Publications

2015

Bostyn, Sven, ‘Patenting personalised medicine and human rights’, in, P. Torremans (ed.), Intellectual Property and Human Rights (Kluwer Law International 2015).

Bostyn, Sven, ‘The unbearable complications of patenting plants’, in Tallacchini Mariachiara; Leonini Fernando; Ferrari Matteo (eds.), Innovating Food, Innovating the Law. An interdisciplinary approach to the challenges in the agro-food sector, Tricase, Libellula Edizioni, 2014.

Cengiz, Firat, ‘Legitimacy and Multi-Level Governance in European Union Competition Law: A Deliberative Discursive Approach’, Journal of Common Market Studies, 2015.

Cengiz, Firat; Beveridge, Fiona,‘The EU Budget for Gender Equality’, Report for the European Parliament, Policy Department D: Budgetary Affairs, Brussels, 2015.

Gideon, Andrea 'Blurring Boundaries between the Public and the Private in National Research Policies and Possible Consequences from EU Primary Law' (2015) 11 Journal of Contemporary European Research 50

Gideon, Andrea 'The Position of Higher Education Institutions in a Changing European Context: An EU Law Perspective' (2015) 53 Journal of Common Market Studies 1045-1060

Messenger, Gregory ‘The Development of International Law and the Role of Causal Language’, Oxford Journal of Legal Studies (2015).

Messenger, Gregory 'Reforming the Law and Institutions of the WTO: The Dangers of Unexpected Consequences’, in A Segura Serrano (ed), The Reform of International Economic Governance (Ashgate, 2016) (in press)

Messenger, Gregory The Development of World Trade Organization Law: Examining Change in International Law (Oxford University Press, 2016).

Sattorova, Mavluda and Calamita, N. Jansen, eds (2015) The Regionalization of International Investment Treaty Arrangements, in Sattorova, Mavluda and Calamita, N. Jansen, eds Investment Treaty Law Current Issues, V BIICL, London.

Sattorova, Mavluda, ‘Between regional harmonization and global fragmentation? The variable geometry and geography of investment treaty law through the prism of regulatory flexibility provisions’, in Sattorova, Mavluda and Calamita, N. Jansen, eds Investment Treaty Law Current Issues, V. BIICL, London.

Sattorova, Mavluda, International Investment Law in Central Asia: The Making, Implementation and Change of Investment Rules from a Regionalist Perspective (2015) The Journal of World Investment & Trade 16.

Zrilic, Jure, ‘International Investment Law in the Context of Jus Post Bellum: Are Investment Treaties Likely to Facilitate or Hinder the Transition to Peace?’ (2015) 16 The Journal of World Investment & Trade 604

Zrilic, Jure, ‘Jurisprudential Interaction between ICSID Tribunals and the International Court of Justice’, Andrea K. Bjorklund (ed), Yearbook on International Investment Law & Policy 2013-2014 (OUP 2015) 305

2014

Alemanno , A. and Garde, A. ed(s), Regulating Lifestyle Risks in Europe: Tobacco, Alcohol and Unhealhty Diets, (Cambridge University Press, Cambridge).

Alemanno, A. and Garde, A., “The Prevention of Non-Communicable Diseases in the European Union”, in Voon, T.; Mitchell, A.; Liberman, J. ed(s), Regulating Tobacco, Alcohol and Unhealthy Foods: The Legal Issues, (Oxford, Routledge).

Beveridge F.; Cengiz, F.; Drywood, E., ‘Gender Mainstreaming, Gender Budgeting and Monitoring Post-2015 Gender Equality Policy’, submission of evidence upon the request of European Parliament, Committee on Women’s Rights and Gender Equality.

Cengiz, F. “Network Governance in European Competition Law Post-Financial Crisis: What Impact on Legitimacy?”, in JM Beneyto and J Maillo (eds.), Fostering Growth in Europe: Reinforcing the Internal Market, (Madrid, CEU Ediciones).

Garde, A. (2014), “Can the Unfair Commercial Practices Directive really be a Vector of Legal Certainty?”, in Van Boom, W.; Garde, A.; Akseli, O. ed(s), Experiencing the Unfair Commercial Practices Directive (Farnham, Ashgate).

Gideon, A., “Market elements in universities: Potential conflict with EU competition law?”, Europe of Knowledge.

Stokes, R., “LIBOR Manipulation: The Limits and Potential of Corporate Criminal Liability’, in Ryder, N.; Turksen, U.; Hassler, S. (eds), Fighting Financial Crime in the Global Economic Crisis (London, Routledge).

Van Boom, W.; Garde, A.; Akseli, O. ed(s), Experiencing the Unfair Commercial Practices Directive: Impact, Enforcement Strategies and National Legal Systems, Markets and the Law (Ashgate, Farnham).


2013

Alemanno, A.; Garde, A., “The Emergence of an EU Lifestyle Policy: The Case of Alcohol, Tobacco and Unhealthy Diets”, Common Market Law Review, vol 50 issue 6.

Bartlett ,O.; Garde, A., “Time to Seize the (Red) Bull by the Horns: The EU’s Failure to Protect Children from Alcohol and Unhealthy Food Marketing”, European Law Review, vol 38 issue 4, pp. 498-520.

Bostyn, S.J.R., “Patentability of Plants: At the Crossroads Between Monopolizing Nature and Protecting Technological Innovation?”, The Journal of World Intellectual Property, vol 16, issue 3-4, pp. 105-149.

Bostyn, S.J.R., artt. 2a, 3, 25, 53a, 53b, 53c Rijksoctrooiwet 1995. In: Gielen, Ch., Visser, D.J.G ed(s). IE Recht & Commentaar (Deventer, Kluwer).

Bostyn, S.J.R.; Petit, N., “Patent=Monopoly: A Legal Fiction”, SSRN: http://ssrn.com/abstract=2373471.

Bostyn, SJR, “Resolving the conundrum of the patentability of plants produced by an essentially biological process: squaring the circle?”, EIPR vol 35, issue 7, pp. 383-396.

Cengiz F., Written Evidence, UK – EU Balance of Competences Review, Call for Evidence on Competition and Consumer Law, Department of Business, Innovation & Skills.

Cengiz, F., “The Modernisation of EU Competition Law: Institutional Design Lessons for China?”, in Michael Faure and Xinzhu Zhang (eds.), Competition Policy and Regulation. Recent Developments in China, the US and Europe (Cheltenham: Edward Elgar).

Friant, P.M.; Garde A., “From BSE to Obesity – EFSA’s Growing Role in the EU’s Nutrition Policy”, in Alemanno, A.; Gabbi, S. ed(s), Foundations of EU Food Law and Policy: Ten Years of the European Food Safety Authority (London, Ashgate).

Garde, A., “Food Marketing and Childhood Obesity: Is there a Link?”, Sociology Review, (Hachette UK, London), September, pp. 10-12

Garde, A., Written Report, UK – EU Balance of Competences Review, Call for Evidence on Competition and Consumer Law, Department of Business, Innovation & Skills.

Kelly G.H., “Re-Evaluating the Origins of the European Union's Emissions Trading Scheme: The Europeanisation of Emissions Trading”, Journal of Sustainable Development Law and Policy, vol 2 issue 1, pp 79.

Kelly, G.H., Without Fanfares: The UK's New Financial Regulators Arrive. Continuity, Insurance, and Risk, (Perspective Publishing, London).

Sattorova, M., “International investment law, renewable energy, and national policy-making: on ‘green’ discrimination, double regulatory squeeze, and the law of exceptions”, in Bjorkland, A. et. al. ed(s), Yearbook of International Investment Law & Policy (New York, OUP).

Savirimuthu, J. “Smart Meters and the Information Panopticon: Beyond the Rhetoric of Compliance”, International Review of Law Computers & Technology, vol 27, issue 1-2, pp. 161-186.

Savirimuthu, J., “Intellectual property and the enduring value of fairy tales”, Journal of Intellectual Property Law & Practice, 413-414.

Savirimuthu, J., “Who ambushed whom at London 2012? Lessons for the Rio 2016 organizing committee for the Olympic Games”, Journal of Intellectual Property Law & Practice, 491-492.

Stokes, R, “Anti-Money Laundering Regulation and Emerging Payment Technologies”, Banking & Financial Services Policy Report, vol 32, issue 5 pp 1-11.

Stokes, R., “Banks Still in a Bind: Implications of the AML Regime”, The Journal of Business Law.

Stokes, R., Banking Confidentiality, Money Laundering and Human Rights (Edward Elgar, Cheltenham).

2012

Bostyn S.J.R. (2012), “Patenting antibodies after HGS v Lilly: More questions raised than answered”, CIPA Journal, vol. 41, issue 10, pp. 573-580.

Cengiz, F., Antitrust Federalism in the EU and the US (New York and London: Routledge).

Dobson, P.; Stokes, R., Commercial Law, Textbook Series 8 (Sweet and Maxwell, London).

Garde A., “The Unfair Commercial Practices Directive: A Successful Example of Legislative Harmonisation?”, in Syrpis, P. ed., The Judiciary, the Legislature and the Internal Market (Cambridge, Cambridge University Press).

Garde A.; Rigby, N., “Going for gold – Should Responsible Governments Raise the Bar on Sponsorship of the Olympic Games and Other Sporting Events by Food and Beverage Companies?”, Communications Law, issue 17, pp. 42.

Garde, A. et al., “A framework for implementing the set of recommendations on the marketing of foods and non-alcoholic beverages to children”, Geneva, World Health Organization.

Garde, A., “Food Marketing Regulation and Childhood Obesity Prevention”, Society Now, Economic and Social Research Council, Autumn 2012, pp. 10.

Garde, A., “Freedom of Commercial Expression and Public Health Protection: The Principle of Proportionality as a Tool to Strike the Balance”, in Gormley, L.; Shuibhne, N. ed(s). From Single Market to Economic Union – Essays in Honour of John Usher (Oxford, Oxford University Press).

Garde, A., “The Best Interest of the Child and EU Consumer Policy: A Major Gap between Theory and Practice?”, in Devenney, J.; Kenny, M, ed(s), The Theory and Practice of EU Consumer Law and Policy (Cambridge, Cambridge University Press).

Gideon A., “Higher Education Institutions and EU Competition Law”, Competition Law Review, vol 8, pp 169-184.

Kelly, G.H., “Surveying Emissions Trading Through a Multi-Level Governance Lens”, in Sancin, V. ed., International Environmental Law: Contemporary Concerns and Challenges, (Ljubljana, GV Publishing).

Parsons, C.; Savirimuthu, J.; Wipond, R.; McArthur, K., “ANPR: Code and Rhetorics of Compliance”, European Journal of Law and Technology, vol. 3 issue 3.

Rigby, N.; Garde, A., “Junk Food Has No Place in the Olympic Line Up”, The Guardian, 17 July 2012.

Sattorova, M., “Defining Investment under the ICSID Convention and BITs: of Ordinary Meaning, Telos, and Beyond”, Asian Journal of International Law, vol 2 issue 2, pp. 267-290.

Sattorova, M., “Denial of Justice Disguised: Investment Arbitration and the Protection of Foreign Investors from Judicial Misconduct”, International and Comparative Law Quarterly, vol. 61, pp. 223-246.

Sattorova, M., “Investment Treaty Breach as Internationally Proscribed Conduct: Shifting Scope, Evolving Objectives, Recalibrated Remedies?”, Trade, Law & Development, vol. 4, issue 2, pp. 315-352.

Sattorova, M., “Return to the Local Remedies Rule in European BITs?: Power (Inequalities), Dispute Settlement, and Change in Investment Treaty Law”, Legal issues of Economic Integration, vol. 39 issue 2, pp. 223-249.

Sattorova, M., Dimopoulos, A., “The Present and Future of EU International Investment Treaties: Editorial”, Legal issues of Economic Integration, vol. 39, issue 2 pp. 153-155.

Savirimuthu, J., “Converging models of governance in EU electronic communications law”, Journal of Intellectual Property Law & Practice, pp. 632-633.

Savirimuthu, J., “From Mount Sinai to Cyberspace: commandments for respect-worthy laws”, Journal of Intellectual Property Law & Practice, pp. 253-256.

Savirimuthu, J., “Online Child Safety: Law, Technology and Governance”, (Palgrave Macmillan).

Savirimuthu, J., “The Europeanization of intellectual property law: the quest for common principles”, Journal of Intellectual Property Law & Practice, pp. 833-835.

Stokes, R., “The Law and Practice of International Banking”, Banking and Finance Law Review, AUG 2012, 743-746.

Stokes, R., “Virtual Money Laundering: The Case of Bitcoin and the Linden Dollar”, Information and Communications Technology Law, vol. 21, issue 3, pp. 221-236.

2011

Cengiz, F. “Judicial Review and the Rule of Law in EU Competition Law Regime After Alrosa”, 7European Competition Journal 127.

Friant, P.M.; Garde, A., “La Publicité Alimentaire et la Lutte Contre l’Obésité Infantile en Droit Français et en Droit Anglais”, Les Petites Affiches pp 27.

Garde A., “Freedom of Commercial Expression and the Protection of Public Health in Europe”, Cambridge Yearbook of European Legal Studies, pp 225.

Garde, A., “Advertising Regulation and the Protection of Children-Consumers in the European Union: In the Best Interest of… Commercial Operators?”, International Journal of Children's Rights, vol. 19, pp. 523-545.

Garde, A., “Towards the Liberalisation of Product Placement on UK Television?” Communications Law, vol, 16, pp. 93.

Sattorova, M., “Arbitration Under International Investment Agreements: A Guide to the Key Issues”, in Yannaca-Small, K. (ed). Transnational Dispute Management (TDM).

Savirimuthu, J., “The EU, Online Child Safety and Media Literacy”, The International Journal of Children Rights, vol. 19, issue 3, pp. 547-569.

Wendt, I.; Gideon, A., “Services of general interest provision through the third sector under EU law constrains – the example of organizing healthcare in England, Wales and the Netherlands”, In: D Schiek, H Schneider and U Liebert ed(s)., European Economic and Social Constitutionalism after the Treaty of Lisbon (Cambridge, Cambridge University Press).


2010

Arora, A., “The 2007-2009 Banking Crisis and the EU's Regulatory Response”, European Business Law Review, vol. 21, issue 5, pp. 603-628.

Arora, A., “The Global Financial Crisis: A new global regulatory order?”, Journal of Business Law, issue 8, pp.670-699.

Cengiz, F., “Multi-level Governance in Competition Policy: the European Competition Network”, 35 European Law Review 660.

Cengiz, F., “White Paper on Antitrust Damage Actions: Lessons from the American Indirect Purchaser Litigation”, 59 International and Comparative Law Quarterly39.

Mulder, J.; Gideon, A., “Case Note - Judgment of the Landgericht Frankfurt (Oder) (Regional Court) of 22 June 2010: Hotelier’s Right to Ban Persons from Hotel Premises”, German Law Journal, vol. 11, pp. 1147-1160.

Sattorova, M., “Judicial expropriation or denial of justice: Saipem v Bangladesh”, International Arbitration Law Review, vol. 13, pp. 35-42.

Sattorova, M., “State Liability in Investment Treaty Arbitration: Global Constitutional and Administrative Law in the BIT Generation”, in S. Montt., Transnational Dispute Management, (TDM).

Sattorova, M., “The Multilateralization of International Investment Law”, in Schill, S.W. (ed.), British Year Book of International Law (Cambridge University Press).

Stokes, R., “The Genesis of Banking Confidentiality”, The Journal of Legal History, vol. 32, issue 3, pp. 279-294.

LEGU's Publications

2015

  • Bostyn, Sven, ‘Patenting personalised medicine and human rights’, in, P. Torremans (ed.), Intellectual Property and Human Rights (Kluwer Law International 2015).
  • Bostyn, Sven, ‘The unbearable complications of patenting plants’, in Tallacchini Mariachiara; Leonini Fernando; Ferrari Matteo (eds.), Innovating Food, Innovating the Law. An interdisciplinary approach to the challenges in the agro-food sector, Tricase, Libellula Edizioni, 2014.
  • Cengiz, Firat, ‘Legitimacy and Multi-Level Governance in European Union Competition Law: A Deliberative Discursive Approach’, Journal of Common Market Studies, 2015.
  • Cengiz, Firat; Beveridge, Fiona,‘The EU Budget for Gender Equality’, Report for the European Parliament, Policy Department D: Budgetary Affairs, Brussels, 2015.
  • Gideon, Andrea 'Blurring Boundaries between the Public and the Private in National Research Policies and Possible Consequences from EU Primary Law' (2015) 11 Journal of Contemporary European Research 50
  • Gideon, Andrea 'The Position of Higher Education Institutions in a Changing European Context: An EU Law Perspective' (2015) 53 Journal of Common Market Studies 1045-1060
  • Messenger, Gregory ‘The Development of International Law and the Role of Causal Language’, Oxford Journal of Legal Studies (2015).
  • Messenger, Gregory 'Reforming the Law and Institutions of the WTO: The Dangers of Unexpected Consequences’, in A Segura Serrano (ed), The Reform of International Economic Governance (Ashgate, 2016) (in press)
  • Messenger, Gregory The Development of World Trade Organization Law: Examining Change in International Law (Oxford University Press, 2016).
  • Sattorova, Mavluda and Calamita, N. Jansen, eds (2015) The Regionalization of International Investment Treaty Arrangements, in Sattorova, Mavluda and Calamita, N. Jansen, eds Investment Treaty Law Current Issues, V BIICL, London.
  • Sattorova, Mavluda, ‘Between regional harmonization and global fragmentation? The variable geometry and geography of investment treaty law through the prism of regulatory flexibility provisions’, in Sattorova, Mavluda and Calamita, N. Jansen, eds Investment Treaty Law Current Issues, V. BIICL, London.
  • Sattorova, Mavluda, International Investment Law in Central Asia: The Making, Implementation and Change of Investment Rules from a Regionalist Perspective (2015) The Journal of World Investment & Trade 16.
  • Zrilic, Jure, ‘International Investment Law in the Context of Jus Post Bellum: Are Investment Treaties Likely to Facilitate or Hinder the Transition to Peace?’ (2015) 16 The Journal of World Investment & Trade 604
  • Zrilic, Jure, ‘Jurisprudential Interaction between ICSID Tribunals and the International Court of Justice’, Andrea K. Bjorklund (ed), Yearbook on International Investment Law & Policy 2013-2014 (OUP 2015) 305

2014

  • Alemanno , A. and Garde, A. ed(s), Regulating Lifestyle Risks in Europe: Tobacco, Alcohol and Unhealhty Diets, (Cambridge University Press, Cambridge).
  • Alemanno, A. and Garde, A., “The Prevention of Non-Communicable Diseases in the European Union”, in Voon, T.; Mitchell, A.; Liberman, J. ed(s), Regulating Tobacco, Alcohol and Unhealthy Foods: The Legal Issues, (Oxford, Routledge).
  • Beveridge F.; Cengiz, F.; Drywood, E., ‘Gender Mainstreaming, Gender Budgeting and Monitoring Post-2015 Gender Equality Policy’, submission of evidence upon the request of European Parliament, Committee on Women’s Rights and Gender Equality.
  • Cengiz, F. “Network Governance in European Competition Law Post-Financial Crisis: What Impact on Legitimacy?”, in JM Beneyto and J Maillo (eds.), Fostering Growth in Europe: Reinforcing the Internal Market, (Madrid, CEU Ediciones).
  • Garde, A. (2014), “Can the Unfair Commercial Practices Directive really be a Vector of Legal Certainty?”, in Van Boom, W.; Garde, A.; Akseli, O. ed(s), Experiencing the Unfair Commercial Practices Directive (Farnham, Ashgate).
  • Gideon, A., “Market elements in universities: Potential conflict with EU competition law?”, Europe of Knowledge.
  • Stokes, R., “LIBOR Manipulation: The Limits and Potential of Corporate Criminal Liability’, in Ryder, N.; Turksen, U.; Hassler, S. (eds), Fighting Financial Crime in the Global Economic Crisis (London, Routledge).
  • Van Boom, W.; Garde, A.; Akseli, O. ed(s), Experiencing the Unfair Commercial Practices Directive: Impact, Enforcement Strategies and National Legal Systems, Markets and the Law (Ashgate, Farnham).

2013

  • Alemanno, A.; Garde, A., “The Emergence of an EU Lifestyle Policy: The Case of Alcohol, Tobacco and Unhealthy Diets”, Common Market Law Review, vol 50 issue 6.
  • Bartlett ,O.; Garde, A., “Time to Seize the (Red) Bull by the Horns: The EU’s Failure to Protect Children from Alcohol and Unhealthy Food Marketing”, European Law Review, vol 38 issue 4, pp. 498-520.
  • Bostyn, S.J.R., “Patentability of Plants: At the Crossroads Between Monopolizing Nature and Protecting Technological Innovation?”, The Journal of World Intellectual Property, vol 16, issue 3-4, pp. 105-149.
  • Bostyn, S.J.R., artt. 2a, 3, 25, 53a, 53b, 53c Rijksoctrooiwet 1995. In: Gielen, Ch., Visser, D.J.G ed(s). IE Recht & Commentaar (Deventer, Kluwer).
  • Bostyn, S.J.R.; Petit, N., “Patent=Monopoly: A Legal Fiction”, SSRN: http://ssrn.com/abstract=2373471.
  • Bostyn, SJR, “Resolving the conundrum of the patentability of plants produced by an essentially biological process: squaring the circle?”, EIPR vol 35, issue 7, pp. 383-396.
  • Cengiz F., Written Evidence, UK – EU Balance of Competences Review, Call for Evidence on Competition and Consumer Law, Department of Business, Innovation & Skills.
  • Cengiz, F., “The Modernisation of EU Competition Law: Institutional Design Lessons for China?”, in Michael Faure and Xinzhu Zhang (eds.), Competition Policy and Regulation. Recent Developments in China, the US and Europe (Cheltenham: Edward Elgar).
  • Friant, P.M.; Garde A., “From BSE to Obesity – EFSA’s Growing Role in the EU’s Nutrition Policy”, in Alemanno, A.; Gabbi, S. ed(s), Foundations of EU Food Law and Policy: Ten Years of the European Food Safety Authority (London, Ashgate).
  • Garde, A., “Food Marketing and Childhood Obesity: Is there a Link?”, Sociology Review, (Hachette UK, London), September, pp. 10-12
  • Garde, A., Written Report, UK – EU Balance of Competences Review, Call for Evidence on Competition and Consumer Law, Department of Business, Innovation & Skills.
  • Kelly G.H., “Re-Evaluating the Origins of the European Union's Emissions Trading Scheme: The Europeanisation of Emissions Trading”, Journal of Sustainable Development Law and Policy, vol 2 issue 1, pp 79.
  • Kelly, G.H., Without Fanfares: The UK's New Financial Regulators Arrive. Continuity, Insurance, and Risk, (Perspective Publishing, London).
  • Sattorova, M., “International investment law, renewable energy, and national policy-making: on ‘green’ discrimination, double regulatory squeeze, and the law of exceptions”, in Bjorkland, A. et. al. ed(s), Yearbook of International Investment Law & Policy (New York, OUP).
  • Savirimuthu, J. “Smart Meters and the Information Panopticon: Beyond the Rhetoric of Compliance”, International Review of Law Computers & Technology, vol 27, issue 1-2, pp. 161-186.
  • Savirimuthu, J., “Intellectual property and the enduring value of fairy tales”, Journal of Intellectual Property Law & Practice, 413-414.
  • Savirimuthu, J., “Who ambushed whom at London 2012? Lessons for the Rio 2016 organizing committee for the Olympic Games”, Journal of Intellectual Property Law & Practice, 491-492.
  • Stokes, R, “Anti-Money Laundering Regulation and Emerging Payment Technologies”, Banking & Financial Services Policy Report, vol 32, issue 5 pp 1-11.
  • Stokes, R., “Banks Still in a Bind: Implications of the AML Regime”, The Journal of Business Law.
  • Stokes, R., Banking Confidentiality, Money Laundering and Human Rights (Edward Elgar, Cheltenham).

2012

  • Bostyn S.J.R. (2012), “Patenting antibodies after HGS v Lilly: More questions raised than answered”, CIPA Journal, vol. 41, issue 10, pp. 573-580.
  • Cengiz, F., Antitrust Federalism in the EU and the US (New York and London: Routledge).
  • Dobson, P.; Stokes, R., Commercial Law, Textbook Series 8 (Sweet and Maxwell, London).
  • Garde A., “The Unfair Commercial Practices Directive: A Successful Example of Legislative Harmonisation?”, in Syrpis, P. ed., The Judiciary, the Legislature and the Internal Market (Cambridge, Cambridge University Press).
  • Garde A.; Rigby, N., “Going for gold – Should Responsible Governments Raise the Bar on Sponsorship of the Olympic Games and Other Sporting Events by Food and Beverage Companies?”, Communications Law, issue 17, pp. 42.
  • Garde, A. et al., “A framework for implementing the set of recommendations on the marketing of foods and non-alcoholic beverages to children”, Geneva, World Health Organization.
  • Garde, A., “Food Marketing Regulation and Childhood Obesity Prevention”, Society Now, Economic and Social Research Council, Autumn 2012, pp. 10.
  • Garde, A., “Freedom of Commercial Expression and Public Health Protection: The Principle of Proportionality as a Tool to Strike the Balance”, in Gormley, L.; Shuibhne, N. ed(s). From Single Market to Economic Union – Essays in Honour of John Usher (Oxford, Oxford University Press).
  • Garde, A., “The Best Interest of the Child and EU Consumer Policy: A Major Gap between Theory and Practice?”, in Devenney, J.; Kenny, M, ed(s), The Theory and Practice of EU Consumer Law and Policy (Cambridge, Cambridge University Press).
  • Gideon A., “Higher Education Institutions and EU Competition Law”, Competition Law Review, vol 8, pp 169-184.
  • Kelly, G.H., “Surveying Emissions Trading Through a Multi-Level Governance Lens”, in Sancin, V. ed., International Environmental Law: Contemporary Concerns and Challenges, (Ljubljana, GV Publishing).
  • Parsons, C.; Savirimuthu, J.; Wipond, R.; McArthur, K., “ANPR: Code and Rhetorics of Compliance”, European Journal of Law and Technology, vol. 3 issue 3.
  • Rigby, N.; Garde, A., “Junk Food Has No Place in the Olympic Line Up”, The Guardian, 17 July 2012.
  • Sattorova, M., “Defining Investment under the ICSID Convention and BITs: of Ordinary Meaning, Telos, and Beyond”, Asian Journal of International Law, vol 2 issue 2, pp. 267-290.
  • Sattorova, M., “Denial of Justice Disguised: Investment Arbitration and the Protection of Foreign Investors from Judicial Misconduct”, International and Comparative Law Quarterly, vol. 61, pp. 223-246.
  • Sattorova, M., “Investment Treaty Breach as Internationally Proscribed Conduct: Shifting Scope, Evolving Objectives, Recalibrated Remedies?”, Trade, Law & Development, vol. 4, issue 2, pp. 315-352.
  • Sattorova, M., “Return to the Local Remedies Rule in European BITs?: Power (Inequalities), Dispute Settlement, and Change in Investment Treaty Law”, Legal issues of Economic Integration, vol. 39 issue 2, pp. 223-249.
  • Sattorova, M., Dimopoulos, A., “The Present and Future of EU International Investment Treaties: Editorial”, Legal issues of Economic Integration, vol. 39, issue 2 pp. 153-155.
  • Savirimuthu, J., “Converging models of governance in EU electronic communications law”, Journal of Intellectual Property Law & Practice, pp. 632-633.
  • Savirimuthu, J., “From Mount Sinai to Cyberspace: commandments for respect-worthy laws”, Journal of Intellectual Property Law & Practice, pp. 253-256.
  • Savirimuthu, J., “Online Child Safety: Law, Technology and Governance”, (Palgrave Macmillan).
  • Savirimuthu, J., “The Europeanization of intellectual property law: the quest for common principles”, Journal of Intellectual Property Law & Practice, pp. 833-835.
  • Stokes, R., “The Law and Practice of International Banking”, Banking and Finance Law Review, AUG 2012, 743-746.
  • Stokes, R., “Virtual Money Laundering: The Case of Bitcoin and the Linden Dollar”, Information and Communications Technology Law, vol. 21, issue 3, pp. 221-236.

2011

  • Cengiz, F. “Judicial Review and the Rule of Law in EU Competition Law Regime After Alrosa”, 7European Competition Journal 127.
  • Friant, P.M.; Garde, A., “La Publicité Alimentaire et la Lutte Contre l’Obésité Infantile en Droit Français et en Droit Anglais”, Les Petites Affiches pp 27.
  • Garde A., “Freedom of Commercial Expression and the Protection of Public Health in Europe”, Cambridge Yearbook of European Legal Studies, pp 225.
  • Garde, A., “Advertising Regulation and the Protection of Children-Consumers in the European Union: In the Best Interest of… Commercial Operators?”, International Journal of Children's Rights, vol. 19, pp. 523-545.
  • Garde, A., “Towards the Liberalisation of Product Placement on UK Television?” Communications Law, vol, 16, pp. 93.
  • Sattorova, M., “Arbitration Under International Investment Agreements: A Guide to the Key Issues”, in Yannaca-Small, K. (ed). Transnational Dispute Management (TDM).
  • Savirimuthu, J., “The EU, Online Child Safety and Media Literacy”, The International Journal of Children Rights, vol. 19, issue 3, pp. 547-569.
  • Wendt, I.; Gideon, A., “Services of general interest provision through the third sector under EU law constrains – the example of organizing healthcare in England, Wales and the Netherlands”, In: D Schiek, H Schneider and U Liebert ed(s)., European Economic and Social Constitutionalism after the Treaty of Lisbon (Cambridge, Cambridge University Press).

2010

  • Arora, A., “The 2007-2009 Banking Crisis and the EU's Regulatory Response”, European Business Law Review, vol. 21, issue 5, pp. 603-628.
  • Arora, A., “The Global Financial Crisis: A new global regulatory order?”, Journal of Business Law, issue 8, pp.670-699.
  • Cengiz, F., “Multi-level Governance in Competition Policy: the European Competition Network”, 35 European Law Review 660.
  • Cengiz, F., “White Paper on Antitrust Damage Actions: Lessons from the American Indirect Purchaser Litigation”, 59 International and Comparative Law Quarterly39.
  • Mulder, J.; Gideon, A., “Case Note - Judgment of the Landgericht Frankfurt (Oder) (Regional Court) of 22 June 2010: Hotelier’s Right to Ban Persons from Hotel Premises”, German Law Journal, vol. 11, pp. 1147-1160.
  • Sattorova, M., “Judicial expropriation or denial of justice: Saipem v Bangladesh”, International Arbitration Law Review, vol. 13, pp. 35-42.
  • Sattorova, M., “State Liability in Investment Treaty Arbitration: Global Constitutional and Administrative Law in the BIT Generation”, in S. Montt., Transnational Dispute Management, (TDM).
  • Sattorova, M., “The Multilateralization of International Investment Law”, in Schill, S.W. (ed.), British Year Book of International Law (Cambridge University Press).
  • Stokes, R., “The Genesis of Banking Confidentiality”, The Journal of Legal History, vol. 32, issue 3, pp. 279-294.