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06 July 2026

JOURNAL: Journal on European History of Law, Vol. 17 (2026), nr. 1


         

Jaromír Tauchen: Mehr als hundert Jahre Rechtsgeschichte in Brünn: Entwicklung, Tradition und wissenschaftliches Profil an der Juristischen Fakultät der Masaryk-Universität

This article traces more than a century of legal-historical scholarship and teaching at the Faculty of Law in Brno, from the founding of Masaryk University in 1919 to the present (1919–2025). It examines the institutional role of legal history within the curriculum, the methodological self-understanding of the discipline, and the contribution of key individuals who shaped its academic profile. Special attention is paid to the major political and institutional ruptures that repeatedly disrupted the faculty’s existence and reorganized its scholarly priorities – most notably the closure of Czech universities in 1939, the abolition of the Brno Faculty of Law in 1950, its re-establishment in 1969, and the post-1989 transformation of higher education. The study argues that, despite profound discontinuities at the institutional level, a distinctive Brno tradition of legal history persisted through personal, intellectual, and scholarly continuities carried by successive generations of teachers and researchers, often outside the university framework. In the post-1989 era, the Brno department maintained a strong position of legal-historical disciplines in the curriculum while simultaneously expanding its thematic scope toward modern and contemporary legal history, including developments after 1989, supported by new teaching materials and a broadened international network.

Georg W. Oesterdiekhoff: World History of Law and Psychological Stages

The article analyses ancient or archaic systems of law and jurisprudence, feud and vendetta, the judicial systems of evidence such as judicial combats, oaths, ordeals, and torture, the objective responsibility in form of trials against animals and corpses, collective punishment and ignorance of intention, and the brutal-sadistic patterns of the criminal law. These structures pervaded law and jurisprudence right across continents and times, being replaced by rational and humane systems only in consequence of higher stages of civilization. The discipline history itself has not the means to explain both the omnipresence of these archaic patterns in the premodern world and the emergence of the rational systems in recent centuries. Developmental psychology can evidence that these ancient or archaic patterns are inevitable manifestations of the preoperational stage, while the civilized patterns emerge from the adolescent stage of formal operations. Stage theory, relying on developmental psychology, is crucial to the explanation of the world history of culture, sciences, politics, law, morals, arts, and religion. It is advancement of the human being itself that has caused this historical transformation. Stage theory can describe both the advancement of the human being and that of culture, too. The history of law exemplifies this idea perfectly.

Robert von Lucius: Ernst Reibstein: der fast vergessene Völkerrechtshistoriker

Ernst Reibstein (1901–1966) had published a much lauded book on the history of international law, but in an unconventional way. On 1400 pages he described the „spirit of international relations“ based on historic, economic and cultural influences. He referred to studies of many important legal historians of the 16th century, i.a. from medieval Spain. Far sighted, he wrote early on the law of the sea, and on Afro-Marxism. Reibstein could include practical experiences from international conferences thanks to being a journalist, a diplomatic correspondent in Switzerland, in the first half of his life. Then he turned, also unusual, to become a respected private scholar.

Vid Žepič: Probatio diabolica – On the Origins of the Term

The article begins by outlining the problem of the burden of proof in Roman property disputes, focusing on rei vindicatio and the actio Publiciana in rem. According to established Roman doctrine, a plaintiff seeking to recover property through rei vindicatio bore the burden of proving ownership. In cases of derivative acquisition, this meant showing an unbroken and legitimate sequence of transfers, confirming that each previous holder had lawfully acquired the property from his predecessor, all the way back to the original acquisition. This evidentiary burden, though ostensibly alleviated by the actio Publiciana, came to be characterised as probatio diabolica. Contrary to the dominant view that locates the term’s origins in Accursius’ Glossa Ordinaria, the article proposes that its true source lies in the late medieval literary genre of “Satanic lawsuits.” This literature is rooted in the patristic ransom theory of atonement, which held that Christ redeemed humanity from the dominion of the devil through his death. The paper follows this narrative from early portrayals of the devil, as plaintiff, asserting dominion over humankind – cast as defendant and represented by the Virgin Mary – to the more procedurally plausible and juridically elaborate accounts of the processus Belial, in which Satan prosecutes Christ over the possession of humankind, now transformed from defendant into the very object of the dispute. Both strands of this tradition turn upon the dualism of possessorium and petitorium, while the theologically scripted “trials,” in which Satan was destined to lose, supplied the metaphorical groundwork for what later came to be understood as diabolical proof.

Daniela Buccomino: Jurisdiction on Trial: Law, Morality, and Power in Late Medieval Italy. The Domodossola Case (1318–1321)

The trial between Bishop-Count Uguccione Borromei and the universitas of Domodossola (1318–1321) illustrates the juridical and ideological tensions at the heart of late medieval political authority. Ostensibly a dispute over jurisdiction, it became a confrontation over legitimacy, where charges of adultery and usury were deployed to delegitimize communal autonomy. The bishop’s strategy relied on constructing collective guilt, turning individual transgressions into evidence of institutional corruption and incapacity for self-government. The universitas, in turn, defended its legal identity through the election of magistrates, entrenched customs, and autonomous jurisdiction, while balancing affirmation of autonomy with formal concessions to episcopal authority. The case highlights the performative power of legal language in shaping political subjectivity. Far from a fixed order, medieval jurisdiction appears as a negotiated process, continuously contested and redefined. The Domodossola trial thus exposes both the fragility and resilience of communal autonomy within the broader framework of ecclesiastical power.

Georgia Chioni: Post-Byzantine Privileged Legal Regime During Turkish Dominance: The Paradigm of the ‘Non-Spearfallen’ (me doryalote) Island of Thassos

This study explores the legal and administrative status of the island of Thassos under Ottoman rule, focusing on its unique designation as a “non spear-fallen” (me doryalote) community – i.e., one that surrendered peacefully rather than through military conquest. This designation served as the legal basis for a distinctive regime of local autonomy, characterized by exemptions from taxation, administrative oversight, and judicial subordination. Unlike most regions in the Greek world, Thassos maintained a notable degree of self-governance throughout the Ottoman period. Drawing on historical sources and archival documents, this study highlights the broader legal and political implications of Thassos’s privileged status. It argues that the island’s post-Byzantine privileges represent a form of proto-constitutional localism and offer valuable insight into the premodern roots of modern Greek legal and administrative structures.

Theodore Kazazakis: Custody of Children after Divorce in Byzantine and Post-Byzantine Law

From Roman to post-Byzantine law, the regulation of child custody after divorce evolved from strict paternal control (patria potestas) toward a system based on parental fault and child welfare. Initially, Roman law favored the father, but by the second century CE, courts began awarding custody to the morally fit parent, including mothers. Under Justinian, custody was granted to the innocent spouse, with added conditions for mothers, such as not remarrying. This principle was preserved in late Byzantine texts like the Hexabiblos and Syntagma, and carried into post-Byzantine jurisprudence through the Nomikon and Nomikon Procheiron. ?cclesiastical courts continued applying these norms, influenced by age, religion, and remarriage. Following the Greek War of Independence, the same fault-based, child-focused approach laid the foundation for modern Greek family law.

Pierre de Gioia-Carabellese, Camilla Della Giustina: Bankers, Privacy and Arcana Imperii: A Historical Law Perspective

The topic of this research paper investigates the historical interplay between bankers, privacy, and arcana imperii (the secrets of statecraft) from a legal point of view, focusing on early modern Europe. It argues that not only were bankers pivotal in shaping the financial and political landscape of monarchies, but also, they acted as guardians of sensitive information. This enabled the sovereign to oversee the economic resources and their utilisation. The research highlights that the role of bankers - from Italian city-states to the rise of Swiss banking secrecy, English common law confidentiality, and American privacy doctrines - has always been fixed on the protection of both individual autonomy and state secrets. Moreover, in reading privacy as the management of the “presence”, due to its nature as a spatial and institutional concept, as well as through the case study of the Spanish Habsburgs (within their codification of royal space), the contribution demonstrates how both financial stability and the protection of arcana imperii were intertwined with each other. Between these different poles, bankers acted as the facilitators and the masters of this complex infrastructure.

Carlos Sardinha: Die Gründung eines absolutistischen Staates in Schweden im 17. Jh.: Eine verfassungsgeschichtliche Untersuchung zum politischen Humanismus des Justus Lipsius (1547–1606) und zur humanistischen Staatskunst

The article examines the constitutional development of seventeenth-century Sweden through the lens of the Neostoic political philosophy of Justus Lipsius (1547–1606). It demonstrates that Lipsius’s political thought significantly influenced the education of King Gustav II Adolf and Queen Christina, as well as academic teaching at the University of Uppsala. The study analyses the role of Neostoicism in shaping Swedish concepts of statehood, political authority, and constitutional order. Particular attention is paid to the relationship between raison d'état, Natural Law, and the ethical limits of political power. The article discusses Lipsius’s theory of political prudence and his distinction between minor, medium, and major forms of political fraud. It argues that Lipsius advocated a moderate form of absolutism that rejected Jean Bodin’s concept of unlimited sovereignty. The paper further explores the importance of military power and discipline as essential elements of state governance, while emphasizing their ethical justification through Neostoicism. The Swedish Form of Government of 1634 is interpreted as establishing a mixed monarchy based on a constitutional balance between the King, the Royal Council, and the Estates. Finally, the article analyses the constitutional consequences of the Riksdag of 1680, which introduced the doctrine of the divine right of kings and laid the foundations of Swedish absolutism. The study concludes that Lipsian political humanism played a significant role in the formation of the Swedish early modern state and its constitutional tradition.

Miroslav Fico, Ján Štefanica: The Draft of the Code of Criminal Procedure of 1929 and Its Place in the Process of Unifying Criminal Law in the Interwar Czechoslovak Republic

The article analyses the process of drafting the unified Code of Criminal Procedure in interwar Czechoslovakia, with particular emphasis on the Outline of the Code of Criminal Procedure from 1929 and its role in the broader efforts to unify criminal procedural law following the establishment of the Czechoslovak Republic. After 1918, Czechoslovakia faced a situation of legal dualism, as Austrian procedural regulations continued to apply in the Czech lands, while Hungarian legislation remained in force in Slovakia and Subcarpathian Ruthenia. This fragmented legal system created strong pressure for codification and legal unification consistent with the unitary character of the new state. The study focuses primarily on the institutional and legislative processes connected with the preparation of the 1929 outline, the work of expert commissions, the interministerial consultation procedure, and the subsequent revision stages conducted between 1929 and 1930. The study is based primarily on archival materials from the National Archives in Prague, ministerial records, and contemporary legal literature.

Damian Szczepaniak: The Individual in Interaction with the State Apparatus in the Perspective of the Penal Law of the Second Polish Republic: Remarks on Coercing a Public Official to Undertake or Desist from an Official Act

The paper is devoted to the offence of coercing a public official to undertake or desist from an official act in the Second Polish Republic. This offence closely related to the resistance to authority and constituted one of the specific offences that an individual could commit while interacting with the state apparatus. Its particular significance lay in the fact that it was not so much about hindering the performance of duties or influencing the content of official acts, but rather about the very existence of those act. Moreover, it was, after the insult to the authorities and their representatives, the most frequently committed crime against the authorities in the Second Polish Republic. The article presents the legal status composed of regulations from post-partition criminal codes in force in the Second Polish Republic: the Austrian code (1852), the German code (1871), the Russian code (1903), and the Polish code (1932), as well as the views of jurisprudence and doctrine. In addition, the practice of applying the provisions of the 1932 Penal Code related to the subject offence by the Regional Court in Kraków during the interwar period has been analysed. The source material, apart from printed sources in the form of normative acts or court rulings, consists of the case files of the Regional Court in Kraków from 1932-1939, stored in the National Archives in Kraków. The methods used in the research: historical, dogmatic, comparative, and empirical methods.

Pavel Salák: Same Law or Same Solution? Treasure-Trove in Roman and Jewish Law in the 1st Century BC and the 1st Century CE

For the period around the turn of the era, virtually no legal sources of Roman law addressing ownership rights to the discovery of treasure have survived. On the other hand, several non-legal sources exist that mention the finding of treasure. Among these, two texts stand out for their strikingly similar content – the passage from Horace’s Satires and one of the parables in the Gospel of Matthew. The article deals with the question of the legal relevance of these non-legal sources. This concerns in particular the text of Matthew, where it is not entirely clear whether it reflects Roman law or, conversely, local customary law. Unfortunately, legal sources towards the end of the Second Temple period are very scarce and later sources approach the issue somewhat differently. Nevertheless, local custom seems more likely than the application of Roman law.

István László Mészáros: Interpretation and Practice of the Right of Resistance in the Vetus Testamentum and the Novum Testamentum

This study shows that the right to resist tyranny has deep biblical roots. It derives directly from the biblical principle of the primacy and supremacy of divine and natural law, reflecting universal divine eternal order and justice. From the fact that even public authority is subject to these laws and that, in the event of a conflict with such laws, man-made laws and authority cannot claim obedience. In this case, resistance to them is not only a right but also a conscientious duty. This paper provides a broad outline of the biblical principles that underpin resistance to tyranny. It then describes some of the cases of resistance in the books of the Old and New Testaments which, among many others, have been recurring in the works of the leading authors on the right of resistance throughout European history.

Gergely Deli: Did it Come in Handy? Factors Helping the Spread of Christianity in the Roman Empire

The main argument of this paper is that at the turn of the 2nd and 3rd centuries AD, three important changes took place in Roman society which pointed in new directions that were congruent with some of the characteristics of Christianity. On the one hand, a new need for a universal system of social norms emerged in the imperial administration. On the other hand, traditional and retrospective Roman morality was being replaced by a more future-oriented moral narrative. The third major change was the emergence of a profane, political version of messianic expectations. This triple need for a universal moral order, faith in the future, and a messianic attitude embodied by the emperor, was so strong that it made reform attempts inevitable in the legislation and organisation of the state. It is worth reflecting on these factors, as they bring to light new considerations that have received less attention until now, but nonetheless facilitated the general acceptance of Christianity.

Adam Boóc: Bemerkungen über die Haftung des Schiedsrichters im römischen Recht

This study examines the origins and legal nature of arbitrator liability in Roman law. It focuses on the receptum arbitrii – the arbitrator's declaration of acceptance – as a central element of a pre-state arbitration procedure based on voluntary agreement. The study analyzes both the private law and quasi-state aspects of Roman arbitration, in particular its contractual structure and the praetorian obligation to impose sanctions in the event of breaches of duty. In doing so, it highlights various dimensions of the meaning of the term arbiter, from the role of the bonus vir to that of the arbiter ex compromisso. The historical development of the arbitrator function is also traced in the context of the canonical legal system, emphasizing the continuity of Roman legal concepts. Finally, it is shown how the Roman model of arbitration has influenced modern regulations, in particular with regard to the liability and decision-making obligation of the arbitrator.

Pál Sáry: The Trials of Aulus Gabinius

In the autumn of 54 BC, Aulus Gabinius was charged before three different jury courts. The charges of crimen maiestatis and crimen repetundarum were linked to the fact that Gabinius had invaded Egypt with his army as a proconsul of Syria and restored Ptolemy Auletes to his throne. The third charge was that Gabinius had committed crimen ambitus in order to be elected consul. Gabinius was acquitted of crimen maiestatis but found guilty of crimen repetundarum. The charge of ambitus was not investigated due to the accused’s exile. In addition to examining the legal issues, the paper outlines the political background of these criminal cases, the personal relationship of the accused with the leading politicians of the time, the financial interests of senators and knights, and the emotions of the plebs. Meanwhile, the deep corruption of the government and judicial system of the late Roman Republic unfolds before us.

Anna Éva Tamási: Indictment and Grand Jury Debates in Nineteenth Century Hungary

This paper analyses indictment procedures in nineteenth-century Hungary, focusing on debates over the introduction of the grand jury. It examines the stages of criminal procedural codification and compares the grand jury with the indictment chamber in a broader European context. Drawing on primary sources and contemporary legal opinions, the study explains why, despite significant support, the grand jury was ultimately rejected. The main reasons included the lack of domestic tradition, concerns about legal expertise, financial costs, and the specific social conditions of Hungary. Instead, Hungarian legislators adopted the indictment chamber as a more suitable solution within the continental legal system.

Zoltán Hautzinger: International Historical Models of Military Criminal Law

Criminal law rules and criminal justice solutions applicable to soldiers, and within that, members of the armed forces and other organizations serving individual states, have developed according to different historical models. The value of these historical examples lies in how the specific criminal law rules applicable to soldiers relate to general criminal law rules and the application of criminal law. The most common approach is for military criminal law to conform to the criminal law rules applicable to everyone, if there are no specific rules for maintaining military order and discipline. Military criminal law is most specific when it is codified to the exclusion of general criminal law norms. After presenting the definition of military criminal law, this study aims to show the reader examples of the application of military criminal law in the legal systems of different countries.

Zoltán Petrovics: Termination of an Employment Relationship by the Employer in Pre-World War II Hungary, with Particular Reference to the Agricultural Sector

The study presents an analysis of the evolution of Hungarian law regulating the termination of employment relationships by the employer from the mid-19th century until the end of World War II. The paper examines the key elements of protection against termination of employment, including reasons, substantive and formal requirements of termination, and legal consequences of unlawful termination. The evolution of legal regulation also examined through the lens of the employment relationship of agricultural workers. In addition to presenting the regulation, the study’s particular aim is also to highlight the specificities of the evolution from status to contract and then from contract to status in the context of the regulation. The hypothesis posits that the ‘status-like’ regulation of the employment relationship constitutes an essential element of labour law in terms of protection against arbitrary termination by the employer. The research was based on a comprehensive examination of primary and secondary sources, including legislation, court decisions, and legal literature.

Thomas Gergen: Aspekte des Todes bei Jorge Luis Borges (1899–1986)

In 1986, the Argentine writer Jorge Luis Borges passed away, whose distinctive style and multilingualism initiated a new development in Hispanic literature—indeed, in world literature as a whole. This study of the aspects of death, based on several cuentos by Borges, is dedicated to the German legal historian Elmar Wadle, who died in 2025 and who engaged extensively with the themes of death and inheritance in both historical and contemporary law.

Fuad-Meša Čičić: The Problematic of the Legis actio per condictionem in Roman Law: A Theoretical Perspective

This study addresses the problem of the origins and function of the legis actio per condictionem, a procedural innovation introduced by the lex Silia and later extended by the lex Calpurnia. The central question concerns whether this action was designed merely as a procedural alternative to existing forms, or whether it pursued a substantive purpose, namely, to provide legal protection for informal pecuniary transfers and analogous transactions which, until then, lacked adequate safeguards. On the basis of fragmentary primary evidence (Gaius, the Digest, Livy, Plautus) and legislative landmarks (lex Silia, lex Calpurnia, lex Aebutia), combined with doctrinal analysis of concepts such as datio, mutuum, dominium, and aes alienum, the paper advances the thesis that this new modus agendi was introduced as a restitutionary action for money handed over informally, whether as loan or for another purpose, where the debtor had no legal ground to retain it, bridging a gap left by the rigidity of older legis actiones. While the suggestion that the action could also apply in disputes involving peregrini remains hypothetical, it is consistent with the Roman practice of adapting earlier procedures, such as the clarigatio and the rerum repetitio, to new contexts. Methodologically, the research employs both historical-contextual and legal-dogmatic approaches, correlating the procedure’s abstract formula, thirty-day interval, and limitation to certa pecunia with its likely model in older restitutionary procedures applied to foreigners (status condictusque dies cum hoste, clarigatio). Subsequent statutory expansion through the lex Calpurnia to omnis certa res extended its range, making the condictio a sanction for emergent real contracts, before its scope was curtailed through lex Aebutia and the juristic refinement of datio into transfer of ownership. Thus, the paper reconciles competing theories by demonstrating that per condictionem was both a functional instrument securing restitution in an increasingly monetized society and a procedural innovation shaped by the technical inheritance of the legis actiones; in this dual capacity, it represents a critical step toward the later system of condictiones and offers key insights into the interaction of legislation, jurisprudential development, and socio-economic necessity in the evolution of Roman private law.

 

 

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