invest the deposits made by
the parties, taking into account market conditions and criteria of prudent and secure
investment. When deciding whether to make such investments, the arbitral tribunal
shall also have due regard to the possible need to make the deposited funds available
Minimum Maximum
0 - 300’000 - 4% of amount 12% of amount
300’001 - 600’000 - 12’000 + 2% of 36’000 + 8% of
amount over amount over
300’000 300’000
600’001 - - 18’000 + 1.5% of 60’000 + 6% of
1’000’000 amount over amount over
600’000 600’000
1’000’001 - - 24’000 + 0.6% of 84’000 + 3.6% of
2’000’000 amount over amount over
1’000’000 1’000’000
2’000’001 - 4’000 + 0.2% of 30’000 + 0.38% of 120’000 + 1.5% of
10’000’000 amount over amount over amount over
2’000’000 2’000’000 2’000’000
10’000’001 20’000 + 0.1% of 60’400 + 0.3% of 240’000 + 0.6% of
- 20’000’000 amount over amount over amount over
10’000’000 10’000’000 10’000’000
20’000’001 30’000 + 0.05% of 90’400 + 0.1% of 300’000 + 0.2% of
- 50’000’000 amount over amount over amount over
20’000’000 20’000’000 20’000’000
50’000’001 45’000 + 0.01% of 120’400 + 0.06% of 360’000 + 0.18% of
- 100’000’000 amount over amount over amount over
50’000’000 50’000’000 50’000’000
100’000’001 50’000 150’400 + 0.02% of 450’000 + 0.1% of
- 250’000’000 amount over amount over
100’000’000 100’000’000
>250’000’000 50’000 180’400 + 0.01% of 600’000 + 0.06% of
amount over amount over
250’000’000 250’000’000
Minimum Maximum
0 - 300’000 - 10% of amount 30% of amount
300’001 - 600’000 - 30’000 + 5% of 90’000 + 20% of
amount over amount over
300’000 300’000
600’001 - - 45’000 + 3.75% of 150’000 + 15% of
1’000’000 amount over amount over
600’000 600’000
1’000’001 - - 60’000 + 1.5% of 210’000 + 9% of
2’000’000 amount over amount over
1’000’000 1’000’000
2’000’001 - 4’000 + 0.2% of 75’000 + 0.95% of 300’000 + 3.75% of
10’000’000 amount over amount over amount over
2’000’000 2’000’000 2’000’000
10’000’001 20’000 + 0.1% of 151’000 + 0.75% of 600’000 + 1.5% of
- 20’000’000 amount over amount over amount over
10’000’000 10’000’000 10’000’000
20’000’001 30’000 + 0.05% of 226’000 + 0.25% of 750’000 + 0.5% of
- 50’000’000 amount over amount over amount over
20’000’000 20’000’000 20’000’000
50’000’001 45’000 + 0.01% of 301’000 + 0.15% of 900’000 + 0.45% of
- 100’000’000 amount over amount over amount over
50’000’000 50’000’000 50’000’000
100’000’001 50’000 376’000 + 0.05% of 1’125’000 + 0.25%
- 250’000’000 amount over of amount over
100’000’000 100’000’000
>250’000’000 50’000 451’000 + 0.025% 1’500’000 + 0.15%
of amount over of amount over
250’000’000 250’000’000
CONTENTS
Chapter I. General provisions
Article 1. Scope of application
Article 2. Definitions and rules of interpretation
Article 3. Receipt of written communications
Article 4. Waiver of right to object
Article 5. Extent of court intervention
Article 6. Court or other authority for certain functions of arbitration assistance and
supervision
Chapter II. Arbitration agreement
Article 7. Definition and form of arbitration agreement
Article 8 Arbitration and substantive claim before court
Article 9. Arbitration agreement and interim measures by court
Chapter III. Composition of arbitral tribunal
Article 10. Number of arbitrators
Article 11. Appointment of arbitrators
Article 12. Grounds for challenge
Article 13. Challenge procedure
Article 14. Failure or impossibility to act
Article 15. Appointment of substitute arbitrator
Chapter IV. Jurisdiction of arbitral tribunal
Article 16. Competence of arbitral tribunal to rule on its jurisdiction
Article 17. Power of arbitral tribunal to order interim measures
483
Chapter V. Conduct of arbitral proceedings
Article 18. Equal treatment of parties
Article 19. Determination of rules of procedure
Article 20. Place of arbitration
Article 21. Commencement of arbitral proceedings
Article 22. Language
Article 23. Statements of claim and defence
Article 24. Hearings and written proceedings
Article 25. Default of a party
Article 26. Expert appointed by arbitral tribunal
Article 27. Court assistance in taking evidence
Chapter VI. Making of award and termination of proceedings
Article 28. Rules applicable to substance of dispute
Article 29. Decision making by panel of arbitrators
Article 30. Settlement
Article 31. Form and contents of award
Article 32. Termination of proceedings
Article 33. Correction and interpretation of award; additional award
Chapter VII. Recourse against award
Article 34. Application for setting aside as exclusive recourse against arbitral award
Chapter VIII. Recognition and enforcement of awards
Article 35. Recognition and enforcement
Article 36. Grounds for refusing recognition or enforcement
EXPLANATORY NOTE BY THE UNCITRAL SECRETARIAT ON THE
MODEL LAW ON INTERNATIONAL COMMERCIAL ARBITRATION
A. Background to the Model Law
1. Inadequacy of domestic laws
2. Disparity between national laws
B. Salient features of the Model Law
1. Special procedural regime for international commercial arbitration
2. Arbitration agreement
3. Composition of arbitral tribunal
4. Jurisdiction of arbitral tribunal
5. Conduct of arbitral proceedings
6. Making of award and termination of proceedings
7. Recourse against award
8. Recognition and enforcement of awards
(1) This Law applies to international commercial3 arbitration, subject to any agreement
in force between this State and any other State or States.
(2) The provisions of this Law, except articles 8, 9, 35 and 36, apply only if the place
of arbitration is in the territory of this State.
(3) An arbitration is international if:
(a) the parties to an arbitration agreement have, at the time of the conclusion of that
agreement, their places of business in different States; or
(b) one of the following places is situated outside the State in which the parties
have their places of business:
(i) the place of arbitration if determined in, or pursuant to, the arbitration
agreement;
(ii) any place where a substantial part of the obligations of the commercial rela-
tionship is to be performed or the place with which the subject-matter of the
dispute is most closely connected; or
(c) the parties have expressly agreed that the subject-matter of the arbitration agree-
ment relates to more than one country.
(4) For the purposes of paragraph (3) of this article:
(a) if a party has more than one place of business, the place of business is that
which has the closest relationship to the arbitration agreement;
2 Article headings are for reference purposes only and are not to be used for purposes of inter-
pretation.
3 The term “commercial” should be given a wide interpretation so as to cover matters arising
from all relationships of a commercial nature, whether contractual or not. Relationships of a
commercial nature include, but are not limited to, the following transactions: any trade transac-
tion for the supply or exchange of goods or services; distribution agreement; commercial rep-
resentation or agency; factoring; leasing; construction of works; consulting; engineering;
licensing; investment; financing; banking; insurance; exploitation agreement or concession;
joint venture and other forms of industrial or business co-operation; carriage of goods or pas-
sengers by air, sea, rail or road.
A party who knows that any provision of this Law from which the parties may dero-
gate or any requirement under the arbitration agreement has not been complied with
and yet proceeds with the arbitration without stating his objection to such non-
compliance without undue delay or, if a time-limit is provided therefor, within such
period of time, shall be deemed to have waived his right to object.
In matters governed by this Law, no court shall intervene except where so provided in
this Law.
The functions referred to in articles 11(3), 11(4), 13(3), 14, 16(3) and 34(2) shall be
performed by . . . [Each State enacting this model law specifies the court, courts or,
where referred to therein, other authority competent to perform these functions.]
(1) A court before which an action is brought in a matter which is the subject of an
arbitration agreement shall, if a party so requests not later than when submitting his
first statement on the substance of the dispute, refer the parties to arbitration unless it
finds that the agreement is null and void, inoperative or incapable of being per-
formed.
(2) Where an action referred to in paragraph (1) of this article has been brought, arbi-
tral proceedings may nevertheless be commenced or continued, and an award may be
made, while the issue is pending before the court.
(1) No person shall be precluded by reason of his nationality from acting as an arbitra-
tor, unless otherwise agreed by the parties.
(2) The parties are free to agree on a procedure of appointing the arbitrator or arbitra-
tors, subject to the provisions of paragraphs (4) and (5) of this article.
(3) Failing such agreement,
(a) in an arbitration with three arbitrators, each party shall appoint one arbitrator,
and the two arbitrators thus appointed shall appoint the third arbitrator; if a party
fails to appoint the arbitrator within thirty days of receipt of a request to do so from
the other party, or if the two arbitrators fail to agree on the third arbitrator within
thirty days of their appointment, the appointment shall be made, upon request of a
party, by the court or other authority specified in article 6;
(b) in an arbitration with a sole arbitrator, if the parties are unable to agree on the
arbitrator, he shall be appointed, upon request of a party, by the court or other
authority specified in article 6.
(1) The parties are free to agree on a procedure for challenging an arbitrator, subject to
the provisions of paragraph (3) of this article.
(2) Failing such agreement, a party who intends to challenge an arbitrator shall, within
fifteen days after becoming aware of the constitution of the arbitral tribunal or after
becoming aware of any circumstance referred to in article 12(2), send a written state-
ment of the reasons for the challenge to the arbitral tribunal. Unless the challenged
arbitrator withdraws from his office or the other party agrees to the challenge, the arbi-
tral tribunal shall decide on the challenge.
(3) If a challenge under any procedure agreed upon by the parties or under the proce-
dure of paragraph (2) of this article is not successful, the challenging party may request,
within thirty days after having received notice of the decision rejecting the challenge,
the court or other authority specified in article 6 to decide on the challenge, which deci-
sion shall be subject to no appeal; while such a request is pending, the arbitral tribunal,
including the challenged arbitrator, may continue the arbitral proceedings and make an
award.
(1) If an arbitrator becomes de jure or de facto unable to perform his functions or for
other reasons fails to act without undue delay, his mandate terminates if he withdraws
from his office or if the parties agree on the termination. Otherwise, if a controversy
(1) The arbitral tribunal may rule on its own jurisdiction, including any objections with
respect to the existence or validity of the arbitration agreement. For that purpose, an
arbitration clause which forms part of a contract shall be treated as an agreement inde-
pendent of the other terms of the contract. A decision by the arbitral tribunal that the
contract is null and void shall not entail ipso jure the invalidity of the arbitration clause.
(2) A plea that the arbitral tribunal does not have jurisdiction shall be raised not later
than the submission of the statement of defence. A party is not precluded from raising
such a plea by the fact that he has appointed, or participated in the appointment of, an
arbitrator. A plea that the arbitral tribunal is exceeding the scope of its authority shall
be raised as soon as the matter alleged to be beyond the scope of its authority is raised
during the arbitral proceedings. The arbitral tribunal may, in either case, admit a later
plea if it considers the delay justified.
(3) The arbitral tribunal may rule on a plea referred to in paragraph (2) of this article
either as a preliminary question or in an award on the merits. If the arbitral tribunal rules
as a preliminary question that it has jurisdiction, any party may request, within thirty
days after having received notice of that ruling, the court specified in article 6 to decide
the matter, which decision shall be subject to no appeal; while such a request is pend-
ing, the arbitral tribunal may continue the arbitral proceedings and make an award.
Unless otherwise agreed by the parties, the arbitral tribunal may, at the request of a
party, order any party to take such interim measure of protection as the arbitral tribunal
The parties shall be treated with equality and each party shall be given a full opportu-
nity of presenting his case.
(1) Subject to the provisions of this Law, the parties are free to agree on the procedure
to be followed by the arbitral tribunal in conducting the proceedings.
(2) Failing such agreement, the arbitral tribunal may, subject to the provisions of this
Law, conduct the arbitration in such manner as it considers appropriate. The power
conferred upon the arbitral tribunal includes the power to determine the admissibility,
relevance, materiality and weight of any evidence.
(1) The parties are free to agree on the place of arbitration. Failing such agreement, the
place of arbitration shall be determined by the arbitral tribunal having regard to the
circumstances of the case, including the convenience of the parties.
(2) Notwithstanding the provisions of paragraph (1) of this article, the arbitral tribunal
may, unless otherwise agreed by the parties, meet at any place it considers appropriate
for consultation among its members, for hearing witnesses, experts or the parties, or
for inspection of goods, other property or documents.
Unless otherwise agreed by the parties, the arbitral proceedings in respect of a particu-
lar dispute commence on the date on which a request for that dispute to be referred to
arbitration is received by the respondent.
(1) The parties are free to agree on the language or languages to be used in the arbitral
proceedings. Failing such agreement, the arbitral tribunal shall determine the language
or languages to be used in the proceedings. This agreement or determination, unless
otherwise specified therein, shall apply to any written statement by a party, any hearing
and any award, decision or other communication by the arbitral tribunal.
(1) Within the period of time agreed by the parties or determined by the arbitral tribu-
nal, the claimant shall state the facts supporting his claim, the points at issue and the
relief or remedy sought, and the respondent shall state his defence in respect of these
particulars, unless the parties have otherwise agreed as to the required elements of such
statements. The parties may submit with their statements all documents they consider
to be relevant or may add a reference to the documents or other evidence they will
submit.
(2) Unless otherwise agreed by the parties, either party may amend or supplement his
claim or defence during the course of the arbitral proceedings, unless the arbitral tribu-
nal considers it inappropriate to allow such amendment having regard to the delay in
making it.
(1) Subject to any contrary agreement by the parties, the arbitral tribunal shall decide
whether to hold oral hearings for the presentation of evidence or for oral argument, or
whether the proceedings shall be conducted on the basis of documents and other mate-
rials. However, unless the parties have agreed that no hearings shall be held, the arbi-
tral tribunal shall hold such hearings at an appropriate stage of the proceedings, if so
requested by a party.
(2) The parties shall be given sufficient advance notice of any hearing and of any meet-
ing of the arbitral tribunal for the purposes of inspection of goods, other property or
documents.
(3) All statements, documents or other information supplied to the arbitral tribunal by
one party shall be communicated to the other party. Also any expert report or eviden-
tiary document on which the arbitral tribunal may rely in making its decision shall be
communicated to the parties.
Unless otherwise agreed by the parties, if, without showing sufficient cause,
(a) the claimant fails to communicate his statement of claim in accordance with
article 23(1), the arbitral tribunal shall terminate the proceedings;
(b) the respondent fails to communicate his statement of defence in accordance
with article 23(1), the arbitral tribunal shall continue the proceedings without treat-
ing such failure in itself as an admission of the claimant’s allegations;
The arbitral tribunal or a party with the approval of the arbitral tribunal may request
from a competent court of this State assistance in taking evidence. The court may exe-
cute the request within its competence and according to its rules on taking evidence.
(1) The arbitral tribunal shall decide the dispute in accordance with such rules of law
as are chosen by the parties as applicable to the substance of the dispute. Any designa-
tion of the law or legal system of a given State shall be construed, unless otherwise
expressed, as directly referring to the substantive law of that State and not to its
conflict of laws rules.
(2) Failing any designation by the parties, the arbitral tribunal shall apply the law
determined by the conflict of laws rules which it considers applicable.
(3) The arbitral tribunal shall decide ex aequo et bono or as amiable compositeur only
if the parties have expressly authorized it to do so.
(4) In all cases, the arbitral tribunal shall decide in accordance with the terms of
the contract and shall take into account the usages of the trade applicable to the
transaction.
In arbitral proceedings with more than one arbitrator, any decision of the arbitral tribu-
nal shall be made, unless otherwise agreed by the parties, by a majority of all its mem-
bers. However, questions of procedure may be decided by a presiding arbitrator, if so
authorized by the parties or all members of the arbitral tribunal.
(1) If, during arbitral proceedings, the parties settle the dispute, the arbitral tribunal
shall terminate the proceedings and, if requested by the parties and not objected to by
the arbitral tribunal, record the settlement in the form of an arbitral award on agreed
terms.
(2) An award on agreed terms shall be made in accordance with the provisions of
article 31 and shall state that it is an award. Such an award has the same status and
effect as any other award on the merits of the case.
(1) The award shall be made in writing and shall be signed by the arbitrator or arbitra-
tors. In arbitral proceedings with more than one arbitrator, the signatures of the major-
ity of all members of the arbitral tribunal shall suffice, provided that the reason for any
omitted signature is stated.
(2) The award shall state the reasons upon which it is based, unless the parties have
agreed that no reasons are to be given or the award is an award on agreed terms under
article 30.
(3) The award shall state its date and the place of arbitration as determined in accor-
dance with article 20(1). The award shall be deemed to have been made at that place.
(4) After the award is made, a copy signed by the arbitrators in accordance with para-
graph (1) of this article shall be delivered to each party.
(1) The arbitral proceedings are terminated by the final award or by an order of the
arbitral tribunal in accordance with paragraph (2) of this article.
(2) The arbitral tribunal shall issue an order for the termination of the arbitral proceed-
ings when:
(a) the claimant withdraws his claim, unless the respondent objects thereto and the
arbitral tribunal recognizes a legitimate interest on his part in obtaining a final set-
tlement of the dispute;
(b) the parties agree on the termination of the proceedings;
(1) Within thirty days of receipt of the award, unless another period of time has been
agreed upon by the parties:
(a) a party, with notice to the other party, may request the arbitral tribunal to correct
in the award any errors in computation, any clerical or typographical errors or any
errors of similar nature;
(b) if so agreed by the parties, a party, with notice to the other party, may request
the arbitral tribunal to give an interpretation of a specific point or part of the
award.
If the arbitral tribunal considers the request to be justified, it shall make the correc-
tion or give the interpretation within thirty days of receipt of the request. The interpre-
tation shall form part of the award.
(2) The arbitral tribunal may correct any error of the type referred to in paragraph (1)
(a) of this article on its own initiative within thirty days of the date of the award.
(3) Unless otherwise agreed by the parties, a party, with notice to the other party, may
request, within thirty days of receipt of the award, the arbitral tribunal to make an
additional award as to claims presented in the arbitral proceedings but omitted from
the award. If the arbitral tribunal considers the request to be justified, it shall make the
additional award within sixty days.
(4) The arbitral tribunal may extend, if necessary, the period of time within which it
shall make a correction, interpretation or an additional award under paragraph (1) or
(3) of this article.
(5) The provisions of article 31 shall apply to a correction or interpretation of the
award or to an additional award.
(1) Recourse to a court against an arbitral award may be made only by an application
for setting aside in accordance with paragraphs (2) and (3) of this article.
(1) An arbitral award, irrespective of the country in which it was made, shall be recog-
nized as binding and, upon application in writing to the competent court, shall be
enforced subject to the provisions of this article and of article 36.
4 The conditions set forth in this paragraph are intended to set maximum standards. It would,
thus, not be contrary to the harmonization to be achieved by the model law if a State retained
even less onerous conditions.
4. The Model Law is designed to meet concerns relating to the current state of national
laws on arbitration. The need for improvement and harmonization is based on findings
that domestic laws are often inappropriate for international cases and that considerable
disparity exists between them.
5 This note has been prepared by the secretariat of the United Nations Commission on
International Trade Law (UNCITRAL) for informational purposes only; it is not an official
commentary on the Model Law. A commentary prepared by the Secretariat on an earlier draft
of the Model Law appears in document A/CN.9/264 (reproduced in UNCITRAL Yearbook,
vol. XVI—1985)(United Nations publication, Sales No. E.87.V.4).
9. The principles and individual solutions adopted in the Model Law aim at reducing
or eliminating the above concerns and difficulties. As a response to the inadequacies
and disparities of national laws, the Model Law presents a special legal regime geared
to international commercial arbitration, without affecting any relevant treaty in force
in the State adopting the Model Law. While the need for uniformity exists only in
respect of international cases, the desire of updating and improving the arbitration law
may be felt by a State also in respect of non-international cases and could be met by
enacting modern legislation based on the Model Law for both categories of cases.
10. The Model Law defines an arbitration as international if “the parties to an arbitra-
tion agreement have, at the time of the conclusion of that agreement, their places of
business in different States” (article 1(3)). The vast majority of situations commonly
regarded as international will fall under this criterion. In addition, an arbitration is
international if the place of arbitration, the place of contract performance, or the place
of the subject-matter of the dispute is situated in a State other than where the parties
have their place of business, or if the parties have expressly agreed that the subject-
matter of the arbitration agreement relates to more than one country.
11. As regards the term “commercial,” no hard and fast definition could be provided.
Article 1 contains a note calling for “a wide interpretation so as to cover matters arising
from all relationships of a commercial nature, whether contractual or not.” The foot-
note to article 1 then provides an illustrative list of relationships that are to be consid-
ered commercial, thus emphasizing the width of the suggested interpretation and
indicating that the determinative test is not based on what the national law may regard
as “commercial.”
12. Another aspect of applicability is what one may call the territorial scope of applica-
tion. According to article 1(2), the Model Law as enacted in a given State would apply
only if the place of arbitration is in the territory of that State. However, there is an
important and reasonable exception. Articles 8(1) and 9 which deal with recognition of
arbitration agreements, including their compatibility with interim measures of protec-
tion, and articles 35 and 36 on recognition and enforcement of arbitral awards are
given a global scope, i.e. they apply irrespective of whether the place of arbitration is
in that State or in another State and, as regards articles 8 and 9, even if the place of
arbitration is not yet determined.
13. The strict territorial criterion, governing the bulk of the provisions of the Model
Law, was adopted for the sake of certainty and in view of the following facts. The
place of arbitration is used as the exclusive criterion by the great majority of national
laws and, where national laws allow parties to choose the procedural law of a State
2. Arbitration agreement
17. Chapter II of the Model Law deals with the arbitration agreement, including its
recognition by courts. The provisions follow closely article II of the Convention on the
18. Article 7(1) recognizes the validity and effect of a commitment by the parties to
submit to arbitration an existing dispute (“compromis”) or a future dispute (“clause
compromissoire”). The latter type of agreement is presently not given full effect under
certain national laws.
19. While oral arbitration agreements are found in practice and are recognized by some
national laws, article 7(2) follows the 1958 New York Convention in requiring written
form. It widens and clarifies the definition of written form of article II(2) of that
Convention by adding “telex or other means of telecommunication which provide a
record of the agreement,” by covering the submission-type situation of “an exchange
of statements of claim and defence in which the existence of an agreement is alleged
by one party and not denied by another,” and by providing that “the reference in a
contract to a document” (e.g. general conditions) “containing an arbitration clause
constitutes an arbitration agreement provided that the contract is in writing and the
reference is such as to make that clause part of the contract.”
20. Articles 8 and 9 deal with two important aspects of the complex issue of the rela-
tionship between the arbitration agreement and resort to courts. Modelled on article
II(3) of the 1958 New York Convention, article 8(1) of the Model Law obliges any
court to refer the parties to arbitration if seized with a claim on the same subject-matter
unless it finds that the arbitration agreement is null and void, inoperative or incapable
of being performed. The referral is dependent on a request which a party may make not
later than when submitting his first statement on the substance of the dispute. While
this provision, where adopted by a State when it adopts the Model Law, by its nature
binds merely the courts of that State, it is not restricted to agreements providing for
arbitration in that State and, thus, helps to give universal recognition and effect to
international commercial arbitration agreements.
21. Article 9 expresses the principle that any interim measures of protection that may
be obtained from courts under their procedural law (e.g. pre-award attachments) are
compatible with an arbitration agreement. Like article 8, this provision is addressed to
the courts of a given State, insofar as it determines their granting of interim measures
as being compatible with an arbitration agreement, irrespective of the place of arbitra-
tion. Insofar as it declares it to be compatible with an arbitration agreement for a party
to request such measure from a court, the provision would apply irrespective of whether
the request is made to a court of the given State or of any other country. Wherever such
request may be made, it may not be relied upon, under the Model Law, as an objection
against the existence or effect of an arbitration agreement.
24. Article 16(1) adopts the two important (not yet generally recognized) principles of
“Kompetenz-Kompetenz” and of separability or autonomy of the arbitration clause.
The arbitral tribunal may rule on its own jurisdiction, including any objections with
respect to the existence or validity of the arbitration agreement. For that purpose, an
arbitration clause shall be treated as an agreement independent of the other terms of the
contract, and a decision by the arbitral tribunal that the contract is null and void shall
not entail ipso jure the invalidity of the arbitration clause. Detailed provisions in para-
graph (2) require that any objections relating to the arbitrators’ jurisdiction be made at
the earliest possible time.
25. The arbitral tribunal’s competence to rule on its own jurisdiction, i.e. on the very
foundation of its mandate and power, is, of course, subject to court control. Where the
arbitral tribunal rules as a preliminary question that it has jurisdiction, article 16(3)
provides for instant court control in order to avoid unnecessary waste of money and
time. However, three procedural safeguards are added to reduce the risk and effect of
dilatory tactics: short time-period for resort to court (30 days), court decision is not
appealable, and discretion of the arbitral tribunal to continue the proceedings and make
an award while the matter is pending with the court. In those less common cases where
the arbitral tribunal combines its decision on jurisdiction with an award on the merits,
judicial review on the question of jurisdiction is available in setting aside proceedings
under article 34 or in enforcement proceedings under article 36.
26. Unlike some national laws, the Model Law empowers the arbitral tribunal, unless
otherwise agreed by the parties, to order any party to take an interim measure of protec-
tion in respect of the subject-matter of the dispute, if so requested by a party (article 17).
It may be noted that the article does not deal with enforcement of such measures; any
State adopting the Model Law would be free to provide court assistance in this regard.
27. Chapter V provides the legal framework for a fair and effective conduct of the
arbitral proceedings. It opens with two provisions expressing basic principles that per-
meate the arbitral procedure governed by the Model Law. Article 18 lays down funda-
mental requirements of procedural justice and article 19 the rights and powers to
determine the rules of procedure.
28. Article 18 embodies the basic principle that the parties shall be treated with equal-
ity and each party shall be given a full opportunity of presenting his case. Other provi-
sions implement and specify the basic principle in respect of certain fundamental rights
of a party. Article 24(1) provides that, unless the parties have validly agreed that no
oral hearings for the presentation of evidence or for oral argument be held, the arbitral
tribunal shall hold such hearings at an appropriate stage of the proceedings, if so
requested by a party. It should be noted that article 24(1) deals only with the general
right of a party to oral hearings (as an alternative to conducting the proceedings on the
basis of documents and other materials) and not with the procedural aspects such as the
length, number or timing of hearings.
29. Another fundamental right of a party of being heard and being able to present his
case relates to evidence by an expert appointed by the arbitral tribunal. Article 26(2)
obliges the expert, after having delivered his written or oral report, to participate in a
hearing where the parties may put questions to him and present expert witnesses in order
to testify on the points at issue, if such a hearing is requested by a party or deemed neces-
sary by the arbitral tribunal. As another provision aimed at ensuring fairness, objectivity
and impartiality, article 24(3) provides that all statements, documents and other informa-
tion supplied to the arbitral tribunal by one party shall be communicated to the other
party, and that any expert report or evidentiary document on which the arbitral tribunal
may rely in making its decision shall be communicated to the parties. In order to enable
the parties to be present at any hearing and at any meeting of the arbitral tribunal for
inspection purposes, they shall be given sufficient notice in advance (article 24(2)).
30. Article 19 guarantees the parties’ freedom to agree on the procedure to be followed
by the arbitral tribunal in conducting the proceedings, subject to a few mandatory
c. Default of a party
33. Only if due notice was given, may the arbitral proceedings be continued in the
absence of a party. This applies, in particular, to the failure of a party to appear at a
hearing or to produce documentary evidence without showing sufficient cause for the
failure (article 25(c)). The arbitral tribunal may also continue the proceedings where
the respondent fails to communicate his statement of defence, while there is no need
for continuing the proceedings if the claimant fails to submit his statement of claim
(article 25(a), (b)).
34. Provisions which empower the arbitral tribunal to carry out its task even if one of
the parties does not participate are of considerable practical importance since, as expe-
rience shows, it is not uncommon that one of the parties has little interest in co-operat-
ing and in expediting matters. They would, thus, give international commercial
arbitration its necessary effectiveness, within the limits of fundamental requirements
of procedural justice.
35. Article 28 deals with the substantive law aspects of arbitration. Under paragraph
(1), the arbitral tribunal decides the dispute in accordance with such rules of law as
may be agreed by the parties. This provision is significant in two respects. It grants the
parties the freedom to choose the applicable substantive law, which is important in
view of the fact that a number of national laws do not clearly or fully recognize that
37. In its rules on the making of the award (articles 29-31), the Model Law pays
special attention to the rather common case that the arbitral tribunal consists of a plu-
rality of arbitrators (in particular, three). It provides that, in such case, any award and
other decision shall be made by a majority of the arbitrators, except on questions of
procedure, which may be left to a presiding arbitrator. The majority principle applies
also to the signing of the award, provided that the reason for any omitted signature is
stated.
38. Article 31(3) provides that the award shall state the place of arbitration and that it
shall be deemed to have been made at that place. As to this presumption, it may be
noted that the final making of the award constitutes a legal act, which in practice is not
necessarily one factual act but may be done in deliberations at various places, by tele-
phone conversation or correspondence; above all, the award need not be signed by the
arbitrators at the same place.
39. The arbitral award must be in writing and state its date. It must also state the rea-
sons on which it is based, unless the parties have agreed otherwise or the award is an
award on agreed terms, i.e. an award which records the terms of an amicable settle-
ment by the parties. It may be added that the Model Law neither requires nor prohibits
“dissenting opinions.”
40. National laws on arbitration, often equating awards with court decisions, provide a
variety of means of recourse against arbitral awards, with varying and often long
time-periods and with extensive lists of grounds that differ widely in the various
41. The first measure of improvement is to allow only one type of recourse, to the
exclusion of any other means of recourse regulated in another procedural law of the
State in question. An application for setting aside under article 34 must be made within
three months of receipt of the award. It should be noted that “recourse” means actively
“attacking” the award; a party is, of course, not precluded from seeking court control
by way of defence in enforcement proceedings (article 36). Furthermore, “recourse”
means resort to a court, i.e. an organ of the judicial system of a State; a party is not
precluded from resorting to an arbitral tribunal of second instance if such a possibility
has been agreed upon by the parties (as is common in certain commodity trades).
42. As a further measure of improvement, the Model Law contains an exclusive list of
limited grounds on which an award may be set aside. This list is essentially the same
as the one in article 36(1), taken from article V of the 1958 New York Convention:
lack of capacity of parties to conclude arbitration agreement or lack of valid arbitration
agreement; lack of notice of appointment of an arbitrator or of the arbitral proceedings
or inability of a party to present his case; award deals with matters not covered by
submission to arbitration; composition of arbitral tribunal or conduct of arbitral pro-
ceedings contrary to effective agreement of parties or, failing agreement, to the Model
Law; non-arbitrability of subject-matter of dispute and violation of public policy,
which would include serious departures from fundamental notions of procedural
justice.
43. Such a parallelism of the grounds for setting aside with those provided in article V
of the 1958 New York Convention for refusal of recognition and enforcement was
already adopted in the European Convention on International Commercial Arbitration
(Geneva, 1961). Under its article IX, the decision of a foreign court setting aside an
award for a reason other than the ones listed in article V of the 1958 New York
Convention does not constitute a ground for refusing enforcement. The Model Law
takes this philosophy one step further by directly limiting the reasons for setting
aside.
44. Although the grounds for setting aside are almost identical to those for refusing
recognition or enforcement, two practical differences should be noted. Firstly, the
grounds relating to public policy, including non-arbitrability, may be different in sub-
stance, depending on the State in question (i.e. State of setting aside or State of enforce-
ment). Secondly, and more importantly, the grounds for refusal of recognition or
enforcement are valid and effective only in the State (or States) where the winning
party seeks recognition and enforcement, while the grounds for setting aside have a
different impact: The setting aside of an award at the place of origin prevents enforcement
45. The eighth and last chapter of the Model Law deals with recognition and enforce-
ment of awards. Its provisions reflect the significant policy decision that the same rules
should apply to arbitral awards whether made in the country of enforcement or abroad,
and that those rules should follow closely the 1958 New York Convention.
48. Under article 35(1) any arbitral award, irrespective of the country in which it was
made, shall be recognized as binding and enforceable, subject to the provisions of
article 35(2) and of article 36 (which sets forth the grounds on which recognition or
enforcement may be refused). Based on the above consideration of the limited impor-
tance of the place of arbitration in international cases and the desire of overcoming
territorial restrictions, reciprocity is not included as a condition for recognition and
enforcement.
49. The Model Law does not lay down procedural details of recognition and enforce-
ment since there is no practical need for unifying them, and since they form an intrinsic
part of the national procedural law and practice. The Model Law merely sets certain
conditions for obtaining enforcement: application in writing, accompanied by the
award and the arbitration agreement (article 35(2)).
50. As noted earlier, the grounds on which recognition or enforcement may be refused
under the Model Law are identical to those listed in article V of the New York
Convention. Only, under the Model Law, they are relevant not merely to foreign
awards but to all awards rendered in international commercial arbitration. While some
provisions of that Convention, in particular as regards their drafting, may have called
for improvement, only the first ground on the list (i.e. “the parties to the arbitration
agreement were, under the law applicable to them, under some incapacity”) was mod-
ified since it was viewed as containing an incomplete and potentially misleading con-
flicts rule. Generally, it was deemed desirable to adopt, for the sake of harmony, the
same approach and wording as this important Convention.
Further information on the Model Law may be obtained from:
UNCITRAL Secretariat
Vienna International Centre
P.O. Box 500
A-1400 Vienna
AustriaTelephone: (43)(1) 26060-4060 or 4061
Telefax: (43)(1) 26060-5813
E-mail: [email protected]
A/RES/61/33
Sixty-first session
Agenda item 77
1 Official Records of the General Assembly, Fortieth Session, Supplement No. 17 (A/40/17),
annex I.
511
Noting that the preparation of the revised articles of the Model Law on the form of
the arbitration agreement and interim measures was the subject of due deliberation and
extensive consultations with Governments and interested circles and would contribute
significantly to the establishment of a harmonized legal framework for a fair and effi-
cient settlement of international commercial disputes,
Believing that, in connection with the modernization of articles of the Model Law,
the promotion of a uniform interpretation and application of the Convention on the
Recognition and Enforcement of Foreign Arbitral Awards, done at New York, 10 June
1958,2 is particularly timely,
1. Expresses its appreciation to the United Nations Commission on International
Trade Law for formulating and adopting the revised articles of its Model Law on
International Commercial Arbitration on the form of the arbitration agreement and
interim measures, the text of which is contained in annex I to the report of the United
Nations Commission on International Trade Law on the work of its thirty-ninth
session,3 and recommends that all States give favourable consideration to the enact-
ment of the revised articles of the Model Law, or the revised Model Law on International
Commercial Arbitration of the United Nations Commission on International Trade
Law, when they enact or revise their laws, in view of the desirability of uniformity of
the law of arbitral procedures and the specific needs of international commercial arbi-
tration practice;
2. Also expresses its appreciation to the United Nations Commission on International
Trade Law for formulating and adopting the recommendation regarding the interpreta-
tion of article II, paragraph 2, and article VII, paragraph 1, of the Convention on the
Recognition and Enforcement of Foreign Arbitral Awards, done at New York, 10 June
1958, the text of which is contained in annex II to the report of the United Nations
Commission on International Trade Law on the work of its thirty-ninth session;5
3. Requests the Secretary-General to make all efforts to ensure that the revised
articles of the Model Law and the recommendation become generally known and
available.
64th plenary meeting
4 December 2006
I. GENERAL PROVISIONS
Abbreviated Expressions
Article 1
In these Rules:
“Arbitration Agreement” means an agreement by the parties to submit to arbitration all
or certain disputes which have arisen or which may arise between them; an Arbitration
Agreement may be in the form of an arbitration clause in a contract or in the form of a
separate contract; “Claimant” means the party initiating an arbitration; “Respondent”
means the party against which the arbitration is initiated, as named in the Request for
Arbitration; “Tribunal” includes a sole arbitrator or all the arbitrators where more than
one is appointed; “WIPO” means the World Intellectual Property Organization;
“Center” means the WIPO Arbitration and Mediation Center, a unit of the International
Bureau of WIPO; Words used in the singular include the plural and vice versa, as the
context may require.
1 Material originally provided by the World Intellectual Property Organization (WIPO), the
owner of the copyright. The Secretariat of WIPO assumes no liability or responsibility with
regard to the transformation or translation of this data.
Reproduced with the permission of WIPO.
513
Scope of Application of Rules
Article 2
Where an Arbitration Agreement provides for arbitration under the WIPO Arbitration
Rules, these Rules shall be deemed to form part of that Arbitration Agreement and the
dispute shall be settled in accordance with these Rules, as in effect on the date of the
commencement of the arbitration, unless the parties have agreed otherwise.
Article 3
(a) These Rules shall govern the arbitration, except that, where any of these Rules is in
conflict with a provision of the law applicable to the arbitration from which the parties
cannot derogate, that provision shall prevail.
(b) The law applicable to the arbitration shall be determined in accordance with Article
59(b).
Article 4
(a) Any notice or other communication that may or is required to be given under these
Rules shall be in writing and shall be delivered by expedited postal or courier service,
or transmitted by telefax, e-mail or other means of telecommunication that provide a
record thereof.
(b) A party’s last known residence or place of business shall be a valid address for the
purpose of any notice or other communication in the absence of any notification of a
change by that party. Communications may in any event be addressed to a party in the
manner stipulated or, failing such a stipulation, according to the practice followed in
the course of the dealings between the parties.
(c) For the purpose of determining the date of commencement of a time limit, a notice
or other communication shall be deemed to have been received on the day it is deliv-
ered or, in the case of telecommunications, transmitted in accordance with paragraphs
(a) and (b) of this Article.
(d) For the purpose of determining compliance with a time limit, a notice or other com-
munication shall be deemed to have been sent, made or transmitted if it is dispatched,
in accordance with paragraphs (a) and (b) of this Article, prior to or on the day of the
expiration of the time limit.
(e) For the purpose of calculating a period of time under these Rules, such period shall
begin to run on the day following the day when a notice or other communication is
received. If the last day of such period is an official holiday or a non-business day at
Article 5
(a) Until the notification by the Center of the establishment of the Tribunal, any written
statement, notice or other communication required or allowed under these rules shall
be submitted by a party to the Center and a copy thereof shall at the same time be
transmitted by that party to the other party.
(b) Any written statement, notice or other communication so sent to the Center shall be
sent in a number of copies equal to the number required to provide one copy for each
envisaged arbitrator and one for the Center.
(c) After the notification by the Center of the establishment of the Tribunal, any written
statements, notices or other communications shall be submitted by a party directly to
the Tribunal and a copy thereof shall at the same time be supplied by that party to the
other party.
(d) The Tribunal shall send to the Center a copy of each order or other decision that
it makes.
Article 6
The Claimant shall transmit the Request for Arbitration to the Center and to the
Respondent.
Article 7
The date of commencement of the arbitration shall be the date on which the Request
for Arbitration is received by the Center.
The Center shall inform the Claimant and the Respondent of the receipt by it of the
Request for Arbitration and of the date of the commencement of the arbitration.
Article 9
Article 10
The Request for Arbitration may also be accompanied by the Statement of Claim
referred to in Article 41.
Article 11
Within 30 days from the date on which the Respondent receives the Request for
Arbitration from the Claimant, the Respondent shall address to the Center and to the
Claimant an Answer to the Request which shall contain comments on any of the ele-
ments in the Request for Arbitration and may include indications of any counterclaim
or set-off.
Article 12
If the Claimant has filed a Statement of Claim with the Request for Arbitration pursu-
ant to Article 10, the Answer to the Request may also be accompanied by the Statement
of Defense referred to in Article 42.
Article 13
(a) The parties may be represented by persons of their choice, irrespective of, in par-
ticular, nationality or professional qualification. The names, addresses and telephone,
telefax, e-mail or other communication references of representatives shall be commu-
nicated to the Center, the other party and, after its establishment, the Tribunal.
(b) Each party shall ensure that its representatives have sufficient time available to
enable the arbitration to proceed expeditiously.
(c) The parties may also be assisted by persons of their choice.
Number of Arbitrators
Article 14
(a) The Tribunal shall consist of such number of arbitrators as has been agreed by the
parties.
(b) Where the parties have not agreed on the number of arbitrators, the Tribunal shall
consist of a sole arbitrator, except where the Center in its discretion determines that, in
view of all the circumstances of the case, a Tribunal composed of three members is
appropriate.
Article 15
(a) If the parties have agreed on a procedure for the appointment of the arbitrator or
arbitrators other than as envisaged in Articles 16 to 20, that procedure shall be fol-
lowed.
(b) If the Tribunal has not been established pursuant to such procedure within
the period of time agreed upon by the parties or, in the absence of such an
agreed period of time, within 45 days after the commencement of the arbitration,
the Tribunal shall be established or completed, as the case may be, in accordance
with Article 19.
Article 16
(a) Where a sole arbitrator is to be appointed and the parties have not agreed on an
appointment procedure, the sole arbitrator shall be appointed jointly by the parties.
(b) If the appointment of the sole arbitrator is not made within the period of time
agreed upon by the parties or, in the absence of such an agreed period of time, within
30 days after the commencement of the arbitration, the sole arbitrator shall be appointed
in accordance with Article 19.
Article 17
(a) Where three arbitrators are to be appointed and the parties have not agreed upon an
appointment procedure, the arbitrators shall be appointed in accordance with this Article.
(b) The Claimant shall appoint an arbitrator in its Request for Arbitration. The
Respondent shall appoint an arbitrator within 30 days from the date on which it receives
the Request for Arbitration. The two arbitrators thus appointed shall, within 20 days
after the appointment of the second arbitrator, appoint a third arbitrator, who shall be
the presiding arbitrator.
(c) Notwithstanding paragraph (b), where three arbitrators are to be appointed as a
result of the exercise of the discretion of the Center under Article 14(b), the Claimant
shall, by notice to the Center and to the Respondent, appoint an arbitrator within 15
days after the receipt by it of notification by the Center that the Tribunal is to be com-
posed of three arbitrators. The Respondent shall appoint an arbitrator within 30 days
after the receipt by it of the said notification. The two arbitrators thus appointed shall,
within 20 days after the appointment of the second arbitrator, appoint a third arbitrator,
who shall be the presiding arbitrator.
(d) If the appointment of any arbitrator is not made within the applicable period of time
referred to in the preceding paragraphs, that arbitrator shall be appointed in accordance
with Article 19.
Article 18
(a) Where:
(i) three arbitrators are to be appointed;
Default Appointment
Article 19
(a) If a party has failed to appoint an arbitrator as required under Articles 15, 17 or 18,
the Center shall, in lieu of that party, forthwith make the appointment.
(b) If the sole or presiding arbitrator has not been appointed as required under Articles
15, 16, 17 or 18, the appointment shall take place in accordance with the following
procedure:
(i) The Center shall send to each party an identical list of candidates. The list shall
comprise the names of at least three candidates in alphabetical order. The list shall
include or be accompanied by a brief statement of each candidate’s qualifications.
If the parties have agreed on any particular qualifications, the list shall contain only
the names of candidates that satisfy those qualifications.
Nationality of Arbitrators
Article 20
Article 21
No party or anyone acting on its behalf shall have any ex parte communication with
any candidate for appointment as arbitrator except to discuss the candidate’s qualifica-
tions, availability or independence in relation to the parties.
Article 22
Article 23
Challenge of Arbitrators
Article 24
(a) Any arbitrator may be challenged by a party if circumstances exist that give rise to
justifiable doubt as to the arbitrator’s impartiality or independence.
(b) A party may challenge an arbitrator whom it has appointed or in whose appoint-
ment it concurred, only for reasons of which it becomes aware after the appointment
has been made.
Article 25
A party challenging an arbitrator shall send notice to the Center, the Tribunal and the
other party, stating the reasons for the challenge, within 15 days after being notified of
that arbitrator’s appointment or after becoming aware of the circumstances that it con-
siders give rise to justifiable doubt as to that arbitrator’s impartiality or independence.
When an arbitrator has been challenged by a party, the other party shall have the right
to respond to the challenge and shall, if it exercises this right, send, within 15 days after
receipt of the notice referred to in Article 25, a copy of its response to the Center, the
party making the challenge and the arbitrators.
Article 27
The Tribunal may, in its discretion, suspend or continue the arbitral proceedings during
the pendency of the challenge.
Article 28
The other party may agree to the challenge or the arbitrator may voluntarily withdraw.
In either case, the arbitrator shall be replaced without any implication that the grounds
for the challenge are valid.
Article 29
If the other party does not agree to the challenge and the challenged arbitrator does not
withdraw, the decision on the challenge shall be made by the Center in accordance
with its internal procedures. Such a decision is of an administrative nature and shall be
final. The Center shall not be required to state reasons for its decision.
Article 30
Article 31
Irrespective of any request by the arbitrator, the parties may jointly release the arbitra-
tor from appointment as arbitrator. The parties shall promptly notify the Center of such
release.
Article 32
At the request of a party or on its own motion, the Center may release an arbitrator
from appointment as arbitrator if the arbitrator has become de jure or de facto unable
to fulfill, or fails to fulfill, the duties of an arbitrator. In such a case, the parties shall be
Replacement of an Arbitrator
Article 33
(a) Whenever necessary, a substitute arbitrator shall be appointed pursuant to the pro-
cedure provided for in Articles 15 to 19 that was applicable to the appointment of the
arbitrator being replaced.
(b) In the event that an arbitrator appointed by a party has either been successfully
challenged on grounds which were known or should have been known to that party at
the time of appointment, or has been released from appointment as arbitrator in accor-
dance with Article 32, the Center shall have the discretion not to permit that party to
make a new appointment. If it chooses to exercise this discretion, the Center shall
make the substitute appointment.
(c) Pending the replacement, the arbitral proceedings shall be suspended, unless other-
wise agreed by the parties.
Article 34
Whenever a substitute arbitrator is appointed, the Tribunal shall, having regard to any
observations of the parties, determine in its sole discretion whether all or part of any
prior hearings are to be repeated.
Truncated Tribunal
Article 35
(a) If an arbitrator on a three-person Tribunal, though duly notified and without good
cause, fails to participate in the work of the Tribunal, the two other arbitrators shall,
unless a party has made an application under Article 32, have the power in their sole
discretion to continue the arbitration and to make any award, order or other decision,
notwithstanding the failure of the third arbitrator to participate. In determining whether
to continue the arbitration or to render any award, order or other decision without the
participation of an arbitrator, the two other arbitrators shall take into account the stage
of the arbitration, the reason, if any, expressed by the third arbitrator for such nonpar-
ticipation, and such other matters as they consider appropriate in the circumstances of
the case.
(b) In the event that the two other arbitrators determine not to continue the arbitration
without the participation of a third arbitrator, the Center shall, on proof satisfactory to
Article 36
(a) The Tribunal shall have the power to hear and determine objections to its own
jurisdiction, including any objections with respect to form, existence, validity or scope
of the Arbitration Agreement examined pursuant to Article 59(b).
(b) The Tribunal shall have the power to determine the existence or validity of any
contract of which the Arbitration Agreement forms part or to which it relates.
(c) A plea that the Tribunal does not have jurisdiction shall be raised not later than in
the Statement of Defense or, with respect to a counter-claim or a set-off, the Statement
of Defense thereto, failing which any such plea shall be barred in the subsequent arbi-
tral proceedings or before any court. A plea that the Tribunal is exceeding the scope of
its authority shall be raised as soon as the matter alleged to be beyond the scope of its
authority is raised during the arbitral proceedings. The Tribunal may, in either case,
admit a later plea if it considers the delay justified.
(d) The Tribunal may rule on a plea referred to in paragraph (c) as a preliminary ques-
tion or, in its sole discretion, decide on such a plea in the final award. (e) A plea that
the Tribunal lacks jurisdiction shall not preclude the Center from administering the
arbitration.
Article 37
The Center shall transmit the file to each arbitrator as soon as the arbitrator is
appointed.
Article 38
(a) Subject to Article 3, the Tribunal may conduct the arbitration in such manner as it
considers appropriate.
Place of Arbitration
Article 39
(a) Unless otherwise agreed by the parties, the place of arbitration shall be decided by
the Center, taking into consideration any observations of the parties and the circum-
stances of the arbitration.
(b) The Tribunal may, after consultation with the parties, conduct hearings at any place
that it considers appropriate. It may deliberate wherever it deems appropriate.
(c) The award shall be deemed to have been made at the place of arbitration.
Language of Arbitration
Article 40
(a) Unless otherwise agreed by the parties, the language of the arbitration shall be the
language of the Arbitration Agreement, subject to the power of the Tribunal to deter-
mine otherwise, having regard to any observations of the parties and the circumstances
of the arbitration.
(b) The Tribunal may order that any documents submitted in languages other than the
language of the arbitration be accompanied by a translation in whole or in part into the
language of the arbitration.
Statement of Claim
Article 41
(a) Unless the Statement of Claim accompanied the Request for Arbitration, the
Claimant shall, within 30 days after receipt of notification from the Center of the estab-
lishment of the Tribunal, communicate its Statement of Claim to the Respondent and
to the Tribunal.
(b) The Statement of Claim shall contain a comprehensive statement of the facts and
legal arguments supporting the claim, including a statement of the relief sought.
Statement of Defense
Article 42
(a) The Respondent shall, within 30 days after receipt of the Statement of Claim or
within 30 days after receipt of notification from the Center of the establishment of the
Tribunal, whichever occurs later, communicate its Statement of Defense to the
Claimant and to the Tribunal.
(b) The Statement of Defense shall reply to the particulars of the Statement of Claim
required pursuant to Article 41(b). The Statement of Defense shall be accompanied by
the corresponding documentary evidence described in Article 41(c).
(c) Any counter-claim or set-off by the Respondent shall be made or asserted in the
Statement of Defense or, in exceptional circumstances, at a later stage in the arbitral
proceedings if so determined by the Tribunal. Any such counter-claim or set-off shall
contain the same particulars as those specified in Article 41(b) and (c).
Article 43
(a) In the event that a counter-claim or set-off has been made or asserted, the Claimant
shall reply to the particulars thereof. Article 42(a) and (b) shall apply mutatis mutandis
to such reply.
(b) The Tribunal may, in its discretion, allow or require further written statements.
Article 44
Subject to any contrary agreement by the parties, a party may amend or supplement its
claim, counter-claim, defense or set-off during the course of the arbitral proceedings,
unless the Tribunal considers it inappropriate to allow such amendment having regard
to its nature or the delay in making it and to the provisions of Article 38(b) and (c).
Article 45
Article 46
(a) At the request of a party, the Tribunal may issue any provisional orders or take
other interim measures it deems necessary, including injunctions and measures for the
conservation of goods which form part of the subject matter in dispute, such as an
order for their deposit with a third person or for the sale of perishable goods. The
Tribunal may make the granting of such measures subject to appropriate security being
furnished by the requesting party.
(b) At the request of a party, the Tribunal may, if it considers it to be required by
exceptional circumstances, order the other party to provide security, in a form to be
determined by the Tribunal, for the claim or counterclaim, as well as for costs referred
to in Article 72.
(c) Measures and orders contemplated under this Article may take the form of an
interim award.
(d) A request addressed by a party to a judicial authority for interim measures or for
security for the claim or counterclaim, or for the implementation of any such measures
or orders granted by the Tribunal, shall not be deemed incompatible with the Arbitration
Agreement, or deemed to be a waiver of that Agreement.
Preparatory Conference
Article 47
The Tribunal may, in general following the submission of the Statement of Defense,
conduct a preparatory conference with the parties for the purpose of organizing and
scheduling the subsequent proceedings.
Article 48
(a) The Tribunal shall determine the admissibility, relevance, materiality and weight of
evidence.
(b) At any time during the arbitration, the Tribunal may, at the request of a party or on
its own motion, order a party to produce such documents or other evidence as it con-
siders necessary or appropriate and may order a party to make available to the Tribunal
or to an expert appointed by it or to the other party any property in its possession or
control for inspection or testing.
Experiments
Article 49
(a) A party may give notice to the Tribunal and to the other party at any reasonable
time before a hearing that specified experiments have been conducted on which it
intends to rely. The notice shall specify the purpose of the experiment, a summary of
the experiment, the method employed, the results and the conclusion. The other party
may by notice to the Tribunal request that any or all such experiments be repeated in
its presence. If the Tribunal considers such request justified, it shall determine the
timetable for the repetition of the experiments.
(b) For the purposes of this Article, “experiments” shall include tests or other pro-
cesses of verification.
Site Visits
Article 50
The Tribunal may, at the request of a party or on its own motion, inspect or require the
inspection of any site, property, machinery, facility, production line, model, film,
material, product or process as it deems appropriate. A party may request such an
inspection at any reasonable time prior to any hearing, and the Tribunal, if it grants
such a request, shall determine the timing and arrangements for the inspection.
Article 51
The Tribunal may, where the parties so agree, determine that they shall jointly provide:
(i) a technical primer setting out the background of the scientific, technical or other
specialized information necessary to fully understand the matters in issue; and
Article 52
(a) For the purposes of this Article, confidential information shall mean any informa-
tion, regardless of the medium in which it is expressed, which is:
(i) in the possession of a party;
(ii) not accessible to the public;
(iii) of commercial, financial or industrial significance; and
(iv) treated as confidential by the party possessing it.
(b) A party invoking the confidentiality of any information it wishes or is required to
submit in the arbitration, including to an expert appointed by the Tribunal, shall make
an application to have the information classified as confidential by notice to the
Tribunal, with a copy to the other party. Without disclosing the substance of the infor-
mation, the party shall give in the notice the reasons for which it considers the informa-
tion confidential.
(c) The Tribunal shall determine whether the information is to be classified as confi-
dential and of such a nature that the absence of special measures of protection in the
proceedings would be likely to cause serious harm to the party invoking its confiden-
tiality. If the Tribunal so determines, it shall decide under which conditions and to
whom the confidential information may in part or in whole be disclosed and shall
require any person to whom the confidential information is to be disclosed to sign an
appropriate confidentiality undertaking.
(d) In exceptional circumstances, in lieu of itself determining whether the information
is to be classified as confidential and of such nature that the absence of special mea-
sures of protection in the proceedings would be likely to cause serious harm to the
party invoking its confidentiality, the Tribunal may, at the request of a party or on its
own motion and after consultation with the parties, designate a confidentiality advisor
who will determine whether the information is to be so classified, and, if so, decide
under which conditions and to whom it may in part or in whole be disclosed. Any such
confidentiality advisor shall be required to sign an appropriate confidentiality under-
taking.
(e) The Tribunal may also, at the request of a party or on its own motion, appoint the
confidentiality advisor as an expert in accordance with Article 55 in order to report to
it, on the basis of the confidential information, on specific issues designated by the
Tribunal without disclosing the confidential information either to the party from whom
the confidential information does not originate or to the Tribunal.
Article 53
(a) If either party so requests, the Tribunal shall hold a hearing for the presentation of
evidence by witnesses, including expert witnesses, or for oral argument or for both.
In the absence of a request, the Tribunal shall decide whether to hold such a hearing or
hearings. If no hearings are held, the proceedings shall be conducted on the basis of
documents and other materials alone.
(b) In the event of a hearing, the Tribunal shall give the parties adequate advance
notice of the date, time and place thereof.
(c) Unless the parties agree otherwise, all hearings shall be in private.
(d) The Tribunal shall determine whether and, if so, in what form a record shall be
made of any hearing.
Witnesses
Article 54
(a) Before any hearing, the Tribunal may require either party to give notice of the iden-
tity of witnesses it wishes to call, as well as of the subject matter of their testimony and
its relevance to the issues.
(b) The Tribunal has discretion, on the grounds of redundance and irrelevance, to
limit or refuse the appearance of any witness, whether witness of fact or expert
witness.
(c) Any witness who gives oral evidence may be questioned, under the control of the
Tribunal, by each of the parties. The Tribunal may put questions at any stage of the
examination of the witnesses.
(d) The testimony of witnesses may, either at the choice of a party or as directed by
the Tribunal, be submitted in written form, whether by way of signed statements,
sworn affidavits or otherwise, in which case the Tribunal may make the admissibility
of the testimony conditional upon the witnesses being made available for oral
testimony.
(e) A party shall be responsible for the practical arrangements, cost and availability of
any witness it calls.
(f) The Tribunal shall determine whether any witness shall retire during any part of the
proceedings, particularly during the testimony of other witnesses.
Article 55
(a) The Tribunal may, after consultation with the parties, appoint one or more independent
experts to report to it on specific issues designated by the Tribunal. A copy of the
expert’s terms of reference, established by the Tribunal, having regard to any observa-
tions of the parties, shall be communicated to the parties. Any such expert shall be
required to sign an appropriate confidentiality undertaking.
(b) Subject to Article 52, upon receipt of the expert’s report, the Tribunal shall com-
municate a copy of the report to the parties, which shall be given the opportunity to
express, in writing, their opinion on the report. A party may, subject to Article 52,
examine any document on which the expert has relied in such a report.
(c) At the request of a party, the parties shall be given the opportunity to question the
expert at a hearing. At this hearing, the parties may present expert witnesses to testify
on the points at issue.
(d) The opinion of any expert on the issue or issues submitted to the expert shall be
subject to the Tribunal’s power of assessment of those issues in the context of all the
circumstances of the case, unless the parties have agreed that the expert’s determina-
tion shall be conclusive in respect of any specific issue.
Default
Article 56
(a) If the Claimant, without showing good cause, fails to submit its Statement of Claim
in accordance with Article 41, the Tribunal shall terminate the proceedings.
(b) If the Respondent, without showing good cause, fails to submit its Statement of
Defense in accordance with Article 42, the Tribunal may nevertheless proceed with the
arbitration and make the award.
(c) The Tribunal may also proceed with the arbitration and make the award if a party,
without showing good cause, fails to avail itself of the opportunity to present its case
within the period of time determined by the Tribunal.
(d) If a party, without showing good cause, fails to comply with any provision of, or
requirement under, these Rules or any direction given by the Tribunal, the Tribunal
may draw the inferences therefrom that it considers appropriate.
Article 57
(a) The Tribunal shall declare the proceedings closed when it is satisfied that the par-
ties have had adequate opportunity to present submissions and evidence.
(b) The Tribunal may, if it considers it necessary owing to exceptional circumstances,
decide, on its own motion or upon application of a party, to re-open the proceedings it
declared to be closed at any time before the award is made.
Waiver
Article 58
A party which knows that any provision of, or requirement under, these Rules, or any
direction given by the Tribunal, has not been complied with, and yet proceeds with the
arbitration without promptly recording an objection to such non-compliance, shall be
deemed to have waived its right to object.
Article 59
(a) The Tribunal shall decide the substance of the dispute in accordance with the law
or rules of law chosen by the parties. Any designation of the law of a given State shall
be construed, unless otherwise expressed, as directly referring to the substantive law of
that State and not to its conflict of laws rules. Failing a choice by the parties, the
Tribunal shall apply the law or rules of law that it determines to be appropriate. In all
cases, the Tribunal shall decide having due regard to the terms of any relevant contract
and taking into account applicable trade usages. The Tribunal may decide as amiable
compositeur or ex aequo et bono only if the parties have expressly authorized it to
do so.
(b) The law applicable to the arbitration shall be the arbitration law of the place of
arbitration, unless the parties have expressly agreed on the application of another arbi-
tration law and such agreement is permitted by the law of the place of arbitration.
(c) An Arbitration Agreement shall be regarded as effective if it conforms to the
requirements concerning form, existence, validity and scope of either the law or rules
Article 60
Decision-Making
Article 61
Unless the parties have agreed otherwise, where there is more than one arbitrator, any
award, order or other decision of the Tribunal shall be made by a majority. In the
absence of a majority, the presiding arbitrator shall make the award, order or other
decision as if acting as sole arbitrator.
Article 62
(a) The Tribunal may make preliminary, interim, interlocutory, partial or final
awards.
(b) The award shall be in writing and shall state the date on which it was made, as well
as the place of arbitration in accordance with Article 39(a).
(c) The award shall state the reasons on which it is based, unless the parties have
agreed that no reasons should be stated and the law applicable to the arbitration does
not require the statement of such reasons.
(d) The award shall be signed by the arbitrator or arbitrators. The signature of the
award by a majority of the arbitrators, or, in the case of Article 61, second sentence, by
the presiding arbitrator, shall be sufficient. Where an arbitrator fails to sign, the award
shall state the reason for the absence of the signature.
(e) The Tribunal may consult the Center with regard to matters of form, particularly to
ensure the enforceability of the award.
Article 63
(a) The arbitration should, wherever reasonably possible, be heard and the proceedings
declared closed within not more than nine months after either the delivery of the
Statement of Defense or the establishment of the Tribunal, whichever event occurs
later. The final award should, wherever reasonably possible, be made within three
months thereafter.
(b) If the proceedings are not declared closed within the period of time specified in
paragraph (a), the Tribunal shall send the Center a status report on the arbitration, with
a copy to each party. It shall send a further status report to the Center, and a copy to
each party, at the end of each ensuing period of three months during which the pro-
ceedings have not been declared closed.
(c) If the final award is not made within three months after the closure of the proceed-
ings, the Tribunal shall send the Center a written explanation for the delay, with a copy
to each party. It shall send a further explanation, and a copy to each party, at the end of
each ensuing period of one month until the final award is made.
Effect of Award
Article 64
(a) By agreeing to arbitration under these Rules, the parties undertake to carry out the
award without delay, and waive their right to any form of appeal or recourse to a court
of law or other judicial authority, insofar as such waiver may validly be made under
the applicable law.
(b) The award shall be effective and binding on the parties as from the date it is com-
municated by the Center pursuant to Article 62(f), second sentence.
Article 65
(a) The Tribunal may suggest that the parties explore settlement at such times as the
Tribunal may deem appropriate.
(b) If, before the award is made, the parties agree on a settlement of the dispute, the
Tribunal shall terminate the arbitration and, if requested jointly by the parties, record
the settlement in the form of a consent award. The Tribunal shall not be obliged to give
reasons for such an award.
(c) If, before the award is made, the continuation of the arbitration becomes unneces-
sary or impossible for any reason not mentioned in paragraph (b), the Tribunal shall
inform the parties of its intention to terminate the arbitration. The Tribunal shall have
the power to issue such an order terminating the arbitration, unless a party raises justi-
fiable grounds for objection within a period of time to be determined by the Tribunal.
(d) The consent award or the order for termination of the arbitration shall be signed by
the arbitrator or arbitrators in accordance with Article 62(d) and shall be communi-
cated by the Tribunal to the Center in a number of originals sufficient to provide one
for each party, the arbitrator or arbitrators and the Center. The Center shall formally
communicate an original of the consent award or the order for termination to each
party and the arbitrator or arbitrators.
Article 66
(a) Within 30 days after receipt of the award, a party may, by notice to the Tribunal,
with a copy to the Center and the other party, request the Tribunal to correct in the
award any clerical, typographical or computational errors. If the Tribunal considers
the request to be justified, it shall make the correction within 30 days after receipt of
the request. Any correction, which shall take the form of a separate memorandum,
signed by the Tribunal in accordance with Article 62(d), shall become part of the
award.
(b) The Tribunal may correct any error of the type referred to in paragraph (a) on its
own initiative within 30 days after the date of the award.
(c) A party may, within 30 days after receipt of the award, by notice to the Tribunal,
with a copy to the Center and the other party, request the Tribunal to make an
additional award as to claims presented in the arbitral proceedings but not dealt with in
the award. Before deciding on the request, the Tribunal shall give the parties an oppor-
tunity to be heard. If the Tribunal considers the request to be justified, it shall, wher-
ever reasonably possible, make the additional award within 60 days of receipt of the
request.
Article 67
(a) The Request for Arbitration shall be subject to the payment to the Center of a non-
refundable registration fee. The amount of the registration fee shall be fixed in the
Schedule of Fees applicable on the date on which the Request for Arbitration is received
by the Center.
(b) Any counter-claim by a Respondent shall be subject to the payment to the Center
of a non-refundable registration fee. The amount of the registration fee shall be fixed
in the Schedule of Fees applicable on the date on which the Request for Arbitration is
received by the Center.
(c) No action shall be taken by the Center on a Request for Arbitration or counter-
claim until the registration fee has been paid.
(d) If a Claimant or Respondent fails, within 15 days after a second reminder in writing
from the Center, to pay the registration fee, it shall be deemed to have withdrawn its
Request for Arbitration or counter-claim, as the case may be.
Article 68
(a) An administration fee shall be payable by the Claimant to the Center within
30 days after the Claimant has received notification from the Center of the amount
to be paid.
(b) In the case of a counter-claim, an administration fee shall also be payable by the
Respondent to the Center within 30 days after the Respondent has received notification
from the Center of the amount to be paid.
(c) The amount of the administration fee shall be calculated in accordance with the
Schedule of Fees applicable on the date of commencement of the arbitration.
(d) Where a claim or counter-claim is increased, the amount of the administration fee
may be increased in accordance with the Schedule of Fees applicable under paragraph
(c), and the increased amount shall be payable by the Claimant or the Respondent, as
the case may be.
(e) If a party fails, within 15 days after a second reminder in writing from the Center,
to pay any administration fee due, it shall be deemed to have withdrawn its claim or
counter-claim, or its increase in claim or counterclaim, as the case may be.
(f) The Tribunal shall, in a timely manner, inform the Center of the amount of the
claim and any counterclaim, as well as any increase thereof.
Article 69
The amount and currency of the fees of the arbitrators and the modalities and timing of
their payment shall be fixed by the Center, after consultation with the arbitrators and
the parties, in accordance with the Schedule of Fees applicable on the date on which
the Request for Arbitration is received by the Center.
Deposits
Article 70
(a) Upon receipt of notification from the Center of the establishment of the Tribunal,
the Claimant and the Respondent shall each deposit an equal amount as an advance for
the costs of the arbitration referred to in Article 71. The amount of the deposit shall be
determined by the Center.
(b) In the course of the arbitration, the Center may require that the parties make supple-
mentary deposits.
(c) If the required deposits are not paid in full within 30 days after receipt of the cor-
responding notification, the Center shall so inform the parties in order that one or other
of them may make the required payment.
(d) Where the amount of the counter-claim greatly exceeds the amount of the claim or
involves the examination of significantly different matters, or where it otherwise appears
appropriate in the circumstances, the Center in its discretion may establish two separate
deposits on account of claim and counter-claim. If separate deposits are established, the
totality of the deposit on account of claim shall be paid by the Claimant and the totality
of the deposit on account of counter-claim shall be paid by the Respondent.
(e) If a party fails, within 15 days after a second reminder in writing from the Center,
to pay the required deposit, it shall be deemed to have withdrawn the relevant claim or
counter-claim. (f) After the award has been made, the Center shall, in accordance with
the award, render an accounting to the parties of the deposits received and return any
unexpended balance to the parties or require the payment of any amount owing from
the parties.
Article 71
(a) In its award, the Tribunal shall fix the costs of the arbitration, which shall consist of:
(i) the arbitrators’ fees;
Article 72
In its award, the Tribunal may, subject to any contrary agreement by the parties and in
the light of all the circumstances and the outcome of the arbitration, order a party to
pay the whole or part of reasonable expenses incurred by the other party in presenting
its case, including those incurred for legal representatives and witnesses.
VII. CONFIDENTIALITY
Article 73
(a) Except to the extent necessary in connection with a court challenge to the arbitra-
tion or an action for enforcement of an award, no information concerning the existence
of an arbitration may be unilaterally disclosed by a party to any third party unless it is
required to do so by law or by a competent regulatory body, and then only:
(i) by disclosing no more than what is legally required; and
(ii) by furnishing to the Tribunal and to the other party, if the disclosure takes place
during the arbitration, or to the other party alone, if the disclosure takes place after
the termination of the arbitration, details of the disclosure and an explanation of the
reason for it.
(b) Notwithstanding paragraph (a), a party may disclose to a third party the names of
the parties to the arbitration and the relief requested for the purpose of satisfying any
obligation of good faith or candor owed to that third party.
Article 74
(a) In addition to any specific measures that may be available under Article 52, any
documentary or other evidence given by a party or a witness in the arbitration shall be
treated as confidential and, to the extent that such evidence describes information that
is not in the public domain, shall not be used or disclosed to any third party by a party
whose access to that information arises exclusively as a result of its participation in the
arbitration for any purpose without the consent of the parties or order of a court having
jurisdiction.
(b) For the purposes of this Article, a witness called by a party shall not be considered
to be a third party. To the extent that a witness is given access to evidence or other
information obtained in the arbitration in order to prepare the witness’s testimony, the
party calling such witness shall be responsible for the maintenance by the witness of
the same degree of confidentiality as that required of the party.
Article 75
The award shall be treated as confidential by the parties and may only be disclosed to
a third party if and to the extent that:
(i) the parties consent; or
(ii) it falls into the public domain as a result of an action before a national court or
other competent authority; or
(iii) it must be disclosed in order to comply with a legal requirement imposed on a
party or in order to establish or protect a party’s legal rights against a third party.
Article 76
(a) Unless the parties agree otherwise, the Center and the arbitrator shall maintain the
confidentiality of the arbitration, the award and, to the extent that they describe infor-
mation that is not in the public domain, any documentary or other evidence disclosed
during the arbitration, except to the extent necessary in connection with a court action
relating to the award, or as otherwise required by law.
(b) Notwithstanding paragraph (a), the Center may include information concerning the
arbitration in any aggregate statistical data that it publishes concerning its activities,
VIII. MISCELLANEOUS
Exclusion of Liability
Article 77
Except in respect of deliberate wrongdoing, the arbitrator or arbitrators, WIPO and the
Center shall not be liable to a party for any act or omission in connection with the
arbitration.
Waiver of Defamation
Article 78
The parties and, by accepting appointment, the arbitrator agree that any statements or
comments, whether written or oral, made or used by them or their representatives in
preparation for or in the course of the arbitration shall not be relied upon to found or
maintain any action for defamation, libel, slander or any related complaint, and this
Article may be pleaded as a bar to any such action.
541
Arbitral panel power, 41. See also Arbitral arbitral panel’s duty in multiparty
tribunal power agreement, 71
in ability to present one’s case as arbitrator mission, definition of, 133–34
fundamental general requirement, 38 burden of proof, shifting of, 152n23
in procedural agreement breach award, 26 noncompliance of party, 154n28
in ultra petita award, 28 on registration fees criterion, 98n42
procedural actions under, 101 panes, duties of, 71
Arbitral panel’s role parties agreement on dispute, 6n12
direct intervention, 151–52 parties’ representation by a lawyer, 191n21
guidance via consultations, 150–51 representation by lawyer, 191n12
invalidity of agreement, 51 sole arbitrator appointment of, 29n22
traditions and culture, conflicts of, 149–50 waiving rights, 62n36
security for loss or damage, 100 Arbitration agreement, and the
Arbitral procedure Convention, 25–35
non-accordance with, 66 assignment of, 55–56
substantive rights, 16 clauses in, 44
Arbitral proceedings establishment of, 49, 50
application of law in, 203 invalidity of, 35–36
key element of fairness in, 67 limitations to, 25
other party breach of agreement during, 70 material breaches of, 72n60
quality of, 50 modifications of, 98
Arbitral process, 16 parties agreement under, 25
Arbitral tribunal and parties’ rights, 201
and institution, security for, 98–99 party and jurisdiction, 83
power of, 28 procedural agreement breach, 26–28
Arbitration reach and applicability of, 54
advance fee payment as security, 98 requirement in, 33n29
access to justice, 104 ultra petita under, 28–31
benefits of, 130–31 waiver doctrine and procedural agreement
confidentiality of, 131 breach under, 32–35
effective management of, 192 Arbitration agreement, existence of, 43, 46–52
elements of, 12, 141 competence, determining of, 48–51
establishing facts in, 142–43 jurisdiction on, 48–49
fundamental procedural requirement of, 203 validity of, 51–52
international disagreements, 130 written form, 46–48
lis pendens doctrine, 90–91 Arbitration agreement, interpretation of.
material and evidentiary issues in, 197 See also Contract interpretation
meaning of, 1 arbitration clause, time limit, 58–59
minimum quality standards in, 201 for award, time limit, 56–58
modification of 83 methods of, 52–55
nonexistence of lis pendens, 90 Arbitration agreement, unconscionability
nonexistence of res judicata, 85, 89 and unreasonability, 62–66
opinions regarding, 53 disregard of, 75n63
paying advance as security as, 98 UNCITRAL Model Law, 75n64
procedural aspects of, 202–3 Arbitration agreement. See also Arbitral
procedural foundation of, 201 agreement
procedural safeguards, 3–4 alternatives to, 45
registration fee, 98n42 and arbitration clause, 70
responsibility in 173 as basis of jurisdiction, 43
standard of impartiality in, 115–18 cancellation of, 59, 69–70
termination of, 196 and due process, 78–79
Arbitration Act of 1996 (England), xxiii, enforceability of, 66
50n14, 147n12 interpretation of, 52
applying for protective measures, 103 interpretation, problems related to, 55
542 INDEX
jurisdictional effects of, 43, 78 duty to disclose facts, 120–22, 120n35
material breaches of, 72n60 fees and costs of, 130–32
modifications in, 48 freedom in hearings, 45
nature of, 78 goal of, 14
need for specificity and exactness in, 46 latent sympathies in, 117
one-sidedness in, 62 liability of, 132–36
reach and applicability of, 54 mission of, IBA Ethics on, 133
restriction by, 43 negligence of duty, 135
unreasonableness on, reasons for, 65 and nominating party, 115–16
validity, court findings on, 51 partiality of, 116
written form requirement of, 48 powers of, 180–81, 199
Arbitration agreement’ requirement, in purpose of, 122
New York Convention, 16 rights and duties of, 108
Arbitration agreement enforceability, in due standards of impartiality, application of, 115
process, 66–73 Arbitrator’ deliberate wrongdoing, tackling of,
agreement defining of, 66–67 Swiss Rules on, 136
disloyalty case, possible actions in, 69–70 Arbitrator and party, relationship
parties’ good faith, 68–69 between, 124–25
violation of, 70–73 Arbitrators’ duty, and establishing relevant
Arbitration and dispute resolution, 190 facts, 176
Arbitration and fair hearing, access to, 206 Arbitrators’ liability, standards on, 134
Arbitration and fair procedure, 205 Arbitrator’s non-respect on agreement, 72
Arbitration and jurisdiction, debate on, 81 Arbitrators’ power
Arbitration as substitute for court trial, 185 in evidence assessment, 76
Arbitration clause, 109 material limitations to, 45
“all-catching” interpretation of, 53–54 Argentina Act, xxiii
and “arbitration agreement,” 70 Article 740, on nullity, 46n6
components of, 25n18 Article 744, on nullity, 46n6
future disagreements, 45 Article 745, arbitration agreement, 133n54
references to, 47 Article 749, arbitral proceedings, 186n1
validity of, 63n39 Article 755, time of award, 57n28
Arbitration cost Article 756, award rendering, 57n30
ICC Rules on, 99 Article 760, on ex post waive, 34n32
security for, 101 Article 769, amiables compositeurs, 73n61,
Arbitration law of seat of arbitration, 26, 27, 40 111n7
Arbitration panel Article 771, 73n61
composition of, 108–9 Argentina Act Article 740, agreement in
in dispute resolution context, 107–8 writing, 46n6
importance of, 107 Arguments, right to claim submission and
Arbitration practices, 16, 28 supporting, 188
Arbitration procedure, impartiality in, 107 Assignee, contract assignment, 56
Arbitration proceeding and flexibility, 165 Assignment and transfer, contract interpretation
Arbitration-specific law, contract problems in, 55–56
interpretation, 53, 54 Attorneys’ fees and parties’ legal costs,
Arbitration structure, and legal protection, 200 security for, 99–100
Arbitrator Audi alteram partem, 38, 41
appointment rules of, 109 and impartiality principles, 128–29
and arbitrator, non-disclosure situation, 125 on panel’s participation, 129–30
authority and power of, 174 violations of, 72, 133
deviation from limitations, 45 Audiatur altera pars
discretion of, 3 and fair arbitration, rules of, 200
and dispute resolution, 130 principle and rule of, 206
disqualification process of, 110 Authorities’ request, for submitted
and duty of confidentiality, 136 information, 137
INDEX 543
Authority and power of panel, ICC Rules and complex cases with numerous facts, 148
Article 15(1) on, 174 division of, 147
Avoiding contract, under UNIDROIT, 128n43 existence of, 148
Award and importance of procedural aspects, 147
barring recognition and enforcement, 24 and international commercial arbitration, 147
clarity in, 198 issue of, 143
enforceability of, 4 under Swiss Rules, 177
fair arbitration, 196–99 “Carte blanche” prayer
international unenforceability of, 203 in international arbitration, 77n69
interpretation, approach to, 199 relief and due process, 77–78
lack of clarity in, 199
legal costs and breach in duty, 146 Case law from national courts, arbitration
modification or correction of, 198n31 practice concerning, 28
and panel’s duty in, 199 Case presentation
under UNCITRAL Model Law, 198 and arbitral proceedings’ elements, 40
Award enforceability, 45 complexities, 38
case presenting ability, 38–39 inability of, 37
on “condition subsequent,” enforcement notice of appointment, 38
of an award, 40 opportunity to, 173, 204
failure in performing duties, 69 requirements of, 16, 38
grounds for refusal, 26 timeliness, 39
incapacity of party, 35 Case presenting ability, 37–40
procedural agreement breach as, 26–28 agreement and law of seat, 39–40
ultra petita under, 29 as a fundamental general requirement, 37–39
Award of costs, rule in England, 100n47 Central Chamber of Commerce of Finland
Award refusal, and parties incapacity in (FCCC), xxiv
proceedings, 82 Challenging arbitrators, 109–11
Award regarding Convention’s provisions of, 110
deadline extension of, 57 rules applicable to, 109
delay in, 57–58 Challenging evidence, 168
disregard of, 76 “Cherry picking,” agreement in writing, 47
material issues of, 44 China International Economic and Trade
reasons for failure, 58 Arbitration Commission (CIETAC), xxiii
China Law, xxiii, 83n5
Bad faith, of arbitrator, 72 Choice of counsel
Balancing parties’ position, arbitration, 190 in China, 190
Bankruptcy rights to, 191–92
and other party’s involvement, 181 CIETAC Arbitration Rules, xxiii
pending arbitration proceedings, 187 Article 33, arbitrator’ duty of confidentiality,
and right to present new evidence, 204 136
Barring recognition, of arbitral award, 24 Article 33, hearing, recording of, 136
Bearing risk and burden of education, 179 Article 36, establishing facts, 175n4
Bias Civil Procedure Law, of China, 74
constituents of, 118–20 Civil Rights Covenant, xxiii, 190
determination of, 119 Claims or award enforcement, security for, 101
reasons for, 118–19 Clarity in “tête-a-tête” witness conference,
in witness testimony, reasons for, 165 IBA Rules Article 5(3) on, 170
Bilateral and multilateral treaties, 15 Classical procedural law, 107
Black letter law approach, 3 research, 104
“Bleeding to death,” in legal fees and costs, 97 and waiver, 127
Blessing I, xxiii Closing pleadings, deadline for, 195
“Burden of education” and mission of Code de procédure civile. See French Law
arbitrators, 178–80 Codified procedural principles, law of
Burden of proof, 147–49 arbitration, 27
544 INDEX
Collecting evidence, arbitral panel’s Contradictory witness testimony, measures for
role in, 144, 151 dealing with, 158
COMI Rules, xxiii Core of law, 6
Commercial agreement performance, Correction of award, under UNCITRAL
limitations of, 67n46 Model Law, 198
Commercial dispute Cost
economic interests in, 111 of arbitration, problems related to, 64
resolution and fairness in arbitration, 205 of arbitration, under Swiss Rules, 132
Communication and dispute resolution methods, 205
access to, 188 Cost-effectiveness
documentation of, 47 and expeditiousness, of conducting
with parties, 47 proceedings, 150
of written statements, 194 prayer for relief, 77–78
Compensation for witnesses, 169 Counsel, arbitrator relationship with, 126
“Competence de competence,” UNCITRAL Court convenience of, 95
Model Law Article 16, 49 Court decision, international
Competent authority, ground for refusal, 18, 19 enforceability, 88–89
Complex arbitration proceedings and final Court procedure and arbitration, 201
award, 198 Courts, authority and power of, 174
Composition of arbitral authority, Courts objectivity, meaning of, 114
Convention on, 128 Cross-border approach, need for, 8
Concealing facts, violation of law, 145, 146 Cross-examination
Concealment of facts, 145 and special arrangements for witnesses, 168
“Condition subsequent,” New York witnesses, right to, 188
Convention’ requirements, 16 Cross-legal approach, need for, 8
Conflicts
in duties of confidentiality, issues Defense by indemnitor, 186
relating, 137–38 Demergers, verification of legal identity in, 86
of interest IBA guidelines on, 110, 114n16 Denial, of case presentation, 191n13
of multi-party arbitration, 82 Direct interest in dispute, non-disclosure
Constitutional rights, in public hearing, 43 situation, 126
Constitutive norm, distinction, and lex Direct intervention by panel, approaches
mercatoria, 7 to, 151–51
Consultation, by arbitral panel, 182 Direct procedural requirements, of due
Contesting arbitrator’s jurisdiction, process, 206
in U.S., 51n16 Discharging assignor, as obligor, 186n1
Contracting party Discipline maintenance, witness testimony, 167
arbitration assignment, 56 Disclosure
formation of, 25 and equitable contract, standards of, 127
against guarantor, 186 of facts, in arbitration, 145
negotiation clauses in, 104 and waiver doctrine, 128
Contract interpretation Discovery of documents, right to, 188n7
case law concerning, 52 Disloyalty case, possible actions in, 69–70
and dispute resolution context, 52, 55 Dismissal, seeking motion for, 97
problems of, 52–53 Disposive rules, 6
trends in, 53–54 Dispute and arbitrator, non-disclosure
Contract law, 52 situation, 125
Contract transfer of, assignment Dispute resolution, 15
problems, 55–56 arbitration panel in, 107–8, 132
Contractual duties of parties, commercial costs of, 105
transactions, 145 and enforcement procedures, 101
Contract unreasonableness of, evaluation and mechanisms, agreement interpretation, 55
criteria, 65 process of, other pending suit, 94
Contradictory principle, 14 Doctrine of forum non conveniens, 95–96
INDEX 545
Documents production of, IBA Rules on, 155 Enforcement
Documents submitted, under dimensions, 89–90
ICC Rules, 157–58 refusal of, 17n1
“Double” litigation, 50 “Enforcement effects” test, 91–92
“DR steps,” 103 Enforcement of evidentiary measures, 152–60
D.S.T. v. Rakoil, 6n12 entire agreement clause in, 158–60
Due process, 53, 206 “external” orders in, 154–56
in arbitration, defining of, 8–12 fact-finding by arbitrators in, 156–57
arbitration requirement of, 1–2 “internal” orders in, 153–54
argument formulation of, 203–4 organizing evidentiary hearings in, 157–58
access to justice, 64, 78 “toolbox” of measures for producing
in commercial arbitration of, 9 evidences, 152
concept of, 1 Entire agreement clause
under the Convention, 41 and parties’ legal rights, 158–60, 158n39
and entire agreement clause, 160 purpose of, 159
facets of, 203 Equality of arms and reasonable opportunity,
and facts, 141–42 presenting one’s case, 186–91
international norms concerning, 88 Erga omnes, effects, arbitral award, 81
and jurisdiction, 81 Establishing relevant facts
lack of, in parallel proceedings, 95 and dispute resolution, 174
law, floating nature of, 5–8 importance of, 175
and ordre public, 189 European Convention on Human Rights
as a principle of law, 12–14 (ECHR), 2, 189, 202, 204
and procedural rules, 4 Evasiveness testimony, 165–66
and protection of substantive rights, 145 Evidence
safeguards of, 50 exclusion of irrelevant, 159
standards of, 16 refusal to bring 147n10
Due process, requirement of, 15, 16, 28, status of, 76
108, 185, 201, 202, 204. See also submission deadline for, 194, 195
Lex proceduralia Evidence in international commercial
categories of, 206 arbitration, IBA rules, 54n23
definition of, 3–5 Evidence insufficiency, and party’s remedies,
objective impartiality, 107, 117 174–75
parties’ equal treatment, 173 Evidence producing
substantive rights, protection of, 145, 172 difficulties encountered, 152
Due process, violation of, 70–76 refusal to, 152
arbitrator’s failure to disclosure, 129 Evidences, risk in, 143
disregard of agreement and substantive Evidentiary hearings, in legal
law, 73–75 proceedings, 144, 157–58
disregard of facts, 76 Evidentiary proceedings and panel’s role, 178
non-respect of agreement, 70–73 Ex ante approach, of proceeding, 205
Duty negligence, by arbitrators, 135 Exercising discretion and deliberations in
Duty of confidentiality, arbitrators, 136–38 arbitration, 197
Duty of guarantor, arbitration, 147–48n13 Expediency
Duty on parties, invoking clause in in arbitration, importance of, 192, 194
arbitration, 44 prayer for relief, 77–78
Expert testimony, under IBA Rules, 170
Economic dependence, of bias, 118 Expert testimony, under UNCITRAL
Emotional ties Model Law, 169–70
of bias, 118, 119 Ex post waiver, 127
and witness testimony, 165–66
Enforceability Fact-finding
normative foundation of, 204 by arbitrators, 156–57
State courts’ decision, 15 by panel, 177
546 INDEX
Facts Foreign arbitration awards, recognition and
deliberate misrepresentation of, 146 enforcement of, 15, 17n1
disregard of, 76 Foreign nationals as arbitrators, arbitration
subjective views on parties’ presentation law of China, 178n13
of, 144 Forum non conveniens motion, 95
Facts analysis, and legal traditions in, 149–50 definition of, 95
Facts and evidence, due process special considerations in arbitration,
related to, 141–42 97–98
Facts disclosure of, grounds for a claim, 87 Fouchard, Philippe, Emmanuel Gaillard,
Factual reality concept, arbitration, 141 and Bethold Goldman (FGG), xxiv
Failure remedy, violation of due France Act Article 1456, award rendering
process, 72 deadline, 57n30
Failure to disclose Fraudulent misrepresentation of
and effects on arbitrator, 129 facts, 145, 146, 176
and violations of fundamental procedural Freedom of contract, mandate
rules, 133 in concreto, 43
Failure to produce evidence, under CIETAC Freedom of parties, procedural matters’
Arbitration Rules, 175 agreement, 28
Fair arbitration, 185, 199, 201, 202, French Law, xxiv, 10
203, 204, 206 Fundamental principles, international
accessibility aspect in, 185 public policy, 22, 23
due process requirement of, 79 Fundamental procedural principles, concerning
principle of, 202 criminal charges, 189
requirement of, 185 Fundamental procedural rights, 15
right to information submitted in, 187
and rule of audiatur alteram pars, 200 General procedural context,
standards for party’s participation in, 187 impartiality in, 114
and substantive rights enforcement, 200 Generic arbitration clause, 45
summary of, 199–200 Generic waivers, 33, 44
and timeliness, 192–95 German Law, xxiv
Fairness and arbitral award, 9
in arbitration, 142 about opportunity, to parties, 3n5
and finality in arbitration, “Good faith,” in presenting facts, 145
conflicts of, 204–5, 206 Green list non-disclosure situation, 122–23
in procedure, key element of, 66 Guarantee instruments
of proceeding, 183, 205 and commonality, 61
Fair trial, 185 functioning methods, 60
and fair hearing, 199 Guarantor’s obligation, and arbitration
False arbitral award, 16 agreement, 60–61
Faulty delivery, arbitration, 141
FCCC Expedited Rules, xxiv Hard-core rules, identification of limits, 14
Fees and costs, in arbitrations, 130–32 Hardships, in arbitration, 97n36
FGG, xxiv Hearing for taking evidence, 157
Files of adversary, access to, 161n43, 162 Holtzmann, xxiv
Filing rights Hostile third parties, producing
in agreement breach, 59 evidence, 152
in case of disloyalty, 69 Hostility and witness testimony, 165–66
Final award in arbitration, UNCITRAL Human Convention, xxiv
Model Law, 196 Human rights conventions
Finality, in arbitration, 205 arbitration agreement, 2
Finland Arbitration Act, cancellation and due process, 203
of arbitration agreement, 59n35 in public hearing, 43
Fixing arbitrator’s fees, under Swiss as source of transnational due process
Rules, 131–32 requirements, 11
INDEX 547
IBA Ethics, xxv Indemnitor’s right, invoking arbitration
IBA Guidelines, non-disclosure situations, agreement, 60–61
122–26 Independency
green list, 122–23 under arbitration context, 115
orange list, 123–25 doctrine of, 45
red list, 125–26 and impartiality, in arbitration, 185
IBA Guidelines, xxv meaning of, 113–15
Article 1, about moral hazards of separation of, 115
arbitration, 112 India Law, xxv
Article 3, arbitrator’s duty to Indirect interest in dispute, non-disclosure
disclose, 120–21 situation, 126
Article 4, on waiver doctrine, 34–35 Information submitted, right to, 187
Article 4, waiver of conflict under, 127 Innocent misrepresentation, of facts, 145, 176
Article 6, disclosure of facts, 121, 138–39 Institution, sole authority and power of, 174
Article 7, parties and arbitrators’ duty on Institutional arbitration, 26, 45
disclosure, 122 arbitral panel’s power in, 27
on determination of, 119 Institutional arbitration and mandate in
IBA Rules, xxv concreto, 133
ICC arbitration agreement, 47n8 Institutional rules
ICC Rules, xxv arbitration practice concerning, 28
Article 8(1) and (2) on arbitral panel, 108 award rendering time limit, 57
Article 28(6), 33 Intelligence, application of law in
Article 30, of security deposit and tribunal arbitration, 142, 143
cost, 99 Interim awards, 198, 199
Article 33, 34 “Internal” orders on producing evidence,
about moral hazards of arbitration, 112 of IBA Rules, 153–54
provisional advance of, 98 International arbitration
ICC Uniform Customs and Practice for agreements, characteristics of, 45
Documentary Credits (UCP), xxvi community and confidentiality of award, 138
Identification process, fundamental and evidence producing trends, 179n16
principles of, 22 legal traditions in 149–50
Impartial arbitrators right to counsel in, 191
meaning of, 113–15 International Bar Association (IBA), xxiv,
requirement of, 111–13 191n13
Impartial conduct, requirement of, 126–27 International Chamber of Commerce (ICC), xxv
Impartiality, in arbitration International collaboration, in arbitration, 15
and arbitration, standard of, 116 International Commercial Arbitration
ICC Rules on, 126 and analysis of facts, legal traditions in, 149
meaning of, 113–15 burden of proof, 147
resolving problems of, 139 flexibility in, 150n18
separation of, 115 IBA Rules on evidence taking in, 144n4
Impartiality, of arbitrators, 205 incapacity of person, 35–36
definitions of, 113–14 parties incapacity in proceedings, 82
and due process, 138 under UNCITRAL Model Law, 187n2
and good arbitration practice, 117 International Commercial
waiver doctrine to, 118 Contracts, 6n11, 159n39
Impartiality principles on, communication, 128–29 International contracts, arbitration
Impartial proceedings, 127 clauses for, 26n21
Inability to present case, 41. See also Audi International disagreements, and arbitration, 130
alteram partem International due process, 15, 16
In concreto, waiver, 127 International enforceability, State courts’
Incorrect interpretation of law, 74n62 decision, 15
Increased procedural cost, and access International human rights, law of
to justice, 205 arbitration, 27
548 INDEX
International Institute for the Unification of Justice and arbitration, access to, 201
Private Law (UNIDROIT), xxvi, 186n1 Justifiable doubts and arbitrator’s
International Law Association (ILA), xxv, 21 impartiality, 120
International Law Association (ILA) Justness, in arbitration, 205
Recommendations
criteria for award by, 87 Language of witnesses, 164
fundamental principles of, 22–23 Latent sympathies, arbitration, 117
about lis pendens, 88 Law dictionary, 96n37
principles of waiver, 23 “Law merchants,” 6
on res judicata, 87 Law of arbitration, 52
International minimum requirements for procedural framework, 27
criminal matters procedural agreement breach, 27
Civil Rights Covenant on, 190 Law of enforcement, 42
International norms, of due process, 88 Law of international arbitration, 41
International ordre public, violation of, 104 Law of seat, 39
International public policy Laws in arbitration, 141
definition of, 21 Law to facts, application of, 142
group of, 22 “Layers” of rules, 5–6
International soft law Legal analysis of evidence, 142
and due process, 203 Legal assistants, arbitration, 191
as source of transnational due process Legal decision
requirements, 11 facts in, 142–46
Inter partes effects, arbitral award, 81 structure of, 141–42
Interpretation of agreement, 103 Legal identity, verification of, 86
Interpretative function, principles of fair Legal issues and emotional ties of
arbitration, 204 witness, 165–66
Interviewing witnesses Legal literature, arbitration practice
ethics of, 162 concerning, 28
reconstruction of past, 160 Legal proceedings
Invalidity of the arbitration agreement, problems in, 143
material law applicable in, 36 time and effective management, 150, 169
Italy Act, xxv under UNCITRAL Model Law, 169–70
award rendering time limit, 56n27 Legal protection to parties’ rights, 142
Lex arbitri arbitration, 97
Japan Act 2003, xxv applicable procedural law, 36, 37
honor and integration, 112 of arbitration law, 22, 23, 40
ideal procedure, unwillingness in producing evidence, 153
contributing to, 68n50 Lex fori, on control on mandate
Supplementary Provisions, for cancellation in concreto, 40
of arbitration, 63n37 Lex mercatoria analogy to, 5–8
Judges, standards of impartiality, Lex mercatoria arbitralis, 8n15
application of, 115 Lex mercatoria in international commercial
Judicial authority’s delegation, mandate law, 201, 202
in concreto, 43 Lex proceduralia, 8, 185
Jura novit arbiter principle in arbitration, defining of, 8–9
application of, 178–80 arguments and arbitration, 201, 202, 203
prayer for relief, 77–78 as interpretative tool, 12
same relief hearing, 87 parties’ equal treatment, 173
Jurisdiction transnational due process standard, 27
in arbitration agreement, 43 Liability for non-performance, under
aspects of, other than agreement, 81 UNIDROIT, 135n59
condition precedent to, 83 Liability issues, delay in award rendering, 58
related problems in classical procedural law Liber Amicorum Claude Reymond
research, 104 (LCAR), xxv
INDEX 549
Lincoln v. Sun Life case, interdependent National arbitration law, standard of
disputes, 89n22 independence in, 115
Lis pendens doctrine, 90 National arbitration laws, 3
Lois de police, 22. See also Public and arbitration standard, 3
policy rules National law
London Court of International Arbitration invoking clause in arbitration, 44
(LCIA), xxv and legal system, 8
Loss or damage, security for, 100–101 provisions for fees’ security, 98
National legislation and due process, 203
“Macro rules,” 72 National letter law approach, 3
Magna carta, of arbitral procedure, 187 National public policy, 18
Malrepresentation, of facts, 176. See also enforcement proceedings, 19
Fraudulent misrepresentation, of facts National rules of interpretation, arbitration
Managing proceedings, 173–74 agreement, 52n17
Mandate in abstracto, lex fori, 40, 41 Natural justice, breach of, 17, 17n1
Mandate in abstracto and timeliness, 192 Negotiation mechanism, views on
Mandate in concreto. See also Arbitration enforceability of, 102–4
agreement Neutrality, in arbitration terminology, 114
basis of, 43 New arbitral proceedings, expiry of
elements of, 40, 41 time limit, 58–59
and limitation of arbitrator’s power, 180 New evidence, right to present, 204
and timeliness, 192 New evidence submission in arbitral
Mandatory procedural trade usage, core proceedings, 194n21
criterion of, 15 New York Convention, xxiii, 3, 15. See also
Mandatory rules, 6 Convention, the
Materiality of evidence, Article II(3), expiry of time limit, 59
determination of, 76n68 Article II(3), validity of agreement, 51
Material law applicable Article V, conclusions on analysis of, 41–42
for incapacity of person, 35–36 Article V1(a), incapacity of party, 35
for invalidity of arbitration agreement, 36 Article V1(a), parties incapacity in
remedies in, 78n71 proceedings, 82
Material requirements, prerequisites of Article v.1(b), 17n1
jurisdiction, 16 Article V1(b), case presenting ability, 38
Material waiver of rights, 177 Article V1(c), on ultra petita, 29
Matters beyond scope, 28. See also Ultra Article V1(d), arbitral appointment
petita award mechanism, 109
agreement interpretation of, 29, 30 Article V1(d), case presenting ability, 39–40
decisions on matters, 29 Article V1(d), procedural agreement
differences in, 29, 31 breach, 26
Mediation mechanism, views on Article V1(e), “condition subsequent,” 40–41
enforceability of, 102–4 Article V2(b), elements of, 18
Mergers, verification of legal for due process understanding, 15
identity in, 86 core requirements of, 16
Mexico Law, xxv, 135n60 fundamental rules of due process in, 41
Misrepresentation of facts, Black’s Law recognition and enforcement, of
Dictionary definition of, 145n5 award, 17, 17n1
Mission, arbitral panel, 178 as source of transnational due process
Mitsubishi and Scherk case, arbitrability, 84 requirements, 10–11
Moral hazard, of arbitration, 111–12 New York Law, arbitration agreement, 30n23
“Motion to stay,” judicial resolution, 51n16 Nominating party, and arbitrators, 116
“Movement” in proceedings, 144 Noncodified procedural principles, law of
Multi-party arbitration, passivity in, 82 arbitration, 27
Multi-party arbitration agreement, Non-compliance in producing evidence, under
participation rights in, 54 Arbitration Act 1996, 154n28
550 INDEX
Non conveniens doctrine, access to justice impartiality and arbitration’s credibility, 118
perspective of, 98 intervention in questioning sessions,
Non-disclosure situation situations for, 167
current services, 124 own motion of, under IBA Rules, 158
dispute and arbitrator, 125 participation as potential bias, 129
involvement in previous case, 123–24 power in common with parties,
other circumstances, 125 arbitration, 173–74
Non-neutral arbitrators, engagement of, 118n32 procedural autonomy of, 101, 102
Non-respect of agreement, 70 sole powers of, 173
Nordström-Janzon and Norström-Lehtinen v. Panel and due process, 107
the Netherlands, 11n17 under arbitrator’s rights and duties, 108
Normative gaps in arbitration, 14, 204 disclosure of facts in, 113
Normative material and arbitration, under dispute resolution
interpretation of, 206 context, 107–8, 132
“Nothing but the truth,” administration of fees and costs of, 130–32
oath, 164–65 summary of, 138–39
Notice of initiation, in proceedings, 82 Panel autonomy
Nullity of award conditions imposed by, 101–2
award enforceability, 4 limitations on, 102
reasons for, 73 Panel’s role, arbitration, 173
administration of remedies and
Oath, administration of, 164–65 consultations under, 180–82
Objecting party’ rights, ultra petita, 30–31 in establishing facts, 174–78
Objective opportunity, in case presenting and mandate in abstracto, 180
ability, 37 summary of, 183
Objective test, 114n17 Parallel proceedings
Objective test of bias, and effect of, 92–95
arbitrator, 114, 116, 119, 138 pending, lis pendens, 90
Off shore funds, 84n9 perspectives on, 91–92
One-sidedness in arbitration agreement, Partial arbitrator, 127
reasons for, 63 Partial award, 199
Opportunity to hear, arbitration, 142, 151 Participation
Orange list, non-disclosure situation, 122, in arbitration, opportunity to, 186–89
123–25 idea of, criminal matters, 189
Order of questioning, witness testimony, 166 rights of, in arbitral proceedings, 54
“Ordinary” appeal, award, 44 Parties, in proceedings, 81–82
Ordinary courts and arbitration, 206 agreement’s invalidity, 35–36
Ordre public, 6 arbitrator relationship with, 126
concept of, 20, 22 with criminal charges, rights to, 189
dimensions of, 83 equal treatment of, 173
generic waiver rights under, 33 freedom of, and arbitration, 71–72
violation of, 73, 75 future business relations and
Organizing evidentiary hearings, fairness, 205
situations for, 157–58 good faith, agreement of, 68
Original agreement, requirement of written identification of, 81–82
form in, 48 incapacity as obstacles, 16
Original arbitration agreement, rules, 26–27 incapacity of, 82
Other party breach of agreement, 70 involvement in, 81–83
legal relationship, 81–82
Pacta sunt servanda, infringement of, 97 limitations of, 144
Panel passivity, objection to amendment, 48
composition of, 108 rights, challenge on jurisdiction, 50
and courts, combined authority and truth and the relationship to facts,
power of, 174 analysis method, 145
INDEX 551
Party-appointed arbitrators arbitration, 102
impartiality aspect in, 115 and State rules, 21
role of, 116 Procedural public policy, 21
Party-appointed expert, under IBA Rules, 171 Procedural quality standards, 201
Passive duty, analysis of facts, 145, 149 Procedural rights in arbitration,
Past evidences, reconstruction of, 142, 143 enforcement of, 204
Pending suit, in enforcement effects, 94 Procedural rule
“Per se” rule, in bias determination, 119–20 and due process, 4
Personal friendship, arbitrator and counsel, 124 procedural agreement breach under, 27
Place of arbitration, 26. See also Seat of types of, 4–5
arbitration violation of, 15
Potential bias and challenging arbitrator’s Procedural waiver of rights, 177
impartiality, 120 Procedure independence, meaning of, 115
Power delegation of, 1–2 Proceedings
Power of arbitral tribunal, validity of fairness and integrity of, 114
contract, 51–52 flexibility and procedural fairness, 205, 206
Preclusive effects, arbitral award, 88 initiation, notice of, 187
Preparation for evidentiary hearing, under management of arbitral panel’s
IBA Rules on, 163–64 role in, 144, 148, 149, 150
Presenting case, opportunity of, 187–89 problems in, 192
Preserving assets and site inspection, under time limit, extension of, 193
AAA Rule, 171 Producing evidence in arbitration
Prevention of fraud and entire agreement Mexico Law Article 1439 on, 144n3
clause ideology, 159 refusal to, 147n10
Principles of exclusivity, contract agreement, right to, 172, 188
54, 55, 59 strategy of, 142
Principles of law, from various national “toolbox” of measures for, 152
procedural laws, 11 Producing rebuttal evidence, opportunity to, 190
Prior involvement of matter, as reason Production of documents, right to, 188n7
for bias, 118 Psychological testimony, 165–66
Private international law, 54 Psychological ties and witness
Private International Law Act of testimony, 165–66
Switzerland (PIL), xxv Public policy, grounds to refuse recognition
“Pro-arbitration” trends, in contract and enforcement, 17–24
interpretation, 54 Public policy
Procedural activity, in arbitration, 142 dimension of, 83
Procedural agreement violation, ILA on fundamental principles under, 22–23
Japan Act, 70n55 and international arbitral awards, 17n1
Procedural breaches, in arbitration procedural aspects in, 18–20
agreement, 67 rules by ILA on, 24
Procedural due process, 16, 160 vague category of, 17, 17n1
Procedural duties, breach by party, 145–46 views on constitution of, 20–22
Procedural fairness and cost, debate on, 205 Public policy rules, 22. See also Lois de police
Procedural framework, elements of, 26 ILA recommendations on, 24
Procedural international public international public policy, 22
policy, 21, 22, 24 and mandatory substantive law, 21
Procedural issues, separation of, 16 New York Convention’ requirements, 16
Procedural law recognition and enforcement, grounds
contract interpretation of, 52 for refusing, 17
problems of, 7 violation of, 18n2, 19
soft law norms, 7–8 Publishing award, conditions for, 138
theory, problems of, 86
Procedural matters decision, arbitration, 173 Receiving evidence, panel’s role in, 178
Procedural principle Recommendations, of ILA, xxv, 21, 23
552 INDEX
Reconstructing past, panel’s role in, 175 under Article 749, Argentina Act, 186n1
Recording in writing, investigations, 162 Secretary, institutional arbitration cases, 130
Red list, non-disclosure situation, Security conditions, applicable rules, 98–101
122, 125–26 arbitral tribunal and institution, fees and
Referred-to arbitration agreement, costs of, 98–99
parties’ duty in, 48 attorneys’ fees of, 99–100
Reflections, xxvi, 6–7n13 claims or award enforcement, 101
Refusing enforcement, reasons for, 74n62 loss or damage, 100–101
perversity under, 76n66 parties, cost of, 99–100
Rehearing of witness, 165 Security deposit, 101
Relevant evidence, arbitrators’ duty, 156 attorneys’ fees, 99
Relevant facts, establishment of Security for enforcement, problem in, 101
and avoidance of surprises, 161 Security of agreement, functioning
questions and answers approach in, 160 methods, 60
Relevant facts, in legal decision, 142–46 Separability doctrine, international
Renaissance of lex mercatoria, 6 arbitration cases, 44n1
Rendering award, reasons for Set-off defense, ultra petita award, 31, 32
motivation in, 197 Setting deadline for new evidence submission,
Reorganization critical aspects of, 194–95
and other party’s involvement, 181 Settling disputes, arbitrators’ power in, 45
verification of legal identity in, 86 Signatory States the European Convention
Representation by lawyer, Arbitration and arbitration, applicability of, 10–11
Act 1996 of England Section 36 Single and specific rules, 13
on, 191n12 Site inspection, preserving evidence, 171
Request Soft law, norms of, 7–8
by tribunal for documents, IBA Sovereign State, and jurisdiction function of, 4
Rules on, 156, 157 Spanish Act, xxvi
for viewing submitted information, 137 Special code, law of arbitration, 27
Residual time limit, in rendering Special considerations, arbitration
award, 56n27 pacta sunt servanda, infringement of, 97
Res judicata State’ duty, international public policy, 22
defining of, 85–89 State courts’ decision, enforceability of, 15
nonexistence of, 85 States delegate jurisdictional power, arbitral
Res judicata bar and ambiguous award, 199 tribunals, 201
Res judicata doctrine, 85, 86n12, 87 Status hearing, in arbitration, 182
Resolution on Transnational Rules, 5n8 Status review hearings, 143
Rights Statute of limitations
to arbitration, waiving of, 44 arbitration clause’ time limit as, 58, 59
to cross-examine a witness, 168 Subjective analysis test, in determination
to hearing, situations for, 186–87 of bias, 119
Risk of abuse, ethics of, 162 Subjective assessment of, 142
Rules of arbitral institute, 3 Subjective test, 114n17
Russian Law, xxvi, 141 Subjectivity in witness testimony,
reasons for, 165
“Same ground” criterion Subject matter, arbitrability of, 16, 24–25
in lis pendens, 91 Submitted information, in arbitration, 137
in res judicata, 87 Subsequent arbitration agreements, 26–27
Sample clause, in arbitration Subsequent damage claim, grounds for, 100
agreement, 62n36 Substantive and procedural issues,
Sanctions on agreement non-respect, 67 separation of, 81
Seat of arbitration, 23, 27, 36, 153. See also Substantive correctness, in arbitration, 205
Place of arbitration Substantive due process, requirements of, 16
Secretary, appointment of, 186n1 Substantive international public policy, 21
under Article 15(5), Swiss Rules, 130 Substantive law, 21, 104
INDEX 553
Substantive rights Tribunal-appointed expert, 156, 170, 171
enforcement and fair arbitration, 185, 200 Tribunal binding, to unfair procedure, 79
hindrance to, 105 Tribunal jurisdiction, basis of, 43
protection of, 104 Tribunals, of state courts, 107
Sufficiency, facts in legal decision, 142–46 Triple identity test, arbitral award, 88
Sufficiency evidence, 142 Truth, facts in legal decision, 142–46
Suovaniemi and Others v. Finland, 11n17
“Supranational” due process, hard core of, 15 Ultra petita award. See also Matters
Suspension of time limit, rendering beyond scope
award, 56n27 definition of, 28
Swiss Rules, xxvi set-off defense in, 31
Article 15(4), disclosure of facts, 129 Ultra petita consequences
Article 15(6), good faith of parties, 68 Convention Party Act, Article V(1(c)), 32
Article 21(1) and (2), arbitral tribunal’s Ultra petita problem, prayer for relief, 77–78
power, 51 UNCITRAL Model Arbitration
Article 21(3), loss of waiver rights, 50 Law, 44n1, 44n2
Article 21(4), final award on arbitration UNCITRAL Model Law
agreement validity, 49 Article 7, in arbitration agreement, 48
Article 21(5), set-off defense under, 31 Article 8, parallel proceedings, 93
Article 43, on conflicts in duties of Article 10.6, time limit expiry in rendering
confidentiality, 138 award, 58n33
Article 12, duty to disclose facts, 120
“Tailor-made” arbitration agreement, 53–54 Article 13(1) and (2), procedure for
Testimony hearing in advance, IBA challenging arbitrator under, 110
Rules on, 162 Article 28, agreement interpretation, 73
Third parties refusal, for producing evidence, principles of interpretation, arbitration
154 agreement, 52n17
Third party “objective doubt” test, in bias Unenforceability
determination, 119 remedy of, 4
Third party interventions in arbitration, 181 ipso jure of, 7
Third party participation, in arbitral United Nations Commission on International
proceedings, 137 Trade Law (UNCITRAL), xxvi
Time limit, in rendering award, 56–58, 56n27, United States Arbitration Act (FAA), xxiv
58n32 and arbitral award, 9–10
Timeline for evidence, under CIETAC University of Helsinki Conflict Management
Arbitration Rules, 175 Institute (COMI), xxiii
Timeliness Unknown facts, discovery of, 161–62
and fair trial, 192 Unsatisfactory arbitration, 16
and opportunity to presenting case, conflict U.S. Supreme Court view on arbitration, 53n18
between, 192–95
Time schedules in proceedings for witnesses, Validity of arbitration agreement, arbitral
169 tribunal on, 49
Toolbox, measures for producing seeking clarity on, 51
evidences, 152 Videoconferencing, in witness testimony, 164
Trading nation and lex mercatoria, 5 Violation
Traditions in ward interpretation, 199 by arbitrators, agreement, 28
Transnational due process of ordre public, 181
of law, 200 of procedural rule, 15
sources of, 11 of public policy rules, 18n2, 19
Transnational law, arbitration, 202 Voidability, and award enforceability, 4
Transnational procedural safeguards, 185
Transnational public policy, 22, 23, 24 Waiver after breach
recommendations of, 21 Waiver doctrine
Transnational Rules, xxvi arbitration laws, 50
554 INDEX
breach of agreement, 33 Witnesses, arbitration, 162–69
conflict of interests, 34 compensation for, 169
in contract matters, 33 cross-examination and special
ex post public policy and rights, 33 arrangements for, 168
general ex ante arbitration, 33 language of, 164
ILA recommendations in, 23 “nothing but the truth,” testifying
impartiality of arbitrators, 116, 118, 127–28 under oath, 164–65
and procedural agreement breach, 32–35 prior to hearings, 162–64
relevancy of, 32 questioning of, 166–67
right to object, 34 time schedules in proceedings for, 169
on right to object non-compliance, 24 Witness hearing, objections to Swiss
submission, of beyond scope matter, 31, 32 Rules, 166
violation of a right, 33 Witness statements, evaluation of, 165–66
Waiver of rights, not producing further Witness testimony, 165–66
evidence, 177 World Intellectual Property Organization
“Waivers to legal protection,” 104 (WIPO), xxvi
Weight of evidence, Arbitration Act Written arbitration agreements
1996 on, 147n12 criteria of, 46
Will, witnesses of, 13 flexibility in constitution of, 47
Will order discovery, court’s Written documents, access to, 188
involvement in, 161
WIPO Rules, xxvi X v. Federal Republic of Germany 1962, 11n17
INDEX 555