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1

Manning, Alan. Authority in employment contracts: A bilateral bargaining model. Centre for Economic Performance, 1991.

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2

Gandolfi, Monica. An incomplete contract view of bilateral commitment and corporate debt structure. typescript, 1996.

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3

Vigaray, Rafael Alvarez. La resolución de los contratos bilaterales por incumplimiento. Comares, 2009.

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4

Vigaray, Rafael Alvarez. La resolución de los contratos bilaterales por incumplimiento. Editorial COMARES, 1986.

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5

Veen, Dennis Gerard Van. Bargaining tactics and strategy in a Government/Contractor bilateral monopoly. Naval Postgraduate School, 1998.

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6

Melillo, Generoso. Contrahere, pacisci, transigere: Contributi allo studio del negozio bilaterale romano. 2nd ed. Liguori, 1994.

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7

Finez, José Manuel. Los efectos de la declaración de quiebra en los contratos bilaterales. Editorial Civitas, 1992.

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8

Il negozio bilaterale romano: "contrahere" e "pacisci" tra il primo e il terzo secolo : lezioni. 2nd ed. Liguori, 1986.

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9

Graniere, Robert J. Responsibilities of an independent system operator in a market with bilateral contracts for electric power: Robert J. Graniere. National Regulatory Research Institute, 1999.

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10

Office, General Accounting. Agricultural trade: Long-term bilateral grain agreements with the Soviet Union and China : report to congressional requesters. The Office, 1989.

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11

Office, General Accounting. Agricultural trade: Long-term bilateral grain agreements with the Soviet Union and China : report to congressional requesters. The Office, 1989.

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12

Office, General Accounting. International trade: Long-term bilateral grain agreements and grain countertrade : report to congressional requesters. The Office, 1989.

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13

Office, General Accounting. International trade: Long-term bilateral grain agreements and grain countertrade : report to congressional requesters. The Office, 1989.

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14

Davies, Paul S. JC Smith's The Law of Contract. Oxford University Press, 2018. http://dx.doi.org/10.1093/he/9780198807810.001.0001.

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Driven by exposition of the leading cases, JC Smith’s The Law of Contract offers the perfect balance between accessibility and authority. The strong focus on cases guides the reader through the intricacies of contract law with expert analysis ensuring key points are clear. The text begins with an introduction to contractual rights and duties. It looks at objectivity in contract law, the formation of bilateral and unilateral contracts, contract as agreement, offeror and offeree, estoppel, legal relations, and the role of third parties. It also considers the terms of the contract, interpretation
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15

Davies, Paul S. JC Smith's The Law of Contract. 3rd ed. Oxford University Press, 2021. http://dx.doi.org/10.1093/he/9780198853503.001.0001.

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Driven by exposition of the leading cases, JC Smith’s The Law of Contract offers the perfect balance between accessibility and authority. The strong focus on cases guides the reader through the intricacies of contract law with expert analysis ensuring key points are clear. The text begins with an introduction to contractual rights and duties. It looks at objectivity in contract law, the formation of bilateral and unilateral contracts, contract as agreement, offeror and offeree, estoppel, legal relations, and the role of third parties. It also considers the terms of the contract, interpretation
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16

Marcus, Smith, and Leslie Nico. Part I The Nature of Intangible Property, 5 Rights Under a Contract. Oxford University Press, 2018. http://dx.doi.org/10.1093/law/9780198748434.003.0005.

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This chapter studies rights under a contract. Contractual rights exist between, and are only enforceable by, the parties to the contract. In other words, contractual rights and obligations are essentially bilateral. Two principles of the common law tend to prevent third parties from enforcing the contract: a contract for the benefit of a third party cannot be enforced directly by that party; the promise cannot be indirectly enforced by the contracting party. The chapter then considers the statutory exception to the rule that exists in the shape of the Contracts (Rights of Third Parties) Act 19
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17

Yesim, Atamer. Ch.6 Performance, s.1: Performance in general, Art.6.1.4. Oxford University Press, 2015. http://dx.doi.org/10.1093/law/9780198702627.003.0109.

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This commentary focuses on Article 6.1.4 of the UNIDROIT Principles of International Commercial Contracts (PICC) concerning order of performance of a contractual obligation. Art 6.1.4 deals with the sequence of performance and counter-performance if the parties have undertaken reciprocal obligations in a bilateral contract. This commentary discusses the content and scope of application of Art 6.1.4, the role of Art 6.1.4 in determining the time of performance for the counter-performance and in determining the order of performance of due contractual obligations, performances to be taken into co
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18

Cabrelli, David. 15. Wrongful Dismissal. Oxford University Press, 2018. http://dx.doi.org/10.1093/he/9780198813149.003.0015.

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This chapter examines the legal consequences where an employer lawfully or unlawfully terminates the contract of employment. It considers the competing elective theory of termination and automatic theory of termination, along with statutory intervention in the form of minimum periods of notice set out in section 86 of the Employment Rights Act 1996. Stress is placed on the importance of using the correct terminology in this area of the law and bilateral, unilateral, and non-lateral terminations are defined. Further discussion covers suspension of contract and the conduct of disciplinary hearin
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19

Eisenberg, Melvin A. Modes of Acceptance. Oxford University Press, 2018. http://dx.doi.org/10.1093/oso/9780199731404.003.0032.

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Chapter 32 concerns modes of acceptance. Most offers require acceptance by either a promise (offers for a bilateral contract) or an act (offers for a unilateral contract). In some cases an offer is ambiguous as to which mode of acceptance is required. Sometimes this ambiguity does not matter because the offeree performs an act that doubles as a promise. Often, however, cases that involve such ambiguity cannot be resolved this way. One approach to these cases is to apply the general principles of interpretation to determine which mode of acceptance is required. A different rule is embodied in R
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20

Pieth, Mark. Development Assistance. Oxford University Press, 2017. http://dx.doi.org/10.1093/oso/9780190458331.003.0016.

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Amongst the key players in combatting corruption are the institutions promoting development assistance, the International Financial Institutions (or Multilateral Development Banks, MDBs) and the bilateral development aid agencies. This chapter questions the effectiveness of development assistance, particularly the autocratic states’ tolerating embezzlement. That discussion also touches on the logic of development assistance and describes donor interest. The chapter then turns to the Oil-for-Food Programme, describing its planned distribution of oil proceeds, and then notes what went wrong, inc
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21

Bargaining Tactics and Strategy in a Government/Contractor Bilateral Monopoly. Storming Media, 1998.

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22

Norah, Gallagher, and Shan Wenhua. 6 Umbrella Clause and Investment Contracts. Oxford University Press, 2009. http://dx.doi.org/10.1093/law:iic/9780199230259.003.006.

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The “umbrella clause” takes its name from its main objective, namely to oblige the host state to observe any commitments it has entered into with regard to foreign investors. The clause brings such obligations of the state under the protection of an applicable international investment treaty, bilateral investment treaty (BIT), or multilateral treaty. This chapter begins by reviewing the evolution of the umbrella clause and how it has been applied by investment treaty tribunals. It then examines the main variants of umbrella clauses in Chinese BITs and discusses their legal effect in light of t
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23

Videla, Estaban M. Ymaz. Proteccion de Inversiones Extranjeras: Tratados Bilaterales: Sus Efectos en las Contrataciones Administrativas. La Ley, 2000.

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24

Nigel, Blackaby, Partasides Constantine, Redfern Alan, and Hunter Martin. 8 Arbitration under Investment Treaties. Oxford University Press, 2015. http://dx.doi.org/10.1093/law/9780198714248.003.0008.

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This chapter describes the arbitration process under international investment treaties, in particular under the Washington Convention of 1965. This Convention aimed primarily to create a new arbitral forum for the resolution of disputes between investors and states by means of the inclusion of arbitration clauses in state contracts. The travaux préparatoires of the Convention also made clear that the consent of the state to arbitration could be established through the provisions of an investment law, which prompted many states to develop a programme of bilateral treaties for the promotion and
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25

Katia, Yannaca-Small. Part III Guide to Key Jurisdictional Issues, 16 The Umbrella Clause: Is the Umbrella Closing? Oxford University Press, 2018. http://dx.doi.org/10.1093/law/9780198758082.003.0016.

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‘Umbrella clauses’ are inserted in treaties to provide additional protection to investors and are directed at covering investment agreements that host countries frequently conclude with foreign investors. Inclusion of umbrella clauses in investment treaties provides a mechanism to make host States’ promises ‘enforceable’ and comes as an additional protection of investor-state contracts, which raises the controversial issue of whether the umbrella clause seeks to elevate contractual breaches to treaty breaches. For a better understanding of the clause, this chapter (i) gives an overview of its
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26

Niamh, Moloney. Part III Trading, 12 EU Financial Governance and Transparency Regulation: A Test for the Effectiveness of Post-Crisis Administrative Governance. Oxford University Press, 2017. http://dx.doi.org/10.1093/law/9780198767671.003.0012.

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This chapter outlines the main features of the extensive new transparency regime which will apply to trading in a wide range of asset classes under MiFIR. By contrast with MiFID I, which limited transparency requirements to the equity markets and which contained extensive exemptions and waivers, MiFIR adopts a maximalist approach to transparency. The most extensive transparency requirements apply to the three forms of ‘trading venue’ for multilateral trading which are established under the MiFID II/MiFIR venue classification system (RM, MTF and OTF). Bilateral/OTC trading between counterpartie
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27

Office, General Accounting. International trade: Long-term bilateral grain agreements and grain countertrade : report to congressional requesters. The Office, 1989.

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28

Office, General Accounting. International trade: Long-term bilateral grain agreements and grain countertrade : report to congressional requesters. The Office, 1989.

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29

Office, General Accounting. International trade: Long-term bilateral grain agreements and grain countertrade : report to congressional requesters. The Office, 1989.

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30

Office, General Accounting. International trade: Long-term bilateral grain agreements and grain countertrade : report to congressional requesters. The Office, 1989.

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31

Andersson, Jan Joel. Finland and Sweden. Oxford University Press, 2018. http://dx.doi.org/10.1093/oso/9780198790501.003.0020.

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Since the end of the cold war, the two Nordic neighbours and non-NATO members Finland and Sweden have undertaken major defence reforms but have pursued rather different strategic choices. After some initial hesitation in the mid-1990s, Sweden rapidly abandoned its long-time focus on territorial defence in the 2000s, suspended conscription in 2009, and turned to out-of-area operations in collaboration with partners in NATO, the EU, and the UN in the Balkans, Afghanistan, Libya, and Central Africa. In contrast, Finland chose to remain more focused on territorial defence and was one of few Europe
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32

Antonio R, Parra. 11 “The Premier International Investment Arbitration Facility in the World”. Oxford University Press, 2017. http://dx.doi.org/10.1093/law/9780198767466.003.0011.

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This chapter examines activities of the Centre from the start of 2011 to the end of June 2015. Almost 50 percent more cases were registered at ICSID in that period compared to the previous five years. The chapter provides some statistics on the cases of this period. As in the decade before, it shows, most the cases were brought to ICSID on the basis of the dispute settlement provisions of investment treaties, mostly bilateral investment treaties (BITs) (in over 60 percent of the cases). A large proportion of the cases (more than ten percent) came to ICSID under the Energy Charter Treaty (ECT).
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33

Norah, Gallagher, and Shan Wenhua. 3 Fair And Equitable Treatment. Oxford University Press, 2009. http://dx.doi.org/10.1093/law:iic/9780199230259.003.003.

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Like other bilateral investment treaties (BITs), Chinese BITs establish a set of general standards of treatment accorded to foreign investors by the host state. The most commonly found general standards of treatment include fair and equitable treatment (FET), (full) protection and security (PNS), most favoured nation treatment (MFN), and national treatment (NT). The first two belong to the group of non-contingent standards (or so-called “absolute standard of treatment”), whilst the latter two are forms of contingent standards (or “relative standards of treatment”). Absolute standards do not de
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34

Cheng, Jianguo. Thoracic Epidural and Nerve Root Injections: Fluoroscopy. Oxford University Press, 2016. http://dx.doi.org/10.1093/med/9780199908004.003.0013.

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Thoracic nerve root blocks can be achieved by interlaminal epidural, transforaminal epidural, paravertebral, and selective nerve root injections. The interlaminal approach allows blocking multiple nerve roots bilaterally, while the transforaminal approach has the advantage of depositing the injectate primarily to the anterior epidural space on the side of the injection, closer to the pathology. The paravertebral approach is often used to block multiple nerve roots on the side of injection, and the selective nerve root block is used to target a specific nerve root using a small volume of inject
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35

Gartzke, Eric, and Jon R. Lindsay. Cross-Domain Deterrence. Oxford University Press, 2019. http://dx.doi.org/10.1093/oso/9780190908645.001.0001.

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The complexity of the twenty-first century threat landscape contrasts significantly with the bilateral nuclear bargaining context envisioned by classical deterrence theory. Nuclear and conventional arsenals continue to develop alongside antisatellite programs, autonomous robotics or drones, cyber operations, biotechnology, and other innovations barely imagined in the early nuclear age. The concept of cross-domain deterrence emerged near the end of the George W. Bush administration as policymakers and commanders confronted emerging threats to vital American military systems in space and cybersp
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