Abstract
The globalisation of environmental risk poses a mounting challenge to policy makers. We are nowadays faced with a situation whereby the rules of responsibility for harm production remain underdeveloped, in spite of the negotiation and implementation of numerous international environmental agreements. In addition, those agreements lack detailed provisions stipulating the responsibility of state and non-state actors for environmental damage and state practice often reflects a widespread reluctance to pursue environmental liability through inter-state claims and a preference for increasing the importance of private liability attached to operators of risk-bearing activities as the main mechanism for progressing environmental liability.
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Notes
- 1.
Noussia (2011), pp. 98–107.
- 2.
- 3.
Kellner et al. (2010).
- 4.
Noussia (2011), pp. 98–107.
- 5.
Focus Magazine (2010), p. 3.
- 6.
Kotula, Insurance, pollution exclusions, and the Deepwater Horizon Gulf of Mexico oil spill, http://www.lexisnexis.com/Community/emergingissues/blogs/gulf_oil_spill.aspx.
- 7.
King (2010), p. 3.
- 8.
Focus Magazine (2010), p. 3.
- 9.
Deepwater Horizon Unified Command, U.S. Scientific Team Draws on New Data, Multiple Scientific Methodologies to Reach Updated Estimate of Oil Flows from BP’s Well, June 15, 2010, at http://www.deepwaterhorizonresponse.com/go/doc/2931/661583; Winter (2010); King (2010), p. 3.
- 10.
Pagliery (2015).
- 11.
Pagliery (2015).
- 12.
Its Annex I, concerned with oil pollution, contains detailed technical provisions designed to eliminate intentional discharges. MARPOL is credited as instrumental in significantly reducing discharges from marine transportation; Mason (2002), p. 4.
- 13.
Mason (2002), p. 4.
- 14.
- 15.
Noussia (2011), pp. 98–107.
- 16.
Jacobsson (2007), pp. 138–139.
- 17.
- 18.
- 19.
Mason (2002), p. 8.
- 20.
- 21.
- 22.
Jacobsson (2007), pp. 138–139.
- 23.
Jacobsson (2007), p. 141.
- 24.
- 25.
- 26.
Office of the Coordinator for Cyber Issues, Recommendations to the President on Protecting American Cyber Interests through International Engagement, 31/5/2018 https://www.state.gov/documents/organization/282224.pdf.
- 27.
King (2010), pp. 15–20.
- 28.
Noussia (2011), pp. 98–107, 101–103.
- 29.
Dynes et al. (2008), p. 27.
- 30.
Department of Energy and Climate Change, ‘Offshore oil and gas in the UK: an independent review of the regulatory regime’ (December 2011, U.K.) https://www.gov.uk/government/publications/offshore-oil-and-gas-in-the-uk-independent-review-of-the-regulatory-regime.
- 31.
Nordquist and Fausser (2014), p. 127.
- 32.
Directive 2013/30/EU of the European Parliament and the Council of 12 June 2013 on the safety of offshore oil and gas operations and amending Directive 2004/35/EC, OJ L 178 of 28.6.2013, p. 66.
- 33.
Council Decision of 17 December 2012 on the accession of the European Union to the Protocol for the Protection of the Mediterranean Sea against pollution resulting from exploration and exploitation of the continental shelf and the seabed and its subsoil (2013/5/EU).
- 34.
Directive 94/22/EC of the European Parliament and of the Council of 30 May 1994 on the conditions for granting and using authorizations for the prospection, exploration and production of hydrocarbons, OJ L 164 of 30.6.1994, p. 3.
- 35.
Council Decision of 17 December 2012, supra note 55 at p. 13.
- 36.
Report from the Commission to the Council, the European Parliament, the European Economic and Social Committee and the Committee of the Regions under Article 14(2) of Directive 2004/35/CE on the environmental liability with regard to the prevention and remedying of environmental damage, 12/10/2010, COM(2010) 581 final.
- 37.
Nordquist and Fausser (2014), pp. 133–139.
- 38.
World Energy Council (2016).
- 39.
Cope and Reynolds (2015), pp. 86–89.
- 40.
CIR, ‘Lloyd’s: Offshore energy underwriting ‘out of step” (21 September 2011) accessed 14 June 2018 at http://www.cirmagazine.com/cir/lloyds-offshore-energy-underwriting-out-of-step.php; ‘Bolt criticises energy underwriters’ (22 September 2011) Insurance Insight.
- 41.
In a letter to all CEOs and active underwriters dated 29 July 2011 Mr Bolt stated that it is ‘a requirement for 2012 plan approval that all Energy Liabilities written at Lloyd’s are underwritten in stand-alone policies; compliance with this requirement is a precondition of Lloyd’s approval of Syndicate Business Plans for Energy Liability.’
- 42.
Cameron (2012), pp. 209–210.
- 43.
Faure and Wang (2016), pp. 236–265.
- 44.
Sutherland (2015).
- 45.
Sutherland (2015).
- 46.
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Noussia, K. (2020). Cybersecurity and Environmental Impact: Insurance as a Better Protection Mechanism for Liability from Incidents in Oil and Gas Operations. In: Marano, P., Noussia, K. (eds) InsurTech: A Legal and Regulatory View. AIDA Europe Research Series on Insurance Law and Regulation, vol 1. Springer, Cham. https://doi.org/10.1007/978-3-030-27386-6_11
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