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13 - Forward to the Past

A Critical Evaluation of the European Approach to Artificial Intelligence in Private International Law

from Part III - Responsible AI Liability Schemes

Published online by Cambridge University Press:  28 October 2022

Silja Voeneky
Affiliation:
Albert-Ludwigs-Universität Freiburg, Germany
Philipp Kellmeyer
Affiliation:
Medical Center, Albert-Ludwigs-Universität Freiburg, Germany
Oliver Mueller
Affiliation:
Albert-Ludwigs-Universität Freiburg, Germany
Wolfram Burgard
Affiliation:
Technische Universität Nürnberg

Summary

In this chapter, the law scholar Jan von Hein analyses and evaluates the European Parliament’s proposal on a civil liability regime for artificial intelligence against the background of the already existing European regulatory framework on private international law, in particular the Rome I and II Regulations. The draft regulation (DR) proposed by the European Parliament is noteworthy from a private international law perspective because it introduces new conflicts rules for AI. In this regard, the proposed regulation distinguishes between a rule delineating the spatial scope of its autonomous rules on strict liability for high-risk AI systems (Article 2 DR) on the one hand, and a rule on the law applicable to fault-based liability for low-risk systems (Article 9 DR) on the other hand. The latter rule refers to the domestic laws of the Member State in which the harm or damage occurred. In sum, compared with Rome II, the conflicts approach of the draft regulation would be a regrettable step backwards in many ways.

Type
Chapter
Information
The Cambridge Handbook of Responsible Artificial Intelligence
Interdisciplinary Perspectives
, pp. 210 - 226
Publisher: Cambridge University Press
Print publication year: 2022
Creative Commons
Creative Common License - CCCreative Common License - BYCreative Common License - NCCreative Common License - ND
This content is Open Access and distributed under the terms of the Creative Commons Attribution licence CC-BY-NC-ND 4.0 https://creativecommons.org/cclicenses/

I. Introduction

On 2 October 1997, the Member States of the European Union (EU) signed the Treaty of Amsterdam and endowed the European legislature with a competence in the field of private international law that is now found in Article 81(2)(c) of the Treaty on the Functioning of the European Union.Footnote 1 In the following two decades, the EU created an expanding body of private international law.Footnote 2 In particular, the Rome II Regulation on the law applicable to non-contractual obligations was enacted on 11 July 2007.Footnote 3 Only eleven months later, the Rome I Regulation on the law applicable to contractual obligations was adopted.Footnote 4 Although both Regulations are already rather comprehensive, gaps as well as inconsistencies remain.Footnote 5 In light of the rapid technological development since 2009, the issue as to whether there is a need for specific rules on the private international law of artificial intelligence (AI) has to be addressed.Footnote 6 After the European Parliament’s JURI Committee had presented a proposal for a civil liability regime for AI in April 2020,Footnote 7 the European Parliament adopted – with a large margin – a pertinent resolution with recommendations to the Commission on 20 October 2020.Footnote 8 This resolution is part of a larger regulatory package on issues of AI.Footnote 9 The draft regulation (DR) proposed in this resolution is noteworthy not only with regard to the rules on substantive law that it contains,Footnote 10 but also from a choice-of-law perspective because it introduces new, specific conflicts rules for AI-related aspects of civil liability.Footnote 11 In the following contribution, I analyse and evaluate the European Parliament’s proposal against the background of the already existing European regulatory framework on private international law, in particular the Rome I and II Regulations.

II. The Current European Framework

1. The Goals of PIL Harmonisation

The basic economic rationale underlying the Rome II Regulation is succinctly captured in its Recital 6, which reads as follows:

The proper functioning of the internal market creates a need, in order to improve the predictability of the outcome of litigation, certainty as to the law applicable and the free movement of judgments, for the conflict-of-law rules in the Member States to designate the same national law irrespective of the country of the court in which an action is brought.

This Recital epitomises the basic tenet of the methodology developed by Friedrich Carl von Savigny in the nineteenth century, in other words, the goal of international decisional harmony.Footnote 12 The Commission’s explanation for its Rome II draft of 2003 is even more explicit with regard to the deterrence of forum shopping: unless conflicts rules for non-contractual obligations become unified, ‘[t]he risk is that parties will opt for the courts of one Member State rather than another simply because the law applicable in the courts of this State would be more favourable to them.’Footnote 13 The explanation for the draft of 2003 also makes clear that a unification of tort conflicts rests on a sound economic rationale, the reduction of transaction costs borne by the parties. A European Regulation on tort conflicts ‘allows the parties to confine themselves to studying a single set of conflict rules, thus reducing the cost of litigation and boosting the foreseeability of solutions and certainty as to the law.’Footnote 14 This rationale is particularly important for tort conflicts, because, contrary to contract conflicts, a choice of the applicable law ex ante was traditionally not available in many jurisdictions.Footnote 15 Even if the parties enjoy that possibility, they will frequently not be able to exercise this right because they do not anticipate an accident to happen.Footnote 16 Accordingly, clear objective conflicts rules have significantly greater weight in tort than in contract cases.Footnote 17 This is an important factor facilitating the emergence of new technologies with cross-border implications, such as driverless cars.Footnote 18

Moreover, the force of a practical example that would emanate from a successful codification of European conflicts rules on AI must not be underestimated. Although the initial American reaction towards the Rome II Regulation was rather critical, denouncing the final text as a ‘missed opportunity’ to transplant US doctrines to Europe,Footnote 19 there is a palpable transatlantic interest in recent European developments and the lessons that these may hold for the United States.Footnote 20 A well-known American conflicts scholar even recommended the European codification of tort conflicts as a model for further US legislation.Footnote 21 While the ‘end of history’ for private international law (i.e. a full convergence of US and European conflict of laws in torts),Footnote 22 is still a long road ahead, a successful EU legislation on the law applicable to liability issues of AI will certainly increase the prospects for creating harmonised conflicts rules in this area on a global level.

2. The Subject of Liability

Both the Rome I and II Regulations only address the liability of natural personsFootnote 23 and ‘companies and other bodies, corporate or unincorporated’.Footnote 24 Thus, the question arises as to whether an AI system could be classified as another ‘unincorporated body’ within the meaning of these provisions.Footnote 25 There is a parallel discussion about attributing legal personality to AI-systems in substantive private law.Footnote 26 Although the mere wording of the English version of the Rome I and II Regulations would arguably allow such an innovative interpretation, other linguistic versions suggest a narrower, more traditional reading of the Regulations (e.g. the German one, which speaks of ‘Gesellschaften, Vereine und juristische Personen’). Since the law applicable to legal personality is not yet determined by EU private international law, but remains subject to domestic choice-of-law rules within the boundaries of the freedom of establishment,Footnote 27 it would be unwise to burden the Rome I and II Regulations with a regulatory aspect that is, from the point of view of international contract and tort law, merely an incidental question. Thus, the law applicable to legal personality will have to be determined by other measures, e.g. by a regulation based on the draft presented by the European Group for Private International Law in 2016.Footnote 28

3. Non-Contractual Obligations: The Rome II Regulation

a. Scope

The Rome II Regulation determines the law applicable to non-contractual obligations, in particular torts. The notion of ‘non-contractual obligation’ must be interpreted as an autonomous concept.Footnote 29 It covers both strict and fault-based liability.Footnote 30 Generally speaking, all types of harm or damage are covered, such as physical damage to property, pure economic loss, and immaterial harm.Footnote 31 The Rome II Regulation is limited to civil and commercial matters;Footnote 32 notably, it does not cover the liability of the state for acts and omissions in the exercise of state authority.Footnote 33 Thus, the law applicable to a Member State’s liability for the use of AI for the purpose of international police surveillance or military operations, for example, is determined by domestic choice-of-law rules.Footnote 34 Moreover, the Rome II Regulation is not applicable to non-contractual obligations arising out of violations of privacy and rights relating to personality, including defamation.Footnote 35 Therefore, the law applicable to any kind of use of AI that violates a person’s right to privacy or causes damage to their reputation must still be determined by domestic choice-of-law rules, such as Articles 40–42 of the German EGBGB.Footnote 36 Finally, although the rules of the Rome II Regulation are of European origin, they shall be applied whether or not the law specified by them is the law of an EU Member State.Footnote 37 Thus, according to this principle of ‘universal application’, even if an AI system operated by a British company causes damage to a person in Switzerland, the court of an EU Member State will determine the law applicable to such a case pursuant to the Rome II Regulation.Footnote 38

b. The General Rule (Article 4 Rome II)

The basic rule for torts in general is found in Article 4(1) Rome II, which refers to the place of injury. Recital 15 Rome II acknowledges that ‘lex loci delicti is the basic solution for non-contractual obligations in virtually all the Member States’. Nevertheless, the diverging interpretations of this principle by various Member States’ legislatures and courts in complex cases (place of injury, place of acting, or even both under the so-called theory of ubiquity) had in the past led to considerable legal uncertainty.Footnote 39 The preference for the place of injury is justified because, generally speaking, it strikes ‘a fair balance’ between the interest of the person claimed to be liable to foresee the applicable law and the interests of the person sustaining the damage.Footnote 40 From an economic point of view, the place of injury will usually lead to a fair distribution of the costs for obtaining the relevant legal information: In most cases, the person claimed to be liable should be able to anticipate that his or her acts may cause harm in another country, whereas the victim should be able to rely on the legal standard of the environment to which he or she exposed his or her body or property.Footnote 41 While the tortfeasor is thus forced to internalise the costs for negative externalities arising in other countries,Footnote 42 the victim is given the opportunity to structure his or her insurance in accordance with the law to which he or she is presumably accustomed.Footnote 43 Since Article 4(1) Rome II is based on the idea of striking ‘a fair balance’ between the alleged tortfeasor and victim, this neutral provision must not be interpreted in a one-sided fashion that favours the plaintiff. The Rome II Regulation does not, as a general principle, embrace the plaintiff-friendly principle of ubiquity found in German or Italian private international law.Footnote 44

The Rome II Regulation contains a significant number of specific rules for special torts.Footnote 45 This considerably reduces the weight that the general rule has to carry, which applies only ‘unless otherwise provided for in this Regulation’.Footnote 46 The main group of cases of practical importance that are exclusively governed by the general rule instead of specific rules are traffic accidents.Footnote 47 However, even in this regard, the scope of application of Article 4 Rome II is limited in practice. The full communitarisation of private international law is impeded by the fact that there already exist two supranational instruments dealing with important areas of tort conflicts, namely, the Hague Convention on the law applicable to Traffic Accidents (HCTA) and the Hague Convention on the law applicable to Products Liability (HCP).Footnote 48 Both conventions count several EU Member States among their parties.Footnote 49 Those Member States were (and are) unwilling to withdraw from the respective conventions.Footnote 50 Since the EU could arguably not terminate their membership without their consent, rules governing the collision between EU conflicts rules and the Hague conventions had to be invented.Footnote 51 The solution finally codified in the Rome II Regulation provides that the Regulation does not prejudice the application of existing conventions that contain conflicts rules for non-contractual obligations.Footnote 52 The Rome II Regulation takes precedence, however, over conventions concluded exclusively between two or more of them insofar as such conventions concern matters governed by the Regulation.Footnote 53 Since both pertinent Hague conventions have a sizeable number of non-EU state parties, this exception is of little practical use.Footnote 54 Even if a traffic accident is only connected with, for example, France and Germany, French courts have to apply the HCTA, whereas a German court must determine the applicable law under the Rome II Regulation.Footnote 55 Thus, in two of the most important areas of tort conflicts, traffic accidents and product liability, European private international law remains fragmented and continues to offer ample possibilities of forum shopping.Footnote 56 This situation is exacerbated by the fact that the Rome II Regulation excludes the possibility of renvoi.Footnote 57 Thus, cases involving driverless cars, for example, may be subject to different laws in various Member States.Footnote 58

The lex loci damniFootnote 59 is displaced in cases where the person claimed to be liable and the person sustaining the damage both have their habitual residence in the same country at the time when the damage occurs.Footnote 60 This rule had been familiar to many European codifications already before Rome II was enacted.Footnote 61 Again, it is a legitimate expression of the basic economic rationale underlying the Regulation: ‘[I]n most cases the common residence rule guarantees lower litigation costs, more efficient court administration, and international harmony of decisions’.Footnote 62 Usually, parties who share a common habitual residence will litigate in the country where they live; moreover, their insurance coverage will, in most cases, be structured according to the standards prevailing in this country.Footnote 63

Article 4(1) and (2) Rome II are coupled with an escape clause that is meant to provide for a sufficient degree of judicial discretion in the individual case.Footnote 64 The final paragraph, which is rather an open-ended standard than a rule, combines a fairly general approach in its first sentence (manifestly closer connection) with a particular example of such a connection (relationship between the parties, for example, a contract) in its second sentence. As Recital 14 Rome II shows, the drafters of the Regulation were mindful of the tension between ‘the requirement of legal certainty’ on the one hand and the ‘need to do justice in individual cases’ on the other. The Recital explains that

this Regulation provides for a general rule but also for specific rules and, in certain provisions, for an ‘escape clause’ which allows a departure from these rules where it is clear from all the circumstances of the case that the tort/delict is manifestly more closely connected with another country. This set of rules thus creates a flexible framework of conflict-of-law rules. Equally, it enables the court seised to treat individual cases in an appropriate manner.

Finally, Article 14 Rome II provides for a modern and liberal approach to party autonomy for non-contractual obligations, allowing a choice of the applicable law both ex post and, provided certain conditions are met, ex ante.Footnote 65 The reasons for this liberal approach are spelled out in the first sentence of Recital 31: ‘To respect the principle of party autonomy and to enhance legal certainty, the parties should be allowed to make a choice as to the law applicable to a non-contractual obligation.’ Party autonomy enhances legal certainty in two ways.Footnote 66 First, the flexible approach of the Regulation, which is characterised by a rather generous array of escape clauses,Footnote 67 introduces a potential source of litigation that must be balanced by giving parties the possibility of quickly resolving any dispute on the applicable law.Footnote 68 Secondly, the substantive laws of the Member States are characterised by significant divergences as far as the proper boundaries between tort and contract law are concerned. This is particularly true for cases such as pre-contractual liability, liability for pure economic loss, and the protection of third persons who are not a party to an existing contract with the person claimed to be liable.Footnote 69 Thus, parties who want to avoid a protracted litigation on issues of classification are well advised to choose the law applicable not only to their contractual obligations, but also to their non-contractual obligations.Footnote 70

c. The Rule on Product Liability (Article 5 Rome II)

With regard to product liability, Article 5 Rome II strives to create a balance between an effective protection of the victim, who is often a consumer and typically regarded as the weaker party, on the one hand, and the producer’s interest in foreseeability of the applicable law, on the other.Footnote 71

Article 5(1) Rome II presupposes a damage ‘caused by a product’. The notion of ‘product’ must be interpreted autonomously;Footnote 72 the Commission’s Explanatory Memorandum of 2003Footnote 73 refers to the definition found in the EU Directive on Product Liability.Footnote 74 The substantive EU law on product liability so far only applies to physical goods.Footnote 75 Thus, strict liability for data processing cannot be based on the current Product Liability Directive.Footnote 76 A working group hosted by the European Law Institute has recently published a paper on giving the Product Liability Directive a digital ‘update’, but this reform process is still in its first stages.Footnote 77 Although the rules of the current Product Liability Directive may be extended to cover standard software delivered on a DVD, for example,Footnote 78 it is controversial whether software that was designed to meet the specific needs of the customer could be classified as a ‘product’.Footnote 79 Those delineations are generally transferred to Article 5(1) Rome II.Footnote 80 In cases of autonomous driving, however, the software will be sold as an integral part of a car. In cases where software is embedded in a physical good, both the Product Liability Directive and Article 5(1) Rome II apply.Footnote 81

The cascade of connections found in Article 5 Rome II is structured as follows: first, parties may choose the law applicable to product liability claims under the general provision on party autonomy.Footnote 82 Likewise, the Rome II Regulation provides for an accessory connection of product liability claims to a pre-existing relationship, such as a contract, between the parties.Footnote 83 Both steps constitute major improvements compared to the Hague Convention on the law applicable to product liability,Footnote 84 which failed to include such rules.

Secondly, if both parties have their habitual residence in the same country, the law of that state applies.Footnote 85

Thirdly, if none of the above applies, Article 5(1) Rome II basically refers to the law of the state where the product was marketed, provided that the place of marketing coincides with one of three other territorial factors (the victim’s habitual residence, the place where the product was acquired, the place of injury) and that the person claimed to be liable (usually the producer) could reasonably foresee the marketing of the product or a product of the same type in this country. Contrary to specific provisions on product liability, for example in ItalyFootnote 86 or Switzerland,Footnote 87 Article 5(1) Rome II is not an alternative connection, but ranks the connecting factors in a hierarchical order. Firstly, the law applicable is that of the victim’s habitual residence, provided that (1) it coincides with the place of marketing and (2) the producer does not succeed at proving that he could not foresee the marketing of this or a similar product in this country.Footnote 88 If one of those conditions (marketing, foreseeability) is not met, the law of the country in which the product was acquired applies, again subject to a coincidence with the place of marketing and the test of foreseeability.Footnote 89 If the applicable law cannot be determined at this stage, the law of the country in which the ‘damage [read: injury] occurred’, applies, if at least in this country the two additional requirements (marketing, foreseeability) are met.Footnote 90 If all of the three countries enumerated in Article 5(1) Rome II do not pass the test of foreseeability, the applicable law is that of the producer’s habitual residence.

This rather unwieldy ‘cascade system of connecting factors’Footnote 91 fails to achieve wholly convincing results. First, even after the Rome II Regulation has been in force now for more than a decade, it has not induced a single Member State, which is a party to the HCP, to denounce this convention. On the contrary, under Article 28 Rome II, the HCP takes precedence over the Rome II Regulation. The result is that, since 2009, Europeans have two different regimes on product liability conflicts which are both influenced by a similar methodology (grouping of contacts), but which do not yield uniform results in practice.

While Recital 20 explains that the ‘conflict-of-law rule in matters of product liability should meet the objectives of fairly spreading the risks inherent in a modern high-technology society, protecting consumers’ health, stimulating innovation, securing undistorted competition and facilitating trade,’ it must be kept in mind that Article 5(1) Rome II is not limited to business-to-consumer (B2C) cases, but applies to business-to-business (B2B) cases as well.

Since the connecting factor that enjoys primacy in the basic ruleFootnote 92 is relegated to the last rung of the ladder in cases of product liability,Footnote 93 drawing the line between general tortious liability and product liability is decisive in traffic accidents involving autonomous cars.Footnote 94 Thus, one may argue that there is a need for a special conflicts rule for those cases. A further complication arises from the above-mentioned fact that, in quite a number of member states, the law applicable to traffic accidents or product liability is still not determined by the Rome II Regulation, but by the pertinent Hague Conventions of the early 1970s (see Sub-section II.3(b)). Therefore, even an amendment to the Rome II Regulation would not create European legal unity in this regard.

d. Special Rules in EU Law (Article 27 Rome II)

Pursuant to Article 27 Rome II, special EU conflicts rules take precedence over Rome II. In particular, the conflicts rules of the General Data Protection RegulationFootnote 95 may be relevant in cases involving AI.Footnote 96 In the course of the preparation of the Rome II Regulation, industry lobbies argued for codifying the ‘country of origin’-approach as a choice-of-law rule.Footnote 97 While those attempts failed, Article 27 Rome II explicitly states that ‘provisions of Community law which, in relation to particular matters, lay down conflict-of-law rules relating to non-contractual obligations’ take precedence over the Regulation. Moreover, Recital 35 Rome II adds that the Regulation:

should not prejudice the application of other instruments laying down provisions designed to contribute to the proper functioning of the internal market insofar as they cannot be applied in conjunction with the law designated by the rules of this Regulation. The application of provisions of the applicable law designated by the rules of this Regulation should not restrict the free movement of goods and services as regulated by Community instruments, such as … [the] Directive on electronic commerce[Footnote 98].

The precise reach of this exhortation is hard to define because the Directive on electronic commerce itself takes the somewhat schizophrenic position that it does not contain conflict-of-law rules,Footnote 99 while at the same time laying down the country-of-origin principle in its Article 3(1) and (2).Footnote 100 With regard to violations of rights of personality, a field not covered by Rome II, the CJEU tried to clarify matters as follows:Footnote 101

Article 3 of Directive 2000/31/EC of the European Parliament and of the Council of 8 June 2000 on certain legal aspects of information society services, in particular electronic commerce, in the Internal Market (“Directive on electronic commerce”), must be interpreted as not requiring transposition in the form of a specific conflict-of-laws rule. Nevertheless, in relation to the coordinated field, Member States must ensure that, subject to the derogations authorized in accordance with the conditions set out in Article 3(4) of Directive 2000/31, the provider of an electronic commerce service is not made subject to stricter requirements than those provided for by the substantive law applicable in the Member State in which that service provider is established.

If the European legislature were to codify special conflicts rules on AI, such a regulation would not only supersede the Rome II Regulation pursuant to its Article 27, but arguably also take precedence over the Hague Conventions. The respective Articles 15 of the HCTA and the HCP state that the Hague Conventions shall not prevail over other Conventions ‘in special fields’ to which the contracting states are or may become parties. Although an EU Regulation is surely not a ‘convention’ within the technical meaning of those provisions, one may argue that Article 15 HCTA/HCP should apply by way of an analogy to any EU Regulation dealing with the law applicable to autonomous driving, for example.

4. Contractual Obligations: The Rome I Regulation

a. Scope

Complementing Rome II, the Rome I Regulation determines the law applicable to contractual obligations.Footnote 102 Mirroring the Rome II Regulation,Footnote 103 the notion of contractual obligation must be interpreted as an autonomous concept.Footnote 104 Thus, the Rome I Regulation designates the law applicable to so-called smart contracts, for example.Footnote 105 Likewise, the Rome I Regulation is of universal application as well.Footnote 106

b. Choice of Law (Article 3 Rome I)

Party autonomy is largely permitted by Article 3 Rome I.Footnote 107 Consumers, however, must not be deprived of the protection accorded to them by the law of their habitual residence.Footnote 108

c. Objective Rules (Articles 4 to 8 Rome I)

Usually, the habitual residence of the service provider determines the law applicable to contracts for services.Footnote 109 With regard to consumers, the law of the consumer’s habitual residence applies under the conditions set out in Article 6(1) Rome I.Footnote 110

d. Special Rules in EU Law (Article 23 Rome I)

Special conflicts rules in other EU legal instruments prevail over the Rome I Regulation.Footnote 111 There are occasional conflicts rules in older consumer directives;Footnote 112 however, the more recent directive on digital content and services does not contain any such rule.Footnote 113 On the contrary, Recital 80 of said directive explicitly states that ‘[n]othing in this Directive should prejudice the application of the rules of private international law, in particular Regulations (EC) No 593/2008 and (EU) No 1215/2012 of the European Parliament and of the Council’.

III. The Draft Regulation of the European Parliament

1. Territorial Scope

With regard to substantive law, the draft regulation distinguishes between legally defined high-risk AI-systemsFootnote 114 and other AI-systems involving a lower riskFootnote 115. For high-risk AI-systems, the draft regulation would introduce an independent set of substantive rules providing for strict liability of the system’s operator.Footnote 116 Further provisions deal with the amount of compensation,Footnote 117 the extent of compensationFootnote 118 and the limitation period.Footnote 119 The spatial scope of those autonomous rules on strict liability for high-risk AI-systems is determined by Article 2 DR, which reads as follows:

  1. 1. This Regulation applies on the territory of the Union where a physical or virtual activity, device or process driven by an AI-system has caused harm or damage to the life, health, physical integrity of a natural person, to the property of a natural or legal person or has caused significant immaterial harm resulting in a verifiable economic loss.

  2. 2. Any agreement between an operator of an AI-system and a natural or legal person who suffers harm or damage because of the AI-system, which circumvents or limits the rights and obligations set out in this Regulation, concluded before or after the harm or damage occurred, shall be deemed null and void as regards the rights and obligations laid down in this Regulation.

  3. 3. This Regulation is without prejudice to any additional liability claims resulting from contractual relationships, as well as from regulations on product liability, consumer protection, anti-discrimination, labour and environmental protection between the operator and the natural or legal person who suffered harm or damage because of the AI-system and that may be brought against the operator under Union or national law.

The unilateral conflicts rule found in Article 2(1) DR would prevail over the Rome II Regulation on the law applicable to non-contractual relations pursuant to Article 27 Rome II.Footnote 120 However, the Rome II Regulation still applies to additional liability claims mentioned in Article 2(3) DR. Moreover, Article 2(1) DR seems to limit the applicability of the draft regulation to cases where the harm was suffered on the territory of the European Union.Footnote 121 This stands in stark contrast with the principle of universal application that is one of the cornerstones of the Rome II Regulation.Footnote 122 If a high risk AI-system operated in Freiburg, Germany, for example, caused damage in Basel, Switzerland, the preconditions set out in Article 2(1) DR would not be met; thus, one would have to resort to the Rome II Regulation to determine the law applicable to the Swiss victim’s claims.

2. The Law Applicable to High Risk Systems

Furthermore, it must be noted that Article 2(1) DR deviates considerably from the choice-of-law framework of Rome II. While Article 2(1) DR reflects the lex loci damni approach enshrined as the general conflicts rule in the Rome II Regulation,Footnote 123 one must not overlook the fact that product liability is subject to a special conflicts rule, namely Article 5 Rome II, which is considerably friendlier to the victim of a tort than the general conflicts rule.Footnote 124 This cascade of connections is evidently influenced by the desire to protect the mobile consumer from being confronted with a law that may be purely accidental from his point of view. The lex loci damniFootnote 125 may have neither a relationship with the legal environment that consumers are accustomed toFootnote 126 nor with the place where they decided to expose themselves to the danger possibly emanating from the product.Footnote 127 The rule reflects the presumption that a defective product will affect most consumers in the country where they are habitually resident. Insofar, Article 2(1) DR is, in comparison with the Rome II Regulation, friendlier to the operator of a high-risk AI-system than to the consumer.

Even if one limits the comparison between Article 2(1) DR and the Rome II Regulation to the latter’s general rule,Footnote 128 it is striking that the DR does not adopt familiar approaches that allow for deviating from a strict adherence to lex loci damni. Contrary to Article 4(2) Rome II, where the person claimed to be liable and the person sustaining damage both have their habitual residence in the same country at the time when the damage occurs, Article 2 DR does not allow to apply the law of that country. Moreover, an escape clause such as Article 4(3) or Article 5(2) Rome II is missing in Article 2 DR. Finally, yet importantly, Article 2(2) DR bars any party autonomy with regard to strict liability for a high-risk AI-system, which deviates strongly from the liberal approach found in Article 14 Rome II.

3. The Law Applicable to Other Systems

Apart from the operator’s strict liability for high-risk AI-systems, the draft regulation would introduce a fault-based liability rule for other AI-systems.Footnote 129 In principle, the spatial scope of the latter liability rule would also be determined by Article 2 DR as already described.Footnote 130 However, unlike the comprehensive set of rules on strict liability for high-risk systems, the draft regulation’s model of fault-based liability is not completely autonomous. Rather, the latter type of liability contains important carve-outs regarding the amounts and the extent of compensation as well as the statute of limitations. Pursuant to Article 9 DR, those issues are left to the domestic laws of the Member States. More precisely, Article 9 DR states: ‘Civil liability claims brought in accordance with Article 8(1) shall be subject, in relation to limitation periods as well as the amounts and the extent of compensation, to the laws of the Member State in which the harm or damage occurred.’ Thus, we find a lex loci damni approach with regard to fault-based liability as well. Again, the principle of universal applicationFootnote 131 is discarded; contrary to the rules of Rome II, Article 9 DR is a unilateral conflicts rule that only refers to ‘the laws of the Member State in which the harm or damage occurred’. Moreover, all the modern approaches codified in the Rome II Regulation – the cascade of connecting factors for product liability claims, the common habitual residence rule, the escape clause, and party autonomy – are strikingly absent from Article 9 DR as well.

Finally, yet importantly, Article 9 DR leads to a split between the law applicable to the basis of liability, on the one hand, and the law applicable to limitation periods as well as the extent of compensation, on the other. This dépeçage stands in stark contrast with the general scope that Article 15 Rome II assigns to the lex causae. Pursuant to Article 15(a) Rome II, the law applicable to a non-contractual obligation under the Rome II Regulation covers both the basis and the extent of liability.Footnote 132 In addition, Article 15(h) Rome II provides that the law designated by the Rome II Regulation also applies to rules of prescription and limitation.Footnote 133 As Axel Halfmeier explains, ‘the general tendency of the [Rome II] Regulation is to expand the reach of the lex causae and limit the role of the lex fori [because] the goal of the Rome Regulations is to produce harmony in results among the Member States’ courts’Footnote 134 – the classic Savignyan goal of international decisional harmony mentioned above.Footnote 135 Of course, one has to take into account that Article 9 DR does not refer to the lex fori, but to the lex loci damni. Insofar, the rule does not offer any incentive for forum shopping. However, the unitary approach underlying Article 15 Rome II also serves the goal of ‘avoiding the risk that the tort or delict is broken up in to several elements, each subject to a different law’.Footnote 136 Insofar, Article 15 Rome II aims at preventing the ‘legal uncertainty’ associated with applying different laws to a single case.Footnote 137 Particularly with regard to Article 15(h) Rome II, the Court of Justice of the EU (CJEU) ‘pointed out that, in spite of the variety of national rules of prescription and limitation, Article 15(h) of the Rome II Regulation expressly makes such rules subject to the general rule on determining the law applicable’.Footnote 138 Creating a dépeçage between an autonomous rule on the conditions of liability, on the one hand, and the law applicable to the extent of damages and prescription issues, on the other, may lead to difficult questions of characterisation and adaptation. For example, the question may arise which particular rule of prescription of the lex loci damni shall apply if the latter law comprises various types of fault-based liability or calibrates the length of the prescription period depending on the degree of fault. In such a scenario, the court addressed would have to determine which domestic type of liability most closely corresponds to the model found in Article 8 DR – a task that may not be easy to fulfil. With regard to legal policy, it is hardly convincing to subject the issue of prescription to domestic laws because the periods codified in the Member States’ laws have been criticised as being too short in light of the complexities of international cases.Footnote 139

4. Personal Scope

The draft regulation, in principle, limits its personal scope to the liability of the operator alone.Footnote 140 Recital 9 of the resolution explains that the European Parliament

[c]onsiders that the existing fault-based tort law of the Member States offers in most cases a sufficient level of protection for persons that suffer harm caused by an interfering third party like a hacker or for persons whose property is damaged by such a third party, as the interference regularly constitutes a fault-based action; notes that only for specific cases, including those where the third party is untraceable or impecunious, does the addition of liability rules to complement existing national tort law seem necessary.

Thus, for third parties, the conflicts rules of Rome II would continue to apply.

IV. Evaluation

At first impression, it seems rather strange that a regulation on a very modern technology – AI – should deploy a conflicts approach that seems to have more in common with Joseph Beale’s First Restatement of the 1930sFootnote 141 than with the modern and differentiated set of conflicts rules codified by the EU itself at the beginning of the twenty-first century (i.e. the Rome II Regulation). While the European Parliament’s resolution, in its usual introductory part, diligently enumerates all EU regulations and directives dealing with substantive issues of liability, the Rome II Regulation is not mentioned once in the Recitals. One wonders whether the members of Parliament were aware of the European Union’s acquis in the field of private international law at all.

V. Summary and Outlook

In April 2020, the JURI Committee of the European Parliament presented a draft report with recommendations to the Commission on a civil liability regime for AI (see Sub-section I). The draft regulation proposed therein is noteworthy from a private international law perspective because it introduces new conflicts rules for AI. In this regard, the proposed regulation distinguishes between a rule delineating the spatial scope of its autonomous rules on strict liability for high-risk AI systems (Article 2 DR), on the one hand (see Sub-section III.2), and a rule on the law applicable to fault-based liability for low-risk systems (Article 9 DR), on the other hand (see Sub-section III.3.). The latter rule refers to the domestic laws of the Member State in which the harm or damage occurred. In this chapter, I have analysed and evaluated this proposal against the background of the already existing European regulatory framework on private international law, in particular the Rome II Regulation. In sum, compared with Rome II, the conflicts approach of the draft regulation would be a regrettable step backwards in many ways. On 21 April 2021, the European Commission presented its proposal for an ‘Artificial Intelligence Act’.Footnote 142 However, this proposal contains neither rules on civil liability nor provisions on the pertinent choice-of-law issues. Thus, it remains to be seen how the relationship between the European Parliament’s draft regulation and Rome II will be designed and fine-tuned in the further course of legislation.

Footnotes

1 Article 61(c) in conjunction with Article 65(b) of the Treaty of Amsterdam [1997] OJ C340/173 establishing the European Community; today Article 81(1) and (2)(c) of the Treaty on the Functioning of the European Union [2012] OJ C326/01; for an early assessment, see J Basedow, ‘The Communitarization of the Conflict of Laws under the Treaty of Amsterdam’ (2000) 37 CML Rev 687; on more recent developments, J von Hein, ‘EU Competence to Legislate in the Area of Private International Law and Law Reforms at the EU Level’ in P Beaumont and others (eds), Cross-Border Litigation in Europe (2017) 19.

2 See G Rühl and J von Hein, ‘Towards a European Code on Private International Law?’ (2015) 79 RabelsZ 701 et seq. (hereafter Rühl and von Hein, ‘Towards a European Code’).

3 Regulation (EC) 864/2007 of the European Parliament and of the Council of 11 July 2007 on the law applicable to non-contractual obligations (Rome II), [2007] OJ L 199/40; on the legislative history up to 2003, see J von Hein, ‘Die Kodifikation des europäischen Internationalen Deliktsrechts’ (2003) 102 ZVglRWiss 528, 529–533; up to 2007, J von Hein, ‘Die Kodifikation des europäischen IPR der außervertraglichen Schuldverhältnisse vor dem Abschluss?’ (2007) Versicherungsrecht 440; on the final compromise between the Council and the Parliament, see R Wagner, ‘Das Vermittlungsverfahren zur Rom II-VO’ in D Baetge, J von Hein, and M von Hinden (eds), Die richtige Ordnung, Festschrift für Jan Kropholler (2008) 715 (hereafter Wagner, ‘Das Vermittlungsverfahren’).

4 Regulation (EC) No 593/2008 of the European Parliament and of the Council of 17 June 2008 on the law applicable to contractual obligations (Rome I), 2008 OJ L 177/6.

5 Rühl and von Hein, ‘Towards a European Code’ (Footnote n 2) 713–715.

6 For a general survey, see L Wetenkamp, ‘IPR und Digitalisierung: Braucht das Internationale Privatrecht ein Update?’ (Beiträge zum Transnationalen Wirtschaftsrecht Volume 161, April 2019) https://telc.jura.uni-halle.de/sites/default/files/BeitraegeTWR/Heft161.pdf (hereafter Wetenkamp, ‘IPR und Digitalisierung’); on autonomous driving in particular, see T Kadner Graziano, ‘Cross-Border Traffic Accidents in the EU: The Potential Impact of Driverless Cars, Study for the JURI Committee’ (European Parliament, June 2016) www.europarl.europa.eu/RegData/etudes/STUD/2016/571362/IPOL_STU(2016)571362_EN.pdf (hereafter Kadner Graziano, ‘Driverless Cars’).

7 European Parliament, Draft Report 2020/2014(INL) (European Parliament, 27 April 2020) www.europarl.europa.eu/doceo/document/JURI-PR-650556_EN.pdf.

8 The text of this resolution is available at www.europarl.europa.eu/doceo/document/TA-9-2020-0276_EN.pdf.

9 For an overview, see the Parliament’s press release ‘Parliament Leads the Way on First Set of EU Rules for Artificial Intelligence’ (European Parliament, 20 October 2020) www.europarl.europa.eu/news/en/press-room/20201016IPR89544/parliament-leads-the-way-on-first-set-of-eu-rules-for-artificial-intelligence; on subsequent developments, see the overview by A Pato, ‘The EU’s Upcoming Regulatory Framework on Artificial Intelligence and Its Impact on PIL’ (EAPIL Blog, 12 July 2021) https://eapil.org/2021/07/12/the-eus-upcoming-regulatory-framework-on-artificial-intelligence-and-its-impact-on-pil.

10 On those rules, see H Sousa Antunes, ‘Civil Liability Applicable to Artificial Intelligence: A Preliminary Critique of the European Parliament Resolution of 2020’ (SSRN, 8 January 2021) https://ssrn.com/abstract=3743242; G Wagner, ‘Haftung für Künstliche Intelligenz: Eine Gesetzesinitiative des Europäischen Parlaments’ (2021) 29 ZEuP 545.

11 On the general issues of AI and private international law, see Wetenkamp, ‘IPR und Digitalisierung’ (Footnote n 6); see also the conference report by S Arnold, T Eick, and C Hornung, ‘Conference Report: Conflict of Laws 4.0 (Münster, Germany)’ (Conflict of Laws, 14 January 2020) https://conflictoflaws.net/2020/conference-report-conflict-of-laws-4-0-munster-germany.

12 FC von Savigny, A Treatise on the Conflict of Laws (1880) 69 et seq.

13 Commission’s proposal for a regulation of the European Parliament and of the Council on the law applicable to non-contractual obligations (Rome II), COM(2003) 427 final, reprinted in J Ahern and W Binchy (eds), The Rome II Regulation on the Law Applicable to Non-Contractual Obligations (2009) 301, 303.

14 Footnote Ibid, 305.

15 See J von Hein, ‘Art 14 Rome II para 1’ in GP Calliess and M Renner (eds), Rome Regulations – Commentary (3rd ed. 2020) with further references.

16 G Hohloch, ‘Place of Injury, Habitual Residence, Closer Connection and Substantive Scope: The Basic Principles’ (2007) 9 YbPIL 1.

18 Cf. Kadner Graziano, ‘Driverless Cars’ (Footnote n 6) 57.

19 SC Symeonides, ‘Rome II and Tort Conflicts: A Missed Opportunity’ (2008) 56 Am J Comp L 173; but cf. the balanced evaluation by P Hay, ‘Contemporary Approaches to Non-Contractual Obligations in Private International Law (Conflict of Laws) and the European Community’s “Rome II” Regulation’ (2007) 7 EuLF I-137, I-151, who calls the Rome II Regulation a ‘major achievement’.

20 Cf. SC Symeonides, ‘The American Revolution and the European Evolution in Choice of Law: Reciprocal Lessons’ (2008) 82 Tul L Rev 1741.

21 PJ Kozyris, ‘Rome II: Tort Conflicts on the Right Track! A Postscript to Symeon Symeonides “Missed Opportunity”’ (2008) 56 Am J Comp L 471.

22 For an earlier assessment of the perspectives for a convergence of US and European approaches to tort conflicts, see J Kropholler and J von Hein, ‘From Approach to Rule-Orientation in American Tort Conflicts?’ in JAR Nafziger and SC Symeonides (eds), Law and Justice in a Multistate World: Essays in Honor of Arthur T von Mehren (2002) 317.

23 Rome I, Article 19 (1) 2nd sentence; Rome II, Article 23(2).

24 Rome I, Article 19(1) 1st sentence; Rome II, Article 23(1).

25 See Wetenkamp, ‘IPR und Digitalisierung’ (Footnote n 6) 16 et seq.

26 See, e.g., G Teubner, ‘Digitale Rechtssubjekte? Zum Privatrechtlichen Status Autonomer Softwareagenten’ (2018) 218 AcP 155; cf. also, from the perspective of public international law, T Burri, ‘International Law and Artificial Intelligence’ (2017) 60 German Yb Int’l L 91, 95–98.

27 TFEU, Articles 49 and 54; see J von Hein, ‘Corporations in European Private International Law: From Case-Law to Codification?’ (2015) 17 JYIL 90.

28 European Group for Private International Law, Draft Rules on the Law Applicable to Companies and Other Bodies, Milan (GEDIP, 16–18 September 2016) https://gedip-egpil.eu/wp-content/uploads/2016/09/Societe-TxtSousGroup-1.pdf; for closer analysis, see J von Hein, ‘Der Vorschlag der GEDIP für eine EU-Verordnung zum Internationalen Gesellschaftsrecht’ in B Hess, E Jayme, and HP Mansel (eds), Europa als Rechts- und Lebensraum, Liber Amicorum für Christian Kohler (2018) 551.

29 Rome II, Recital 11 2nd sentence; on the principle of autonomous interpretation of Rome II, see CJEU, Case C‑350/14 Florin Lazar v Allianz SpA (10 December 2015) para 21 (hereafter CJEU, Florin Lazar).

30 Rome II, Recital 11 3rd sentence.

31 Rome II, Article 2(2); CJEU, Florin Lazar (Footnote n 29) para 22.

32 Rome II, Article 1(1) 1st sentence.

33 Rome II, Article 1(1) 2nd sentence.

34 On international governmental liability for German military operations in Afghanistan, see BGHZ 212, 173 (Bundesgerichtshof III ZR 140/15).

35 Rome II, Article 1(2)(g).

36 Einführungsgesetz zum Bürgerlichen Gesetzbuch (EGBGB) – Introductory Act to the Civil Code of September 21, 1994, Federal Law Gazette 1994 I 2494, as amended by the Gesetz zum Internationalen Güterrecht und zur Änderung von Vorschriften des Internationalen Privatrechts, Federal Law Gazette 2018 I 2573, 2580; English translation by J Mörsdorf-Schulte available at www.gesetze-im-internet.de/englisch_bgbeg/.

37 Rome II, Article 3.

38 For further details, see A Halfmeier, ‘Article 2 Rome II paras 1–8’ in GP Calliess and M Renner (eds), Rome Regulations: Commentary (3rd ed. 2020).

39 See Rome II, Recital 15: ‘The principle of the lex loci delicti commissi is the basic solution for non-contractual obligations in virtually all the Member States, but the practical application of the principle where the component factors of the case are spread over several countries varies. This situation engenders uncertainty as to the law applicable’; cf. T Kadner Graziano, ‘General Principles of Private International Law of Tort in Europe’ in J Basedow, H Baum, and Y Nishitani (eds), Japanese and European Private International Law in Comparative Perspective (2008) 243, 247; A Nuyts, ‘La règle générale de conflit de lois en matière non contractuelle dans le Règlement Rome II’ (2008) Rev dr comm belge 489, 492.

40 Rome II, Recital 16: ‘Uniform rules should enhance the foreseeability of court decisions and ensure a reasonable balance between the interests of the person claimed to be liable and the person who has sustained damage. A connection with the country where the direct damage occurred (lex loci damni) strikes a fair balance between the interests of the person claimed to be liable and the person sustaining the damage, and also reflects the modern approach to civil liability and the development of systems of strict liability.’

41 J von Hein, Das Günstigkeitsprinzip im Internationalen Deliktsrecht (1999), 217–220; K Thorn, ‘Art 4 Rome II para 1’ in C Grüneberg, Bürgerliches Gesetzbuch (81st ed. 2022).

42 FG Alférez, ‘The Rome II Regulation: On the Way Towards a European Private International Law Code’ (2007) EuLF I-77, I-84; L de Lima Pinheiro,Choice of Law on Non-Contractual Obligations between Communitarization and Globalization: A First Assessment of EC Regulation Rome II’ (2008) 44 RDIPP 5, 16.

43 Cf. J Basedow, ‘EC Conflict of Laws: A Matter of Coordination’ in L de Lima Pinheiro (ed), Seminário Internacional sobre a Comunitarizaçao do Direito Internacional Privado (2005) 26; A Junker, ‘Die Rom II-Verordnung: Neues Internationales Deliktsrecht auf europäischer Grundlage’ (2007) NJW 3675, 3678 (noting that the place of injury will frequently coincide with the victim’s habitual residence); T Petch, ‘The Rome II Regulation: An Update, Part I’ (2006) JIBLR 449, 454.

44 Article 40(1) of the German EGBGB (Footnote n 36); Article 62(1) of the Italian Code on Private International Law of May 31, 1995, Legge n. 218, Riforma del sistema italiano di diritto internazionale privato, Supplemento ordinario Footnote n 68 alla Gazzetta Ufficiale Footnote n 128, June 3, 1995, reprinted in (1997) 61 RabelsZ 344 (hereafter Italian PIL Code); cf. A Junker, ‘Kollisionsnorm und Sachrecht im IPR der unerlaubten Handlung’ in R Michaels and D Solomon (eds), Liber Amicorum Klaus Schurig (2012) 81, 82 et seq.

45 Rome II, Articles 5 to 9.

46 Rome II, Article 4(1).

47 On this group of cases, see J von Hein, ‘Article 4 and Traffic Accidents’ in J Ahern and W Binchy (eds), The Rome II Regulation on the Law Applicable to Non-Contractual Obligations (2009) 153; A Junker, ‘Das Internationale Privatrecht der Straßenverkehrsunfälle nach der Rom II-Verordnung’ (2008) JZ 169; T Kadner Graziano, ‘Internationale Verkehrsunfälle’ (2011) ZVR 40.

48 Hague Convention on the Law Applicable to Traffic Accidents of May 4, 1971, in Hague Conference on Private International Law (ed), Statute – Conventions – Protocol – Principles, The Hague 2020, No. 19; English text also available at www.hcch.net/index_en.php?act=conventions.text&cid=81; Hague Convention on the Law Applicable to Products Liability of October 2, 1973, in Hague Conference on Private International Law (ed), Statute – Conventions – Protocol – Principles, The Hague 2020, No. 22 and (1973) 37 RabelsZ 594.

49 HCTA: Austria, Belgium, Croatia, Czech Republic, France, Latvia, Lithuania, Luxembourg, The Netherlands, Poland, Slovakia, Slovenia, Spain; HCP: Croatia, Finland, France, Luxembourg, the Netherlands, Slovenia, Spain.

50 On the negotiations, see the detailed account by Wagner, ‘Das Vermittlungsverfahren’ (Footnote n 3) 726 et seq.

51 For a closer analysis of the problems under public international and EU law, see C Brière, ‘Réflexions sur les interactions entre la proposition de règlement “Rome II” et les conventions internationales’ (2005) 132 Clunet 677.

52 Rome II, Article 28(1); see G Garriga, ‘Relationships Between “Rome II” and Other International Instruments’, (2007) 9 YbPIL 137.

53 Rome II, Article 28(2).

54 HCTA: Belarus, Bosnia & Hercegovina, Macedonia, Montenegro, Morocco, Serbia, Switzerland, Ukraine; HCP: Macedonia, Montenegro, Norway, Serbia.

55 H Ofner, ‘Die Rom II-Verordnung – Neues Internationales Privatrecht für außervertragliche Schuldverhältnisse in der Europäischen Union’ (2008) ZfRV 2008, 1315 et seq.

56 A Staudinger, ‘Das Konkurrenzverhältnis zwischen dem Haager Straßenverkehrsübereinkommen und der Rom II-VO’ in D Baetge, J von Hein, and M von Hinden (eds), Die richtige Ordnung, Festschrift für Jan Kropholler (2008), 671; T Thiede and M Kellner, ‘“Forum shopping” zwischen dem Haager Übereinkommen über das auf Verkehrsunfälle anzuwendende Recht und der Rom-II-Verordnung’ (2007) Versicherungsrecht 1624.

57 Rome II, Article 24.

58 See in more detail Kadner Graziano, ‘Driverless cars’ (Footnote n 6) 37 et seq.

59 Rome II, Article 4(1).

60 Rome II, Article 4(2).

61 For example, EGBGB, Article 40(2) (Footnote n 36); Article 2(3) Wet Conflictenrecht Onrechtmatige Daad of April 11, 2001, (2001) Staatsblad van het Koninkrijk der Nederlanden, No 190, German translation in (2004) IPRax 157, now repealed and substituted by Article 159 Book 10 of the Dutch Civil Code, 19 May 2011, (2011) Staatsblad van het Koninkrijk der Nederlanden, No 272, English translation in (2011) 13 YbPIL 657, which mandates an analogous application of the Rome II Regulation to cases outside of its scope; Article 99(1) No 1 Loi du 16 juillet 2004 portant le Code de droit international privé (Belgian Law of July 16, 2004, holding the Code of Private International Law), (2004) Moniteur Belge 57344 (French/Dutch), official German translation in (2005) Belgisch Staatsblad 48274, English translation in (2006) 70 RabelsZ 358; some codifications take citizenship into account as well, for example, Article 62(2) Italian PIL Code (Footnote n 44); Article 45(3) of the Portuguese Civil Code (Código Civil Português) Decreto-Lei (Footnote n 47) 344 of November 25, 1966, in W Riering (ed), IPR-Gesetze in Europa (1997) 108.

62 T Dornis, ‘When in Rome, Do as the Romans Do? A Defense of the Lex Domicilii Communis in the Rome II-Regulation’ (2007) EuLF I-152, I-157; it is not convincing to argue that the parties could reach the same result by choosing the applicable law pursuant to Article 14 Rome II, see H Unberath, J Cziupka and S Pabst ‘Article 4 Rome II para 63’ in T Rauscher (ed), Europäisches Zivilprozess- und Kollisionsrecht (EuZPR/EuIPR), Kommentar, Volume 3: Rom I-VO, Rom II-VO (4th ed. 2016), because it will in many cases be impossible to reach a consensus on the applicable law after the accident has occurred; cf. G Rühl, ‘Article 4 Rome II para 85’ in B Gsell and others (eds), Beck-Online Großkommentar (1 December 2017).

63 Cf. A Junker, ‘Article 4 Rome II para 37’ in F J Säcker and others (eds), Münchener Kommentar zum Bürgerlichen Gesetzbuch, Volume 13: Internationales Privatrecht II (8th ed. 2021); T Kadner Graziano, ‘Le nouveau droit international privé communautaire en matière de responsabilité extracontractuelle’ (2008) 97 Rev crit dr int priv 445, 462; C von Bar and P Mankowski, Internationales Privatrecht Volume 2 (2nd ed. 2019) para 188.

64 Rome II, Article 4(3).

65 For a comprehensive monographic treatment, see A Vogeler, Die freie Rechtswahl im Kollisionsrecht der außervertraglichen Schuldverhältnisse (2013).

66 A Briggs, Agreements on Jurisdiction and Choice of Law (2008) para 10.72 (‘entirely rational, and a great step forward’); Editorial Comments, (2007) 44 CML Rev 1567, 1570 (‘[L]egal certainty for the parties is the winner’); E O’Hara O’Connor and L Ribstein, ‘Rules and Institutions in Developing a Law Market: Views from the United States and Europe’ (2008) 82 Tul L Rev 2147, 2167 et seq.; but cf. also TM de Boer, ‘Party Autonomy and Its Limitations in the Rome II Regulation’ (2007) 9 YbPIL 19, 22 (criticising Recital 31 as ‘not very convincing’) (hereafter de Boer, ‘Party Autonomy’).

67 In particular Rome II, Articles 4(3) and 5(2).

68 A functional complementarity ignored by de Boer, ‘Party Autonomy’ (Footnote n 66) 22.

69 C von Bar and U Drobnig, Study on Property Law and Non-Contractual Liability as They Relate to Contract Law (European Commission – Health and Consumer Protection Directorate-General, SANCO/2002/B5/010, 2004).

70 J von Hein, ‘Rechtswahlfreiheit im Internationalen Deliktsrecht’ (2000) 64 RabelsZ 595, 601; P Picht, ‘Article 14 Rome II para 18’ in T Rauscher (ed), Europäisches Zivilprozess- und Kollisionsrecht EuZPR/EuIPR Kommentar, Volume 3: Rom I-VO, Rom II-VO (4th ed. 2016).

71 Cf. Rome II, Recital 20.

72 A Junker ‘Article 5 Rome II para 13’ in F J Säcker and others (eds), Münchener Kommentar zum Bürgerlichen Gesetzbuch, Volume 13: Internationales Privatrecht II (8th ed. 2021); M Lehmann, ‘Article 5 Rome II para 24’ in R Hüßtege and HP Mansel (eds), Bürgerliches Gesetzbuch: Rom Verordnung, Nomos-Kommentar, Volume 6: EuErbVO, HUP (3rd ed. 2019) (hereafter Lehmann, ‘Article 5 Rome II para 24’).

73 Commission’s Proposal for a Rome II Regulation (Footnote n 13), COM(2003) 427 final, 14; concurring A Junker ‘Article 5 Rome II para 3’ in FJ Säcker and others (eds), Münchener Kommentar zum Bürgerlichen Gesetzbuch, Volume 13: Internationales Privatrecht II (8th ed. 2021); Lehmann, ‘Article 5 Rome II para 24’ (Footnote n 72); K Thorn, ‘Article 5 Rome II para 3’ in C Grüneberg (ed), Bürgerliches Gesetzbuch (81st ed. 2022); H Unberath, J Cziupka, and S Pabst, ‘Article 5 Rome II para 38’ in T Rauscher (ed), Europäisches Zivilprozess- und Kollisionsrecht (EuZPR/EuIPR), Kommentar, Volume 3: Rom I-VO, Rom II-VO (4th ed. 2016); O Remien, ‘Art. 5 Rome II para 4’ in HT Soergel, Bürgerliches Gesetzbuch mit Einführungsgesetz und Nebengesetzen BGB, Volume 27/1: Rom II-VO; Internationales Handelsrecht; Internationales Bank- und Kapitalmarktrecht (13th ed. 2019) (hereafter Remien, ‘Art. 5 Rome II para 4’).

74 Council Directive 85/374/EEC of 25 July 1985 on the approximation of the laws, regulations and administrative provisions of the Member States concerning liability for defective products [1985] OJ L 210/29 (Product Liability Directive); as amended by Directive 1999/34/EC of the European Parliament and of the Council of 10 May 1999, [1999] OJ L 141/20.

75 Product Liability Directive, Article 2 1st sentence; see G Wagner, ‘§ 2 ProdHaftG para 15’ in FJ Säcker and others (eds), Münchener Kommentar zum Bürgerlichen Gesetzbuch, Volume 7: Schuldrecht – Besonderer Teil IV (8th ed. 2020) (hereafter Wagner, ‘§ 2 ProdHaftG para 15’); J Oechsler, ‘§ 2 ProdHaftG para 64’ in J von Staudinger (ed) Kommentar zum Bürgerlichen Gesetzbuch mit Einführungsgesetz und Nebengesetzen, Buch 2: Recht der Schuldverhältnisse, §§ 826–829; ProdHaftG (Unerlaubte Handlungen 2, Produkthaftung) (2014) (hereafter Oechsler, ‘§ 2 ProdHaftG para 64’); on product liability in the USA, cf. Restatement (Third) of Torts: Products Liability § 19 (1998), with further references in Comment d; for closer analysis, see WC Powers Jr., ‘Distinguishing Between Products and Services in Strict Liability’ (1984) 62 NCL Rev 415, 418, 425; MD Scott, ‘Tort Liability for Vendors of Insecure Software: Has the Time Finally Come?’ (2008) 67 Md L Rev 425; FE Zollers and others, ‘No More Soft Landings for Software: Liability for Defects in an Industry that Has Come of Age’ (2005) 21 Santa Clara Computer and High Tech LJ 745.

76 T Hoeren, ‘Review of “Nils Jansen, Die Struktur des Haftungsrechts”’ (2004) 121 SavZ/Germ 590, 593.

77 C Twigg-Flesner (ed), Guiding Principles for Updating the Product Liability Directive for the Digital Age (2021), available at https://europeanlawinstitute.eu/fileadmin/user_upload/p_eli/Publications/ELI_Guiding_Principles_for_Updating_the_PLD_for_the_Digital_Age.pdf.

78 Wagner, ‘§ 2 ProdHaftG para 15’ (Footnote n 75); Oechsler, ‘§ 2 ProdHaftG para 64’ (Footnote n 75).

79 See, for example, Oechsler, ‘§ 2 ProdHaftG para 69’ (Footnote n 75) (affirmative); and Wagner, ‘§ 2 ProdHaftG para 15’ (Footnote n 75) (negative), both with further references.

80 H Unberath, J Cziupka, and S Pabst, ‘Art. 5 Rome II para 40’ in T Rauscher (ed), Europäisches Zivilprozess- und Kollisionsrecht (EuZPR/EuIPR), Kommentar, Volume 3: Rom I-VO, Rom II-VO (4th ed. 2016); Remien, ‘Article 5 Rome II para 4’ (Footnote n 73).

81 G Wagner, ‘§ 2 ProdHaftG para 21’ in FJ Säcker and others (eds), Münchener Kommentar zum Bürgerlichen Gesetzbuch, Volume 7: Schuldrecht – Besonderer Teil IV (8th ed. 2020).

82 Rome II, Article 14.

83 Rome II, Article 5(2).

85 Rome II, Articles 4(2) and 5(1).

86 Article 63 of the Italian PIL Code (Footnote n 44).

87 Article 135 of the Swiss PIL Code of 18 December 1987, SR 291, available at www.fedlex.admin.ch/eli/cc/1988/1776_1776_1776/de.

88 Rome II, Article 5(1)(a).

89 Rome II, Article 5(1)(b).

90 Rome II, Article 5(1)(c).

91 Rome II, Recital 20.

92 Rome II, Article 4(1) place of damage.

93 Rome II, Article 5(1)(c).

94 See Kadner Graziano, ‘Driverless cars’ (Footnote n 6).

95 Regulation (EU) 2016/679 of the European Parliament and of the Council of 27 April 2016 on the protection of natural persons with regard to the processing of personal data and on the free movement of such data, and repealing Directive 95/46/EC (General Data Protection Regulation) [2016] OJ L 119/1.

96 See JD Lüttringhaus, ‘Das Internationale Datenprivatrecht: Baustein des Wirtschaftskollisionsrechts des 21. Jahrhunderts – Das IPR der Haftung für Verstöße gegen die EU-Datenschutzgrundverordnung’ (2018) 117 ZVglRWiss 50.

97 On the controversy, see von Hein, ‘Abschluss’ (Footnote n 3) 441; for a comprehensive theoretical and comparative analysis, see R Michaels, ‘EU Law as Private International Law? Reconceptualising the Country-of-Origin Principle as Vested Rights Theory’ (2006) 2 J Priv Int’l L 195.

98 Directive 2000/31/EC of 8 June 2000 on certain legal aspects of information society services, in particular electronic commerce, in the Internal Market (Directive on electronic commerce), [2000] OJ L 178/1.

99 E-Commerce Directive, Article 1(4).

100 Cf. H Heiss and LD Loacker, ‘Die Vergemeinschaftung des Kollisionsrechts der Außervertraglichen Schuldverhältnisse durch Rom II’ (2007) 129 Juristische Blätter 613, 617, who criticise the Directive as ‘wenig erhellend’ (‘little enlightening’).

101 CJEU, Joined Cases C-509/09 and C-161/10 eDate Advertising GmbH and Others v X and Société MGN Limited (25 October 2011).

102 Rome I, Article 1(1).

104 CJEU, Joined Cases C‑359/14 and C‑475/14 ‘ERGO Insurance’ SE, represented by ‘ERGO Insurance’ SE Lietuvos filialas, v ‘If P&C Insurance’ AS, represented by ‘IF P&C Insurance’ AS filialas (C‑359/14), and ‘Gjensidige Baltic’ AAS, represented by ‘Gjensidige Baltic’ AAS Lietuvos filialas, v ‘PZU Lietuva’ UAB DK (C‑475/14) (21 January 2016), para 43.

105 M Lehmann and F Krysa, ‘Blockchain, Smart Contracts und Token aus der Sicht des (Internationalen) Privatrechts’ [2019] Bonner Rechtsjournal 90; Wetenkamp, ‘IPR und Digitalisierung’ (Footnote n 6) 11; from a comparative point of view, see FA Schurr, ‘Anbahnung, Abschluss und Durchführung von Smart Contracts im Rechtsvergleich’ (2019) 118 ZVglRWiss 231.

106 Rome I, Article 2.

107 See M McParland, The Rome I Regulation on the Law Applicable to Contractual Obligations (2015) paras 9.01 et seq (herafter McParland, ‘The Rome I Regulation’).

108 Rome I, Article 6(2); McParland, ‘The Rome I Regulation’ (Footnote n 107) paras 12.182–12.190.

109 Rome I, Article 4(1)(b); Wetenkamp, ‘IPR und Digitalisierung’ (Footnote n 6) 20 et seq.

110 McParland, ‘The Rome I Regulation’ (Footnote n 107) paras 12.01 et seq.

111 Rome I, Article 23.

112 See the enumeration in Article 46b(3) of the German EGBGB (Footnote n 36).

113 Directive (EU) 2019/770 of the European Parliament and of the Council on certain aspects concerning contracts for the supply of digital content and digital services of 20 May 2019 [2019] OJ L 136/1.

114 DR, Article 4.

115 DR, Article 8.

116 DR, Article 4.

117 DR, Article 5.

118 DR, Article 6.

119 DR, Article 7.

121 Pato (Footnote n 9) criticises the wording of Art. 2(1) DR as unclear and tends to favour an application of the DR ‘where a court of a Member State is seized with a dispute involving damages caused by AI systems’.

123 Rome II, Article 4.

125 Rome II, Article 5(1)(c).

126 His habitual residence: Rome II, Article 5(1)(a).

127 Place of acquisition: Rome II, Article 5(1)(b).

128 Rome II, Article 4.

129 DR, Article 8.

131 Rome II, Article 3.

132 For a more detailed analysis, see I Bach, ‘Article 15 Rome II para 1 et seq’ in P Huber (ed), Rome II Regulation – Pocket Commentary (2011) (hereafter Bach, ‘Article 15 Rome II para 1 et seq’); A Halfmeier, ‘Article 15 Rome II paras 4–6’ in GP Calliess and M Renner (eds), Rome Regulations – Commentary (3rd ed. 2020); G Palao Moreno, ‘Article 15 Rome II paras 13–15’ in U Magnus and P Mankowski (eds), Rome II Regulation (European Commentaries on Private International Law) (2019).

133 For a closer analysis, see A Halfmeier, ‘Article 15 Rome II paras 23–26’ in GP Calliess and M Renner (eds), Rome Regulations: Commentary (3rd ed. 2020); G Palao Moreno, ‘Article 15 Rome II para 23’ in U Magnus and P Mankowski (eds), Rome II Regulation (European Commentaries on Private International Law) (2019).

134 A Halfmeier, ‘Article 15 Rome II para 2’ in GP Calliess and M Renner (eds), Rome Regulations: Commentary (3rd ed. 2020); see also G Palao Moreno, ‘Art. 15 Rome II para 2’ in U Magnus and P Mankowski (eds) Rome II Regulation (European Commentaries on Private International Law) (2019) (prevention of forum shopping).

136 CJEU, Case C‑350/14 Florin Lazar v Allianz SpA (10 December 2015) para 29.

137 Bach, ‘Article 15 Rome II para 1 et seq.’ (Footnote n 133).

138 CJEU, Case C-149/18 Agostinho da Silva Martins v Dekra Claims Services Portugal SA (31 January 2019) para 33.

139 Kadner Graziano, ‘Driverless cars’ (Footnote n 6) 57.

140 As legally defined in DR, Article 3(d)–(f).

141 American Law Institute, Restatement of the Law: Conflict of Laws (1934).

142 European Commission, Proposal for a Regulation of the European Parliament and of the Council laying down harmonised rules on Artificial Intelligence (Artificial Intelligence Act) and amending certain Union legislative acts, COM(2021) 206 final.

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