Over the last ten years, the emergence of contractual estoppel has been catalysed by litigation between sophisticated participants in the financial markets. Pending a Supreme Court decision, the principal authority remains the Court of Appeal’s 2010 decision in Springwell Navigation Corp v JP Morgan Chase Bank (‘Springwell’). It would be wrong, however, to think that the doctrine has remained static since this landmark decision, or that it has remained confined to the financial sphere, or to relationships between sophisticated parties. The paper aims to fill a gap by considering the more recent, ‘second generation’ of cases involving contractual estoppel handed down in the five years 2013-2017 inclusive, with the aims of developing our understanding of this type of estoppel and examining its actual implications to date. Overall, the paper shows how contractual estoppel has become a recurrent and predictable feature of financial markets litigation, but also how it has spread into cases involving more diverse aspects of business and personal life. It argues that this diversity matters not only because of the impact on these wide-ranging types of relationships, but also because it has influenced the development of the doctrine. In this respect, the analysis shows how existential questions about contractual estoppel have faded from the cases, to be replaced by debates about the constraints on the doctrine. As a result, having assessed the extent and implications of spread of the doctrine, the paper proceeds to analyse the status of those constraints as they currently stand, considering in turn the ‘internal’ and ‘external’ limits
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机译:在过去的十年中,金融市场资深参与者之间的诉讼推动了合同禁止反言的出现。待最高法院作出裁决之前,主要权力仍然是上诉法院在Springwell Navigation Corp诉JP Morgan Chase Bank('Springwell')一案中的2010年裁决。然而,认为自从这一具有里程碑意义的决定以来,该学说一直是静止的,或者它仍然局限于金融领域或老练政党之间的关系,这是错误的。本文旨在通过考虑在2013年至2017年这五年期间(包括当年)发布的涉及合同禁止反言的最新``第二代''案件来填补空白,目的是加深我们对此类禁止反言的理解并研究其实际含义至今。总体而言,本文显示了合同禁止反言如何成为金融市场诉讼的经常性和可预测的特征,以及它如何传播到涉及商业和个人生活的更多方面的案件。它认为这种多样性之所以重要,不仅因为对这些广泛关系的影响,而且还因为它影响了该学说的发展。在这方面,分析表明,有关合同禁止反言的存在性问题已从案件中消失了,而由关于学说约束的辩论所取代。结果,在评估了该学说传播的程度和含义之后,本文继续分析了这些约束的现状,并依次考虑了“内部”和“外部”限制
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