Academic literature on the topic 'Property – sales of goods act'

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Journal articles on the topic "Property – sales of goods act"

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Kobak, James B. "Exhaustion of Intellectual Property Rights and International Trade." Global Economy Journal 5, no. 1 (January 2005): 1850032. http://dx.doi.org/10.2202/1524-5861.1050.

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The exhaustion doctrine in intellectual property law generally limits the rights of a patent, copyright or trademark owner (“IP Owner”) to control the disposition of an article after the article has been sold by or under the authority of the IP Owner. In theory the doctrine enables the IP Owner to receive fair reward for surrendering its right to withhold a product from the market but thereafter permits free disposition and movement of chattels, preventing IP rights from unduly disrupting distribution systems.Under a strict territorial application of the doctrine, a sale in country A under a country A patent (or copyright or trademark) would exhaust the IP Owner’s rights only in Country A, and the IP Owner could rely on its separate patents in other countries to enjoin sales, seek damages or possibly even require customs officials to halt infringing imports at the border. This principle would hold even though the IP rights in all the countries are essentially the same. A strict territorial exhaustion doctrine is arguably consistent with the nature of IP rights, which are granted by each individual nation as an act of sovereignty and are strictly territorial in effect; while its impact will vary with other trade conditions (relative exchange rates, for example) and across different categories of goods, a strict territorial approach can serve as a barrier to free movement of goods and cause IP rights to act as private trade barriers.Opposed to the territorial principle is the historically more widely applied principle of international exhaustion. Under this version of the doctrine a sale by or under the authority of an IP Owner anywhere exhausts its right under all counterpart IP anywhere in the world. This doctrine has always seemed difficult to reconcile with the underlying systems of national IP rights but avoids the practical problems and trade barriers of a territorial principle.Court decisions in the last few years in three major trading areas -- the EU, Japan and the US – have rejected a strict international application of the exhaustion doctrine for some forms of IP, with the result that sales of some products by an IP Owner outside Country or trading region A do not necessarily prevent the owner from using Country A IP rights to prevent imports or sales there. This is an issue which the major international trade treaties leave to individual signatories’ local law. Subject to possible limits imposed by competition laws in what will probably be relatively rare cases, IP Owners in these three major trading areas may, with greater or lesser effort, now restrict parallel trade and discriminate in sale of some goods between markets with different levels of pricing.These recent decisions, while suggesting some degree of convergence among the three trading areas, do not necessarily correlate closely with the notion suggested by Guzman* (in connection with competition laws) that such legal regimes should be supported by net exporting nations, not net importers. It is possible that as the implications of these decisions become clearer and their possible effects more evident, they will eventually lead to further consideration and possibly further international trade negotiations on the subject of parallel imports.
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Korotiuk, O. "Criminal responsibility for the most basic typical forms of compliance of copyright and associated rights over the foreign legislation." Herald of criminal justice, no. 3 (2019): 110–23. http://dx.doi.org/10.17721/2413-5372.2019.3/110-123.

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The article analyzes the criminal law of foreign countries, which reflect the main types of forms of encroachments on objects of copyright and related rights. It has been established that the criminal responsibility for the above-mentioned acts was foreseen in the most countries of the world. The purpose of the article is to investigate the issue of criminal responsibility for the most basic typical forms of compliance of copyright and associated rights over the foreign legislation. Extremely widespread forms of socially dangerous encroachments on copyright objects are "appropriation of authorship", "plagiarism" and "coercion to co-authorship". Offenses that encroach on copyright objects are usually placed in the sections "Crimes against the constitutional rights and freedoms of man and citizen", "Crimes against property", and in some cases are placed in a separate section "Crimes against Intellectual Property». Analysis of the criminal legislation of foreign countries suggests that the typical forms of encroachments on objects of copyright and related rights include acts related to: a) the illegal entry into the circulation of objects of copyright and related rights contrary to the established legislation procedure. These types of encroachments are represented by the following wording of the criminal law of foreign law: the wording indicating the act of import or other movement of objects of copyright and related rights (for example, transportation, movement, import, export, etc.); wording indicating acts concerning the acquisition and storage of objects that could not be in circulation (in particular, acquisition, storage, conscious possession for the purpose of trade or inclusion in trade, illicitly created objects, goods, including if they were imported, receiving etc.); the wording indicating the acts related to the introduction of objects to commodity circulation or the commission of any actions for the purpose of further introduction into circulation, including acts concerning the putting into circulation of equipment for the illegal creation of copyright and related rights objects (for example, the use of objects without a check mark and in the absence of author's contracts; introduction into business turnover; introduction into circulation; change, removal from copies of objects of symbols and signs of protection of rights etc.); b) illegal production (creation) and / or illegal use of such objects. The following wording of the criminal law provisions refers to these attacks: the wording which denotes actions related to the illegal creation of the object of intellectual property rights, the introduction of certain changes to the object or information about the object, as well as acts of unlawful gain rights to the object (for example, attribution or coercion, plagiarism, reproduction, copying, forgery or imitation etc.); wording that denotes acts of unlawful use and distribution of objects (in particular, illegal use, illegal distribution, sale or offer for sale, sales etc.); general wording indicating any of the above-mentioned encroachments, as well as other attacks on the objects of copyright and related rights (for example violation of the law, any other form of use of objects, other infringement of rights, violation of any which of the rights etc.).
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Abadi, Mohsen Hodssein, and Alireza Azadi Kalkoshki. "Delivery of Goods on International Sales." Journal of Politics and Law 10, no. 4 (August 30, 2017): 100. http://dx.doi.org/10.5539/jpl.v10n4p100.

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Commitment to delivery of goods that are addressed in the materials 30 to 44 of the International Sale convention is a fundamental obligation of the seller that Article 30 stipulates that the seller must deliver the goods, hand over any documents relating to them and transfer the property in the goods, as required by the contract and this Convention. According to this article we can be divided sale person in three categories: Transfer the property of the goods, Delivery of the Goods, Handing over of Documents.Two other obligations that are not expressly stated in this article and during other material during the Convention (Articles 35 and 41) are mentioned and they should also be added to the vendor obligations are included: " Conformity of the Goods and the product immunity from claims of third parties which the following discussion will be addressed and finally transfer Of Risk which in many cases is to give the product will be a close relationship.
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van Vliet, Lars. "The Dutch postwar restoration of rights regime regarding movable property." Tijdschrift voor Rechtsgeschiedenis 87, no. 4 (December 19, 2019): 651–73. http://dx.doi.org/10.1163/15718190-00874p11.

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SummaryDuring the Second World War Germany and German nationals looted the Netherlands and its nationals of many valuable assets, that were taken to Germany. Often the looting took the form of forced sales. In some cases, the sales price was too low, in other cases the German buyer paid market value or more, but often the buyer paid with guilders looted from the Dutch State. After the liberation of the Netherlands the ‘restoration of rights regime’ enabled victims of forced sales to seek annulment of the sales. This article concentrates on those movable goods that were sold to German buyers and that, after the war, returned from Germany to the Netherlands with the help of the Allied Forces, the so-called recuperation goods. If the seller did not seek annulment before the deadline of July 1951, for example because the price paid was considerable so that he preferred to keep the purchase price, or if his request was rejected, the Dutch State should not be forced to return these goods to their German buyer. Therefore, these goods were first subjected to Royal Decree E 133 which expropriated all German owned property in the Netherlands. Upon return to the Netherlands the recuperation goods became State property, but this measure could be undone by the seller successfully seeking annulment of the sales contract under Royal Decree E 100. However, if no annulment took place, the State remained owner of these goods.
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Arnold, N. Scott. "THE ENDANGERED SPECIES ACT, REGULATORY TAKINGS, AND PUBLIC GOODS." Social Philosophy and Policy 26, no. 2 (June 24, 2009): 353–77. http://dx.doi.org/10.1017/s026505250909027x.

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The Endangered Species Act (ESA) can impose significant limitations on what landowners may do with their property, especially as it pertains to development. These restrictions imposed by the ESA are part of a larger controversy about the reach of the “Takings Clause” of the Fifth Amendment, which says that private property shall not be taken for public use without just compensation. The question this paper addresses is whether these restrictions require compensation. The paper develops a position on the general question of compensation for regulatory takings and applies it to the ESA. The main argument concludes that compensation should be paid. It is based on the proposition that the goods provided by regulatory takings are typically public goods, and on a principle of fairness, which holds that compensation should be paid when those who benefit from a regulatory taking pay virtually nothing and those who pay receive hardly any benefit. It is argued that this principle is implicit in many of the Court's rulings on regulatory takings.
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Ho, H. L. "Some Reflections on “Property” and “Title” in the Sale of Goods Act." Cambridge Law Journal 56, no. 3 (November 1997): 571–98. http://dx.doi.org/10.1017/s0008197300098585.

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The Sale of Goods Act 1979 (“the Act”) uses two terms, “property” and “title”, which one would normally associate with ownership. Of “title”, there is no definition in the Act; of “property”, there is one. But the definition, as we shall see, does not carry us very far. There has been much debate on the meaning of the two terms. The approach advocated by Battersby and Preston in a deservedly well-known article appears to have gained considerable acceptance.5 This paper hopes to present, as a theoretical possibility, an alternative interpretation of the uses and meanings of those concepts and of their relationship. It would be useful to begin with a brief description of “ownership” since “property” and “title” are associated with it.
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Curwen, Nick. "The remedy in conversion: confusing property and obligation." Legal Studies 26, no. 4 (December 2006): 570–83. http://dx.doi.org/10.1111/j.1748-121x.2006.00026.x.

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Where a defendant wrongfully detains the claimant’s goods the standard remedy in conversion permits the defendant to pay the value of the goods to the claimant instead of returning the goods. This amounts to legally sanctioned compulsory purchase. It will be argued that such a remedy is both muddled and unfair. It is muddled because it confuses a proprietary claim with a claim in tort. The action exists in a state of arrested development, never having advanced in step with the action of ejectment, which long ago ensured that wrongfully detained land could be recovered. It is unfair because it sanctions the purchase of the claimant’s goods against their will without any overriding public interest justification. The remedy in conversion needs to be unravelled to produce two distinct actions. One would be a true proprietary action that guarantees the recovery of wrongfully detained goods; the other would be a claim in tort providing personal remedies for wrongful interferences with title to goods. This can be achieved by reviving detinue but confining its ambit to the recovery of goods, leaving conversion to act as a tort.
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Barnard, Jacolien. "The Influence of the Consumer Protection Act 68 of 2008 on the Common Law Warranty Against Eviction: A Comparative Overview." Potchefstroom Electronic Law Journal/Potchefstroomse Elektroniese Regsblad 15, no. 5 (June 1, 2017): 347. http://dx.doi.org/10.17159/1727-3781/2012/v15i5a2527.

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The implementation of the Consumer Protection Act 68 of 2008 (CPA) has great implications for the South African common law of sale. In this contribution the influence of the CPA on the seller’s common law duty to warrant the buyer against eviction is investigated. Upon evaluation of the relevant provisions of the CPA, the legal position in the United Kingdom – specifically the provisions of the Sales of Goods Act of 1979 – is investigated.
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Golda, N., O. Burlitska, and O. Krause. "Investigation and formation of the sales mechanism." Galic'kij ekonomičnij visnik 68, no. 1 (2021): 166–73. http://dx.doi.org/10.33108/galicianvisnyk_tntu2021.01.166.

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The features of the mechanism of using the tools of the marketing complex in the sales process are investigated in this paper. It is proved that in market economy, the given concept of «4P» does not completely reveal the essence of marketing activities and should be supplemented by several components. This approach promotes the use of three more components that form appropriate standards for service enterprises. The concept of «sale», which is considered as oral exchange between the buyer and the seller, during which the seller makes the presentation of the goods for the purpose of concluding transaction is considered and supplemented. It is analyzed that the interpretation of the sales process only as a sphere of personal communication between seller and buyer does not take into account the preparation and organization of sales, physical movement of goods to the point of sale, but only establishes and maintains contacts with consumers. In this case, sales act as one of the tools of communication with the consumer and is aimed to find a buyer, convince him to buy the product and provide necessary sales. It is proved that it is the communication component of the sales process that distinguishes it from other concepts – sales and distribution and expands the scope, focusing on the end result and taking care of meeting the needs of consumers. Communication in this case plays the role of the tool by which the sales process is performed. In addition, it is also one of the sources for collecting information about the target consumer and formation of the company’s image, which aims to increase the number of loyal customers. It is proved that the purpose of formation of sales complex at the enterprise is the delivery of finished goods to the consumer and its effective realization for balance establishment between market demand and goods offer. The effectiveness of sales in this case is that the cost of relevant marketing activities of the enterprise must be recouped and give a direct and indirect effects, presented in the form of meeting consumer needs and increasing their loyalty to the company and its products, or in the form of profit growth per hryvnia of sales budget.
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Тimchenko, O. D. "Evaluating the Efficiency of Sales Management of the Trade Enterprise." Business Inform 6, no. 521 (2021): 184–89. http://dx.doi.org/10.32983/2222-4459-2021-6-184-189.

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The research is aimed at substantiating the methodological principles of evaluating the efficiency of sales management of the trade enterprise. This evaluating is carried out taking into account the objects of management and compliance with the general principle of determining performance indicators. To achieve the goal set, scientific approaches to determining the essence of sales management are generalized; the directions of this activity are determined; both the local indicators and the integral indicator of evaluation of sales management efficiency at the trade enterprise are substantiated. The research was carried out using methods of analysis, synthesis, abstraction and comparison, as a result of which the author’s own position on the essence and features of sales is substantiated. It is noted that the peculiarities of sales are the change in the forms of value and the transition of goods belonging to the enterprise into the property of the buyer. The content of sales management is defined as an aggregate of processes of planning, analysis and change of the system of sale of goods and services. To identify the efficiency of sales management at the enterprise, it is proposed to evaluate the sales system, sales department activities, sales channels for goods and services. To this end, both the local indicators and the integral indicator are substantiated. To calculate the latter, the use of the radar method is proposed, according to which the integral indicator is determined on the basis of the calculation of the relative area of the radar built within the evaluation circle according to a set of further indicators. These indicators have a wide range of applications, in particular, can be used to study the dynamics of efficiency and identify reserves of sales development at the enterprise, analyze the completeness of the implementation of functions and compliance of the sales management system with the target objectives of the functioning and development of the trade enterprise.
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Dissertations / Theses on the topic "Property – sales of goods act"

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Kihlman, Jon. "Fel : särskilt vid köp av lös och fast egendom." Doctoral thesis, Handelshögskolan i Stockholm, Rättsvetenskap (RV), 1999. http://urn.kb.se/resolve?urn=urn:nbn:se:hhs:diva-1477.

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Aboukdir, Anwar. "The timing of the passing of property and risk under the English Sale of Goods Act 1979, the CISG and the Libyan law : the interplay between the principle of party autonomy and the default rule." Thesis, University of Stirling, 2016. http://hdl.handle.net/1893/25353.

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This thesis attempts to critically and comparatively analyse the issues relating to the passing of property and risk under the United Nations Convention on the Contract for International Sale of Goods (CISG) and English Law (SGA). The passing of property and risk plays a central role in the area of international legislation in relation to sales contracts. These elements can be the most significant components in contracts of sale between parties, whether in the international or domestic field. The reason is founded on their legal nature and the close relationship between them. The passing of property and risk has been a central issue for practitioners, judges and lawyers dating back to the Roman period and several ideas have been proposed to resolve it. Where the situation is different for contracts of sale in relation to the passing of property and risk, whether in the domestic or international field, it still creates many unresolved problems, because of ongoing changes in the field of modern commerce, which may contribute to unfair implications between the parties. It has been observed in this thesis that both English law and the CISG adopt the party autonomy principle, where the intention of the parties - whether in relation to the passing of property or risk - is the basic rule. However, the difference lies in the default rules. While English law involves default substitutional rules, which apply in cases where there is an absence of an expressed or implied indication regarding the intention between the parties, the CISG lacks such default rules regarding the transfer of property, which could be viewed as its main weakness, although the CISG does involve such provisions with respect to the transfer of risk. This thesis willdiscusses, the legal nature of the rules in relation to the passing of property and risk, and the role of the party autonomy principle, and the impacts and legal difficulties that might arise through the application of these rules, whether they are default rules or based on the party autonomy principle. It will also examine the legal gaps and weaknesses of both legal systems in an attempt to identify such legal difficulties and to find appropriate solutions and remedies.
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Mahmor, Shafaai Musa. "The conditions of the countervalues of the contract of sale under Islamic law with occasional comparison with English law." Thesis, Glasgow Caledonian University, 2000. http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.325999.

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Herre, Johnny. "Ersättningar i köprätten : särskilt om skadeståndsberäkning." Doctoral thesis, Handelshögskolan i Stockholm, Rättsvetenskap (RV), 1996. http://urn.kb.se/resolve?urn=urn:nbn:se:hhs:diva-1416.

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Shieh, Shin-chin, and 謝幸珒. "Effects of the Specifically Selected Goods and Services Tax Act on the Residential Property Market." Thesis, 2012. http://ndltd.ncl.edu.tw/handle/36206278416934592818.

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碩士
國立中興大學
應用經濟學系所
100
As an attempt to respond to the general public''s discontent over soaring real estate prices, the Taiwanese government passed the “Specifically Selected Goods and Services Tax Act” (usually referred to as the luxury tax) on April 15, 2011. Taking effect on June 1, 2011, this Act requires non-resident property owners to pay tax on the income of selling their houses purchased within two years. This study analyzed the data of real estate transactions in Taipei, New Taipei, and Taichung City where the houses were sold within two years of purchase during the period from January 2008 to September 2011. The purpose of this study is to explore the effects of the luxury tax on housing prices and transaction volume in these three cities, with a focus on the sale of luxury real estate in the most attractive districts. The results of descriptive statistics show that the number of existing houses sold was decreased after the Act implementation. However, transaction volume was increased from January to May in 2011 prior to decision announcement of the Act. The results of hedonic housing price models imply that the luxury tax during the study period had no significant effect on curbing housing prices in Taipei and New Taipei City.
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HUANG, Chien-Chih, and 黃建智. "A Study of The Regulatory Regime of Multi-level Sales In Intangible Goods Under Taiwan’s Fair Trade Act." Thesis, 2014. http://ndltd.ncl.edu.tw/handle/e4pwb3.

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碩士
國立臺灣海洋大學
海洋法律研究所
102
Abstract The purpose of this thesis discusses the promotion or sales of intangible goods in multi-level marketing. The operation of multi-level marketing depends on the development of interpersonal relationships, and if works well, it can not only reduce operating costs, increase profits, but also be conducive to the economical growth of the society and the country. However, any good system can appear defective due to mal-operation or vicious management. Whether the total value of output or the number of participant in the plan or organization of multi-level marketing has made considerable influence on the economic development and stabilization in Taiwan, and if not well administered or regulated, the collapses of pyramid scheme may cause turbulences in society. The restrain of multi-level marketing in Taiwan adopts procedures of report filling for record by multi-level marketing enterprises, there is no strict ban on goods selling or promoting, whatever tangible or intangible. Fair Trade Act in Taiwan prohibits pyramid scheme in particular, and administration regulations concerning any multi-level marketing are to be promulgated by the central competent authority (FTC). Disputes between enterprises and participants of multi-level marketing occur frequently when participants return the goods or resign from the organization. According to Multi-Level Marketing Supervision Act, the return and resign system or procedure should be filed for record before the enterprise starts to operate and there should be contracts between two parties so that disputes shall not happen. Nevertheless, it is difficult to define the degree of the value decreased among thousands of different kinds of goods. For tangible goods, which can be seen and touched, the recognition of decreased value for two parties can be differed and result in disputes. Not to mention intangible goods, which cannot be seen, smelled, heard or touched. This thesis discusses the deficiency of current regulations and whether there should be ban on intangible goods in multi-level marketing through the disputes over intangible goods promotion in practice. Keywords:Fair Trade Act, Multi-Level Marketing Supervision Act, intangible goods, pyramid scheme, multi-level marketing, damage or loss of goods or services
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Books on the topic "Property – sales of goods act"

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Canada. Dept. of Finance. Notice of ways and means motion to amend the Excise Tax Act, a related act, the Cultural Property Export and Import Act, the Customs Act, the Excise Act, the Income Tax Act and the Tax Court of Canada Act. [Ottawa: Dept. of Finance = Ministère des finances, 1999.

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Finance, Canada Dept of. Notice of ways and means motion to amend the Excise Tax Act, a related act, the Bankruptcy and Insolvency Act, the Budget Implementation Act, 1997, the Budget Implementation Act, 1998, the Budget Implementation Act, 1999, the Canada Pension Plan, the Companies' Creditors Arrangement Act, the Cultural Property Export and Import Act, ... [Ottawa: Dept. of Finance = Ministère des finances, 1999.

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Finance, Canada Dept of. Amendments to the Excise Tax Act, a related act, the Bankruptcy and Insolvency Act, the Budget Implementation Act, 1997, the Budget Implementation Act, 1998, the Budget Implementation Act, 1999, the Canada Pension Plan, the Companies' Creditors Arrangement Act, the Cultural Property Export and Import Act, the Customs Act, the Customs Tariff, the Employment Insurance Act, the Excise Act, the Income Tax Act, the Tax Court of Canada Act and the Unemployment Insurance Act: Explanatory notes. [Ottawa]: Dept. of Finance Canada, 1999.

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Jeffrey, Lee. Sale of Goods Act, Supply of Goods Act, Sale of Goods (United Nations Convention) Act. Singapore: LexisNexis, 2012.

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Pollock, Frederick. The Sale of Goods Act. 7th ed. New Delhi: LexisNexis Butterworths, 2007.

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E, Speidel Richard, and Speidel Richard E, eds. Sales and leases of goods. St. Paul, Minn: West Pub. Co., 1993.

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Jeffrey, Lee. Commercial: Contracts (Rights of Third Parties) Act (Cap 53B), Sale of Goods Act (Cap 393), Sale of Goods (United Nations Convention) Act (Cap 283A), Supply of Goods Act (Cap 394), Unfair Contract Terms Act (Cap 396). Singapore: LexisNexis, 2003.

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Shanmukham, K. A. Ramaiya's the Sale of Goods Act. 4th ed. Allahabad: Law Book Co., 1995.

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Fardunji, Mulla Dinshah. Sale of Goods Act, (III of 1930). Lahore: Four Star Publisher, 2007.

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Pakistan. The Sale of Goods Act (III of 1930). 6th ed. Lahore: Law Pub. Co., 1987.

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Book chapters on the topic "Property – sales of goods act"

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Baskind, Eric. "1. Introduction to contracts of sale of goods." In Commercial Law Concentrate. Oxford University Press, 2017. http://dx.doi.org/10.1093/he/9780198803843.003.0001.

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Each Concentrate revision guide is packed with essential information, key cases, revision tips, exam Q&As, and more. Concentrates show you what to expect in a law exam, what examiners are looking for, and how to achieve extra marks. This chapter provides a general introduction to sale of goods law in the UK. It explains the sale of goods contract, why there is a different framework for these types of contract under English law, and the specific legislation for contracts of sale of goods and other relevant transactions. The chapter considers the statutory definitions for contract, property, and goods, and discusses the distinction between sales and agreements to sell, between specific goods and unascertained goods, and between existing goods and future goods. The chapter introduces and provides an analysis of the Consumer Rights Act 2015 which subsequent chapters then build upon. Finally, it examines contracts other than of sale of goods.
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Baskind, Eric. "1. Introduction to contracts of sale of goods." In Commercial Law Concentrate, 1–11. Oxford University Press, 2019. http://dx.doi.org/10.1093/he/9780198840619.003.0001.

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Each Concentrate revision guide is packed with essential information, key cases, revision tips, exam Q&As, and more. Concentrates show you what to expect in a law exam, what examiners are looking for, and how to achieve extra marks. This chapter provides a general introduction to sale of goods law in the UK. It explains the sale of goods contract, why there is a different framework for these types of contract under English law, and the specific legislation for contracts of sale of goods and other relevant transactions. The chapter considers the statutory definitions for contract, property, and goods, and discusses the distinction between sales and agreements to sell, between specific goods and unascertained goods, and between existing goods and future goods. The chapter introduces and provides an analysis of the Consumer Rights Act 2015 which subsequent chapters then build upon. Finally, it examines contracts other than of sale of goods.
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Fairgrieve, Duncan, and Richard Goldberg. "Remedies For Breach Of The Implied Terms." In Product Liability. Oxford University Press, 2020. http://dx.doi.org/10.1093/oso/9780199679232.003.0006.

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An important characteristic of the terms as to correspondence with description, satisfactory quality, and fitness for purpose implied by ss 13 and 14 of the Sale of Goods Act 1979 is that being designated conditions their breach will prima facie entitle the buyer to reject the goods. In addition, damages may be claimed as compensation for any physical injury or property damage suffered by the buyer, provided that this is within the reasonable contemplation of the parties as being not unlikely to result from the breach. Until relatively recently it was not necessary to distinguish too closely in this context according to whether the buyer was dealing as a business or as a consumer. The same general rules applied in both cases. The introduction of the Sale and Supply of Goods to Consumers Regulations 2002 changed the position markedly in this respect by enacting additional rights for buyers who deal as consumers.
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Clarke, MA, RJA Hooley, RJC Munday, LS Sealy, AM Tettenborn, and PG Turner. "24. Introduction." In Commercial Law. Oxford University Press, 2017. http://dx.doi.org/10.1093/he/9780199692088.003.0024.

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This chapter serves as an introduction to commercial credit and security. Credit plays an important role in the world of commerce. In the sale of goods, for example, the seller may have to borrow money from a bank so that he can obtain the buyer's order and supply the goods as required. The bank loan is a form of credit. This chapter first considers the definition of credit before discussing two forms of credit: loan credit and sale credit. It then examines the relevant provisions of the Consumer Credit Act 1974, the nature and purpose of security, real security and security interest, and quasi-security. It also describes the three stages involved in the process of creating an effective security interest: attachment, perfection, and priorities. Finally, it analyses the agreement to give security over future property and the proposed reform of the applicable law.
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"Act [n], Sales of Goods and Services Act [UK]." In Encyclopedic Dictionary of Landscape and Urban Planning, 6. Berlin, Heidelberg: Springer Berlin Heidelberg, 2010. http://dx.doi.org/10.1007/978-3-540-76435-9_99.

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"Action may not be taken against this sort of use in every case. The Act sets threshold conditions: the mark must be one which has a reputation, and the use must without due cause take unfair advantage of or be detrimental to the distinctive character or the reputation of the mark. There is therefore no need for the goods on which the second mark is used to be in direct competition with the registered mark. The proprietor’s sales do not even have to be damaged." In Sourcebook on Intellectual Property Law, 627–32. Routledge-Cavendish, 1997. http://dx.doi.org/10.4324/9781843142928-105.

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"Sales of Goods and Services Act [n] [UK]." In Encyclopedic Dictionary of Landscape and Urban Planning, 864. Berlin, Heidelberg: Springer Berlin Heidelberg, 2010. http://dx.doi.org/10.1007/978-3-540-76435-9_12156.

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"Draft Sale of Goods (United Nations Sales Convention) Act, 199-." In Explanatory Documentation prepared for Commonwealth Jurisdictions, 37–38. Commonwealth, 1991. http://dx.doi.org/10.14217/9781848594890-10-en.

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Lucey, Conor. "Building sales: advertising and the property market." In Building reputations, 168–207. Manchester University Press, 2018. http://dx.doi.org/10.7228/manchester/9781526119940.003.0005.

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Abstract:
Having examined the building and decorating of the urban house, this chapter explores how the artisan approached marketing and selling real estate. As the first sustained analysis of property advertising in the eighteenth and early nineteenth-century Atlantic world, this chapter first considers how regional variations and social demographics (aristocratic audiences in London and Dublin compared with merchant audiences in Boston and Philadelphia) dictated the form and content of property notices, reflecting on issues such as location, quality of structural and decorative finish, convenience, and decorum. But while house-building and house-selling were principally economic activities, representing the motivating force for building mechanics to enter the real estate market, the evidence from property advertisements reveals that builders were cognizant of the semantics of advertising rhetoric and employed a vocabulary that emulated that of auctioneers, luxury goods manufacturers and other polite retailers.
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Roland, Djieufack. "Sales and Conformity of Goods: A Legal Discourse." In Banking and Finance. IntechOpen, 2020. http://dx.doi.org/10.5772/intechopen.93035.

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This chapter is primarily concerned with the fact that the concept of conformity is dynamic and amorphous as it is recognised as an impetus to economic development and plays a major role in matters of sale of goods within an economy. In making an assessment of the seller’s duty of conformity to a contract of sale of goods as governed by the OHADA Uniform Act on General Commercial Law, this study argues that the concept of conformity is limited rather than broad that should appropriately encapsulate the physical and non-physical things that could form the object of a contract of sale. It therefore explores other aspects that could be considered as part of the ‘goods’ for the purposes of the conformance duty in establishing the limits of the seller’s liability. Thus, adopting an empirical and in-depth analysis of primary and secondary data, this study therefore holds that the question of conformity of goods can conveniently be addressed from a number of different angles: contract law, consumer patterns, local and international standards, and the principles of caveat venditor and caveat emptor.
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