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Difference between an affirmative defense and defense I am trying to understand the nuances of using the adjective affirmative in the context of affirmative defense. How is an affirmative defense different from a defense (sans any adjective modifier)?
Generally an affirmative defense raises some ground other than an element of the offense or civil claim, such as justification (e.g. self-defense), privilege (I'm a soldier acting under lawful orders so I'm immune from liability), the invalidity of a law, statute of limitations, insanity, a pardon, bankruptcy, a settlement agreement, or payment of the amount owed in full. In a civil case, an affirmative defense has to be raised in the answer to the complaint failed by the plaintiff or a timely amendment to that answer. The prosecution/plaintiff has to overcome an affirmative defense only if the defendant raises it, and in a civil case, at least, the burden of proof for an affirmative defense is on the defendant. The requirement that a defendant raise the defense going to something beyond the elements of the crime or civil claim is what makes it an "affirmative" defense. Affirmative defenses are conclusively presumed to be unavailable to the defendant if not raised. Usually, it is possible to prevail in a civil or criminal case by establishing a complete affirmative defense, even if the defendant admits all of the elements of the crime or civil claim against the defendant have been proven. Also, many affirmative defenses (e.g. failure to mitigate damages, or heat of passion) are incomplete affirmative defenses that reduce the consequences that a defendant will face if the prosecution/plaintiff establishes a prima facie case (i.e. proves all the elements of the crime or civil claim), but will not completely eliminate all consequences of the prosecution/plaintiffs' proof of all elements of the crime or civil claim for the defendant. But the prosecution/plaintiff must always prove each and every element of a crime or civil claim (beyond a reasonable doubt in criminal cases, and by preponderance of the evidence or by clear and convincing evidence in most non-criminal claims) even if the defendant fails to present any evidence or make any arguments related to the element of the crime or civil claim to prevail on the merits. Something that undermines an element of the crime or civil claim is a mere regular defense, because it doesn't have to be raised affirmatively, although in civil cases, facts that are alleged in a plaintiff's complaint are deemed admitted if they are not affirmatively denied, making the distinction between affirmative defenses and ordinary defenses in civil cases rather subtle. Of course, the term "defense" can be used to encompass both affirmative defenses, and other defenses which are not affirmative defenses (such as defenses that disprove an element of the crime or civil claim). Just to complicate matters further, there are a small number of ordinary defenses that still have to be raised affirmatively in advance in a criminal case despite the fact that it disproves an element of the crime, rather than advancing some other matter. The main example of this is an alibi defense (i.e. I wasn't at the scene of the crime when it happened).
The word argumentative can mean a number of things. However, when defined as in the passage quoted from Wikipedia, it is not the opposite of 'conciliatory.' It has nothing to do with whether the witness is cooperating with the lawyer examining them. In this context, an argumentative witness is one who gives evidence about a legal conclusion (that is, the answer to a legal 'argument'). This is not allowed, because witnesses must give evidence of fact and not opinion. Sometimes, the distinction is murky. The example given is 'was the driver negligent?' The answer could well be seen as 'conciliatory' if it is consistent with the case being advanced by the advocate. It is still an impermissible argumentative question, because it is a question of law for the court to decide, not a question of fact. Suppose the lawyer wants to prove that a driver was negligent. An eyewitness could give evidence about what he or she saw and heard. A qualified professional could give expert evidence about what can be inferred from the physical evidence or agreed facts (eg. whether anybody was speeding). In the unlikely event that the driver admitted fault but a trial was still necessary, the driver could give evidence that they were drunk or not paying attention. None of these witnesses can express an opinion as to whether or not the driver was negligent, because that is the argument that the court has to decide by drawing inferences from the witnesses' factual evidence. In this context, the opposite of argumentative could be admissible, factual, direct or non-opinion.
Judicial estoppel prevents a party from arguing two opposite positions in separate proceedings. Is there a similar doctrine that applies to argumentation in the same brief? No. The general rule is that a party is permitted to argue inconsistent positions in the alternative within a brief. When a party does so without expressly saying so, it is assumed that they are arguing in the alternative unless the party clearly indicates otherwise (and is just being illogical). But the law in the context of arbitration is a special case that doesn't align perfectly with the general rule, and makes different distinctions sometimes. Under the substantive law of arbitration clause validity, sometimes a party can be forced to arbitrate even if there is a possibility that the underlying contract is unenforceable, with the arbitrator making that decision. But, a party cannot be forced to arbitrate in every case where the validity of the underlying alleged agreement is in doubt, simply because an agreement, on its face, contains or references an arbitration agreement. Under the Federal Arbitration Act, certain preliminary decisions are vested in the courts even if a written arbitration purports to provide otherwise, if a party choses to raise those issues. A dispute over which of two significantly different competing arbitration agreements applies to an issue between the parties could be such a circumstance. Thus, a term that provides that "delegates threshold questions such as the 'applicability, existence, scope, or validity' of the agreement to the arbitrator," is partially void as a matter of public policy under the Federal Arbitration Act, although some of its retains its validity. For example, you can't delegate the question of the existence of an arbitration agreement to an arbitrator if that question is disputed, even if the contract says otherwise. In arbitration cases, there is a rather elaborate jurisprudence governing what issues are for a court to decided and what are for an arbitrator to decision when the right of a party to arbitrate, and/or the validity of the underlying contract, are disputed, that makes some very fine distinctions between different kinds of arguments. For example, if a party claims that he never had dealings with a party that presents an unsigned document that is a contract and also asserts that this party is bound to an arbitration agreement, that question can be decided by a court. But, if a party signed an agreement with a plain vanilla arbitration clause but claims it is unenforceable because it was induced by duress or undue influence, the arbitration will usually go forward with the arbitrator deciding the validity of the contract. When a decision is decided by a court, or by an arbitrator, is not easily summarized or manifestly obvious without a review of the relevant case law which is voluminous and intricate. See, e.g., Samson v. NAMA Holdings, LLC, 637 F.3d 915, 923 (9th Cir. 2011); Santich v. VGG Holding Corp., 2019 CO 67 ¶ 6 (June 24, 2019); N.A. Rugby Union, LLC v. U.S. of Am. Rugby Football Union 2019 CO 59, ¶¶ 20-22, 442 P.3d 859, 863-864 (June 17, 2019);;;
I don't think that's an accurate interpretation of the statement. The key difference between the two scenarios is the defendant's legal assessment of who owns the necklace. In the first he thinks he is the owner and can claim mistake of law; in the second, he he thinks someone else is the owner, so he cannot. To say he believes "the law allows for someone to do whatever they want with lost property even if they know who the rightful owner is" is very different from saying he thinks he's the owner. He doesn't think he's the legal owner, he just thinks he has legal rights that include some rights associated with ownership. So if the defendant's statement had actually been, "I thought I was the owner," that would have been a successful defense when the crime requires depriving the owner of the property. The defense was actually, "I thought I was allowed to deprive the owner of the property," which is an admission of guilt when the crime requires depriving the owner of the property. There are a couple questions here: a. A different crime that did not require intent -- or even required a different kind of intent -- could still lead to a conviction. A legislature is free to define larceny differently, so it could say that anyone who recklessly or negligently deprives another of property is guilty. Or it could say that your state of mind doesn't matter and that depriving another of property is larceny regardless of intent. b. In most cases, the mistake of law defense requires that the defendant honestly believe in the mistake; unlike mistake of fact, it does not require that his belief also be reasonable. Either way, the question of reasonableness would probably be a question for a jury, so a judge wouldn't be able to reject it (except in a bench trial). c. Mistake of law is a potential defense to any crime that requires an intent to do something that requires an assessment of what the law is. So if it's illegal to intentionally have sex with a woman who is not your wife, and you mistakenly believed you were in a legal marriage, sex with your non-wife would not be a crime. It has potentially very broad implications, but keep in mind that in many cases, the mistake a defendant would have to claim would be pretty far out there. If it were illegal to intentionally let anyone under 21 years old into your bar, I guess you could argue that you only let a 20-year-old in because you thought the law started calculating at conception, but I doubt you'll convince a jury. Mistake of law defenses still pop up pretty regularly. Here's one just yesterday from the Tenth Circuit. And this one is a Kansas case where a conviction for carrying a weapon while a felon was overturned because the court wouldn't allow a mistake-of-law defense. The Kansas case, though, uses the more modern definition of mistake of law, which also includes reasonable reliance on official statements from the government. In that case, the felon's parole officer had told him that it was OK to carry a pocketknife, but in reality, the law titled "Criminal possession of a firearm by a convicted felon" prohibited carrying knives, as well.
Denver lawyer David Lane has said, “The First Amendment lives in a rough neighborhood and if you can’t stand the neighborhood move to China … or somewhere the First Amendment does not exist.” "One man's vulgarity is another's lyric." Cohen v. Cali. 403 U.S. 15, 25 (1971) At this point, we need to define illegal as used in your question. For instance, do you mean "you can face any form of punishment"? If so, this question is extremely broad and governed by multiple sets of laws. Additionally, one should note that this is a Federal Question. The First Amendment, through the Due Process clause applies to states as well. Therefore, there will be extremely little discrepancy (if any - first impression issues being the main differences probably) between the States,. The FCC can limit profanity on air. Additionally, Title 18 of the United States Code, Section 1464, (Whoever utters any obscene, indecent, or profane language by means of radio communication shall be fined under this title or imprisoned not more than two years, or both. ) prohibits the utterance of any obscene, indecent or profane language by means of radio communication. The USPTO can limit Trademarks with "vulgar" meaning. (See EDIT below for update.) In School: High school student's First Amendment rights were not violated in suspension for uttering obscenity, regardless of whether she was merely repeating and returning words originally directed at her, particularly where words were clearly disruptive as they were heard by 90 students in cafeteria and, in opinion of assistant principal, were “fighting words.” Heller v. Hodgin, S.D.Ind.1996, 928 F.Supp. 789. Fighting Words: These seem to be words that would invoke, or are likely to invoke a fight. Fighting words claim upheld: Arrestee's speech when crowd gathered near fallen tree that had blocked traffic constituted unprotected fighting words, so that his arrest under city disorderly conduct ordinance did not violate his First Amendment free speech rights; arrestee's repeated use of the word “bitch,” his accusation of matricide directed toward his sister, his use of the phrase “fucking queer,” his pushing of third party and his raised voice all tended to show that his conduct, under the circumstances, had tendency to provoke physical altercation. Fighting words claim not upheld: Detainee's profane words to police officer as officer conducted Terry stop, “son of a bitch,” while unpleasant and insulting, were not “fighting words,” given officer's confirmation of fact that words did not cause anyone to fight or become angry; thus, words could not constitute violation of disorderly conduct statute and in turn could not supply probable cause for disorderly conduct arrest. In addition to fighting words, true threats and incitement to imminent lawless action are not protected under the First Amendment. Additionally, the government can regulate free speech in public schools (hence Free Speech Zones) and while in their employ (no yelling at your boss if you want to keep your job). It is not part of the main question, but free speech inside the court room. Well, the Judge is pretty much king in a courtroom. What he says goes. (more or less, like nothing toooooo crazy). In a courtroom, if you do something a Judge doesn't like, he can hold you in contempt of court. (You get no jury for contempt cases.) EDIT: Since I wrote this answer, new law came out from the Supreme Court in Matel v. Tam, 582 U.S. ___ (2017). The Supreme Court affirmed the finding of the Federal Circuit that the disparagement clause [is] facially unconstitutional under the First Amendment’s Free Speech Clause. Simon Tam, lead singer of the rock group “The Slants,” chose this moniker in order to “reclaim” the term and drain its denigrating force as a derogatory term for Asian persons. Tam sought federal registration of the mark “THE SLANTS.” The Patent and Trademark Office (PTO) denied the application under a Lanham Act provision prohibiting the registration of trademarks that may “disparage . . . or bring . . . into contemp[t] or disrepute” any “persons, living or dead.” 15 U. S. C. §1052(a). Tam contested the denial of registration through the administrative appeals process, to no avail. He then took the case to federal court, where the en banc Federal Circuit ultimately found the disparagement clause facially unconstitutional under the First Amendment’s Free Speech Clause. The decision aptly concludes with: "If affixing the commercial label permits the suppression of any speech that may lead to political or social “volatility,” free speech would be endangered."
The distinction is a question of culpability, not just the harm caused. The law, at least in the criminal law context, is not fundamentally consequentialist in its philosophy. The end consequence of an act for which someone is at fault in some way isn't the only thing that matters in criminal law. Instead, there is basically a two dimensional grid. On one axis is the seriousness of the harm caused on the "eye for an eye" theory of proportionality between punishment and the harm caused. Thus, homicide is more serious than causing serious bodily injury or raping someone, which is more serious than causing bodily injury that is not serious or sexual in nature. Grand theft is more serious than shoplifting. It doesn't make economic sense to spend $70,000 a year to incarcerate someone for many years to prevent people from stealing $15 items, unless very extreme aspects of the person's criminal history suggest that this seemingly minor incident demonstrates a high risk of future offenses that are far more serious because it proves that a hardened criminal hasn't reformed himself or herself. On the other axis is basically a measure of how evil and malicious someone would have to be to do such a thing which is called culpability. At once extreme, first degree murder, for example, is calculated, premeditated harm to another. At the other extremes are completely non-culpable conduct (either due to lack of any fault-worthy conduct or because someone is mentally incapable in the eyes of society of engaging in culpable conduct like a baby or someone with dementia or someone having hallucinations relevant to the conduct that kills someone, ordinarily negligent conduct that kills someone, and criminally negligent conduct that kills someone. In between the extremes is conduct that is reckless or is impulsive or carried out in the heat of passion or by someone with diminished capacity. Only moderately culpable conduct is punishable only by a civil lawsuit for compensatory damages, and non-culpable conduct isn't even punishable in a civil lawsuit in the absence of special circumstances in which strict liability is imposed in lieu of proof of culpability. Less culpable conduct commands less serious sentences, and more culpable conduct commands more serious sentences. Why single out culpability? Basically, this is a crude way a predicting, based upon someone's past actions, the risk that the pose in the future. (Our evaluation of culpability is further refined and adjusted by factors related to the individual defendant and not the particular offense involved, like a criminal defendant's status as a juvenile or adult, and the individuals history of prior criminal convictions.) Conduct that constitutes first degree murder corresponds more or less to psychopathy, an incurable psychiatric condition in which someone lacks all empathy and takes selfish delight in harming others out of boredom or for personal gain. Psychopathy is a technical term that is modern abnormal psychology's closest synonym to saying that someone is unredeemable and evil, and conduct for which the death penalty is available, mostly in conduct that is most highly diagnostic of psychopathy, since the usual goal of incarceration, to return someone to the community once they are no longer an appreciably elevated threat to it, can never be achieved in the case of someone who is unredeemable and evil, because their condition is an incurable part of who they are as a person and their lack of empathy makes them incapable of emotionally distinguishing between right and wrong or feeling guilt. This intuition bears out. The more culpable an offense is, the more likely it is that the offender scores high on standardized measures of the extent to which someone displays signs of psychopathy that are exemplified in serial killers and the worst con men. Intermediate levels of liability correspond more or less to impulsivity that can turn violent (which is associated with a variety of incurable psychiatric conditions and also with the developmental states of adolescence and young adulthood and with instances of excessive intoxicant consumption, especially in men), in which someone knows what they are doing is wrong but lacks sufficient self-control to prevent themselves from acting until it is too late and they have calmed down, at least until they "age out" or or take steps to treat the symptoms of the conditions or addictions or intoxicated excesses. Their lack of self-control makes them a potential risk to others even though they empathize and feel guilt, but not like the risk associated with a psychopath who just doesn't care at all if they are doing something that violates intuitive moral codes of conduct. Negligence, i.e. inattentiveness and carelessness pose even less of a threat to the community and while it could be due to something like attention deficit disorder, could also be due to extenuating circumstances like sleep deprivation or being overwhelmed with too much at once to keep track of everything at once. Negligence harm generally isn't even momentarily malicious due to loss of control and the person who harms someone negligently will often immediately regret the harm that they caused and will try to refrain from doing so again and will try to make things right. Such a person is far less of a future threat to society, but still more of a threat than someone who doesn't harm others in the first place in any manner in which they are at fault. Who decides? Reasonable people (and even reasonable judges) can and do have differences of opinion on the relative importance of seriousness of harm and culpability in determining a sentence for a conviction of a particular course of illegal conduct. The difficulty in balancing the apples and oranges factors of seriousness of harm (which, in part, reflects a person's capacity to inflict serious harm in the future and also reflects society's judgment about how serious it is to do something with ill intent) and culpability. To insure that these factors are balanced in a predictable and fair way, we embody the weighing of those two factors in a collective legislative judgment codified in a state or national penal code, rather than a case by case decision making process by judges. The modern trend towards giving more weight to culpability. If anything, the tendency at the present is for legislative judgment to give more weight to culpability than it has in the past as social science methods in criminology have demonstrated that culpability demonstrated in criminal conduct actually carried out by a person is indeed highly predictive of that person's future dangerousness to society For example, cruelty to animals is an offense which reflects very high levels of culpability despite often involving relatively modest amounts of harm viewed in a human-centric way. But, cruelty to animals is increasingly being upgraded from a misdemeanor to a felony, because it is a very diagnostic litmus test for psychopathy in an individual and very frequently eventually escalates to causing serious harm to humans. Similarly, drunk driving when it is charged based upon a traffic stop, rather than an accident that occurred while someone was driving drunk, is a very low harm offense, just like any other traffic offense, and historically has only been a misdemeanor. But, in cases where someone is repeatedly convicted of drunk driving, the culpability is high and the conduct tends to reflect a very difficult to self-regulate addiction and substance abuse problem that is highly likely to recur and to eventually result in a high harm accident. Repeated convictions are what distinguish an incident where someone is basically just criminally negligent in driving when they should have known that they shouldn't, from the far more serious case where someone recklessly and with indifference to the well being of others drives drunk knowing full what the risk that they are exposing other people to. And because repeat drunk driving convictions are more culpable and reflect a personal character of the offender that shows a high likelihood of causing future harm to others, many states are starting to upgrade repeat drunk driving from a misdemeanor to a felony even though the actual harm from the specific incident of drunk driving that only gives rise to a traffic stop is still just as low the fifth or sixth time someone is convicted as it was the first time. Conclusion So, in sum, assigning different penalties to different levels of culpability is a way to allocate limited correctional and punishment resources in a manner proportionate to the future risk of dangerousness that the current conviction provides undeniable evidence of in a non-arbitrary manner. Indeed, most people simply internalize the notion that more culpable conduct deserves more serious punishment because it is wrong, without conceptualizing in the more theoretical abnormal psychology informed and utilitarian framework in which I have described it above to demonstrate the implicit logic and wisdom behind the gut instinct that more culpable conduct should be punished more seriously, especially when its cause is not a passing incident that is unlikely to recur.
A courtroom is not a podium A court is a forum for resolving a specific dispute. Testimony is restricted for a number of reasons the most all encompassing of which is relevance. For testimony to be admitted it has to go to the issue in dispute. For a person charged under the laws of, say, India, it cannot be in any way relevant what the laws of, say, China have to say about the issue. Similarly, for a person charged with a Federal crime, state law is irrelevant (and vice-versa). There is no free speech issue here because testimony is given only for the purpose of resolving the case. If it’s not relevant to that you can’t introduce it and, if you persist in trying the court can hold you in contempt.
The Fifth Amendment always protects someone from being forced to testify against themselves if it would implicate them in a crime (see, among others, Ohio v. Reiner, 532 U.S. 17). Any person can assert the privilege, regardless of their role in the trial, with the possible exception of the plaintiff (who is the one person who wanted to go to court). Like always with the Fifth Amendment, they can answer some questions but not others (but if they do answer a question, they need to fully answer it). In civil cases, the Fifth Amendment itself does not keep the jury from making adverse inferences against whoever invoked the privilege; if you refuse to testify, they can assume that it's because testifying would be extremely damaging in that particular case. However, most states have rules against that, and so invoking the privilege in state courts generally works like it does in a criminal case (where the jury basically ignores that the question was even asked). In federal courts, if a case is being heard under diversity jurisdiction (plaintiff and defendant are from different states but the claim is not a federal claim) the state rule is supposed to apply; if the claim is a federal claim, the federal rule applies and adverse inferences are allowed. While the Fifth Amendment can be invoked by anyone, there may be consequences. In many states (where adverse inference isn't allowed), a witness who will just invoke the Fifth and answer no questions can't be called, because it's a complete waste of time. If the plaintiff invokes the Fifth to not answer key questions, then the court can potentially dismiss the case; they have the right to assert the privilege, but their lawsuit might suffer for it. In federal court, another possibility that's been done several times before is that the civil case is just put on hold until the criminal matter is resolved. Sources: “The Fifth Amendment Can & Will Be Used Against You In a (Federal) Court of Law” Taking the 5th: How to pierce the testimonial shield Plaintiff as Deponent: Invoking the Fifth Amendment
If sexual consent is gained by deceit or misapprehension, is the resulting sex legally a rape? In Arthurian legend, the wizard Merlin magically disguises Uther Pendragon to look like his enemy Gorlois, enabling Uther to sleep with Gorlois' wife Lady Igraine; thus conceiving the child that would grow up to become King Arthur. From a legal perspective, would this act count as rape? (Looking for UK based answers, as the story is based in the UK, but happy to hear from other countries too). According to the Metropolitan Police, The legal definition of rape is when a person intentionally penetrates another's vagina, anus or mouth with a penis, without the other person's consent. They link to the "Consent is Everything" site, which states: Sexual consent is where a person has the ability and freedom to agree to sexual activity. Whilst Igraine freely agrees to sex, she is under the misapprehension that Uther is her husband; would that make her legally incapable of giving informed consent? In the legend, Uther is deliberately deceiving Igraine; but would the situation be different if there was no deception? One can imagine a situation where two identical twins were separated at birth. Twin A gets married, but whilst he is out of town Twin B happens to meet his wife, and they end up having sex. The wife believed she was sleeping with her husband; Twin B believed it was an innocent one night stand. Since the wife's consent was contingent on a misapprehension, was she unable to freely consent, and thus the act was a rape?
If sexual consent is gained by deceit or misapprehension, is the resulting sex legally a rape? england-and-wales YES The impersonation of Gorlois in this way under today's law would be considered as rape contrary to section 1 Sexual Offences Act 2003 (with person (A) being Uther Pendragon, and person (B) Lady Igraine): (1) A person (A) commits an offence if— (a) he intentionally penetrates the vagina, anus or mouth of another person (B) with his penis, (b) B does not consent to the penetration, and (c) A does not reasonably believe that B consents. (2) Whether a belief is reasonable is to be determined having regard to all the circumstances, including any steps A has taken to ascertain whether B consents. (3) Sections 751 and 76 apply to an offence under this section. (4) A person guilty of an offence under this section is liable, on conviction on indictment, to imprisonment for life. Consent is defined at section 74 as: For the purposes of this Part2, a person consents if [s]he agrees by choice, and has the freedom and capacity to make that choice. section 76 provides a conclusive presumption that Lady Igraine did not consent and Uther did not reasonably believe that she consented: (1) If in proceedings for an offence to which this section applies it is proved that the defendant did the relevant act [i.e. rape] and that any of the circumstances specified in subsection (2) existed, it is to be conclusively presumed— (a) that the complainant did not consent to the relevant act, and (b) that the defendant did not believe that the complainant consented to the relevant act. (2) The circumstances are that— (a) the defendant intentionally deceived the complainant as to the nature or purpose of the relevant act; (b) the defendant intentionally induced the complainant to consent to the relevant act by impersonating a person known personally to the complainant. 1section 75 refers to the use / threat of violence, incapacitation etc and does not seem applicable here according to the facts given. 2 "this Part" means Part 1 of the Act - i.e. sections 1 to 79
The question is definitely specific to a jurisdiction. I think this is legal in the jurisdiction you specify. Wikipedia shows incest in New York defined as: Persons known to be related to him or her, whether through marriage or not, as an ancestor, descendant, brother or sister of either the whole or the half blood, uncle, aunt, nephew or niece. I don't think "our children have married" means the couple is related "as brother and sister through marriage". In England and Wales, this would definitely be legal. Wikipedia lists the relationships that cannot marry, and co-parents-in-law are not on the list. (The table is probably out of date, in that the "for men" and "for women" column should almost certainly be merged.)
The Fifth Amendment protection relates to a repugnant act, that of forcing a person to testify against themselves, and it is not about ways of looking at "information". The relevant (legally-ancient) distinction is between a general inquiry and an accusation. The courts have always had the power to make a general inquiry, but there have been limits on the ability of the courts to make accusations. It is a fundamental requirement of law that there must be an accuser, if there is to be a criminal proceeding. But is it also considered to be morally repugnant to force a person to accuse themselves. The difference lies not in the informational content in question, it is in what act – compelled self-accusation – is excluded from the legal system.
IMO this is a perfectly reasonable question, amenable to a common law analysis: (1) indicates that A has committed the tort of false imprisonment (Restatement of Torts, 2d, §35). Because of 2-4, we can see that A intends to confine B (though vide infra). The confinement is complete (§36), this being a single aisle plane although the same would be true if this was a 5-aisle plane. A has no authority to confine B (§ 41) and is not otherwise privileged, and is accomplished with a physical barrier (§38). B knows that he has been confined (§42). B is "privileged to use any means of self-defense to protect himself against confinement which he is privileged to use to protect himself against a harmful or offensive contact or other bodily harm" (§68). B uses reasonable and minimal force not likely or intended to cause death or serious bodily harm (§63), force which is privileged and thus protects B from being subject to liability (§10). A commits the tort of battery (and a second round of false imprisonment) by taking B down (§13). A is not privileged to use force in self-defense. There is no reasonable belief that B will spontaneously turn on A and use further, unprivileged force – A is simply punishing B for his minimal use of force in self defense, so A's final act is not privileged. There is a related but distinct scenario that adds a material fact, which could change the analysis: C calls out "Excuse me, my flight flight leaves in 15 minutes, may I pass?" whereby A allows C to step ahead of him in the queue. A has no obligation to let anyone jump the queue, but may consent to inconsequential contact which might constitute battery. It is reasonable to conclude that there is apparent consent (§50) given to anyone (§52) when A makes way ("making way" is a publicly-available fact, but "for C to pass" is a private fact of A's state of mind which B cannot reasonably infer: except, B has heard the "May I pass?" request). So the analysis really hinges on how to interpret 2 and 4. Coupled with 6, we (jurors) have a preponderance of evidence showing that A intended to confine B, and battered him when his confinement failed.
This article1 directly addresses the question, "If a juvenile rapes an adult, does the adult thereby commit statutory rape?" It concludes: When an adult is raped by a juvenile, the offense of statutory rape imposes criminal liability on the adult for the same intercourse by which the adult is a victim of rape. In this way, the offense of statutory rape criminalizes being raped; it criminalizes being the victim of rape. It criminalizes the failure to prevent or resist being raped by a juvenile. And neither defenses specific to statutory rape nor defenses of general application satisfactorily preclude liability. 1. Christopher, Russell L. and Christopher, Kathryn H. (2012) "The Paradox of Statutory Rape," Indiana Law Journal: Vol. 87: Iss. 2, Article 1.
canada You have tagged this 'criminal law', so I will stick to that, and avoid non-criminal anti-discrimination regimes. Criminal Code, s. 319 makes it an offence to wilfully incite or promote hatred against an identifiable group. It does not matter whether the person that is being communicated to is a member of the identifiable group (meaning "any section of the public distinguished by colour, race, religion or ethnic origin"). What matters is a strict mens rea requirement that the communication was done with the intent of promoting or inciting hatred against such a group. If the accused holds such intent, it is no defence that they mistook the person they were communicating with as not being a member of such a group. See generally, R. v. Keegstra, [1990] 3 SCR 697. Hypothetical laws If instead you are asking about what a hypothetical law could require (since you ask, "If a law for example criminalises intimidating or assaulting someone who suffers from dwarfism..."), then as a matter of statutory interpretation, the law could be written in a way that makes the mistake you describe a defence or it could be written in a way that does not allow that defence. E.g. "Any person who assaults another, knowing that the other person is X, commits an offence..." This phrasing of the law clearly would require the accused to know that the person they have assaulted is in the category X in order for the assault to fall within this specific variant of assault. E.g. "Any person who assaults a person that is X, regardless of whether they know the other person to be X, commits an offence..." Under this phrasing of the law, knowledge of the status of the target of the assault clearly does not matter. However, Canadian law has constitutional minimum mens rea requirements for elements of crimes that bring risk of imprisonment. If the offence is punishable by imprisonment, then the variant that essentially removes the mens rea from the element relating to the target's status would be unconstitutional.
I will use Washington law to lay the landscape for a rape charge. First degree rape is sexual intercourse with another person by forcible compulsion, either with kidnapping, (apparent) threat of a deadly weapon, beating the victim, or feloniously entering the building of vehicle where the victim is. This is not the case under discussion. What does potentially apply is second degree rape, which is sexual intercourse by other types of forcible compulsion, or (b) When the victim is incapable of consent by reason of being physically helpless or mentally incapacitated, or various similar descriptions of diminished capacity (a developmental disability plus perpetrator supervisory authority, etc). Subparagraph (b) is crucial here, and we turn to the definitionL "Mental incapacity" is that condition existing at the time of the offense which prevents a person from understanding the nature or consequences of the act of sexual intercourse whether that condition is produced by illness, defect, the influence of a substance or from some other cause. Also to be clear on "forcible compulsion", "Forcible compulsion" means physical force which overcomes resistance, or a threat, express or implied, that places a person in fear of death or physical injury to herself or himself or another person, or in fear that she or he or another person will be kidnapped In the case of intercourse with an intoxicated person, the government must prove that the victim's condition prevented them from understanding the nature or consequences of intercourse. Now compare the law in Minnesota, otherwise analogous, but with a different definition of "mentally incapacitated" (subd. 7): "Mentally incapacitated" means: (1) that a person under the influence of alcohol, a narcotic, anesthetic, or any other substance, administered to that person without the person's agreement, lacks the judgment to give a reasoned consent to sexual contact or sexual penetration; or (2) that a person is under the influence of any substance or substances to a degree that renders them incapable of consenting or incapable of appreciating, understanding, or controlling the person's conduct. (italics indicate the differences of interest). The second clause in the Minnesota definition states the same idea as the Washington definition, but also adds "inability to control" as a form of incapacity. The first clause states a different standard of inability, lowered from "incapable of deciding" to "lacking judgment", but only when the condition arises without the person's consent. The point here is that prosecution and conviction do not just depend on a generic and universal concept of "consent", it very much depends on the exact words selected by the legislature in establishing these laws. Minnesota's legislature made one set of choices, Washington's made another. The Washington legislature made another choice when it came to intoxication: per RCW 9a.16.090, No act committed by a person while in a state of voluntary intoxication shall be deemed less criminal by reason of his or her condition, but whenever the actual existence of any particular mental state is a necessary element to constitute a particular species or degree of crime, the fact of his or her intoxication may be taken into consideration in determining such mental state. So an voluntarily drunk person cannot defend themselves saying "I was drunk, I didn't know what I was doing", but intoxication can be relevant to the important question of "knowledge" as an element of culpability. This is a principle of law specifically set by the legislature. Prosecutors don't decide based on a hypothetical "how drunk" scale, instead they compare the facts with what the applicable law says. There is no "knowingly" requirement for prosecution for rape, therefore one cannot argue that because of intoxication the accused "lacked knowledge" of their act owing to intoxication. Being intoxicated according to the .08 driving standard does not (generally) render a person incapable of understanding "intercourse".
I know of no cause of action related to "misrepresentation of intellectual property" (I believe it may be a phrase used colloquially in the context of academic integrity). If such a cause of action exists, I'll leave it to another answer to discuss. This answer approaches your question through the lens of copyright infringement and moral rights. A reproduction is an infringement if it substantially reproduces the original. Short quotes, properly attributed, will often be fair use, even if exactly reproduced. If an exact reproduction is not an infringement (e.g. because it copied too short a phrase) or if it is fair use, then a slightly altered reproduction a fortiori would also not be an infringement or would be fair use. In jurisdictions that recognize moral rights, there may be circumstances where an alteration, even to spelling, would be a violation of an author's moral rights. But to make out a violation of an author's moral rights based only on a spelling alteration, the spelling would have to be critical to the integrity of the work (e.g. perhaps the choice of dialect) and the alteration would have to be prejudicial to the author's honour or reputation.
What is the significance of a SCOTUS order being unsigned? The Supreme Court today rejected Donald Trump’s request that the High Court block House Democrats from viewing his tax returns. The order was brief, unsigned and noted no dissents. What is the significance of it being unsigned?
The court receives petitions for something like 8,000 cases annually, but it only hears something like 75 to 100 cases. There is not enough time or manpower to address each case that comes up, so the vast majority of the cases are simply rejected without comment. There are some notable exceptions, but a review of the order list from the day before Trump's order might give you a better feel for the caseload the court is dealing with and how unremarkable it is for an order to be brief, unsigned, and with no noted dissents. The only significance of the Court disposing of Trump's case this way is that it indicates none of the justices considered the issues he was raising to be serious enough to merit their attention.
Why does the one country that promotes constitutional democracies above all others not have a judicial branch specifically for those matters? I know SCOTUS will hear these matters . . . I have had it mention that SCOTUS hears less than a hundred cases a year. Something which sounds incredibly low. A constitutional court profoundly limits the extent to which relief for violations of the constitution are judicially reviewable relative to the U.S. status quo. All courts from traffic court on up hear these matters and adjudicate constitutional issue in the status quo. It is also helpful to recognize that the U.S. Constitution regulates government conduct, not necessarily only though the device of determining that legislation is or is not constitutional. If a police officer stops you without having reasonable suspicion to do so, he has violated the U.S. Constitution, without regard to what the statutes of the state in question say. If evidence is seized without probable cause and this evidence is introduced in court over your objection in a criminal case, the government has violated the constitution and you are entitled (unless it was harmless error) to have your conviction vacated. If a tax collector seizes your property for unpaid taxes without first affording you due process to dispute their right to do so, the government has violated one of your constitutional rights. The Constitution imposes affirmative duties and obligations on the government, it does not merely invalidate laws enacted as unconstitutional. Most instances of constitutional adjudication involve government conduct and not the validity of government enacted statutes.
The Fifth and Sixth Amendments are about civil and criminal court proceedings. They do not apply to a university's internal disciplinary procedures, which are the subject of the Dear Colleague letter. Note for example the text of the Fifth Amendment: ... or be deprived of life, liberty, or property, without due process of law. A university's disciplinary procedures do not deprive anyone of their life, liberty, or property. Typically, they only decide whether to suspend or expel the person as a student at the university, or apply other academic punishments (failing grades, marks on transcript, etc). I don't think there needs to be any law "affirming" this. Rather, there is simply no law that requires universities to use Fifth / Sixth amendment standards in their internal disciplinary procedures.
Title 52, section 30121 of the US Code is the section regulating election spending by foreign nationals. Specifically, it forbids both making and accepting said contributions, as well as banning independent expenditures: (a) Prohibition It shall be unlawful for- (1) a foreign national, directly or indirectly, to make- (A) a contribution or donation of money or other thing of value, or to make an express or implied promise to make a contribution or donation, in connection with a Federal, State, or local election; (B) a contribution or donation to a committee of a political party; or (C) an expenditure, independent expenditure, or disbursement for an electioneering communication (within the meaning of section 30104(f)(3) of this title); or (2) a person to solicit, accept, or receive a contribution or donation described in subparagraph (A) or (B) of paragraph (1) from a foreign national. (1) would get you. (2) would get Trump. Extradition may be difficult, but you have committed a US crime if Trump takes that contribution, and if you do turn up in the US then the US might prosecute you for it (they almost certainly won't, but they could).
If a law is struck-down as unconstitutional, but all the precedent used to find it unconstitutional gets reversed; what becomes of the law? In U.S. law, the law has effect again, unless it has been amended or repealed in the meantime. Is it totally dead, needing be passed anew? In the U.S., no. It is not totally dead. It is merely dormant. It stays on the books and legislators may decide not to repeal it as a political statement. It also might be considered for interpretive purposes when construing another part of the same law. For example, the meaning given to a phrase in an unconstitutional part of the law might be applied to a different part of the law that is constitutional. Can the judiciary be asked to reinstated, after which point it can be used again? In the U.S., any court can determine that a law is unconstitutional, but the extent to which that ruling is binding precedent on other courts or other parties than those to the case before it depends upon the court in question and upon the doctrine of collateral estoppel (a.k.a. issue preclusion). For example, the legal fight in the U.S. to hold bans on same sex marriage to be unconstitutional was fought in and resulted in ruling in dozens of courts at the trial court and state appellate court, and federal intermediate appellate court level before a uniform ruling was established by the U.S. Supreme Court. Further, even if the issue arises in another case where there is a controlling precedent, attorney ethics permit an attorney to make a good faith argument for a change in the law to any court, so if there is some good faith argument for doing so, the attorney can push that the issue be reconsidered. Of course, usually the answer from the court will be "no." Or can it just be enforced again without any formal process; so long as nobody sues and gets it killed again by a lower court? Sometimes government officials enforce laws that have been held unconstitutional, either because they aren't aware of the relevant court decisions, or because they think that their facts are distinguishable from those under which the law was held unconstitutional (which sometimes happens on an "as applied" basis rather than on a "facial" basis that applies to all cases), or because they think the judge before them might rule differently despite the precedent. Also, would the answer differ according to country? If so, could you please give me some examples of countries handling this differently. Yes. Many countries with legal systems based upon the legal system of countries of continental Europe like France and Germany and Spain, which are called "civil law" countries have a very different process of handling unconstitutional laws, as does the European Court of Human Rights and the highest court of the European Union. In Germany, for example, questions of the constitutionality of a law may be raised only in the Constitutional Court and not in other courts. This ruling is usually final. And, unlike U.S. courts, the Constitutional Court can rule a law unconstitutional during the legislative process, rather than in connection with an actual case or controversy relating to the law taking effect (in which case the law never gets on the books in the first place). I don't know what happens when the Constitutional Court declares a law unconstitutional. I do know, however, that in the case of the European Court of Human Rights and the highest courts of the E.U. that one of the usual remedies will be an order directed at a member state to amend its statutes to remove the offending law, with sanctions imposed if the member state fails to do so. Obviously, once such a law is repealed in this fashion, it would have to be re-enacted to take effect even if the precedent holding that the law was unconstitutional was undermined.
SCOTUS blog regularly does posts on that kind of topic (see, e.g., their Stat Pack) and if you looked at their sources or the authors of those posts, you could probably easily find more. There are people who do that and make their findings publicly available, but I don't know them off hand.
The Supreme Court does not handle hypotheticals. The court has interpreted Article III Section 2 Clause 1 of the Constitution, the Case or Controversy Clause as a limit on the powers of the judicial branch. The courts have jurisdiction over various types of cases and controversies but only those listed in the Constitution. This limits courts to hearing actual cases and prevents them from issuing advisory opinions. Additionally, in order to bring a case, the plaintiff must have standing to bring the suit. You can't sue the government just because you don't like a law (well, you can, your suit will just be dismissed because it lacks standing). You have to show That you have been, or will imminently be, injured (injury-in-fact) That there is a direct correlation between that injury and the law (causation) And that a favorable court decision will redress the injury (redressability) As a practical matter, the courts are already overwhelmed by the number of actual cases that come up and the Supreme Court can only hear a tiny fraction of the cases they are asked to hear. If they added the ability to hear hypothetical cases as well, the court could easily be overwhelmed by Senators and Representatives asking them to weigh in on every remotely controversial bill or amendment before Congress or interest groups bringing cases for speculative grievances.
There are no feasible legal actions that you can take. The implausible action is to sue the state on some constitutional grounds and have the order overturned in part. The order contains no appeals process, so you would have to attack the order itself. There are, here and there, lawsuits on Free Expression Clause grounds regarding the shuttering of churches, which stand the greatest chance of prevailing at the level of SCOTUS. Even if the court were to rule that under these circumstances the right to attend mass church meetings cannot be restricted, it is significantly less likely that application of the emergency powers acts to weddings would be found to violate a fundamental right.
Legallity of contract that obliges a signatory to perform oral sex? In the American animated series South Park, in Season 11 episode 10, a character is contractually obligated to perform oral sex. I imagine this contract would be illegal to enforce? My suspicion is that if the signatory changes their mind, then current consent trumps prior consent. Otherwise this would be court enforced rape? Two questions follow: Could oral sex be legally enforced by a contract? Could including this clause invalidate an otherwise legal contract? E.g. contract says pay 5 dollars and perform oral sex. Could the first part can be enforced, by ignoring the latter? Or does the inclusion of something illegal invalidate the entire contract? I realise this is probably a stupid question, but it appears to be on topic - meta.
CRS 18-3-402 states that (1) Any actor who knowingly inflicts sexual intrusion or sexual penetration on a victim commits sexual assault if: (a) The actor causes submission of the victim by means of sufficient consequence reasonably calculated to cause submission against the victim's will which is to say, sex must be consensual. The essence of a legal order for specific performance is that the party's "consent" is irrelevant. This is not limited to Colorado, and would hold in any jurisdiction where prostitution is legal. A court would not order specific performance in this case, neither in Colorado nor Nevada. Nor would the court order specific performance in case the contract allowed one party to beat the other to a pulp. The contract itself is illegal in Colorado, but not in Nevada (certain counties excluded). In that case, the other party is out $5 in Colorado. In Nevada, they would be entitled to a refund (amount to be determined, depending on the facts of the meat pie).
There are three answers here. First, as is common on this site, you are using the term, "legal" and "illegal." Those are not legally meaningfully terms. A good lawyer won't use those terms to mean allowed or disallowed. We talk in terms of potential civil or criminal liability, or other sanctions and consequences. To say that something is "legal" does not communicate much. Second, all contracts are governed by a duty of good faith. That means that you cannot try to "trick" someone with the terms of the contract and expect to enforce that contract against them and you cannot try to skirt your obligations by finding a tricky form of compliance not within the mutual understanding of the agreement. As with all things, defining good faith is not easy, and depends on the specific context of a situation. It is worth distinguishing between the duty of good faith, and the duties one owes to a fiduciary; good faith is surely far less, but nevertheless still meaningful. Third, a defense to non-performance of a contract is that the agreement as written is unconscionable. A contract that is a grossly unfair deal where the contract was not actively negotiated (i.e. Blindly signing a bad form contract), may fall under this category. Note: I am not your lawyer; this is not legal advice; contact a licensed attorney in your area; do not rely on my statements; I merely am providing a general answer that is academic in nature.
To form a contract, you must have: Intention to create legal relations Agreement Consideration Legal Capacity Genuine Consent Legality of Objects On the face of it, Alice and Bob's agreement meets these criteria so it is a legally binding contract and Alice would have every prospect of success in a legal action for breach of contract. Specifically: by writing out and signing the agreement they are showing an intention to be legally bound what they have each agreed to do is vey clear; more than many I have seen both parties have provided consideration: dog walking and money there is no suggestion that either was legally incapable of forming a contract genuine consent refers to them actually agreeing what they though they agreed, for example if Alice asked Bob to walk her dog (meaning the Great Dane) and Bob agreed (meaning the Jack Russell) there has not been genuine consent dog walking and paying money are both legal
You cannot contract outside the law Any "contract" that purports to break the law isn't a contract - it's an unenforceable agreement. For example, across all jurisdictions, a contract that is unconscionable is void. So is a contract that requires one of the parties to break the law - a "contract" for murder for example. In addition, you cannot call an employment relationship a "business" relationship - if the relationship meets the requirements of an employer-employee relationship then that's what it is and woe betide you if you haven't complied with all relevant entitlement, tax, insurance and safety laws. In addition, all of the relationships you listed are contracts.
What would be the legal validity of this behaviour? Your changes to the browser source of the website contract or license of Terms of Service (TOS) - essentially a "click-wrap" license - before agreeing to it means nothing in a legal sense, other than to void the contract. The other party (the website) can't possibly agree to those contract changes without them being submitted as contractual changes and agreeing to them, if they did agree to them. That's basic contract law. That website TOS probably has a clause that says that if you don't agree to the TOS in full, as written, without modifications, you can't use the website. And the TOS may also say that they reserve the right to prevent you from using the site by closing your account or even blocking your access. Your "witness" to the contract changes is meaningless, as your witness is not a party to the contract. And any witness to the fact that you have changed the terms of the TOS before agreeing to it would work against you in a civil proceeding as proof of your attempt at modifying the contract.
You tag the question with "criminal law", suggesting that by "illegal" you mean "is it a crime" -- that would depend on jurisdiction, but in the US or my state, it is not a crime. There are crimes that you could commit with such an account, but violating the TOS is not itself a crime. However, it is illegal, a breach of contract, as you can see from the TOS "You will not provide any false personal information on Facebook, or create an account for anyone other than yourself without permission".
if a friend hires someone to fix something in their house, but after the repairs are done, the friend refuses to pay, this would likely fall under theft of service. This is incorrect. The most common distinction is intent. (The federal Canadian criminal code provision for theft (Section 332) requires intent to commit the crime, although "false pretenses" (Section 362) is probably a better match within the Canadian criminal code to theft of services and also requires a showing of intent). If breaching a promise to pay that the person making the promise to pay intended to be honor when the promise was made fails to pay (e.g. due to poor budgeting or losing a job) this is a breach of contract. Similarly, if someone accidentally attaches the wrong cable line to their TV and gets the premium package rather than the regular one, but didn't realize that fact, the cable company might have a claim for negligence or for unjust enrichment, but this would not constitute theft. In contrast, obtaining services knowing at the outset that you do not intend to honor your promise yet deceiving the service provider with your promise is theft. Theft (in the context of a theft of services) is intentionally obtaining services by deceit with an intent not to pay for them at the time that they are obtained. Proving this intent is usually prohibitively difficult and no something that law enforcement will choose to press charges regarding, but with very clear evidence (e.g. an audiotape of the person making a promise to pay bragging immediately before or after making the promise to pay about how he never intends to pay in the first place, or in a case with a pattern of conduct involving many service providers on multiple occasions), charges can be pressed and a conviction can be won. Also, to be clear, it has nothing to do, per se, with the power relationships of the parties. If an employer picks up a bunch of day laborers telling them that they will be paid an agreed rate at the end of the day for the work they are made to do, and the employer not only doesn't pay them at the end of the day but didn't intend to do so in the first place and perhaps has a practice of picking up day laborers and then refusing to pay them without good cause, that is theft of services a.k.a. wage theft. if I play a movie from a streaming service and screen-share on Zoom, I would be committing civil copyright infringement (if it is not fair use), but if I give other people my login credentials for the streaming service, it would be theft of service, I think, depending on the jurisdiction This isn't a good analogy as it implicates copyright law which is quite different from other bodies of law. Some acts are both civil and criminal copyright violations. But criminal copyright violations are generally not a theft of services. In Canada, the typical criminal copyright violation involves the sale or rental of the copyright protected material to third parties for money. how does this distinction affect the outcome for a person liable/guilty of either? Civil law violations are a basis to bring a lawsuit against someone who breaches the law in a civil manner for money damages sufficient to compensate the person bringing the lawsuit for the damages that they have suffered. Theft is a criminal offense. The prosecutor's office decides whether or not to bring charges and if it does bring charges does so (in Canada) in the name of the Crown, at the government's expense under criminal procedure rather than the civil procedure applicable to lawsuits. The victim is usually a witness and is usually consulted, but is not a party to a criminal case. If a conviction is obtained for a criminal offense, the penalty is usually some combination of incarceration, a fine, probation and community service, as authorized by statute, with court costs and restitution to the victim tacked on as an afterthought. The measure of what is owed as restitution is typically more grudging than the measure of the damages that can be awarded in a civil lawsuit. The two remedies are not mutually exclusive. Someone who is prosecuted for committing a crime can also be sued if the evidence supports both civil and criminal claims. Someone who is sued can also be prosecuted if the evidence supports both civil and criminal claims.
As far as I can tell, that would be a criminal act. Georgia law § 16-8-2 - Theft by taking says: A person commits the offense of theft by taking when he unlawfully takes or, being in lawful possession thereof, unlawfully appropriates any property of another with the intention of depriving him of the property, regardless of the manner in which the property is taken or appropriated. Georgia law § 16-7-21. Criminal trespass says: A person commits the offense of criminal trespass when he or she intentionally damages any property of another without consent of that other person and the damage thereto is $500.00 or less or knowingly and maliciously interferes with the possession or use of the property of another person without consent of that person. If you know the store is refusing to sell you a product, and you eat that product anyway, that is theft. If you don't eat the food but just open it, that's still criminal trespass. Even if you're leaving them money, you're still taking and/or damaging their property without their consent. Additionally, if they told you to leave, and you refused and instead started opening food items, you might be guilty of trespassing in the more traditional sense: A person commits the offense of criminal trespass when he or she knowingly and without authority... Remains upon the land or premises of another person... after receiving notice from the owner, rightful occupant, or, upon proper identification, an authorized representative of the owner or rightful occupant to depart. As to whether it was legal to give the candy to your daughter before the disagreement and refusal of service, that may depend on what the standard practice is. It seems to me that in most clothing stores you're supposed to pay before consuming the product - this isn't a sit-down restaurant. But if there's nothing else going on, I think the average store would refrain from calling the police if the person did not try to hide the evidence (for example, by stuffing the empty box on a shelf) and if the merchandise was paid for before the person attempted to leave the store, regardless of whether it's technically illegal.
Can BTP officers issue penalty fares in London tube stations? Bob double shuffled through the tube barriers while holding his Oyster card, bank card, and passport. Looking down at his phone, upon going through, he inadvertently walked into a BTP officer who asked to validate his ticket or pass. He scanned his Oyster card which obviously did not successfully validate, and the officer told him that he would have to pay a fine that was £80 but if he paid it on the spot then it would be reduced to £40. Bob agreed to withdraw £40 from a cash point and return with it to pay the fine to the officer. The officer held Bob's passport while he withdrew the cash, and returned it upon Bob's paying him the £40 fine. What offence was Bob fined for, does his payment of the fine imply a concession of guilty of that offence, what records likely now exist of Bob's alleged offence and the ensuing fine, and what prevented the officer from pocketing the £40 cash for himself? What could this have been, if not a TfL penalty fare, and what paperwork records would a TfL penalty fare have generated?
What offence was Bob fined for? Bob likely committed the offence of entering a compulsory ticket area without a valid ticket contrary to clause 17(1) of the Transport for London Railway Byelaws which were made by Transport for London under paragraph 26 of Schedule 11 to the Greater London Authority Act 1999 and confirmed under section 67 of the Transport Act 1962 by the Secretary of State for Transport on 6 September 2011. The nature of the compulsory ticket area is evidenced by the fact that Bob had to pass through a ticket barrier to enter the area. There will likely also have been a a notice stating that no person may enter there without being in possession of a valid ticket. However, if there is no notice then it was not a compulsory ticket area and so no offence was committed. Does his payment of the fine imply a concession of guilty of that offence? Yes. Clause 23 of the Byelaws states that: Any person who breaches any of the Byelaws commits an offence and may be liable for each such offence to a penalty not exceeding level 3 on the standard scale. Intent is irrelevant for a clause 17 breach (it is a strict liability offence) and payment is admission of guilt. What records likely now exist of Bob's alleged offence and the ensuing fine? Probably just a local record of the offence on TfL and BTP systems. Potentially an upload to the Police National Computer, depending on how BTP systems work. What prevented the officer from pocketing the £40 cash for himself? The existence of the offence record and the fact that a receipt of fine payment is not associated with the record. Presumably the officer could do it once or twice and not get caught, but not regularly. What could this have been, if not a TfL penalty fare? It could be an offence of avoiding payment of fare contrary to the Regulation of Railways Act 1889 section 5(3)(a) with a penalty of three months prison or a Level 3 (standard scale) fine. Intent is required to be proven, but it does not have to be dishonest intent, just an intent to avoid payment of the sum due per Browning v Floyd [1946] 2 All E.R. 367. Alternatively, a charge of making off without payment contrary to S3 Theft Act 1978 could be used, but would require dishonest intent to be proven. Punishment (on summary indictment) could result in a six month prison sentence or a fine not exceeding £1,000 or the relevant amount under S4(3)(b) of the Theft Act 1978. It would probably be difficult for the prosecution to prove either alternative charge. A clause 17 Byelaw offence is probably the most appropriate charge to bring, and the punishment is also more affordable (a £40 on-the-spot fine) compared to those other potential punishments.
It may very well be illegal, depending on the laws of the country. Most people have the right to enter their own country (except for practical problems, like not being able to prove you have the right) because you list your passport and/or other ID). But it may be illegal to enter outside official border crossings, for example. Or illegal to enter without having the entry registered. Or soon, it might be illegal to enter the U.K. while avoiding quarantine, whether you are British or not. But it wouldn’t be the fact that you entering that’s illegal, it would be how you did it. If you are the Dutch owner of a Ferrari then entering the Netherlands on the A40 from Germany at 170mph is very, very illegal :-)
Is there any way I can defend myself against penalties when mistakes are made in my favor? Another option, in a similar vein to your suggestions, is to make a contemporaneous record of the conversations. Then send an email* to the public official detailing what was said and agreed, along with a request that they reply with any observations or amendments within a certain time frame. That way you have a date-stamped document properly addressed to the other party to use as evidence or leverage. *or a recorded delivery letter etc
The note you have quoted does not accurately summarise the decision, which is available on BAILII. What happened was: IOC agreed to sell 5,000 tons of salt to Mumtazzudin. Atlas paid IOC for the salt on behalf of Mumtazzudin. Because Atlas paid, Atlas received the bills of lading. Thus, the salt was pledged to Atlas to secure the money owed by Mumtazzudin. Atlas endorsed the bills of lading over to Chabbra for value. In other words, Atlas sold Chabbra the right to be repaid by Mumtazzudin, and to take delivery of the salt as security for the debt. Mumtazzudin persuaded the shipowner to hand over the salt without presenting the bill of lading. Chabbra sued the shipowner for conversion (destroying the value of its security). What does “refused to redeem the pledge when the bills of lading were tendered to them by Chabbra” mean? Chabbra, as the pledgee of the bills of lading, was entitled to possession of the salt, until Mumtazzudin “redeemed the pledge” by paying Chabbra the amount originally advanced by Atlas. But Mumtazzudin managed to get the salt without the bills of lading, so it refused to pay Chabbra. Why would a savvy seller even transact with buyers who couldn’t pay for the transaction upfront? The alternative may be that the sale is not made at all. However, that is not what happened in this case – the seller got paid.
Expanding on @Rick's answer, the UK government does not hold all of its money in an undifferentiated general fund (although much of it is held that way). In non-profits and government, one generally uses "fund accounting", in which particular pots of money can only be used for particular purposes and the government keeps track of how much money is held in each fund. In this case, credit in a fund for cabinet operations would be transferred to a fund for privacy violation fines whose disposition would be set forth either in the Data Protection Act (2018) itself, or in some other piece of legislation (perhaps statutes on court administration) setting forth how funds collected as fines are used. This said, the intuition of the question isn't wrong. When one part of the government fines another part of the government, especially if the fine has the impact of preventing the fined part of the government from carrying on necessary governmental operations, the economic effort of the fine can be swiftly wiped out in the next annual appropriations bill, or in an interim emergency appropriations bill, if necessary. And, if the individual offenders who committed the violations aren't penalized, this may not be a very effective incentive to bring about compliance with the law. Of course, even if the economic incentive that the fine creates to comply is negligible, this doesn't mean that the symbolic and political cost of holding a government agency accountable in the same way that a private firm would be held accountable, that indicates the magnitude of the wrong done, is meaningless for the politicians running that agency.
Scotland: Duty of finder - Section 67 of the Civic Government Scotland Act 1982 no threshold is stated, by non compliance fine of £ 50 Northern Ireland: Cash If you find cash, please hand this into your nearest police station. Cash that is not reunited with the owner is donated to charity. England: The item I've found is of low value or can't be directly identified to a person You don't need to report this to us. Please make reasonable enquiries to try to find the owner, these could include asking people nearby or in offices or shops. You could also consider leaving a note with your details. If you can't find the owner there's nothing more we can do and you should dispose of the item. Note: What is to be considered to be low value is not stated. Other jurasdictions have a threshold. In Germany it is € 10 (§ 965 (2) BGB). That would then be £ 8,43 at the present rate. For any amount larger, it must be reported to the police. If the owner is not found (again dependent on jurasdiction) it may be given to you. If the owner is found, a reward between 3 and 5% can be claimed (§ 971 BGB). Section 965 - German Civil Code (BGB) Duty of the finder to notify (1) A person who finds a lost thing and takes possession of it must without undue delay notify the loser or the owner or another person entitled to receive. (2) If the finder does not know the person entitled to receive or does not know that person’s whereabouts, the finder must without undue delay notify the competent authority of the finding and the circumstances that may be material to determine the person entitled to receive. If the thing is not worth more than ten euros, no notification is necessary. Note: The original version of the law (1896) it was 3 Marks. Sources: Section 67 of the Civic Government (Scotland) Act 1982 If you find treasure or lost goods - Citizens Advice Scotland Know What To Do - When You Have Lost or Found Property (Northern Ireland) Report lost or found property | The Met The item I've found is of low value or can't be directly identified to a person | The Met Section 965 - Duty of the finder to notify (Germany)
When you refer to customs, that necessarily denotes travel to a foreign county, such that each county will have their own laws, rules, and regulations that govern these issues. It is more than likely that if you refuse to answer the questions of customs officials in ANY country, you will be denied admittance. The same is true if you refuse or balk at being searched (personally or your possessions), and keep in mind that this is without reasonable suspicion or probable cause. The best thing to do is to answer the questions honestly and accurately, but also as narrowly as possible to completely answer. Trying to argue with them will only send up red flags and you will be there longer. Remember it is a privilege, not a right, to enter a sovereign nation of which you are not a citizen. For example, in the U.S., customs reserves the right to detain for questioning, search you, your car, your children, your bags, packages, purse/wallet, or any other travel item with full legal authority to do sol they can even examine your electronics (content and hardware). You place your stuff on the exam station and open it. (After the exam is completed, you will be asked to repack and close the baggage.) If you are unhappy with the way you are being treated, you do have the right to ask to speak to a CBP supervisor, but I cannot see anything good coming of it, unless they were super rude without provocation or broke something of value. The authority to delay and speak with travelers derives from the United States Code (section citations below) enables CBP to prevent the entry of persons who are inadmissible under the Immigration and Nationality Act, and to prevent the smuggling of merchandise, including narcotics and other contraband items, into the United States. Speaking with travelers and examining merchandise coming into or leaving the United States is just one of the mechanisms used to identify illegal or prohibited items, and to determine whether or not someone is trying to enter the U.S. for unlawful or fraudulent purposes. Unless exempt by diplomatic status, all travelers entering the United States, including U.S. citizens, are subjected to routine Customs examinations. At times, people make the mistake of thinking their civil rights are being violated by being asked questions about their trip, personal background and history, etc. That is not the case. Supreme Court decisions have upheld the doctrine that CBP's search authority is unique and does not violate the fourth amendment's protection against unreasonable searches and seizures. U.S. Customs website has a detailed Q&A section. Most modern countries do as well.
UK seat belt law is here. What you were doing is illegal and carries a fine of £500. As to your specific questions: How illegal is this? It is not a criminal offence in any way. What is the possibility of me getting caught? If a police officer notices you will almost certainly be booked. What is the possibility of being noticed? Depends where you are. If I'm caught what fines and / or penalties can I expect? £500 What's the absolute worst that could happen as a consequence of my actions? You could crash and your passengers could die, you would then go to jail for dangerous driving occasioning death. Having 2 people in a seat belt is extremely hazardous - it would be far safer (but still illegal) to have one person in the seat belt and the other one unrestrained. Could it be possible for me to get away with a warning? No Could I get my licence revoked? (:/) Seat belts offences do not carry a points penalty so, of itself, it would not lead to loss of your licence.
What are the effects on the Crown appointments following the death of a monarch? The naming of a number of appointments, titles and offices, etc.—such a Queen's Counsel, the Queen's Warehouse, and Queen's Bench—will now need to be reviewed following King Charles III acceding to the throne. Notwithstanding these name changes, does the passing of the late Queen Elizabeth II cause any issues with those holding an office under the Crown?
No See section 1(1) Demise of the Crown Act 1901 : The holding of any office under the Crown, whether within or without His Majesty’s dominions, shall not be affected, nor shall any fresh appointment thereto be rendered necessary, by the demise of the Crown. [My emphasis]
According to the Heraldry Society: The first step is to Petition the Earl Marshal requesting that he issue process. [Detailed, and lengthy, process and procedures omitted] The hearing takes place before the Earl Marshal or his Surrogate. Both parties submit a “Definitive Sentence”, similar to a draft order, upon which the Court gives its judgment, adopting one of the two versions put forward with any adaptations that the Court deems necessary. The Court has the power to award damages, to fine and to award costs. Itemised bills of costs must be submitted and signed by each Counsel, and the assessment of costs is by the Register, subject to appeal to the Earl Marshal or his Surrogate. Costs can also be agreed. in the High Court.
You may be interested in a recent New York Times article, "The Lonely Death of George Bell", which described in detail the case of a man who was found dead in his apartment (of natural causes). It took a long time for him to be positively identified, and no near relatives could be located. Affairs were handled by a city official called a "public administrator". Bell's valuable possessions were sold at public auction and the funds added to his estate. Items of no significant value were discarded (a junk removal business was hired to clean out his apartment; a few items were kept by the workers). They did eventually find his will, and at least some of his heirs, so his estate went to them. The public administrator had Bell cremated by a local crematorium, with the ashes stored permanently in their columbarium. The cost was paid out of Bell's estate. If he hadn't had any assets, or hadn't been positively identified, the article mentions that he would have been buried in a "potter's field" at the city's expense.
I see lots of possible issues here, including: Will the Apprendi decision be given retroactive effect? Were the constitutional issues raised at the time of trial, and if not will a court permit them to be raised later? Will a court agree with the law review publication? Will the facts in your case be sufficiently similar to the cited case? Beyond those, in a section 1983 suit many public employees have qualified immunity unless the legal point was already "well established" when the violation occurred. To pursue this you will need to work with a lawyer skilled in this area. No one on this forum can possibly given you a reliable answer as to whether you have a reasonable case.
Yes. In some common law jurisdictions, such as Canada, the United Kingdom and even some U.S. states, the government may under some circumstances refer a legal question to the appropriate Supreme Court (Privy Council in the U.K.) for an advisory opinion. These opinions are non-binding, but have large influence because they are often made by the same judges that would otherwise end up dealing with the question should it occur in a case. One common law country in particular stands out in this field: Ireland. Under Article 26 of the Irish Constitution the President may, with some exceptions, refer a bill to the Supreme Court to test its constitutionality. The referral is optional, but once made, the Supreme Court's decision is binding. The relevant portion: 3 1° In every case in which the Supreme Court decides that any provision of a Bill the subject of a reference to the Supreme Court under this Article is repugnant to this Constitution or to any provision thereof, the President shall decline to sign such Bill. [...] 3° In every other case the President shall sign the Bill as soon as may be after the date on which the decision of the Supreme Court shall have been pronounced. This power was last used successfully in 2004.
It's happened before in real life. Here is a 1994 article describing an Illinois criminal trial where defense counsel pulled the old switcheroo and sat a different person with him at the defense table instead of the defendant. The defendant, instead, sat somewhere else in the courtroom. After a witness misidentified the perp as the person at the defense table (not the defendant), the judge directed a not-guilty verdict to settle the case but sanctioned the defense attorney instead. The appellate and state supreme courts upheld the sanction (by a one-vote margin in both cases) but dissenting opinions noted counsel and defendant technically broke no rules. From the article: The dissent said Mr. Sotomayor's intent was only to show the unreliability of the prosecution's witness. Moreover, seating a client at counsel's table is customary but not required. Nor is a lawyer obliged [...] to help a witness make an identification. Also, here is a similar but not duplicate question.
No, you are not obligated to provide the requested information. You're out of trial court and into the court of appeals, where the civil discovery rules have basically no effect. If the case gets kicked back to the trial court, you would likely be required to respond truthfully. To cover your bases and look responsible, the most proper thing to do would probably be to respond to the discovery requests, but answer with nothing but an objection to the requests on the basis that the Rules of Civil Procedure do not apply after the case has been dismissed. At that point, the burden is on the other party to make a motion to compel, which he probably won't do. And if he does, I'd expect the court to deny it summarily based on the dismissal.
In the United States, the answer depends on who is unlawfully in power. In the hypothetical you presented, the answer is probably that the law would remain valid, as Congress generally has the sole authority to pass judgment on whether to admit the elected person. A third party would not have the ability to challenge the law based on the qualifications of a lawmaker. But if we were dealing with an administrative official promulgating regulations, those rules would generally be void if that official were unlawfully appointed. That was the case in Nat'l Labor Relations Bd. v. Canning, 573 U.S. 513 (2014), where a cola distributor challenged a labor regulation, saying that the members of the NLRB who enacted it were improperly appointed. The Court agreed that the appointments were improper, so the regulations were nullified. A judicial decision coming out under these circumstances would also be nullified if one of the judges weren't really a judge. That happened just last year, in Yovino v. Rizo. In that case, ten judges from the Ninth Circuit heard a case, and the vote split 6-4. But the author of the majority opinion died before the decision was published, which is when it become effective. The Supreme Court held that because there were therefore only five votes for that decision, it was not a majority opinion, and therefore not binding on future Ninth Circuit panels.
Who, if anyone, owns the copyright to mugshots in the United States? In the United States, who, if anyone, owns the copyright to mugshots (or perhaps any "work", if the principles generalize) produced by federal, state, or local employees? If there is too much variation to cover exhaustively in a single answer, a general description of that variation or a few examples would be great.
The Mugshot was most likely made by a state employee in the course of their work. Employees don't get a copyright for works from their work but their employers do so generally, as that is work for hire. However, the government is different: The US government specifically can't have any copyright from works of its employees. They are public domain. 17 USC 101 & 105 State governments are a little different. Technically they could be copyrighted unless they are laws and edicts, but states might disclaim such: Arizona employees make Arizona copyrighted works. California works require public access and are public domain unless the state specifically authorizes a work to be copyrighted. Florida and its employees can't have copyright in government works unless they specifically make a law that carves a work out from this beforehand. Indiana employees make technically copyrighted works, but they can't restrict use by obtaining a license or fee in any way under IC 5-14-3, making them quasi-public domain. A public domain image can be done with whatever you want. No strings attached, no rights of rightsholders violated. However, not everything made on behalf of the government is made by the government: Contractors do have the copyright in the first place, and then can assign it to a government, which does not make a work public domain.
Yes, a licensee of Sketchfab is only required to cooperate with this audit process because it was agreed to in a contract. Copyright law does not (in the US, or anywhere else that I know of) give a content creator such a right to demand proof that something is being used in accord with a license. If a content creator or copyright holder thinks that some content is being used without permission, or is an unauthorized derivative work, the holder has only a few possible courses of action. The holder can send a cease and desist letter. This has no legal force, but puts the alleged infringer on notice, makes further infringement clearly "knowing", and may well cause an infringer to stop infringing for fear of an expensive suit. The holder can send a takedown notice if the content is online in a venue that accepts such notices. But there is not a legal obligation to honor such a notice, and a counter-notice may lead to the content being put back up. Finally the holder may sue for copyright infringement. This has significant upfront costs, and requires significant time from the holder or the holder's business. The holder may therefore be unwilling to bring suit unless significant recovery seems likely. Once suit is brought, the holder will have discovery rights to demand answers to relevant questions from the alleged infringer, including the source of the content in question.
It would seem that your song is a derived work. You took the original work and found words that sound the same. If the original work had used different words, your work would have ended up differently. So you have a derived work. Same as making a translation; if the original was different, then the translation would be different, so the translation is a derived work. I was asked "How is this not straight up infringement". But it is. Not only copying is an exclusive right of the copyright holder, but also the creation of derivative works.
It is probably illegal, just not pursued. In the case of something like bank robbery, you'd have a victim that filed a police report. A murder would need to be discovered somehow - either a missing person report or a dead body. If the porn shoot happened somewhere that a member of the public saw it and subsequently filed a police report, the video could be used as evidence. Absent a report, the police simply have no reason to look into it (unless the police catches them in the act, but we probably don't see those videos posted online). Why would these public offenses go unreported? Perhaps nobody sees it. Perhaps the bystanders in the video are paid extras. Maybe they're filming in what appears to be public but is actually private property. Perhaps they have a permit to use a public space for this purpose. Perhaps they just got lucky. Again, there might be some confirmation bias here - you're not going to see as many videos of folks they catch breaking the law, since they will either be interrupted and stopped or (maybe) have their videos ordered taken down.
Unless you hire your friend cameraman, he will own the copyright. So sign a contract with him: you give him $1, he disclaims and/or grants all the copyright to you. Make sure this is actually in writing because, otherwise, presumption of no intention to create legal relations applies as you are friends.
No, it means you can't copy it. By default, the copyright to a work is owned by its creator, and nobody else is allowed to copy it, or create derived works, without their permission. That permission can be granted by a license. "License unknown" doesn't really tell us anything, but it certainly isn't clearly granting you permission. So you don't have permission to copy, and thus you cannot. You would have to seek permission from the copyright holder. See also If no licence is distributed with an application/source code, what license applies by default if any? (Some jurisdictions do allow for "fair use" exceptions, which allow you to copy a work without permission. You haven't said what jurisdiction you are in.)
"Only the owner of copyright in a work has the right to prepare, or to authorize someone else to create, a new version of that work." Copyright in Derivative Works and Compilations http://www.copyright.gov/circs/circ14.pdf So if you have not been granted authorization, you are violating the right of the owner. It's always recommended that you get permission. Practically speaking, if the owner does not give you permission, there is probably someone else with a similar photo who will! Pretty famous recent case: Barack Obama "Hope" poster
Exactly the same way it works over all other content There are no special classes of copyright, there’s just copyright. What a user of a service may do with copyright materials will be spelled out in the licence. If there is no licence, then they are left with fair use/fair dealing.
Is it legal to use a TV-B-Gone on a TV in a business? Is it legal for a customer to use a TV-B-Gone to turn off TVs in businesses, e.g. the ones playing sports channels in restaurants or the demo models in stores, without permission of the owner?
Trespass to chattel The TV is owned by the store or restaurant. You are not allowed to use it or manipulate it. So you commit Trespass to Chattel, which is "the use of property without permission of the owner" and a common law tort. To prove Trespass the store would need to show: You intended the trespass on the chattel, in this case, by turning off the TV. That can be proven by you owning the TV-B-Gone and using it. You deprived the owner's use of the chattel for a substantial time, which in the case of a sports bar might be any moment of the game, especially if the bar is allowed to run sports bets. in the case of the sports bet bar, you might even have created harm to something that the bar has a legitimate interest in. The Sports Bar might have the much easier case, while the store might not be able to prove the required deprivation of the chattel or damage caused by turning it off. Similarly, if a TV-B-Gone turns off a public CNN monitor at an airport though, you created harm because CNN would need to send a technician to turn it on again - the remote controls are only with the technicians, not in place. Do note that because of TV-B-Gones many such displays are installed in shielded boxes, or have been modified to not register to remote controls at all. Most sports bars don't even have a TV there, it's a computer monitor that is fed from a stream. However, if it's store advertisements... I doubt you turning it off would have caused the substantial deprivation to qualify as trespass to chattel. And while TV-B-Gone is just a tort... Don't you dare to run a cellphone jammer: Well, Cell-Phone-B-Gone could be done, but it’s illegal. One way to do it is to create a very low power fake cell transmitter, and the phone call would be gone. But disrupting a cell phone service is illegal in and of itself. - Mitch Altman, inventor of the TV-B-Gone in a 2006 interview
You give SE 2 licences The CC-BY-SA one and the one that goes “the perpetual and irrevocable right and license to access, use, process, copy, distribute, export, display and to commercially exploit such Subscriber Content … as reasonably necessary to, for example (without limitation):”. SE can choose which one it uses. Even though the enumerated cases are “without limitation”, they indicate the general area where the 2nd licence would be “reasonably necessary”. If SE used it outside that domain and did not comply with CC-BY-SA they would arguably be in copyright violation.
It depends on the terms of the licence You can do X until I tell you to stop You can do X as long as Y You can do X forever are all valid licences. For the website you name, the licence is “worldwide, non-exclusive, permanently, irrevocable, royalty-free”.
You are not reading a law book here and you should not interpret a driving test so literally. It's quite clear that the question implies you should follow all of their instructions regarding how to proceed through traffic. Sometimes those instructions do involve "breaking laws" such as driving on the wrong side of the road or proceeding through a traffic signal that was not turned off. The B option clearly does not mean they have the power to disobey all laws in existence, only those concerning traffic as evidenced by the examples given. You are not Sheldon Cooper and you should know how to interpret a vague question correctly. You are also not a gopher, and you can correctly deduce that crashing into another car or driving off the cliff into the water is not in your best interests, and that calling the police to report someone abusing their position is probably a good idea. If you're concerned by the wording, try contacting the California DMV to have them clarify the wording.
20th Century Fox have a trademark on "Simpsons." They have trademarks on "Bart Simpson", on "D'oh", on "Duff Beer". I would assume that they take their trademarks seriously. What you can't do is to use someone else's trademark to make people believe your commercial product is related to theirs. It's quite reasonable to assume that someone seeing your book in a store would think it is written by the makers of The Simpsons show and therefore buy it. Even if you say that isn't your intention, it is what would happen. I'd try coming up with some different titles, maybe "How to write animated TV shows" with "Example: The Simpsons" (well, you are the writer so you should come up with something better), and take them to a lawyer. And then contact the makers of the show (again asking the lawyer for advice how to do this) because even if your lawyer says the title is fine, that doesn't mean you can't be sued.
Generally you can only use logos (i.e., symbolic trademarks) if you have the trademark owners' permission. You may certainly use the names Cisco and Microsoft nominatively, although they might ask you to provide a disclaimer of any affiliation including sponsorhip or approval, if it gets to them. "Not making any money" is also not the sole determinative factor in proving your defense of "fair use".
I’m guessing you have seen a sign in a business that read - “Management reserves the right to refuse service to anyone”. At least in the US, they do not need a reason as long as the reason isn’t unlawful discrimination. They can decide not to serve you.
No It's your device, you can do what you like with it (subject to the law - you can't hit people with it. Unless they want to be hit: whatever turns you on, turns you on). However, if you do operate it outside their instructions then they would not be legally liable if it failed and injured you or someone else or set fire to the cat or whatever. The "prohibition" would limit their legal liability.
Is selling an autographed mugshot of oneself a violation of Indiana's "Son of Sam" (notoriety-for-profit) law? Let's hypothetically say a person is arrested and booked into a county jail. During the intake process, their mugshot is taken. Let's also say that later on the arrest makes major news, even beyond local news, like regional and national news, and the person's mugshot is a part of the news coverage. The person was later convicted of the crime they were arrested for and is now out of prison. Could they sell autographed copies of their mugshot? Or would this be in violation of Indiana's "Son of Sam" laws (Indiana Code § 5-2-6.3-3) that prevent a person from profiting off their crimes? I have done a cursory google search and could not find anything explicitly forbidding this, but also nothing clearly stating that it was 100% legal either. Person in this hypothetical scenario is in Indiana, United States.
Indiana Code § 5-2-6.3-3 requires a person charged with a felony to remit 90 percent of any income derived "directly or indirectly from a felony" to the state's crime-victims fund. So if the defendant's crime was not a felony, the law does not purport to have any effect on the mugshot transaction. But even if it was a felony, the law does not actually prohibit the mugshot sale, it merely imposes a tax on transactions related to that offense. But the law is unconstitutional, as the U.S. Supreme Court has ruled that these "Son of Sam" laws violate the First Amendment: We conclude simply that, in the Son of Sam law, New York has singled out speech on a particular subject for a financial burden that it places on no other speech and no other income. The State's interest in compensating victims from the fruits of crime is a compelling one, but the Son of Sam law is not narrowly tailored to advance that objective. As a result, the statute is inconsistent with the First Amendment. Simon Schuster v. Crime Victims Bd., 502 U.S. 105, 123 (1991).
(assuming United States law here, though I'd be surprised if it were significantly different in other jurisdictions with such restrictions) Your friend is incorrect: that would be a new offense, for which Person A could be prosecuted anew. If your friend's logic were correct, once a person is convicted of robbing a store, they'd be free to rob that store without repercussions for life. It's worth noting that the conviction isn't relevant: the prohibition of double jeopardy in the United States prevents even multiple prosecutions (except, in some cases, for separate state and federal prosecutions or foreign prosecutions).
It's called police and prosecutorial discretion to discern when to arrest and prosecute; and that situation in particular is also the result of a decision of the jury of the court of public opinion. Permits are required to sell on the street in Oakland. But not everyone who sells has a permit, and not everyone who is confronted about not having a permit is arrested and prosecuted. There are simply too many potential cases to prosecute. And, the police officer has the discretion to ticket or not. When you get pulled over while driving or riding a bike, you don't always get a ticket, since the officer has the option of discretion. When the officer responded and found an eight year-old selling water, he obviously was aware of the fact that it was a violation. But he was also aware of the court of public opinion. What is it going to look like if he arrests an eight year old and their parent? Allison Ettel was right, in a purely legal sense, to make the report. And technically, the child (and adult) needed a permit. And could have been ticketed and prosecuted. But it was Ettel was tried and convicted in the court of public opinion, and she lost her case. Happens a lot.
How come this is viable? Because it’s legal. What if people use their service to commit crimes? What if people use a Ford in a bank holdup? Or a Glock in a murder? Or the US Postal Service in a Nigerian letter scam? If the goods or services are legal and not provided for an obviously illegal purpose, nothing happens.
You didn't post the details of what exactly is involved with a "vampire initiation fee": is this simply the purchase of an physical object? Or the purchase of a service, such as the placing of a spell or the providing of the service of alleged protection from vampires? Or is this some form of a real "Advance-fee scam" where money and banking credentials or personal information is involved? (See link below). But in the big picture, one person's scam is another person's persuasive business sales pitch for an unusual item or service. Simply being able to pay for such an item or service doesn't make the sale - or the contract to sell it - illegal everywhere. It may be the case that selling an "vampire initiation fee" does not happen to be illegal in Nigeria. Illegal in the US, possibly yes. illegal there? Maybe not. Contract laws differ; in the US, contracting for something that is illegal voids the contract. In Nigeria, maybe not. Though the "vampire initiation fee" doesn't sound to me like a classic Advance-fee scam (Wikipedia), Google search on 419 scams and the results will tell you that it will be nearly impossible to get a prosecutor in that country to deal with anything like that, even if it is a real scam that promises lots of money for an upfront fee. Prosecutors have much better things to do. And you might have to go to Nigeria to make your case; see other answers that more fully outline the laws and legal aspects. Good luck. And it's better to spend your money on some garlic and a mirror. 7/03/18 Update re: the email transcript linked in question That's not a scam; the person is simply trying to sell you on the initiation fee. There is no crime. There is no promise of more money for a small fee (and bank credentials or personal information) like a typical 419 advance fee scam. You're not producing useful evidence for a prosecutor by engaging in the email and mostly agreeing to pay him. It's not illegal for you to send money by Western Union for the vampire fee. Even if you did send money, you're not being defrauded because you already know the vampire initiation is fake, and as a result you couldn't logically prove to a prosecutor or court that you were scammed. He's not guilty of fraud as no money has changed hands for a (fraudulent) service. Emailing with him might make you feel good by wasting his time, but that's all.
Simply being in the store in these fake nametags and outfits is probably not illegal. At least it does not violate any law that I know of. There might be some specific law in a particular jurisdiction, and the question does not say where this is assumed to occur. If a person actively impersonates a store employee, say by "selling" an item to a would-be customer and keeping the money, that would be fraud, or perhaps "theft by deception". If a person pretending to be a store employee gives a patron advice as if from an employee, say on whether a product has a specific feature, that is IMO unethical, but probably not illegal. If a person pretending to be an employee runs down the store and advises a patron to go elsewhere to shop, that might be "interference with a commercial relationship" which is a cause for a civil action in some places, I understand. Certainly the management would object. If the management notices such a fake employee, I think they would tell that person to leave the store. Failing to do so, or returning later, would then be trespass. Copying the store logo might well be a technical infringement of copyright, but as long as there is no economic damage, a copyright suit is IMO quite unlikely. There would be no trademark case as long as the fake was not used to sell or advertise anything.
At the federal level, per 18 USC 751, escaping is a crime. In United States v. Allen, 432 F.2d 939 it was held that an arrest need not be lawful in order for an escape to be illegal; Laws v. US states that "This court has said that a sentence imposed for a violation of 18 U.S.C. § 751 is 'not affected by the validity of the sentences being served at the time of the escape'", giving numerous citations. I don't find cases where the escapee was exonerated; prosecutors have the discretion to not prosecute for committing a crime, so it would be hard to find a case where the legality of such a conviction was upheld (also, hard to find a jury willing to convict in such circumstances).
Yes, they are. A business can decide not to do business with someone for pretty much any reason. The obvious prohibited reason is due to your race. But I don't see how eBay would even know your race. Some State laws might protect you, but I don't think there's any that applies in this case. For example, California might give you a means of appeal if someone stole your identity and they performed those transactions, not you. But I don't know of any Federal or State law that would change the very, very basic principle of law that a property owner gets to decide who can and cannot access their property. eBay owns eBay. One key benefit of ownership is precisely that you can make decisions that other people consider to be unfair, discriminatory (other than the specifically prohibited categories) and draconian. Other people don't have to agree with your decisions for them to be lawful.
Do the police have to kick someone out the house if the owner demands it? I phoned the police to kick my in laws out the house after they started to take my furniture when they were only meant to take theirs (splitting up with wife). They came but refused to kick them out immediately and instead just waited until they had taken all their furniture. They also told them what they can take and what they cant take. Isn't this illegal for police to do?
Trespass to land in most instances is a civil matter, and as such the police do not have the power to assist. Initially, the landowner should ask the trespasser to leave the land and if he/she does then all is well. If he/she refuses to leave the land then you will need to consider taking civil action. It could be dangerous for the landowner to try to remove the trespasser themselves. The owner of the land could commit several criminal offences if he forcibly removes the trespasser and his/her property from the land. The best and safest course of action is to obtain a court order, which, if breached, can then become a criminal matter. If the police do attend an incident such as this, they are merely there as observers for any possible criminal offences committed by either party. The police cannot assist in the removal of the trespassers or their property from the land in question. Emphasis mine. https://www.askthe.police.uk/content/Q56.htm
You are allowed to ask the police whatever questions you like. There is an upper limit that you can't refuse to obey a lawful order on the premise that you want to ask a bunch of questions, but they don't seem to have ordered you to do anything, so you can ask away. They have no obligation to tell you anything or to be truthful, except for certain questions like "am I free to go" when you want to leave and are testing whether you are under arrest. Even then they don't have to answer your questions right away. The police can therefore ignore you, especially if you are asking curiosity questions. It might be that they are restricted from giving information in certain circumstances (pertaining to the privacy of others). If there is an issue of legitimate concern (e.g. Little Billy has been beating up on cats again) and you feel that you need to know this, then you can request the police record on the matter. Certain information will probably be redacted under state law, but you could get a report that states that some [redacted] juvenile was beating up on animals. The Florida records law is one of the first in he nation, dating back to 1909. You can read this, to see if you think the circumstances match one of the exemptions, though all you have to do is make the request and be told that the record is exempt, then you will have some idea what was going on.
An obvious example would be a contract that gives possession of something to someone else. It's normally legal to use some reasonable amount of force to protect or prevent trespasses against property you own, but if you give possession of that property to someone else you can lose that right. For example, you can use force remove a guest who refuses to leave real property you own, but can't use force to remove a tenant even if they broke the terms of your contract. In most jurisdictions you'd need to get a court order and have the police use force if necessary remove the tenant.
Joint tenancy means that you both have equal (full) rights to the entire property, so just as you don't his permission to live there or to invite guests, he doesn't either. Unless they threaten you in some way (and you get a court order barring them from entering), there is no legal means to deprive an owner of their property rights, while they are still an owner.
It is definitely illegal in Russia as well, but the police will do nothing. Previous activity of this group included forcefully attacking people who tried to speak to a girl who disliked it and handling over such people to police to get fined "for hooliganism". Usual practice in Russia is to beat the people whom the random girls around dislike. This group stepped a bit further, involving police. They use illegal or questionable methods, definitely. But they use them in a manner that people would be unlikely to complain to police because they themselves either did something illegal or public opinion is not on their side. The police usually will do nothing even with much more serious violations, like beating somebody.
In the US and probably most if not all common law jurisdictions, this means that all of the siblings enjoy equal rights to the property. There are different kinds of ownerships, including tenancy in common and joint ownership. Whatever the case may be, one or more of the co-owners cannot confiscate your property, so they cannot remove your claim. They also cannot kick you out. The only legal way to remove you is via a court process where, after a court order, the sheriff tosses you into the street. It would be a crime (literally) for them to physically remove you themselves. They could sue you for your share of the "bills", depending on what those bills are. For example, as a co-owner, you have an obligation to pay a portion of the property taxes, even if you don't live there. You do not have an obligation to pay a portion of the cable bill if you don't live there. You would be liable for a share of necessary repairs, but not unnecessary fancying-up. You would also be entitled to a share of any rent received, if they had been renting out a part of the house. Since you do in fact owe a share of the taxes and repairs, it is counterproductive to say "Oh yeah? Sue me!".
The legal hook is reported to be §129 of the Code of Criminal Procedure, which authorizes use of force to disperse an illegal assembly, which this sort of is. No statute that I can find states that police can smack lawbreakers who are forced to disperse, but as is common in common law countries, the laws of India are not fully explicit on that which is allowed or forbidden for police to do. As this article indicates, systematic limits on police use of force remain to be developed.
Certain things are your separate property, and only you can sell them (but you are also responsible for them). That would include things acquired before the marriage; also anything inherited by just one of you, or gifts provably given to just one of you. Other things are community (marital) property, including your pants and probably your dog. Writing your name on the object or a piece of associated paper doesn't really matter, what matters is how it was acquired. One party can sell their half-interest in joint property, but nobody (?) would buy a property interest in a dog, they would buy the dog. For another person to actually buy a dog, they would have to buy a 100% interest in the dog, meaning that you would have to agree to the sale. When it comes to property with a solid title system, such as real estate, one party cannot sell the whole property without the consent of the co-owner. However, a co-owner could petition the courts to force a partition of the property, where the courts would order that the proceeds be divided equitably. Ohio law on division of marital property is spelled out here. Getting a lawyer is really the only reasonable solution. You can't just "put a block" on selling stuff. If you want the tools, somebody has to collect the tools and take care of them, and they can't just break in to the house in the middle of the night to do this.
What would be the legal ramifications in regards to someone else paying your legal bills? In regards, to, establishing attorney-client privilege, and the related attorney-client confidentiality. What would happen if someone else paid for your legal counsel? Do all the rules remain the same regardless of who pays the bill, or is it maybe in your best interest to have your noble benefactor send you the money and just pay the bill yourself. (If at all possible.)
There have been cases in the UK where paying someone's legal bills was interpreted as joining their case. So when A with no money libels someone, and B with deep pockets pays A's lawyer, then B risks being held liable for damages if A gets convicted. So B should be very careful. Just giving you money is probably the safest. But attorney-client privilege is between attorney and client. I have been laid off twice with my company asking me to take an employment lawyer and paying for it. (Interestingly each time the bill was exactly the maximum amount the company was willing to pay :-) It would have been absurd if my company could demand information that is under attorney-client privilege just because they paid the bill. Why did two companies pay the lawyers bill? Because that way they ensure that the separation is without problems. The lawyer explained the settlement contract and what it meant exactly. They also checked that the contract didn’t contain anything unacceptable which the company would have fixed. So if I had tried to sue them later I would have no chance to win (but there was no reason to sue). Another reason not to sue was that the company offered I settlement that was very significantly more than was legally required, but if you sued them you would only get what you got in court - most likely less than you would get without suing. So basically they paid to make sure I would have no reason to sue them later.
There is really no point in hiring a lawyer until you can identify a culprit. Lawyers can't sue people until they have a way to serve the person at fault with legal process. You need an IT professional instead.
My impression, and the plausible explanation in the absence of the actual facts, is that this was something that the attorney agreed to, in order to allow a skittish client to reveal information pursuant to a favorable plea agreement. The police probably insisted that the client be handcuffed to someone while doing this to prevent the client from fleeing. The attorney probably offered to do the job instead of a police officer, to be able to provide advice to his client and keep his client calm enough to do it, which might not have happened (sacrificing the favorable plea deal that the attorney negotiated) if someone else were in that role.
In most jurisdictions, the lawyer would have two options: Resign from counsel and never talk about the confession. Take the counsel and defend the client as best they can without mentioning that they know the client is guilty. In most jurisdictions, there is something called "attorney client privilege". It means that whatever a client says to their attorney is confidential (there are usually exceptions to this, but usually none which are relevant for this question). The court can not force the attorney to testify against their client. The job of the defense counsel is to achieve the best possible outcome for their client. If the client pleads not guilty, then the attorney's duty is to do their best to convince the court that their client is not guilty, even when they know it to be false. There are a few limits, for example attorneys are usually not allowed to use underhanded strategies like falsify evidence or compel witnesses. But breaking attorney-client privilege by telling the court about a private confession without the consent of the client would be a major case of misconduct and would in many cases cost the attorney their legal license (at least!). And besides: A defense attorney who knows their non-guilty-pleading client is guilty can actually go through the process without ever explicitly claiming that the client is innocent. In order to convict someone for a crime, the prosecuter must prove the clients guilt beyond reasonable doubt. The defendant doesn't necessarily need to prove they are innocent, they just need to create doubt. The defense attorney can fulfill that duty by raising questions like "If my client had committed the crime, then how do you explain [...]", "What reason would my client have had to commit this crime?", "Does this piece of evidence really prove anything?" or "How can we be sure that the witness is telling the truth when she says [...]?". All very good questions which need to be answered by the prosecution, even if the defense already knows the answers. At no point does the defender have to claim "my client is innocent". The defender just needs to claim "You have not yet proven beyond reasonable doubt that my client is guilty".
You should do one of two things. Either (1) fire your lawyer and obtain competent counsel, or (2) demand that he pay for the "second opinion" (in actuality, co-counsel or a consultant) if he is unfit to offer a proper opinion on the case. I am unfamiliar with the bar rules in Canada, however I am willing to bet they require one be competent to the prosecute the case they take. In the U.S. in all jurisdictions, the bar rules demand that an attorney not take a case unless he is competent to prosecute it. If he is not, he has a duty to either decline the case, or to find competent assistance to bring the case to closure. Unless your lawyer told you at the outset that he can only represent your defense and not your counterclaim, then he needs to be able to advise you about both issues. You should not be responsible for obtaining a second opinion. Most lawyers would not want their client seeking a second opinion as it reflects poorly on their ability competently practice. The fact that this guy has the gall to ask you to get one is unacceptable. As an example: I recently had a case that was within my practice area. During discovery I realized there was a substantial ERISA issue. This is a very specialized area of law that I am not very adept at dealing with as it is a complex regulatory scheme I don't deal with regularly. So...once I spotted this, I contacted an colleague who specializes in ERISA, who told me what I needed to argue, and gave me a primer on the area of ERISA law that I needed to be adept at. If I didn't have a friend who worked in this area, I would've had to get a co-counsel (at my own expense) by either splitting my fee, or by hiring him as a consultant but being personally responsible for the cost. If I didn't think that would be cost effective (i.e., the value of the case was not big enough to justify me hiring a consultant) then I would've had to tell the client that an issue arose that I was not competent to deal with and that he needed someone who specialized in that area (the problem is that people who do ERISA law aren't litigators traditionally) and had the ability to litigate. Or, give him the opportunity to say, "No, I want you to be trial counsel and we will hire him as the ERISA guy." In that case, the client would be responsible for the cost of the second attorney (otherwise I would just withdraw), but I couldn't demand this. What your lawyer is doing is trying to get you to ensure he does't get it wrong, and that is not OK.
In the small claims court cases I've been involved in the judge has dismissed all aspects of the claim related to time wasted, transportation costs, and attending court in the judgement amount itself. However the court costs one incurs should be a part of the amount that is judged in one's favour. Also the costs of enforcing any judgement (court bailiff fees) are usually considered recoverable. My thoughts are that if one is keen to ensure that the other party pays the full costs of time, collation of evidence, photocopying, phone calls, and anything else one believes they are responsible for, one will have much more luck if one is not self-representing. The predominant reason for self-representing is to keep costs, and thus one's financial risk from pursuing the case, minimal. disclaimer: this is only opinion, and not legal advice
The customer list is indeed a trade secret if the shop kept its customer list secret and has an advantage from having that customer list, while others don’t have it. And I would think that is the case, because a competitor laying their hands on the list could for example send special offers to the customers in the list. The question is whether your two hairdressers took that customer list and whether the store has reasonable evidence that they did. If customers find out where their favourite hairdresser moved to that’s no legal problem. Can’t understand why no attorney wants to take the case. To the attorney it doesn’t make a difference whether they took the list or not. If they took the list then his or her job is to end the case with the smallest possible amount of damages being paid. PS. Just read in the comments that there is an accusation of "intentional interference with economic relationship". I would want a lawyer who knows the difference between perfectly legal competition which includes trying to get customers to move their business, and "intentional interference with economic relationship". PS. Really make sure that these guys appear in court. With a lawyer. Not appearing means that if the plaintiff says "Judge, these guys did X, punish them!" and they are not there to say "We absolutely didn't do X, prove it if you can", the judge will assume that they did X.
You don’t need to hire an attorney If you like, you can represent yourself. Just like you can build your own house, repair your own car or amputate your own limb. You only need to be a lawyer if you are representing someone else. However, there is a saying that goes: A person representing themselves has a fool for a client. Your lawyer is a professional, you aren’t. They know what to do when the other side says “Objection, facts not in evidence” or how to correctly fill out, file and serve a pleading; do you?
What does it mean to "pirate" a game, app, or other digital resource? I've heard the term "pirate" many times before, but I have never really understood it. How do people do it and why?
While software is often the subject of pirating, the term is also used generally for unauthorized use of any copyrighted material. It turns out that this terminology is very old. Wikipedia notes that this sense of the word piracy is attested as far back as 1603 CE and was used as part of the language of a copyright treaty as early as 1886 CE. In particular, people who use or distribute unauthorized copies of movies, television shows, videos of live concerts, and music are also frequently said to be engaged in pirating of the material. The term is used in this context in testimony before Congress by the chief U.S. Copyright official in 2005. Critics of the term argue that "piracy," which originally meant armed robbery of tangible property on the high seas (a form of theft), is an inapt way to describe copyright infringement which is really different in kind than theft because copyright infringement does not deprive anyone of use of the materials, it merely impairs the legally granted monopoly of someone regarding how it shall be used. As Matthew Yglesias explains at Slate: If I steal your car then you don't have a car anymore, whereas if I duplicate a digital media file we both end up with it. The harm in the duplicating is supposed to be that by duplicating content that Fox Filmed Entertainment owns the copyright to, I'm depriving Tom Rothman of some revenue that he might have gotten had I instead gone out and bought a copy of the content for myself. That's fair enough for Rothman to feel sad about, but it's a totally different kind of thing. I didn't buy DC's animated film of Batman: Year One, and I didn't pirate a copy either; I watched it at a friend's house. The difference between watching a movie with your friend and copying your friend's Blu-ray is that one is legal and one is illegal. But in both cases you watch the movie without paying the copyright owner, and in neither case have you stolen anything from anyone.
A translation is a devivative work - the copyright owner has the exclusive right to these So, yes, translation is prima facie copyright infringement. Strictly speaking, if you translate it, it's a derivative work because you exercised creativity in making the translation; what Google translate does is not a derivative work, it's a copy because there is no creativity. Either way, only the copyright owner can do (or authorise) this. Whether it's legal or not depends on if what you are doing falls within one of the exceptions to the applicable copyright law such as fair use or fair dealing. Attributing the original author does not, of itself, allow translation. Additionally, I'm not able to find the copyright documentation for the site link I provided above. What is "copyright documentation"? Copyright exists the moment a work is created and no further documentation is required. Essentially, I could translate the whole documentation by myself to avoid this problem. No, you can't - see above. If copy-pasting the google translate is illegal, then exactly how much must I edit, move around sentences, change words, and such until the text is no longer plagiarized? All of it. If you were, based on your own knowledge of the software, to write a manual without any copying o the existing manual, that would not be copyright infringement. Is this plagiarism or copyright infringement? It's copyright infringement - plagiarism is an academic misconduct issue not a legal one. where can I check the copyright for the above link? The site you linked has "Copyright © 2020 Acquia, Inc. All Rights Reserved" in the bottom left corner which identifies the copyright holder, the date and prohibits all copying ("all rights reserved"). This isn't necessary but it is helpful. If you really want to do this, contact Acquia, Inc and ask for permission.
The only potential problem would be if CC-BY-SA and CC BY-SA (and other variants) come to refer to two different things. There is a problem that in any spelling, "cc by sa" is informal shorthand for a class of licenses. One of them is here: it looks to me like they "officially" call it the Creative Commons Attribution-ShareAlike 2.0 license. Here is another version. The existing practice of referring to CC licenses is very problematic, because there are multiple versions, and without a link to the specific version, a person can't know what they are being bound by. This is an example of a real ambiguity. There is (at least presently) no difference between CC-BY-SA, CC by-SA, or any other variants. CC-BY and CC-SA, on the other hand refer to different things. Problems only arise when it's not possible to objectively figure out what a licensor was referring to.
Alice has been developing her own enhancements, and they're pretty similar to Bob's. Neither Alice nor Bob has copied the other's enhancements, so neither has violated the other's copyright in the enhancements. Whether that could be proved in court is another matter, of course, but since the original work is licensed under creative commons the question unlikely to arise in court. Would Alice be prevented from coming up with enhancements to her own game if other people could prove they thought of and released the idea first? No. Copyright does not protect ideas. It only protects a particular expression of those ideas from being copied. Theoretically, if two authors come up with identical 500-word descriptions of something and can establish that each did so independently, neither has a claim against the other. The practical problem there, of course, is that it would be impossible to prove such a thing. Could Alice outright claim Bob's "Adapted Material" because he developed it on her original work? Assuming that in publishing his adaptations Bob followed the terms of the creative commons license with respect to the original work, Alice's only claim would be that he copied her adaptations without following the terms of the license. If Bob can show that he did not do so, her claim would fail. In a comment, you wrote: Suppose Alice went ahead and intentionally, somehow provably ripped off Bob's "Adapted Material" because she liked the content so much, does Bob reserve any rights on his adaptation, or is Alice able to commercialize the work that Bob did in extending her original work? If we assume that Bob complied with the license of the original material, we know that he licensed his adaptations under "the identical terms," so Alice would be able to use Bob's adaptations under those terms for non-commercial purposes. Since the assumption here is that Alice provably copied something of Bob's, I think it is fairly clear that she would be liable for damages if she exploited that material commercially without paying royalties.
Interesting that they don't give a source and also don't link to anywhere (such as Wikimedia commons). So I assume that content is google's own. So generally speaking: No, when no license is provided, that means you can't use whatever it is in a project of yours (whether commercially or not), because the "default", when nothing is specified, is that no license is given. So unless you find a license that grants you a permission on google's own content, these sounds can't be used freely.
They certainly can make that a license term and revoke the license if you do not comply. However, revoking the license is all they can do to "forbid". Or they could sue you for damages without revoking the license. That said, you are free to consult how to use their software so long as you do not hold a license so that you are not bound by the terms AND you do not break the law e.g. copyright. How to do it is up to you to figure. Maybe you could simply consult users that do have a license — on their premises and devices.
Why do you think Oracle have not been protecting their trade mark? Using a trade mark to describe the product (“Written in JavaScript”, “Seeking JavaScript developer”) is not an infringement and the trade mark owner is under no obligation to, indeed, cannot stop this. Where they are required to defend their trade mark is when it is being used in such a way that there is the risk of confusion that the goods or services could be confused with the trade mark owner’s goods or services. Further, they are not required to defend all breaches, only enough to show that they are actively doing so. Also it is not important that the trade mark be associated with the trade mark’s owner. Do you know who owns the trade mark “Ben & Jerry’s”?
Does a situation like this constitute breach of contract and/or a violation of advertising laws? No. There is not enough information that would lead to a finding of either. It is unclear how customers would be allegedly affected (if at all) by the release of a product at a different store, let alone where the goods or services at issue are digital and require no physical presence at a venue or premise. Except for very specific factual circumstances, a change of sales venue would hardly be cognizable as deceptive or unfair practice. Also, prior to purchasing or reserving a game, there is no contract between the public and the developer/supplier. Potential customers typically are not entitled to a specific performance by the developer. Even if [Phoenix Point] supporters' decision were provably based on the prospect of release at Steam, your description nowhere reflects that there was a mutually conscious exchange (or promise of an exchange) of considerations involving the parties' support of a game and the counterparty's release of the game at a specific venue. Absent that meeting of the minds, either party's reliance or expectation on the other is irrelevant. Generally speaking, the sole cruciality of either party's motives does not create legal obligations.
Why prosecute Kyle Rittenhouse if there is no real chance of a guilty verdict? (Not sure if this should be on the Politics.SE) From divibisan's answer to one of my questions on Politics.SE: You won't find many people seriously arguing that the Rittenhouse jury ruled incorrectly as a matter of Wisconsin state law. The standard for self-defense is so loose, that it's hard to see how they could have found him guilty of first-degree murder: Under Wisconsin law, you can kill people in self-defense if you reasonably believe that doing so is necessary to spare yourself or others from imminent bodily harm or death. This belief need not be accurate. Nor must it be reasonable from an objective perspective. It only needs to be reasonable from the subjective point of view of the shooter in the moment he or she pulls the trigger. If most people won't seriously argue this, then why would prosecutors even bother to bring the case to trial? It'd just be a waste of time and money. Furthermore, even if the prosecutors bring the case, presumably courts should decline to hear it (since they already moot cases to not waste taxpayer money). Are prosecutors empowered to prosecute cases that will never result in guilty verdicts? Can prosecutors ever be classified as vexatious litigants?
The trial was held because A Kenosha County Court Commissioner ruled there is enough evidence for Kyle Rittenhouse to stand trial for homicide charges. “All this court needs to find was that a felony was committed and probably committed with this defendant,” said Thomas Binger, the assistant district attorney of Kenosha County. The court agreed.
This is entirely possible in a number of different motions that could have been made. At this point, Vinny had destroyed the Prosecutor's eyewitnesses by showing they had issues that called their testimony into question (The first has a timeline that doesn't line up with events, the second has poor vision and her prescription glasses were not doing their job, and the third had many obstructions blocking his view of the scene). His first witness tears apart the "expert" witness, who was only there to testify that the tires were the same brand (albeit, a popular brand at the time... loads of cars had the same tires). While it might go by a different name in different jurisdictions, the Prosecutor is allowed to make a motion to dismiss at any point prior to the jury goes to deliberation (as is the Defense; Also they might be able to make motions while the jury is in deliberations). If properly titled, the Prosecutor should have made a "motion for nolle prosequi" (not prosecuting). This can mean any number of things including the prosecutor no longer believes the evidence can prove the charges OR even that the prosecutor is no longer convinced that those charged committed the crime. In the "My Cousin Vinny" case, as the jury was seated the case cannot be retried by the State of Alabama at this point. This is possible because the Prosecutor's duty is to uncover the truth behind a crime, no matter what that truth becomes. In this case, despite his previous beliefs, the prosecutor in My Cousin Vinny, upon realizing he was wrong, admitted it and dropped the charges. Given his backstory of having worked as a defense attorney and making the switch after getting a client off some serious charges (and knowing the client was guilty) shows that he was inherently an honest man and dedicated to finding the truth of the matter (as a government employee, he undoubtedly took a pay cut when he switched to prosecution. Private industry almost always pays way more than a government equivalent). With that in mind, it is expected of prosecutors to be perfectly honest with what evidence they have and make the choices in the case based on that evidence. This comes up in another scene when Mona Lisa Vito explains to Vinny that the prosecutor was required to give Vinny all the files he had on the case... because Vinny, by representing the Defendant, is allowed to examine all evidence against his clients. The only dirty trick he pulled was the stunt where his expert witness was not disclosed and while bad, really it's the judge allowing the witness to testify that would have caused a problem with the trial (his response to Vinny's objection could have created a mistrial on appeal). To give a real world example, I was charged with driving on a suspended license which I had no idea I was doing at the time. As it turned out, the license was suspended for an unpaid traffic ticket that I had paid in the last minute... essentially the DMV forgot to unsuspend. A quick call fixed that issue but I still had to go to court over the charge. The day of the trial, I show up in the court room and the prosecutor walks over and tells me that they were going to enter a motion of "nolle prosequi" for the charge... essentially dropping it... because the matter was a clerical error on the state's part and not anything I did wrong. Edit: Additionally had the prosecutor not motioned to dismiss, Vinny certainly could have. In fact there are two points during the trial where Defense attorneys are expected to make these motions. The first is when the Prosecution rests their case. The second is before the jury is given the case to deliberate. As for why it was called a motion to dismiss in the film, it's likely to due with the fact that the audience would not know what a "motion for nolle prosecui" and it is a type of motion to dismiss.
Maybe, but we'll probably never know for sure. Officially, of course, he was not punished for his speech. He was punished for selling explosives without a license, which he admitted to. (He was also charged with illegally storing explosives and illegally mailing 'injurious material," but those charges were dropped in exchange for his guilty plea on the first count.) Whether those charges were a pretext to retaliate is probably unknowable. While it's a well-known fact that law enforcement frequently retaliates against people for exercising their right to free speech, this guy's story doesn't sound very credible. There is precedent for a prosecution for distributing Pest Control Report 2000, including the prosecution of white supremacist Leo Felton, a sad-sack loser who used the same material to build a bomb around to incite a "racial holy war" the same time. And just about a month after Ver's conviction, the man who owned the company that manufactured the product was convicted of violating federal explosives and transportation laws. Several months after that, he and his company entered into a consent decree with the Consumer Product Safety Commission ordering them to stop manufacturing Pest Control Report 2000.
It would be murder (assuming the facts surrounding her getting shot would support a murder charge, of course, and it wasn't something like an accidental discharge.) The fact that she was on life support for a time is irrelevant. Under Maryland law § 2-102 it doesn't matter how much time has elapsed: A prosecution may be instituted for murder, manslaughter, or unlawful homicide, whether at common law or under this title, regardless of the time that has elapsed between the act or omission that caused the death of the victim and the victim's death. It's a Wisconsin and not a Maryland case, but according to State v. Below, 799 NW 2d 95 - Wis: Court of Appeals 2011, it doesn't even matter if life support was wrongly terminated; the defendant is still guilty: [E]ven if the Defendant can establish that the termination of Madison's life support was "wrongful" under Wisconsin Law, that wrongful act would not break the chain of causation between the Defendant's actions and Madison's subsequent death.
There actually is a practical effect to a "not proven" v. "not guilty" verdict in Scotland, but it is mostly sociological or social in nature rather than legal. If your question is, are there future legal concerns, than no. Not proven is, to be sure, an acquittal. However, it is an acquittal that the tells the public something important: that the trier(s) of fact thought the person likely guilty. That's a fairly substantial distinction. In Scotland, a criminal case may be decided either "in solemn procedure", which is simply the Scot term for a jury trial v. "in summary" or in "summary procedure" which is the U.S. equivalent of a bench trial. The difference between the two (and the divergence from the U.S. procedural vehicle) is that for lesser crimes the accused doesn't have an automatic right of a jury trial for any criminal matter. In some ways this lesser included makes up for the fact that the Scottish accused is without absolute right to choose jury or bench trial, which in the U.S. can be very meaningful from a tactical perspective. Think of how important the make-up and emotional proclivities of juries are to both convictions and acquittals. A bench trial can be beneficial to the truly unlikable defendant, or in especially brutal crimes, where juries may convict out of fear or sympathy for the victim, even if the case is weak. At the same time, they may nullify the conviction for the sympathetic defendant. Juries are notoriously emotional and bias driven. Being able to choose a bench trial where the judge will follow the evidence and avoid the emotional response of a jury can be invaluable. Just as a sympathetic defendant can appeal to the emotions of the jury for acquittal or jury nullification, on the opposite spectrum. In Scotland, lesser crimes are always (with limited exclusions) tried by a judge, while more serious allegations always (again w/ limited exclusions) get a jury trial, automatically. The defendant does not choose the type of trial he is afforded. Hence, a defense or a prosecution cannot fiddle with the balance of proof based on emotion or lack there of. They get what they get. There are various rules procedurally that differ in comparison, but since this isn't the question that is the general rule and should suffice for background. Also hugely important is the fact that in Scotland, jurors decide a case by majority vote (like a civil trial in the U.S.); hence, there are no hung juries and they don't need a consensus. So, one way or another the verdict will be given in a Scottish criminal action. Scots also get comparatively huge juries to any other country (15 jurors) and they only need 8 in agreement to reach a verdict. Tactically, the "not proven" is a lesser included verdict (like U.S. uses lesser included charges in cases that are weaker for the prosecution). This lesser included finding can be used by choice when the Prosecution has a sympathetic defendant or when the defendant is probably guilty or unlikable. If the jury thinks the defendant (called "accused") probably did the crime, but the prosecution has failed to prove the elements, they can/will issue a "not proven" verdict. This sends a big message. This, again, is typically only reserved for those cases when there is strong but not conclusive proof that someone committed a crime. They don't want to profess their innocence with a not guilty verdict, so they are still acquitted, but with he stigma of the "not proven" verdict attached. Some estimates have from 1/5 to a full 1/3 of all acquittal verdicts by Scottish juries as "not proven" as opposed to "not guilty". Not proven can also be used by judges in the bench trial (summary procedure), however it's much less common. The proportion of 'not proven" acquittals in general is higher in the more severe cases; but so then are the proportion of acquittals versus convictions. These would likely be hung juries in the U.S.. Both in the "solemn" and the "summary" acquittals, not proven is interpreted as indicating that the jury or judge, respectively, is not convinced of the innocence of the accused; in fact, they may be morally or even factually convinced that the accused is guilty, but do not find the proofs sufficient for a conviction under the elements of the crime on the jury instruction/verdict form. I look at this as similar to the adage oft used in the U.S., which is an acquittal, despite the fact that the verdict is termed "not guilty" does by no means indicate the person is in fact "not guilty", it just means the prosecution couldn't prove its case. Sociologists in the U.S., as well as legal scholars, have studied the phenomenon, and it appears that most not guilty verdicts in fact let go a guilty person. This can be intuited by the evidence the jury never saw, either by suppression from bad searches, by the exclusion of witness testimony due to procedural rules like hearsay, privilege, etc., and other forms of keeping relevant evidence from the jury to protect the rights of the accused. But in the U.S. the person can go forth and say, "Hey, I was proven not guilty!" Scotland also has another interesting rule of criminal procedure, whereby a criminal can't be convicted without corroborated evidence. What this means is that if all the prosecution has is the victim witness, by way of proof, testifying, and no physical or corroboration testimony, Scottish law requires acquittal, but often will be so by the verdict "not proven". This is huge, if you think about it. Use, for example, a rape trial. A woman testifies, saying that Joe Schmoe climbed through her window and raped her. She knows Joe - he's her neighbor. Nobody saw him climb in. But she knows it's him. He leaves no physical evidence, having shaved his entire body and used appropriate protection (gloves, condemn, etc.). She has a rape kit done. Rape is obvious, but the only proof is her testimony. Joe goes free. But in Scotland, he goes free with a stigma attached. He's found "not proven" rather than "not guilty". I think this corroboration rule has a lot to do with why this verdict system still exists. In the U.S. the trier of fact would weigh the testimony and decide if one person was substantially more believable than the other, and a verdict would issue. That is a substantial difference, procedurally. Since Scotland doesn't have the hung jury because there is no consensus required they use the "not proven" in the same way a U.S. jury uses the hung jury when one or more jurors thinks the prosecution didn't prove their case but it's fairly clear the defendant is, in fact guilty. Then, you will often get a "hold out" juror, and since the U.S. requires a unanimous verdict, the hold out hangs the jury. It's sort of the opposite of jury nullification. The person knows that the evidence fell short, but their conscience can't reconcile letting the person go free, so they will vote guilty to hang the jury, almost ensuring the prosecution gets another shot. There has been a lot of debate about this three verdict system in comparative law circles, with many legal scholars saying it's antiquated. But I think it serves an important purpose. It carries the stigma of likely guilt for those people who probably committed the crime but got off. Further, the hung jury cost tax payers millions of dollars in the U.S., and this is often the side effect of people not wanting there to be absolutely no recognition of the fact that the accused probably committed (especially serious) crime(s). The Scots, on the other hand, have found away to accomplish this without the cost and emotional toll multiple trials takes on all the players involved, from witnesses and victims, their families, the accused, and even the lawyers and the prosecutions, who have to put in all the work of a trial just to start anew. Here is a really good scholarly article that deals with this interesting phenomenon not seen in (I don't believe) any other country: https://journals.iupui.edu/index.php/iiclr/article/viewFile/17848/18019
Considering that the US legal system is more or less similar in practice to the English Courts, yes it is possible to plea bargian a deal. I'm linking to the wikipedia article on the matter with a specific link to the England and Wales for guidence. Normally, I'd explain, but I'm an American and the differences between Magistrate and Crown courts are big enough differences that I can't tell you what the differences in the case is. I should point out this is a legal area where America differences with much of the world. 90% of the United States criminal cases (and a good number of civil cases, which are settled privately before discovery phase) are plea bargained to lesser sentences. Additionally remorse has nothing to do with the plea bargain. You might only be sorry that you got caught breaking the law and can still plea. The lighter sentence is sort of a "thank you" for saving the state money in not having to build their case against you. It is also used to coerce cooperation with the police, as they may have the accused dead to rights and can prosecute him successfully, but he's a little fish who can give intel to a big fish (this usually comes with the caveat of it being a sworn statement, so they can still prosecute you for something if you're lying... OR that the deal holds on condition that everything is factually true. If evidence contradicts you, you're charged as if you never made a deal). It's also important to note that the police will not honor their deals made for your confession... but they will offer you deals (In the United States, police are allowed to lie to you and do it all the time). However, the prosecutor will honor their deals. Another thing to be aware of is that a prosecutor who offers a plea could be doing so because they have a weak case. If you are absolutely sure the prosecutor has the wrong guy, it may be to your benefit to go to trial and have them prove it. Innocent people do go to jail all the time because they think there is something worse on them than the plea deal and its hard to fight off as you cannot appeal a plea deal as easily as a court conviction. Finally, most jurisdictions allow the judge final say at sentencing, so if the prosecutor does honor the deal and advises the sentence, don't get upset if the judge is tougher and gives you a harsher sentence on the crime, or rejects your plea outright (expect him to scold the prosecutor for wasting his time with a horrible deal, too. Watch the Law and Order SVU episode Raw for a particularly wonderful instance of this rare event occurring). As a part of US federalism, the rules about this change from jurisdiction to jurisdiction, so make sure you understand this. Another thing to be aware of is that a prosecutor who offers a plea could be doing so because they have a weak case. If you are absolutely sure the prosecutor has the wrong guy, it may be to your benefit to go to trial and have them prove it. Innocent people do go to jail all the time because they think there is something worse on them than the plea deal and its hard to fight off as you cannot appeal a plea deal as easily as a court conviction. I would definitely do some leg work into the English Legal system's opinions on plea bargains. Just because they have it does not mean the state lawyers like employing it and many jurisdictions see it as full on corruption in other parts of the world, even the Common Law jurisdictions.
A prosecutor's discretion is almost unassailable. The main reason for this is to prevent prosecutors from having to defend in a legal forum every single decision made. In a civil matter, prosecutors have absolute immunity form being personally sued for their actions (again, to prevent a prosecutor from being sued from every single defendant). https://en.wikipedia.org/wiki/Prosecutorial_immunity Misconduct by prosecutors may be resolved by reversal or retrials of court proceedings. But this is not something that really has criminal penalties. https://en.wikipedia.org/wiki/Prosecutorial_misconduct#:~:text=In%20jurisprudence%2C%20prosecutorial%20misconduct%20is,is%20similar%20to%20selective%20prosecution. Occasionally, a prosecutor may be subject to discipline from the state's Bar. This is rare, and is not much of a deterrent. https://publicintegrity.org/politics/state-politics/harmful-error/misconduct-and-punishment/ Theoretically, a prosecutor who out and out breaks the law can be prosecuted. Examples seem to be rare, and are more about government malfeasance (expense reports, misuse of government equipment, etc.). Due to the above standards, proving criminal conduct around prosecutorial discretion will be extremely difficult, as will finding a fellow prosecutor willing to even go down that road. It is in no prosecutor's interest to set the precedent of prosecutors being jailed for their behavior. So, why has nothing happened? Because in general, prosecutors can get away with almost anything. And I will add, Because America seems to like it this way.
A lawyer is obligated to accurately state the law as stated in the jury instructions in closing argument (and also not to make a clear and deliberate misstatement of the facts presented at trials, and also not to express personal knowledge of the facts based upon anything other than what the jury has seen). But a certain amount of poetic license is allowed so long as the closing argument is not so misleading, as a whole, that it is likely to lead the jury astray. In this case, the prosecutor is alluding, with poetic license, to the idea that an aggressor or interloper can't assert self-defense. You can't "look for trouble" and then be shielded by that doctrine. A more full quote from that prosecutor makes that more clear: you lose the right to self-defence when you’re the one who brought the gun, when you’re the one creating the danger, when you’re the one provoking other people I have no opinion concerning whether his statement does or does not cross the line. I'm not sufficiently immersed in the case, and don't have enough context from having heard the closing arguments as a whole, to have a confident opinion on that point. If there is an acquittal we'll never know. If there is a conviction and appeal and this is an issue raised on appeal, we might find out. Opposing counsel has a right to object in closing argument if it goes too far, and appealing an argument that a closing argument is objectionable is challenging unless it is preserved with a timely objection at the time. Particularly if the prosecution makes a misstatement in their initial closing, rebutting it in the defense closing may be more effective than objecting. But, if the prosecutor makes a misstatement in a rebuttal period to which the defense can't offer a corrective statement, an objection may be wise in order to preserve an issue for appeal.
Valid definition of "vagrant" per Washington state law RCW 9.66.010 suggests that in "every place... [w]here vagrants resort... [e]very act unlawfully done and every omission to perform a duty, which act or omission [s]hall offend public decency" is an offense. However, my understanding is that the Washington state statute defining vagrancy was repealed in 1975. In this case, one would suggest the definition of vagrancy would default to that definition held at common law - the question is, what is that definition? Or is this clause simply invalid?
In Papachristou v. City of Jacksonville, SCOTUS found that a particular statute criminalizing being a vagrant was unconstitutionally vague. The court does not offer an alternative acceptable definition of "vagrant". Washington (and other states) dealt with this by repealing the law against being a vagrant, but left intact the law criminalizing "maintaining a public nuisance", which includes houses of prostitution and being a place "where vagrants resort". I have not located any subsequent ruling within Washington that indicates that this clause applied to "places" is enforced, and there is no jury instruction defining "vagrant". Instead, laws are written to prohibit specific acts (such as panhandling, sleeping on the sidewalk, prostitution). Cornell characterizes a vagrant as "a person who roams from place to place without a permanent job, home, or material resources", with no supporting citations. This article offers a competing common law definition as "a person who was idle, refused to work although capable of doing so, and lived on the charity of others". In Johnson v. Florida, 202 So. 2d 852, the court cites F.S.A 856.02 (since repealed) defined vagrants as Rogues and vagabonds, idle or dissolute persons who go about begging, common gamblers, persons who use juggling, or unlawful games or plays, common pipers and fiddlers, common drunkards, common night walkers, thieves, pilferers, traders in stolen property, lewd, wanton and lascivious persons, keepers of gambling places, common railers and brawlers, persons who neglect their calling or employment, or are without reasonably continuous employment or regular income and who have not sufficient property to sustain them, and misspend what they earn without providing for themselves or the support of their families, persons wandering or strolling around from place to place without any lawful purpose or object, habitual loafers, idle and disorderly persons, persons neglecting all lawful business and habitually spending their time by frequenting houses of ill fame, gaming houses or tippling shops, persons able to work but habitually living upon the earnings of their wives or minor children, and all able bodied male persons over the age of eighteen years who are without means of support and remain in idleness, shall be deemed vagrants Common law definitions arise from appellate cases that approvingly restate and unify prior court and statutory definitions (for example "negligent"). The dearth of approving rulings since Papachristou indicates that the concept itself is in jeopardy. A test could arise if a municipality decided to outlaw homeless encampments, however, such a law would be partially preempted by a state law allowing a religious organization to arrange a homeless encampment (plainly a violation of the First Amendment, but it would mean that a generic non-religious organization might be found guilty of violating a local analog of the "place where vagrants resort" law). Hence I conclude that the courts would also find that clause to be at least void for vagueness.
Elected officials are not "employees subject to the civil service laws" unless a state has made extremely odd decisions, and maybe not even then. The "civil service," as that term is used when talking about government employment, consists of at most those people who work for the government as a career. It generally actually means something even more restricted: civil servants are people protected from arbitrary action or political cronyism. For instance, the Labor Department's Wage and Hour division (interpreting the same type of language) defines it as follows (29 CFR 553.11): The term “civil service laws” refers to a personnel system established by law which is designed to protect employees from arbitrary action, personal favoritism, and political coercion, and which uses a competitive or merit examination process for selection and placement. Continued tenure of employment of employees under civil service, except for cause, is provided. Elected officials, in contrast, do not have an expectation of continued employment other than for cause -- they can be voted out for any reason whatsoever.
The law of Washington is probably typical. Under RCW 9A.56.110, "Extortion" means knowingly to obtain or attempt to obtain by threat property or services of the owner, and specifically includes sexual favors. By RCW 9A.56.130(1), A person is guilty of extortion in the second degree if he or she commits extortion by means of a wrongful threat as defined in *RCW 9A.04.110(25) (d) through (j). Then looking at the relevant definition of threat (please note that there is a numbering error in the statute, that should be (28), I don't know if they will fix it), it says (28) "Threat" means to communicate, directly or indirectly the intent:... (e) To expose a secret or publicize an asserted fact, whether true or false, tending to subject any person to hatred, contempt, or ridicule; or (f) To reveal any information sought to be concealed by the person threatened; Second degree extortion is a class C felony. It is not first degree extortion, since that requires the threat to be (a) To cause bodily injury in the future to the person threatened or to any other person; or (b) To cause physical damage to the property of a person other than the actor; or (c) To subject the person threatened or any other person to physical confinement or restraint; Washington does not include a category of rape by extortion, though I've heard rumors that there is such a crime in some states. (It is not rape by forcible compulsion, second degree rape, because forcible compulsion is defined as "physical force which overcomes resistance, or a threat, express or implied, that places a person in fear of death or physical injury to herself or himself or another person, or in fear that she or he or another person will be kidnapped": that is, there has to be actual or threatened physical force)
This is known as the "ministerial exception". Because the Free Exercise and Estalishment clauses of the First Amendment prohibit the government from interfering with religion, the government cannot override a doctrine that contradicts the teachings of a religion (so women and gays cannot sue the Catholic church for not being hirable as priests). In Hosanna-Tabor v. EEOC, an individual taught classes and led prayer at a religous school, but was fired ultimately due to a disability (narcolepsy). The Lutheran church does not have any known doctrine condemning narcolepsy: but it was unanimously ruled that "the Establishment Clause prevents the Government from appointing ministers, and the Free Exercise Clause prevents it from interfering with the freedom of religious groups to select their own". Thus the church was legally permitted to fire the individual due to her disability.
There are literally hundreds of such laws. Most of them (perhaps all, if we exclude firearms-related crimes in Title 26) are contained in Title 18 of the US Code, part I. The problem is that your definition of "public insurrection" is too broad, since it would include lying to federal agents (a crime), insofar as the reason for 18 USC 1001 is to prevent impeding federal investigations by giving them false information. Assaulting a federal agent impedes government and is a crime. There is pretty much a federal version of any state-level crime of violence. There is the riot act, and a specific law against insurrection and rebellion. Chapter 115 is probably the most relevant: this is where the various "overthrowing the government" laws are.
The relevant statute, 28 USC 455 simply states what shall be, and does not suggest that the law could be enforced by any particular means. There have been cases where there was a suggestion of a hint of impropriety at SCOTUS and yet things proceeded. In Laird v. Tatum, 408 U.S. 1 Rehnquist did not recuse himself despite being a White House lawyer and having expressed an opinion on the legality of certain arrests, and that was the end of that matter.
The religious freedom argument has no legs following Employment Division, Department of Human Resources of Oregon v. Smith, 494 U.S. 872 (1990). Although a State would be "prohibiting the free exercise [of religion]" in violation of the Clause if it sought to ban the performance of (or abstention from) physical acts solely because of their religious motivation, the Clause does not relieve an individual of the obligation to comply with a law that incidentally forbids (or requires) the performance of an act that his religious belief requires (or forbids) if the law is not specifically directed to religious practice and is otherwise constitutional as applied to those who engage in the specified act for nonreligious reasons. With respect to the "involuntary servitude", this was dealt with in Heart of Atlanta Motel, Inc. v. United States, 379 U.S. 241 (1964). The engagement of Federal power relied on the interstate commerce clause but the current case, as a state law matter, does not need to do this. Basically, by voluntarily providing the goods/service to the public, they agree that they will provide it in accordance with the law governing that kind of commerce. They are free to not provide it to anyone but if they choose to supply it they must supply it to everyone (subject ti normal rules of commerce like the customer actually paying etc.).
This may constitutes harassment, which is against the law in most jurisdictions. But what counts as legal harassment is not obvious. Taking Washington state as an exemplar, RCW 9a.46, the stated intent of the law is to criminalize "repeated invasions of a person's privacy by acts and threats which show a pattern of harassment designed to coerce, intimidate, or humiliate the victim", and mailing glitter in order to annoy a person would not match that desideratum. In Washington, the law is limited to threats of physical harm or restraint or the intent to "substantially harm the person threatened or another with respect to his or her physical or mental health or safety". There is no legal standard for judging what constitutes substantial harm to mental health. California defines "harassment" in its civil code as unlawful violence, a credible threat of violence, or a knowing and willful course of conduct directed at a specific person that seriously alarms, annoys, or harasses the person, and that serves no legitimate purpose. The course of conduct must be such as would cause a reasonable person to suffer substantial emotional distress, and must actually cause substantial emotional distress to the petitioner. More words, but still it is left to the jury to decide whether an act causes severe emotional distress. Emphasis was added in the text to highlight important elements missing from sending glitter to someone for the purpose of annoying. In general, annoying someone is not against the law, but repeatedly and severely annoying someone could be.
Service Engagement Implicit Renewal I have a question about contract law within the following scenario: Say the original contract/engagement letter is for 2 tax filings with Acme Tax Accountants. Each filing is $1,000 for a total of $2,000. This service is performed and paid. The next year a third tax filing is done by Acme Tax Accountants but no new contract/engagement letter has been signed with the client. At the end of this service a $1,500 invoice is sent (a 50% increase). My understanding of contract law is the original fees are implied if no new explicit agreement is signed and therefore the invoice amount should be $1,000. Is that correct?
My understanding of contract law is the original fees are implied if no new explicit agreement is signed and therefore the invoice amount should be $1,000. Is that correct? No. At the outset, the presumption that the price would be equal to that of filings covered in the engagement letter is inaccurate. The actual terms of the engagement letter might support a different conclusion, though, which is why I asked about them. The offer in the engagement letter seems to be just a marketing practice, and as such it is neither uncommon nor unlawful. The rationale for that marketing practice is that offering [in this case] the first two tax filings at a lower price is likelier to persuade new customers to try the services the company provides. Thereafter, those customers will be billed what the company would call a normal or ordinary price. Statutory law does not provide specific constraints to how greater the ordinary price. But the details would help ascertain whether an excessive, unannounced increase amounts to what is known as unfair and misleading practices or otherwise contravenes consumer protection laws. These laws vary by jurisdiction and might or might not defeat the argument that the customer bears the risk of mistake. See Restatement (Second) of Contracts at §154(b).
If a business literally has an "exact change only" policy, that can't be enforced in post-pay situations. But if they have a "you are free to overpay, but we won't give you change back", that's different, especially if it's communicated from the beginning. If they tell you they don't give change, then you're taking their goods/services implicitly agreeing to their terms.
You need, at least, to let the person receive 2 reminders which have to name a reasonable period (after the first exceeds, you can send the second) and if the last deadline exceeds, you have the possibility of escalating further. Although often repeated, this is not correct which makes most of your argument moot. By German law (specifically § 286 BGB) these are the exact conditions for a default of payments: (1)If the obligor, following a warning notice from the obligee that is made after performance is due, fails to perform, he is in default as a result of the warning notice. Bringing an action for performance and serving a demand for payment in summary debt proceedings for recovery of debt have the same effect as a warning notice. (2)There is no need for a warning notice if a period of time according to the calendar has been specified, performance must be preceded by an event and a reasonable period of time for performance has been specified in such a way that it can be calculated, starting from the event, according to the calendar, the obligor seriously and definitively refuses performance, for special reasons, weighing the interests of both parties, the immediate commencement of default is justified. (3)The obligor of a claim for payment is in default at the latest if he does not perform within thirty days after the due date and receipt of an invoice or equivalent statement of payment; this applies to an obligor who is a consumer only if these consequences are specifically referred to in the invoice or statement of payment. If the time at which the invoice or payment statement is received by the obligor is uncertain, an obligor who is not a consumer is in default at the latest thirty days after the due date and receipt of the consideration. (4)The obligor is not in default for as long as performance is not made as the result of a circumstance for which he is not responsible. Depending on what was contractually agreed on the default happened even before the first warning. For example that is the case if a specific payment due date was agreed to. Even if a warning would be required it is only one and you can see that no requirements on the specific wording or form on that warning is given. I don't know how you assume an "official reminder" should look like. According to the law a specific and explicit demand to fulfill an obligation is enough. Also, the warning does not need to contain a specific date. If it doesn't the default is effective immediately.
Yes. The formation of a contract requires (among other things) that the parties intend to be legally bound. Their sending the offer from a corporate email address shows this. You replying in the same way shows your intention. Signatures are optional. Consider, verbal contracts are binding; how do you sign those?
A distinction has to be made between incompetent and unsatisfactory. Beware defamation laws, when you accuse someone of being professionally incompetent. Poor communication is not grounds for breaching a contract. It is not entirely obvious that your P30s problem is a breach of contract on the accountant's part – it might be, depends on what the contract says. You should hire an attorney to scrutinize the contract, as well as looking into the question of the accountant's duty to you as a customer. It might turn out that the accountant has been negligent, or you may have higher expectations than you contracted for. But you might have grounds to sue the accountant in which case terminating the contract would be preferable (from the accountant's perspective).
If this is a client - contractor relationship, it depends on the contract. Attorneys may bill on a quarter-hour basis, or a 10th-hour basis. A 1 minute phone call under a quarter hour billing basis is more expensive than under a 10th-hour basis, all other things being equal (i.e. the hourly rare). So if I hire an attorney to do something and he bills me for 1 hr 6 minutes because he spent 1 hr 4 minutes to do it, he can do that, and I can't object that he didn't spend a full second hour on the task. It just comes down to what the client and contractor agreed to, and if a contractor wants to bill by the second, he can. For employers and their employees, the Fair Labor Standards Act applies in the US (there are state analogs which mostly say the same thing). The employer is responsible for paying employees based on work done, so they have to keep records. Department of Labor rules allow an employer to simplify record keeping, for example they can round employee hours (1 hr 2 minutes is the same as 55 minutes) – you have to be consistent. They explicitly allow 5 minute granularity, and don't disallow granularity to the second.
No All parties must agree to change a contract. On the face of it, the New Tenant has to be “acceptable to both the Landlord and the remaining individual or individuals comprising the Tenant (the Remaining Tenant)”. It goes on to describe what the landlord may consider in making this assessment; there is no such imposition on the Remaining Tenant. However, there is implicit in a contract a requirement that the parties must act reasonably when using discretion. If Remaining Tenant repeatedly rejects every proposed New Tenant then this raises the question of if they are acting reasonably. Have you clearly articulated why the proposed replacements are unacceptable and are those reasonable reasons?
Yes. This type of contract is called a license. Lawyers write them.
Isn't 'confidentiality' misnamed, when it's not confidential compared to solicitor-client privilege? Though for Canadian law, Robin Nobleman JD (Osgoode) spotlights that: This difference means that while all communications between a lawyer and his/her client are confidential, not all communications are privileged such that they would be protected from disclosure in a lawsuit. So if confidential, non-privileged information can be compelled for disclosure, then how can it be termed "confidential"? 'Confidentiality' feels like a too forceful misnomer. Details. Optional Reading. Neil Guthrie DPhil English (Oxon), LLB (Toronto). Guthrie’s Guide to Better Legal Writing (2017). p. 39 Bottom 2) E-mail Disclaimers Nerd alert: I love assessing the e-mail disclaimers that individual lawyers and law firms use, especially as they relate to matters priv-ileged and confidential. The laziest of these notices merely assert that the content of the e-mail is privileged and confidential. But wait, you're my lawyer p. 40 friend and you've just asked me by e-mail if I'm free for a beer on Friday. That's privileged and confidential? Of course it isn't. In most cases, this isn't an issue, but on a big litigation file you might find yourself struggling before a judge to say why something con. tentious is privileged and confidential when it becomes apparent that you routinely slap the disclaimer on everything you send, drink invitations included. A bit more thoughtful is the disclaimer that the contents of the e-mail may be privileged and confidential. But only a bit; you've admitted that not everything a lawyer sends will be privileged or confidential, but it still looks like you haven't thought about whether the actual communication is or not. This isn't better than saying everything's privileged and confidential, if push comes to shove. It is preferable to have no boilerplate disclaimer at all, and to label something as privileged and confidential when it truly is, in the subject line of the e-mail and at the top of the underlying message, as well as in the fine print underneath. Putting this into practice would be a nuisance, however —and would require some thought. And you must think about whether what you send is privileged at all: I think it drove a former general counsel boss of mine crazy when I identified information as confidential only, but I was cor-rect as a matter of law; only actual legal advice is privileged, not facts or even suggestions for your readers to consider legal issues and reach their own conclusions. Ashurst explains that confidentiality is a necessary, but not sufficient, condition for privilege: However, while confidentiality is an essential ingredient of a privileged communication, just because a document is confidential does not necessarily mean it is also privileged. Herbert Smith Freehills presents a helpful decision tree on p. 2 of the PDF: Paul Stone BA Hons Jurisprudence (Oxon), Partner at DLA Piper, offers another decision tree.
Confidential is simply a less "forceful" name than "privilege". If something is "confidential", this means that the recipient won't voluntarily blab it. This covers a multitude of sins. The rubric I was taught in law school is that even the front page headline of the New York Times if it relates to your case, it is confidential, because you don't want to tip off an adversary who may not have read that paper that day for some reason to the disadvantage of your client. If something is privileged, you can't be compelled to do so involuntarily. A "privilege" is a more "forceful" word. In practice, most stuff that you have a legitimate need to keep secret in the face of compulsory evidence gathering tools are privileged, and confidential matters not covered by a privilege are kept that way because it is best practice not to be source of an opponent's discovery of information and not because it can't be found any other way from something that someone has a legitimate reason to keep secret from someone in a lawsuit or criminal case (which is the main circumstance when privileges are invoked).
A case for negligence or some other tort would likely never reach the stage where we could answer this question, as lawyers are generally immune from suit for their litigation conduct. I don't know of any case with facts likey you've described, but my understanding is that the litigation privilege precludes virtually any tort action based on a lawyer's statements in the course of the proceedings. Florida's Fifth District Court of Appeal, for instance, has specifically acknowledged that claims for defamation, extortion, fraud, perjury, forgery, slander of title, injurious falsehood are unavailable: The policy reasons for the privilege have often been repeated: In fulfilling their obligations to their client[s] and to the court, it is essential that lawyers, subject only to control by the trial court and the bar, should be free to act on their own best judgment in prosecuting or defending a lawsuit without fear of later having to defend a civil action for defamation for something said or written during the litigation. Ponzoli & Wassenberg, P.A. v. Zuckerman, 545 So. 2d 309 (Fla. 3d DCA 1989).
(US Answer) Under the Model Rules of Professional Conduct, "A lawyer may reveal information relating to the representation of a client to the extent the lawyer reasonably believes necessary... to prevent reasonably certain death or substantial bodily harm..." Most states have incorporated the MRPC into their own state legal ethics codes. Therefore, as to whether a lawyer may tell the police, it comes down to whether death is reasonably certain, and whether the lawyer reasonably believes disclosure is necessary to prevent the death. In the case of a person buried alive, death is reasonably certain, and whether the disclosure is reasonable will be based on what the lawyer knows and doesn't know - was it a month ago? ten minutes ago? etc. If the lawyer believes it is too late, he is obligated to stay quiet. If he believes there is a chance of saving the life, and that belief is later judged reasonable if he is investigated, there will be no penalty for him if he discloses. There is no duty for a lawyer to report a crime committed by a non-lawyer/non-judge, so non-disclosure should have no negative ramifications legally. Disclosure found to be unreasonable could be punished by private censure, public censure, suspension of license, or even disbarment, depending on the view of the bar association's ethics investigators.
Revealing such information might be an example of an Invasion of Privacy tort, specifically "Disclosure of Private Facts". Not all US states recognize this tort. The Findlaw page on "What is Invasion of privacy" says: Public disclosure of private facts laws protect your right to keep the details of your private life from becoming public information. For example, publicizing facts about a person's health, sexual conduct, or financial troubles is likely an invasion of privacy. While state laws vary, the general elements of this tort are as follows: 1.The defendant publicized a matter regarding the private life of the plaintiff; 2.The publicized matter would be highly offensive to a reasonable person; and 3.It is not of a legitimate concern to the public. To publicize a private matter, laws generally require that the private information is disseminated in such a way that it is substantially certain to become public knowledge A linked sub-page of the above says: Generally, disclosure to one or two people does not constitute a public disclosure unless there is an implication that the information should be spread around. The Digital Media law Project's page on "Publication of Private Facts" says much the same thing. The 1976 law review article "The First Amendment Privilege and Public Disclosure of Private Facts" by Samuel Soopper Discusses this tort in some detail, although it mostly focuses on publications by the news media where first amendment issues are in play. It seems as if such a tort case might be hard to bring because of the small number of people to whom the fact was disclosed. A claim for Intentional Infliction of Emotional Distress might fit such a situation, but this would depend on the specific facts of the case, and again, on the state where the issue would be tried. In any case, this would not be a criminal action, and a lawyer would have to be consulted to better determine if a civil action could be pursued.
The purpose of that disclaimer is not to prevent reprimands or legal action. It's really as simple as it appears -- it's to inform the readers that the tweets in fact contain the opinion of the person who wrote them and are not intended to be understood as the official position as that person's employer. This is especially important for people who occasionally or frequently convey their employer's official position. It's not supposed to be some kind of magic word that causes something to happen. It's just an attempt to convey accurate information and avoid misunderstandings.
NDA provisions in general are rather similar. In particular the ones covering the exceptions to the confidentiality obligations required to the receiving party. Such provisions normally have the following wording (more or less): Information shall not be treated as Confidential if: - at the time of disclosure is already in the public domain or becomes available to the public w/o breach by receiving party; - the receiving party receives it from a third party free to lawfully disclose such information; - was in the prior lawfull possession of the receiving party; - was independently developed by the receiving party; - is approved to be released by the disclosing party; or - the receiving party is required by law to disclose in response to a valid order of a court or by a government agency. Your particular case might not necessarily fall under any of this exceptions (i do not know the exact wording of the NDA you're referring to) but in any case, please note that simply telling a third party that you are discussing the development of "an app similar to x but with a better UX and simpler design", might already be considered as a breach of confidentiality. Surely the NDA is identified as being Confidential itself and it probably also contains a section saying something like: "This Agreement and its contents shall be treated as Confidential Information".
Legally there is no problem. What you say is protected speech under the 1st Amendment as long as it is either true or a matter of opinion. However Ron Beyer's comment is a good one; while legal this sounds very inadvisable. You would be far better off hiring a lawyer. The Mr Dicks of this world make money from the widespread fear of legal action. He will probably fold as soon as he sees a letter from a lawyer threatening a lawsuit. Until then stalling doesn't cost him anything so he will carry on doing it. BTW, don't delay. I don't know about the US, but over here in the UK there are a number of ways that people like Mr Dick can make it hard to collect. Don't give him time to play shell games with his assets.
the first two highlighted parts seem to contradict each other. No, in this case they do not. The first highlighted portion refers to works or items produced "for or under the direction of the Company", whereas the second highlight refers to your creations that satisfy conditions (a) and (b). Where contradictions actually exist, the doctrine of contra proferentem entitles you (the non-draftsman of the contract) to adopt the portion or reasonable interpretation that favors your legal position. Also wondering how valid those statements actually are They are valid and become enforceable as soon as you sign the contract or your subsequent conduct reflects your acceptance thereof. it's a matter of privacy. So the question is what I can do or what the reality is of the situation The reality is that you are asked to sign a contract that is abusive and ridiculous. One vulnerability from describing your inventions (presumably in Appendix A) is that the employer gets "irrevocable, worldwide, etc" rights on them as soon as you "use or disclose any [items listed in Appendix A] when acting within the scope of [your] employment". This means that if instead of reinventing the wheel you share or apply any portion of your prior creations so as to enhance your productivity, you knowingly and irreversibly grant to the employer perpetual rights to those items. Legal disputes regarding APIs can become extremely intricate. And, since judges usually have no decent background on IT, even those few judges with integrity are unlikely to grasp the key subtleties that would lead to a correct ruling. "not useful with or related to any Company Interest" is very vague. The company could be interested in literally anything these days. Clauses which are too vague or excessively wide-encompassing are supposedly stricken as unconscionable, unenforceable, etc. However, I personally would foreclose upfront the risk of judicial hassle and decline the abusive contract. Legal issues aside, keep in mind that you are offering your expertise (in terms of supply & demand, you are on the supply side). This fact has a less derogatory connotation than "asking for a job". Accordingly, the relation between the parties should be more leveled.
Is it legal to physically wash money? I have some money that fell in a mud puddle. It got really dirty, and I don't want to put it in my wallet as it currently is. Is it legal to wash the money?
Yes It is perfectly legal to physically wash US currency under US law. The kind of "money laundering" that is illegal is obscuring the history of funds, making proceeds of crime appear legitimate, or just making the source of funds hard to trace. That violates 18 USC 1956 and/or 18 USC 1957 There may be other relevant laws as well. This is "washing" money only in a metaphorical sense. See also this US Dept of Justice page
How come this is viable? Because it’s legal. What if people use their service to commit crimes? What if people use a Ford in a bank holdup? Or a Glock in a murder? Or the US Postal Service in a Nigerian letter scam? If the goods or services are legal and not provided for an obviously illegal purpose, nothing happens.
You would likely have to show actual damages. And for example if you had a chance to buy a car worth $11,000 for $10,000 and couldn't because of the bank freezing your account, you'd have to convince a judge that the $1,000 possible profit was actual damage. Next you need to show that the bank explicitly guaranteed that your money would be accessible at any time. And assuming that blocking your account to prevent fraud against you was reasonable, how negligent were they when they couldn't unfreeze your account as quick as you would have liked?
The applicable law is the New Zealand Anti-Money Laundering law. The regulations describing exactly what is covered don't mention Bitcoin cleaning, but the "wire transfer" and "currency exchange" bits probably cover such a thing. I certainly wouldn't like to be the test case. There was also this case in Europe.
No The first paragraph of Article 1 section 10 of the US constitution provides in relevant part: No State shall ... coin Money; emit Bills of Credit; make any Thing but gold and silver Coin a Tender in Payment of Debts ... Cites are created by and authorized by the states, and no city my do anything forbidden to a state. Creating "SomeVilleCoins" would violate the above provision, even if no one was required to accept it. Note that a business is not required to accept even US currency for purchases under current law, although it must accept it in payment of existing debts. Congress could mandate acceptance of cash for purchases, but has not done so.
Yes Companies can own companies - that’s what subsidiaries are. On a practical level, you know this is true because you actually have an example. Companies House would not have allowed its registration (barring error) if it was illegal. Why can’t it open a bank account? Banks (or any other business) can choose who they will and won’t do business with. Unless it’s discrimination on the basis of a protected characteristic, it’s not illegal. Since juridical persons don’t have protected characteristics (apart from nationality) it’s virtually impossible to illegally discriminate against them.
I'll assume a real question here and not one about a fan film on YouTube. Take the trash from a trash deposit container outside my neighbor's house, without asking permission? All depends on the locality; and sometimes the law is not settled, either. Some cities have passed laws that deem trash to be city's property as soon as it is placed in a city-supplied trash bin, because the city (or a private contractor) hauls to and owns the landfill. Other cities claim legal ownership of recyclables when placed on the curb, for the obvious reason that they are worth money. The law can be not settled if objects are in alleys and not in trash bins, or simply placed on the curb. For the sake of discussion, there are numerous examples of cities looking the other way with scavengers and pickers; it all depends on the location and the enforcement. (And, there are examples of the police being able to legally pull evidence from trash; but that's not the question here.) Go to the landfill, load some trash into my truck, then drive away? Think about it: you're obviously not going to be able to do this in a location with a managed landfill with employees that check you in and take your tipping fee. If it's a private trash contractor, it's private property; for a city, it's probably against the contract you signed when you paid to dump and probably against city law to salvage from the landfill, for liability reasons. (That doesn't mean the employees at the landfill can't salvage themselves; that's up to them.) But like anything, at an unmanaged landfill in a rural area, you could probably get away with it.
I know it's not a huge amount of money, but I'm not currently in a position to pay it. Is it still legal to send invoices this long from the past? Yes, it is legal. And the surveyor is still within the statute of limitations to sue you for breach of contract. Beyond the purely legislative aspect, personally I would encourage you to pay the surveyor once you are in a position to do so, even if the statute of limitations had expired. From your description, it seems that the surveyor acted with nobility in that Even though he didn't mention any payment, he sent me the survey. and there is no indication that the survey was faulty. Thus, it would be opportunistic not to honor your part in the contract under pretext of the statute of limitations. Consider this: You would not wish to be deprived of compensation today (or once the debtor becomes able to pay you) simply because years earlier you were too overwhelmed to send an invoice for work you actually performed.
When does attorney client privilege start? Is it when the attorney gets paid? Can attorney client privilege exist even if the clients payments are inarears? When exactly is the moment when the privilege comes into existence? If you make an appointment is there this privilege from the moment you start speaking? How exactly does it work?
canada The Supreme Court has said (Descôteaux et al. v. Mierzwinski, [1982] 1 SCR 860): In summary, a lawyer’s client is entitled to have all communications made with a view to obtaining legal advice kept confidential. Whether communications are made to the lawyer himself or to employees, and whether they deal with matters of an administrative nature such as financial means or with the actual nature of the legal problem, all information which a person must provide in order to obtain legal advice and which is given in confidence for that purpose enjoys the privileges attached to confidentiality. This confidentiality attaches to all communications made within the framework of the solicitor-client relationship, which arises as soon as the potential client takes the first steps, and consequently even before the formal retainer is established. While the judgment somewhat conflates the terminology of confidentiality and privilege, these are distinct concepts. Privilege is the right of the client. It is a rule of evidence and has a constitutional dimension that protects against state intrusion. The duty of confidentiality is imposed on practitioners by law society rules. Descôteaux was in context clearly speaking about privilege and has been cited for this point related to privilege in many subsequent cases. See e.g. Maranda v. Richer, 2003 SCC 67 at para. 22.
Barristers must represent their client as they see best A barrister who is working for you must always think about what is best for you and do their job in a way that reflects that. This does not mean that a barrister can lie on your behalf, or that they must do everything you tell them. Their duty to the court comes above even their duty to you as their client and barristers must act with independence, honesty and integrity. This means, for example, that they cannot do anything for you that would go against their duty to the court. The barrister, not the client, is in charge of strategy and tactics. For the example you give, it’s quite likely that the barrister might have preferred to be more apologetic but they have a duty to the court that supervenes their duty to their client. If the client was not apologetic, the barrister can’t say they are.
Can an attorney plead the 5th if attorney-client privilege is pierced? Yes. But if the prosecutor offers the attorney "use immunity" for the testimony (i.e. a binding promise that the attorney's own testimony won't be used against that attorney), then the 5th Amendment privilege can be overcome as well. In other words, the prosecutor can unilaterally force an attorney to waive his or her fifth amendment rights by granting the attorney immunity from having that testimony used against the attorney, even if the attorney doesn't want to do that. This is established, for example, as noted in the comments by bdb484, by the case of Kastigar v. United States, 406 U.S. 441, (1972) (“The United States can compel testimony from an unwilling witness who invokes the Fifth Amendment privilege against compulsory self-incrimination by conferring immunity”).
A witness is not evidence, but what a witness says (their testimony) may be evidence. Or, the body of a person who happened to be a witness is evidence. I suspect that there is a translation problem. It is always physically possible to try pay a person to lie and AFAIK never legal: the person who lies and the person who induces the lie will be punished by law. The witness who testifies will have to swear that their testimony is the truth.
Only in a civil case Yes, in a civil case, Alice generally can call Bob as a witness to take the stand. In many cases, this is done very early, locking in their testimony, before expert witnesses or other evidence by the plaintiff are presented to try and undermine the testimony. Alice may ask only questions that have relevance to the case. Let's take for example a dispute about a contract: Alice may ask Bob if he engaged in negotiations to form the contract, about the matter of the contract, if he signed the contract, or how he (or his employees) fulfilled (or not) the contract. Pretty much everything that pertains to the contract or the execution thereof. This does not extend to the settlement of the case or attempts thereof. Alice may not ask if Bob has an affair with Clarice unless that somehow is material to the contract at hand. Alice may not re-ask questions where an objection was sustained in the same way. However, Bob might not need to answer all questions (there are things that are banned from being asked), especially as Bob's attorney will object to questions. A few examples of competent questioning can be seen towards the end of My Cousin Vinnie, though this is a criminal trial. Never in a criminal trial In a criminal trial, not only can the prosecution not call Bob to the stand, he has to elect to go to the stand to even be questioned by the prosecution. That is because he can "plead the 5th". There is a tiny exception for civil cases, where they can do so there too.
How should I proceed? I am asking law friends to recommend some employment lawyers, but other than this, can I do anything else? You definitely don't need an employment lawyer for this. From a legal standpoint, the matter is very simple: If you grant their request (whether by signing or otherwise expressing your acceptance), you would be waiving any remedies currently available to you for their breach of contract. The company's attempt to override its contract with you is quite naive, but the company can always (and evidently does) try to get away with its liability nonetheless. I would not be surprised if the company subsequently tries harder to intimidate you, but that does not change your legal position & merits unless you sign the waiver the company is pursuing. Asking for your post-termination availability reinforces the notion of company's poor planning and subpar management.
This is largely a matter of state law. In California, for example, this would be plainly unlawful (my emphasis): All persons within the jurisdiction of this state are free and equal, and no matter what their sex, race, color, religion, ancestry, national origin, disability, medical condition, genetic information, marital status, or sexual orientation are entitled to the full and equal accommodations, advantages, facilities, privileges, or services in all business establishments of every kind whatsoever. (Unruh Civil Rights Act, California Civil Code section 51) Other states may define "business" more narrowly, or exclude professional services. Also, there is the question of professional ethics. Discriminating against a racial group will likely run afoul of the rules of the licensing board, the AMA, the APA, and other organizations. Finally, remind your friend that every racist has what they regard as good reasons for their racism, and your friend is not special in that regard.
Is an attorney permitted to ask questions like those in either paragraphs two and three? Yes. That does not mean that they will be considered relevant or even appropriate, though. Is the witness allowed to decline to answer such questions for reason of irrelevance, or other grounds? Yes. In general, though, it would be safer for the witness to state an objection (be it on the basis of irrelevance, confrontational, asked & answered, as to form, etc.) and answer the question nonetheless, rather than simply refusing to answer it. By simply declining to answer a question regardless of the basis for refusal, the witness risks affording a crooked lawyer the opportunity to falsely generalize that the witness was uncooperative. One exception to the idea of "object-and-then-answer" is where some privilege is the alleged basis for the objection, since the substance of the answer could be such that it amounts to waiving the privilege even where that privilege is legitimate. The witness may also opt to answer the lawyer's irrelevant questions even without stating an objection. Some questions are so obviously irrelevant, dull, or stupid that a failure to raise an objection will be inconsequential. In such scenarios, raising objections can only lengthen the deposition transcript and make it harder to read. For a real-life example of deposition with plenty of dull questions, take a look at the transcript (which I split in parts one, two and three) of the 4-hour deposition where I myself was the witness (you can download the case file, almost in its entirety, from this page). You will notice that I did not raise objections during the deposition, the main reason being what I explained above: To avoid giving the opposing counsel an opportunity to falsely accuse me in court of being uncooperative during deposition. Furthermore, addressing the crook's futile questions (1) projects transparency and helps on the witness's part, and (2) precludes a false & misleading impression as if the witness had something to hide. After all, wrongdoers are the ones most interested in eluding testimony in ways very similar to this other deposition. The reason of being of objections is precisely that the law "is aware" that, as a matter of fact, lawyers indulge in all kinds of abusive questions when taking sworn testimony --be it in trial or at deposition-- of a witness.
I was a victim of fraud and mean to turn the fraudster in- how? Long story short: a gutter cleaner drops a leaflet with phone number, and as my gutters needed to be cleaned I called him, we met and I gave him a deposit for the work in cash. The gutter cleaner put everything in writing at the back of the leaflet and signed it. Gutter cleaner never shows up for the work. I only have his number and mean to ask my friend to call him because they need their gutters cleaned too, so as to lure him into a trap. But then- how do I turn him into the police and keep everything legal? Was thinking of using pepper spray, but I live in Newcastle, and it's illegal to use it in the UK. Any ideas?
a gutter cleaner drops a leaflet with phone number, and as my gutters needed to be cleaned I called him, we met and I gave him a deposit for the work in cash. The gutter cleaner put everything in writing at the back of the leaflet and signed it. In other words, you have a written contract which you fulfilled but the other party did not fulfill, so they now either owe you a service or your money back. This is a civil law matter which you can bring to a county court. You have a telephone number, so it should be possible to identify the other party. lure him into a trap. But then- how do I turn him into the police and keep everything legal? Was thinking of using pepper spray, but I live in Newcastle, and it's illegal to use it in the UK. Any ideas? This is a very bad idea! Apprehending suspects is the job of the police, not yours. Well, there is the concept of a citizen's arrest, but this is only an option in a very limited number of cases, specifically when you catch a criminal in the act and need to prevent the suspect from getting away before the police arrives. And even then you are on very shaky legal ground if the suspect claims you used more force than necessary or if the court doubts that a citizen's arrest was necessary in this particular case. And in this case a court probably won't believe that a citizen's arrest is justified, because the gutter cleaner probably didn't even commit a crime. They just violated a contract. That's a civil matter, not a criminal matter. It might be a criminal matter if they never intended to fulfill the contract (fraud), but you don't know that. If you use violence on a person just because they owe you money, you are very likely committing a crime yourself.
Fraud may be a crime, or a tort (civil wrong): only criminal fraud can be a "felony". The Washington criminal laws about fraud are here, and they are all fairly specific, such as selling or destroying encumbered property (which is a misdemeanor anyhow), or conducting a mock auction. Most frauds are misdemeanors, though forgeries are in the felony category. It also includes identity thefts, again the emphasis being on false documents. Based on your description, this is not a crime, it is a civil wrong, meaning that she will have to sue the guy to get her money back. The Attorney General's office will not get involved unless there is a widespread state interest (for example, very many Washington residents being victimized), and then the involvement would be suing on behalf of the victims. That said, if the swindle was carried out by phone, then that is potentially a violation of a federal felony law, 18 USC 1343. It would not matter if the parties are in the same state, because phone service counts as "interstate commerce". So the details of phone involvement matter. Saying that you "have to" charge for processing a refund is not per se fraudulent and texting someone that "I'll have to charge an extra $2,000" doesn't make this wire fraud. But there is some potential for a federal wire fraud angle.
What is the process for having the plea withdrawn? Is it even possible at this point? Maybe, but YOU are not going to be able to do this on a pro se basis. It is clear from the way you word the questions you are still extremely emotionally invested in the whole scenario and want to make sure you get your pound of flesh at every turn. That is not going to work in this case. The first thing you need to accept is that for the purposes of the plea withdrawl the judge does not care to hear about how the lawyer tricked you. If you go in on your own pleading that your lawyer did you dirty, the judge is just going to deny your request in the best case. You will need a lawyer to prepare and argue the motion to withdraw your plea. Get a good lawyer they are worth their costs. Focus on the main goal of resolving your issue of the Criminal Trespass. How the police treated you or your Tenant took advantage of you does not excuse criminal behavior. So if the plea does get withdrawn focus on winning the criminal case. After the criminal issues are resolved then you can deal with the other issues.
No, you could not have prevented them from collecting their belongings But you could have sued for trespass Unless those boxes were part of the contract for sale, they remain the vendor’s property and just like you can’t withhold your mate’s trombone that he accidentally left after that great party, you can’t withhold the vendor’s boxes - that’s called “stealing”. What you could (should?) have done is refuse to settle until the boxes were removed. As the vendor was in breach, if you suffered any unmitigated loss as a result of the delay, you would be entitled to recover it. This is one of the reasons why you should inspect on the day of settlement. Given that you accepted the breach, even though the vendor’s boxes were technically trespassing, they could reasonably raise the defense that they had implicit permission- at least for a reasonable time. “A few days” is a reasonable time.
I reported this to my bank as soon as I found out, and Chase said that the money would be reimbursed once they completed their investigation (within 10 business days). Chase was likely indicating that the money will be reimbursed within 10 business days of completing their investigation; not 10 business days from the date you told the that someone forged checks on your account. This would make sense when you think about it, as they need to make sure that you were not complicit in the crime (you would be surprised how many people have had someone cash multiple checks from their account only to split the money with them and file a claim for fraudulent transfer/forgery). Further, checks are a negotiable instrument, unlike a credit/debit card, where specific protections exist pursuant to its terms and conditions of use. You have a duty to keep a negotiable instrument safe, and while most banks will reimburse you if it can be established that you had no involvement and you were not grossly negligent in the keeping of the instruments, it is a different animal in and of itself. It has now been 13 business days, and I have checked on the status twice and was told both times that there had been no status update, and they were unable to provide an updated ETA. Unless your bank indicated in the disclosures of the checking account application and acceptance documentation that in the event of a stolen check you will be reimbursed in X amount of days, they have the absolute right to complete their investigation before reimbursing any funds to your account. It's a fairly large amount of money, and I need to get it back as soon as possible. I'm trying to figure out if I have legal footing here. Does the law protect me from this type of fraud? And if so, does it require the bank to respond within any particular timeframe? Federal banking regulations provide broad protections to consumers when it comes to fraud involving credit/debit cards, as these are easily stolen from all sorts of means. That said, checks do not carry the same protections, although oftentimes some. National banks may be required to reimburse customers for forged checks. However, based on individual circumstances, the bank can investigate to determine if the customer is entitled to a reimbursement. There is not duty to reimburse until the investigation is complete. This is why I think you've potentially misconstrued what they said about how long it would take. They cannot promise a time certain when they don't know how long the investigation will take. Whether the bank is liable for the customer's loss depends on the specific circumstances of the case. Generally, a bank is liable for accepting a check that has been forged, altered, or improperly endorsed. However, if the bank can prove two things — that it accepted the check in good faith and exercised ordinary care and diligence in handling the transaction — it may not be liable. If your actions — the way the check or checkbook was handled, issued, completed, or made payable — contributed to the making of the forgery, you may be at least partially liable. Generally, the bank will require you to complete an affidavit. It may also request that you file a police report. ** Addition: I forgot to mention that if the checks were not "cashed" (i.e. filled out to cash or cashed in person), but rather were presented to a 3rd party for payment in receipt of goods or services, you are also going to need to contact those individuals or businesses (their name is on the check) and alert them to the fraud, and allow them to contact their banks, lest you will be assessed fees by them for insufficient funds if your bank later takes the money back as a result of the investigation. Also, in the event the checks were recreated rather than stolen, or if you don't know exactly how many were stolen, you are going to need to close your account while you wait for the investigation to bear fruit (hopefully), and open a new account, as you now have a duty to account for any and all checks stolen at that event (so, if you know a book is out there and 10 checks have cleared you know there are 15 remaining that the bank is not going to cover if you don't take steps to protect yourself). One would think they've asked you this and have already done something to prevent further checks from coming in, but if not, you need to get on it. Also, you may want to hire your own investigator if you have the funds to do so. While stolen cards are often strangers, stolen checks (unless it's one washed check) is nearly always someone you know.
I have bad news. California's vandalism law prohibits maliciously: defacing property with graffiti defacing property with inscribed material damaging property destroying property Chalking the sidewalk probably doesn't sound very malicious, but maliciousness includes “an intent to do a wrongful act, established either by proof or presumption of law.” So the questions is whether you intended to do a wrongful act -- meaning that you intended to do the act, which happens to be wrongful, not that you intended to act wrongfully. So unless you drew on the sidewalk accidentally, the malicious-intent requirement isn't going to help you. So then you have to ask if your conduct is described by the statute. In Mackinney v. Nielsen, the Ninth Circuit said that sidewalk chalking did not violate the law, but California has since amended the law to add the "deface with graffiti" language. I haven't seen any chalk cases since then, but another case, In re Nicholas Y., from the Second District, dealt with someone who used a marker on a window. He argued that it could be easily erased, but the court said it was still vandalism because: it "mars the surface with graffiti which must be removed in order to restore the original condition" the definition of "deface" "does not incorporate an element of permanence" "marring of the surface is no less a defacement because it is more easily removed." Given that language, I'd argue that the vandalism statute includes sidewalk chalking. But one important element here is that most sidewalks are owned or controlled by the government, so any effort to restrict "expressive conduct such as writing with chalk" (Guilliford v. Pierce County) expressive activity" there must comply with the First Amendment. The government has varying degrees of latitude on the restrictions it can impose, depending on the character of the space involved. So in a courtroom, whose function is incompatible with free-wheeling public debate, a judge can set quite a few rules about how people may speak. But sidewalks are considered a "public forum," where the government's ability to regulate speech is a lot more limited. So how does the First Amendment apply? There's a D.C. Circuit case (Mahoney v. Doe) dealing with abortion protesters who wanted to use chalk on the streets and sidewalks outside the White House. Police told them they would be arrested for violating D.C.'s defacement statute, so they brought a First Amendment challenge. The court upheld the law, saying that it satisfied all three prongs of the public-forum test: The law must be content neutral, meaning that it prohibits conduct without reference to what is being said. The Court said the defacement statute was content neutral because people could be prosecuted regardless of what they wrote or drew. The law must be narrowly tailored, meaning that it serves a significant governmental interest and does not restrict more speech than is necessary to achieve that goal. The Court said the defacement statute was narrowly tailored because it served the government's interest in maintaining the aesthetic appeal of the area in front of the White House and didn't restrict any speech that does not deface public property. The law must leave open ample alternatives for communication, meaning that even if you can't express yourself in the way restricted, you still have meaningful opportunities to express yourself. The Court said the defacement statute law allowed adequate alternatives for communication because the group could still congregate, march, speak, hold signs, and hand out leaflets. There's an interesting wrinkle there in terms of whether the interest in aesthetics is heightened because we're talking about the White House, but generally speaking, aesthetic concerns can still justify speech restrictions. So the bad news is that unchaining your inner six-year-old may subject you to criminal liability. That leaves the question of whether you want to unleash your inner teenager and do it anyway. This could help put you in a frame of mind for making the decision.
How can someone report to law enforcement a fraud in crypto space? united-kingdom The City of London Police have the national lead for fraud and, via Action Fraud, they adminster the online reporting tool or one can make a report by... ... calling 0300 123 2040 Monday to Friday 8am - 8pm. If you are calling from abroad please call +44 300 123 2040.
Say I build myself a faraday cage/wave screen around my house, potentially resulting in poor nework coverage for my neighbours. Questions about land property and constructing permits apart, can I be sued for that? By the network operator? by the neighbours? In most countries, the use of the radio spectrum is regulated (who may send what on which frequency, at which power, etc.). As part of these regulations it is usually forbidden to interfere with the reception of radio waves. So if what you do causes your neighbours to have reception problems, then yes, that will most likely be illegal. In France, the government agency responsible for these problems is ARCEP (Autorité de Régulation des Communications Électroniques et des Postes). If someone notices reception problems, they can complain to ARCEP, as explained for example on the page Le traitement des plaintes en brouillage ("Handling of complaints about jamming"). While you will probably not go to prision for jamming reception, you could have to pay a significant fine. This article on cell phone jamming mentions a penalty of "up to six months in prison or a 30,000 € fine" for "selling or installing" a cell phone jammer. In addition to that, anyone harmed by the reception problems could sue you in civil court and try to collect financial damages (how much that would be will be up to a judge to decide). That said, note that a faraday cage around your house should not hinder reception outside your house. A faraday cage only influences reception inside the cage, not outside. However, that is off-topic here :-).
In GDPR terms is the hash of a user ID considered personal data? “‘personal data’ means any information relating to an identified or identifiable natural person (‘data subject’); an identifiable natural person is one who can be identified, directly or indirectly, in particular by reference to an identifier such as a name, an identification number, location data, an online identifier or to one or more factors specific to the physical, physiological, genetic, mental, economic, cultural or social identity of that natural person”. Taken from https://gdpr.eu/eu-gdpr-personal-data If I cryptographically hash (e.g. sha-512) my user's ID and give it out to a third party, do I have to delete that data when the user deletes their account? Is it considered personally identifiable data and therefore under GDPR? Or is it considered anonymized sufficiently? There's no way for the third party to go from the hashed user ID to data on my service but knowing a user's ID I can always check if the data on the third party's platform is about them. Edit Somebody asked It occurs to me that the OP is not just sending the id to the third-party; what would be the point? That other data might be able to identify the individual even without the id In my case, the other data definitely can't identify the user it's data related to crashes on their device.
You quoted the definition of personal data from Art 4(1) GDPR. This definition of identifiability is further explained in Recital 26: […] To determine whether a natural person is identifiable, account should be taken of all the means reasonably likely to be used, such as singling out, either by the controller or by another person to identify the natural person directly or indirectly. To ascertain whether means are reasonably likely to be used to identify the natural person, account should be taken of all objective factors, such as the costs of and the amount of time required for identification, taking into consideration the available technology at the time of the processing and technological developments. […] If the user ID is unique, then the hashed user ID will be unique as well. Thus, the hashed ID will enable “singling out”, and would still count as identifying in the sense of the GDPR. You also claim that there's no way to reverse the hash. This is not quite correct. Assuming that the hash function itself is secure, then the only way to crack the hash is to brute-force the input. The difficulty of brute-forcing depends only on the entropy of the input data, not on the size of the output hash. It is thus comparatively easy to crack hashes of short low-entropy strings like sequential integer user IDs, IPv4 addresses, or weak passwords. In contrast, it would be difficult to crack long random user IDs, such as UUID version 4 identifiers created from a cryptographically secure RNG (CSPRNG). Even if the hashes can't be cracked, they are not anonymous – you can link them to the original user ID, after all. The GDPR only considers data anonymized if there are no “reasonably likely” means to re-identify the data subject. If this de-identification is reversible, it's called pseudonymization instead. If storage allows, a better technique to generate pseudonymous IDs is to create a table that maps the true ID to a CSPRNG-random ID. Unlike a hash, the random ID cannot leak extra information about the original ID. This pseudonymization technique could perhaps also be turned into irreversible anonymization by deleting the ID mapping, assuming that no “singling out” can happen. Pseudonymization is a very good security measure. It is explicitly mandated whenever appropriate in Art 32 GDPR. So you should probably use it. It's just that GDPR continues to fully apply to processing of the pseudonymized data. Since the pseudonymized data is the data subject's personal data, you may be required to delete it when receiving an Art 17 request for erasure. You may also be required to forward the request to others with whom you shared the data. However, the right to erasure has many conditions and exceptions. If you actually need to keep the data for a particular purpose, chances are good that you can keep it.
I believe in this case, your company (OrgX) is a data processor and your customer's organization (OrgY) is the data controller. OrgY is responsible for establishing a lawful basis for sending you (OrgX) the personal data for their employees. Note that consent is just one of six lawful bases outlined in article 6(1). I'm no expert, but I believe OrgY's admin can claim they have a legitimate interest in sending their employee's personal data for training sake. In either case, the data processor is not responsible for establishing the lawful basis for processing. Of course, data processors aren't completely off the hook. GDPR outlines specific requirements for data processors (see chapter 4, particularly article 28).
From ACRO's Subject access - further guidance web page: Why do I need to supply proof of ID? We need to be confident that we provide your personal data to the correct person, which is why we ensure we have sufficient proof of identity before we disclose any information. It also helps us to ensure we make a correct match on the PNC. As for this proof of ID (personal data) provided when submitting a Subject Access Request, ACRO's Privacy policy states: We gather information about site usage to help the development and improvement of services to the public, and to protect the integrity of our systems from malicious users. At the moment this information consists of: Statistical information obtained using Google Analytics. No information collected can be used to identify individual users. For more details about how this affects your privacy please visit the Google Analytics Privacy Centre. If you don’t want to send information to Google Analytics, an Opt-out Browser Add-on is also available or you can configure your browser to let you to choose which, if any, cookies are allowed to be created. Information obtained by our content management system to examine what people are searching for, what they find and occasions where no results are returned. Information collected can’t be used to identify individual users. Information provided by users through online forms; it's held in our UK-based secure data centres and is retained in line with the Data Protection Act 2018, the General Data Protection Regulation (EU) 2016/679, and our retention policies. However, I have not been able to locate publicly available copies of the retention policies referred to in the emboldened text.
It depends. Can the data controller or another person, with "means reasonably likely to be used," (see clause 26 of the preamble of the GDPR) use that data alone or in combination with other data to identify a natural person? If yes, it is personal data within the meaning of the GDPR. If no, it is not personal data within the meaning of the GDPR. Anonymous data is not subject to the GDPR. "The principles of data protection should therefore not apply to anonymous information, namely information which does not relate to an identified or identifiable natural person or to personal data rendered anonymous in such a manner that the data subject is not or no longer identifiable. This Regulation does not therefore concern the processing of such anonymous information, including for statistical or research purposes." Assigning an unique alphanumeric code to a thing does not necessarily make the code and/or the thing "personal data". But if you have a set of data that is or can be linked by the unique alphanumeric code (e.g. as a primary key in a set of tables) and you can use it to identify a person, then it is personal data. Either way, to be GDPR-compliant / to mitigate risk you should make some kind of record to reflect that process of thinking and what you decided. And if the answer is Yes, it is personal data, then you should record your "lawful basis" for processing the data and how you decided that.
Yes, this violates the GDPR if the user is in Europe. Data which is tied to a personal device can be tied to the person who owns it. From "What Is Personal Data" by the UK Information Commissioner's Office (ICO) (emphasis added): Personal data is information that relates to an identified or identifiable individual. What identifies an individual could be as simple as a name or a number or could include other identifiers such as an IP address or a cookie identifier, or other factors. If it is possible to identify an individual directly from the information you are processing, then that information may be personal data. If you cannot directly identify an individual from that information, then you need to consider whether the individual is still identifiable. You should take into account the information you are processing together with all the means reasonably likely to be used by either you or any other person to identify that individual. The bit about "all means reasonably likely" in the last bullet includes the kind of de-anonymisation tactics described in the NYT article. There are 6 lawful bases for data processing in the GDPR, and all processing must fall under at least one of them. (a) Consent: the individual has given clear consent for you to process their personal data for a specific purpose. (b) Contract: the processing is necessary for a contract you have with the individual, or because they have asked you to take specific steps before entering into a contract. (c) Legal obligation: the processing is necessary for you to comply with the law (not including contractual obligations). (d) Vital interests: the processing is necessary to protect someone’s life. (e) Public task: the processing is necessary for you to perform a task in the public interest or for your official functions, and the task or function has a clear basis in law. (f) Legitimate interests: the processing is necessary for your legitimate interests or the legitimate interests of a third party, unless there is a good reason to protect the individual’s personal data which overrides those legitimate interests. (This cannot apply if you are a public authority processing data to perform your official tasks.) Selling data isn't covered by any of the others, so consent must be obtained. Permission must be clear and positive, and you cannot predicate delivery of a service on the processing of data that isn't necessary for that service. So for instance you cannot say "You can use this service as long as we are allowed to collect and sell your data" because selling the data isn't necessary to the provision of the service. From "Consent" by the ICO: Consent requires a positive opt-in. Don’t use pre-ticked boxes or any other method of default consent. Explicit consent requires a very clear and specific statement of consent. Keep your consent requests separate from other terms and conditions. Be specific and ‘granular’ so that you get separate consent for separate things. Vague or blanket consent is not enough. [...] Avoid making consent to processing a precondition of a service. This applies to any processing of data about individuals within the EU, so just being an American company doesn't get you a free pass to ignore the GDPR if your app gets used by Europeans. The "Legitimate interests" basis is more problematic, in that the company collecting the data has to conduct a vague "balancing test" to determine if this basis applies. For direct marketing the ICO has written this, which says that direct marketing may be a legitimate interest, especially if you can show that the user has expressed interest in such adverts. For instance a location service which promises to tell you about nearby special offers would fall into this category. Against this, the impact on the user's privacy has to be considered, and location data is "special category data" because it can reveal medical information (e.g. hospital attendance) or religious affiliation (e.g. which church you go to). So unless the relationship between the recorded location data and the service is very direct its not going to pass the balancing test. The company would also need to distinguish between knowing the current location and keeping a record of historical locations; the two need separate justification. And of course nothing about this covers the sale of the data; this is considering a company which sells advertising space in it's app, not one that sells the data itself.
GDPR compliance is a matter between every customer and the business, not between different customers. How did you get the other customer's contact details? If they were provided or leaked by the business, that might be a failure of the business's obligation as a data controller to protect the personal data they are processing, possibly even a data breach in the sense of the GDPR. When you contacted the other person this was presumably a purely private or household activity, just like contacting any other personal acquaintance. In that case, the GDPR simply does not apply to any “processing” you may have done (compare Art 2(2)(c)). Things would be very different if you were promoting your own business, but that doesn't seem to have been the case. If the matter really is as plain as you described, then you can effectively ignore their references to the GDPR until you are contacted by your data protection authority, by their lawyer, or are served with court papers. None of these should happen: even if you were a “data controller” and your processing were subject to the GDPR – only the other customer and not the business would be the data subject, and only a data subject has a right for remedies like making complaints to the data protection agency and only the data subject would have standing to sue you in court for GDPR violations.
Your analysis so far seems correct. You must comply with all applicable laws. The GDPR's Art 6(1)(c) legal basis clarifies that having to provide personal data is no excuse: that legal obligation is all the legal basis you need for sharing the personal data in accordance with your obligations. However, that legal basis doesn't generally excuse you from your other data controller obligations. For example, you should still inform the data subjects about the processing as per Art 13(3).
Great question - I work for a London based company who use a large amount of location data. The process for deletion of data is not as simple as it first sounds. We recently had a deep dive with our legal team and as a result actually created a product to process deletions. Personal data from users/customer is carried for lots of reasons, not just marketing. What if you're asked to delete data that is needed to bill customers, information that may be relevant to a legal case or information that needs by law to be retained for the purposes of audit? GDPR does not make it illegal to carry personal information, it simply needs you to justify why you are keeping the information - inform the named person about this and provide them with a timescale for deletion. For example if you are required by law to store a record of emails to document the work done, but the user asks you to delete that information. You would be entitled to keep that information but only for the purposes of maintaining that audit trail. You would delete all associated customer data that was unnecessary such as CRM info, payment details etc.. but could keep the audit trail. The proper way to respond to the user's deletion request would be "your data will be kept in a secure server for the purposes of maintaining an audit trail for x amount of time. Once this time has elapsed it will be deleted. If you are unhappy with our use of this data please contact our data officer". GDPR isn't designed to catch you out - if you have a legitimate reason to keep that information then you are entitled to. The law was designed to stop marketers and advertisers hoarding huge amounts of information, as well as undermine Google/Facebook's duopoly on our personal information.
Recklessly endangering the English public by throwing objects Is it a criminal offence to recklessly endanger the English public by throwing objects? For example, throwing bottles or bricks over the wall of a multi-storey car park. This particularly applies if the barrier is high so the thrower can't actually see where the missile is going to land. This means there is not an intent to assault a specific person, just severe recklessness. I am wondering if this would be considered a public nuisance, or whether there is a more specific criminal offence?
It depends... It could be an offence under section 5 Public Order Act 1986: (1) A person is guilty of an offence if he— (a) uses [...] disorderly behaviour ... [...] within the hearing or sight of a person1 likely to be caused harassment, alarm or distress thereby. Then there's Causation to consider, which is: whether the defendant's conduct (or omission) caused ... harm or damage. And also recklessness, which can be described as: unjustified risk-taking. In R v G [2004] 1 A.C. 1034 two boys set a fire which caused significant damage. They were charged, and convicted, for reckless arson contrary to section 1 of the Criminal Damage Act 1971: (1) A person who without lawful excuse destroys or damages any property belonging to another intending to destroy or damage any such property or being reckless as to whether any such property would be destroyed or damaged shall be guilty of an offence. ... (3) An offence committed under this section by destroying or damaging property by fire shall be charged as arson. This conviction was quashed by the House of Lords who determined that test of recklessness for criminal damage is subjective and should take account of, for example the defendant's age (in R v G they were 11 and 12). The court determination was: A person acts recklessly within the meaning of section 1 of the Criminal Damage Act 1971 with respect to - (i) a circumstance when he is aware of a risk that it exists or will exist; (ii) a result when he is aware of a risk that it will occur; and it is, in the circumstances known to him, unreasonable to take the risk. But compare this with DPP v Newbury and Jones [1976] AC 500 if someone were to die as a result of being hit by a brick: The defendants, both teenage boys, had thrown a piece of paving stone from a railway bridge onto a train which had been passing beneath them. The object struck and killed the guard who had been sitting in the driver’s compartment. The defendants were convicted of manslaughter, and unsuccessfully appealed, on the ground that they had not foreseen that their actions might cause harm to any other person. Lord Salmon explained that a defendant was guilty of manslaughter if it was proved that he intentionally did an act which was unlawful and dangerous and that act caused death, and that it was unnecessary that the defendant had known that the act in question was unlawful or dangerous. 1Note that there has to be such a person, not a hypothetical one, to be guilty of this offence.
The clause refers to what might be a lawsuit, which can be adjudicated in appropriate government courts (cf. the choice of law clause), but instead would be submitted to an arbitrator. The contract will spell out the details. An offence is a punishable criminal act, which is outside the scope of civil suits. In US law, the government prosecutes the wrong-doer, not e.g. one of the parties to the contract (if for example the vendor ships an illegal substance to a customer). The same goes for a "breach of law", depending of course what you mean by breach of law. A breach of contract could not be pursued in court, given a mandatory arbitration clause. The fact that the two parties are in different countries does not nullify a mandatory arbitration clause, at least between the US and the UK.
tl;dr Hitting the pedestrians is a separate crime, even if they shouldn't be there. Background On a highway, you might have a legal right of way and therefore a claim against the pedestrians for failing to yield. Since the states (and not the federal government) own and operate the interstate highway system, your specific answer depends on the state law. In North Carolina, for example, pedestrians walking along or upon a highway have a statutory duty to yield the right of way to all vehicles. So you could probably videotape and press misdemeanor charges against them individually. That said, contacting the police and waiting (or taking an alternate route) is the best recourse. Having the right of way (or feeling ethically justified) doesn't allow you to commit an offense like hitting a pedestrian. The fact that the pedestrians aren't supposed to be in your way is of little consolation in the charges you'll face if you injure or kill one. The court will see this as a legal/ethical problem, but one that won't go in your favor. In particular, you deliberately directed your vehicle into the crowd with the knowledge that the action might cause harm. One doesn't have to imagine the Austin Powers steamroller scenario to know that injuries are possible when cars go through crowds. That will pull all of the "involuntary"-flavored mitigations off the table. In particular, driving a car into a crowd might be considered "an inherently dangerous act or omission, done in such a reckless and wanton manner as to manifest a mind utterly without regard for human life and social duty." In the worst case scenario, where someone died as a result, a North Carolina prosecutor might push for second-degree murder (which operates on a "recklessness-plus" standard and might not be as crazy as it sounds since driving into the crowd is likely reckless, and driving in slowly with them yelling at you to stop could push a jury over the top). In that case, as a defendant, you'd hope your charge could be mitigated down to something like death by vehicle (which is similar to "vehicular manslaughter" in other states), and you'd shoot for the misdemeanor version of death by vehicle since you weren't driving under the influence. However, a key element of proving death by vehicle is that you unintentionally caused the death---and the fact that you deliberately drove into the crowd might ruin your defense. In the case where you just hurt someone, you'd likewise hope to mitigate intentional charges to unintentional ones. A claim for false imprisonment is unlikely to succeed. False imprisonment is called a variety of things---like felonious/misdemeanor restraint, unlawful detainment, etc.---depending on where you live. To prove it (and generalizing a bit since this varies by state), you typically have to show (1) detention or restraint against your will, and (2) unlawfulness of the detention or restraint. A big challenge here is that courts often interpret this to mean detention or restraint by exercise of force or threat of force, as in Harris v. Stanioch, 150 Wash. 380 (1928) for example. The protesters are just in the way, so it's unlikely this would hold up. Self defense almost surely won't be a viable excuse. The idea of driving the car slowly through the crowd relies on the notion that you should be able to escape the alleged detention. The escape you're considering in driving through the crowd likely comes at the expense of making contact with members of the crowd. Making unprivileged contacts might be allowable in self defense. However, self defense probably hold up either. Setting aside notions of proportional defense, you have to be defending yourself against something: force or threats of it by the protesters. So if they don't use force, or threaten it, against you, then your defense is going to be really shaky.
Since you asked about any jurisdiction, and presumably any common law jurisdiction, in which one of the elements of theft is the intention to permanently deprive the owner of the property, here's the UK* answer. Regarding borrowing specifically, the UK statute referring to theft - the Theft Act 1968 - provides for this in section 6(1): A person appropriating property belonging to another without meaning the other permanently to lose the thing itself is nevertheless to be regarded as having the intention of permanently depriving the other of it if his intention is to treat the thing as his own to dispose of regardless of the other’s rights; and a borrowing or lending of it may amount to so treating it if, but only if, the borrowing or lending is for a period and in circumstances making it equivalent to an outright taking or disposal. In other words, a thief may say 'I only wished to borrow it', but that won't necessarily amount to a defence under English law. It depends on how long (s)he borrows it for, and how (s)he treats it while borrowing it. In addition, the case law clarifies what is meant by 'his intention is to treat the thing as his own to dispose of regardless of the other's rights'. This has been held to mean: Selling, Bargaining with. R v Cahill, R v Lloyd Rendering Useless. DPP v J Dealing with in a manner which risks its loss. R v Fernandes, R v Marshall Borrowing in certain circumstances. R v Lloyd Pawning. s6(2) Theft Act 1968 Not enough to just deal with it. R v Mitchell So how do we prove whether someone intended to deprive the owner of the property permanently, or at least permanently enough to amount to an offence under the Act? The answer seems to be that we look at how they deal with it, and what condition they leave the property in. If they do any of the things listed above, with the exception of no. 6, then they have demonstrated an intent to permanently deprive; if they merely use the property, then that isn't enough to show such intent. You asked specifically: I am looking for an answer that explains whether someone who credibly asserts – e.g., by advance sworn affidavit – that they intend to return the item can be convicted of theft, or any other crime, for taking someone else's property for an extended but not infinite period of time. In the case of R v Lloyd, the court held borrowing would become intention to permanently deprive the owner of the property if 'all goodness, virtue and practical value is gone'. So if someone swore they were planning on returning the item, the court could nonetheless convict them of theft if they held on to the item for so long, and treated it as their own to such an extent, that all its value was gone. (In R v Lloyd, the items in question were films, and as they were returned in much the same condition as they'd originally been in, this was held not to be intention to permanently deprive, and therefore not to be theft.) *By 'UK' I mean 'English and Welsh'; the answer may be different in Scotland.
You are free to ask them to stop. If they do, great. If they don’t, you legal options depend on if they are legally able to make such noise at that time or not. I am not familiar with UK law but typical laws give wide powers to the owners of infrastructure to construct/repair it. Again, typically, permits may be required but exceptions exist for urgent work. If they have such a permit (or don’t need one) your legal options are nil. If they don’t you can go to court seeking an injunction to stop them until they do.
In the UK this is just called "an appeal for the suspect to come forward." The UK police are not allowed to lie or mislead as suggested in the OP, and any reduction in punishment is in the hands of the courts when passing sentence (unlike some other jurisdictions, I believe).
The applicable Singapore statute is: Singapore Statute There it says: 441 Criminal trespass ...Criminal trespass Whoever enters into or upon property in the possession of another with intent to commit an offence or to intimidate, insult or annoy any person in possession of such property, or having lawfully entered into or upon such property, unlawfully remains there with intent thereby to intimidate, insult or annoy any such person, or with intent to commit an offence, is said to commit criminal trespass It seems highly unlikely that the local authorities would consider it trespass if it was done by another person lawfully in the property.
You (probably) did not commit a crime in Colorado. The answer to your question though is probably Driving an unsafe vehicle Colorado Revised Statutes Title 42. Vehicles and Traffic § 42-4-202 (1) It is unlawful for any person to drive...on any highway any vehicle...which is in such unsafe condition as to endanger any person, or which does not contain those parts or is not at all times equipped with such lamps and other equipment in proper condition and adjustment as required in this section and sections... The above is not a crime , it is (5) Any person who violates any provision of this section commits a class A traffic infraction. A class A traffic infraction is a civil violation. Note that some driving offenses are crimes: In Colorado, driving more than 25 mph over the posted limit is a class 2 misdemeanor, and doing so in a constriction zone is a class 1 misdemeanor. Also note that I say probably because it is possible that they charged you with something more extreme- reckless driving? violation of noise or pollution ordinances?- but for a fine small enough that you don't say, 2 points, and you did not have to go to court (you could have if you wanted for the ticket, but not required) it is very unlikely.
Legalities of checking someone's digital footprint Where is the boundary between checking someone's digital footprint, and stalking? More specifically here is the hypothetical scenario. My name is A. My friend 's name is B. B goes to a bar in country C. Meets a woman W. Takes her to a hotel, and gets robbed by her accomplices. Now, I have another friend D. I tell him the story. So when D visits country C, he also meets the self same W (we are doing hypotheticals). He was smart enough to ask W's Instagram. I check W's Instagram and find a picture of a Man M. I do a reverse google image search on M and W, and find out that both of them are convicted criminals in country C. Q1: Will this count as stalking, if I am in Washington State, of USA, whereas C is a different country? Q2: Now, had I used an AI to methodically scan and check every picture of W's Instagram, locate her facebook, and Twitter and other social media, will that be stalking? Q3: If I have a database hosted in a server farm in the territory of USA, of all possible people, and I offer regular services to my friends (in exchange of money) about digital background and footprints of people (wherein I am absolutely sure that these friends are only concerned about their own safety and not trying to attack anyone), will that be legally permissible?
"Checking someone's digital footprint" could be stalking, depending on the circumstances. The better question to ask is about the legality of a certain action, and not the specific name used in a jurisdiction (although indeed in Washington there is a defined crime of "stalking"). I don't know what you mean by "checking someone's digital footprint", and it is not defined by law. Looking at RCW 9a.46.110, we can first discern that it does not matter for the definition of the crime where these people live or where the robbery took place. If two people from Alberta travel to Alaska and harass or murder a person from Texas, Washington law does not enter into the equation. The crime that you're asking about is the snooping, so for Washington to have jurisdiction, the snooping has to be "in" Washington. That does not mean that both parties have to be in Washington – there can be complex jurisdictional laws if the accused is in another state or country. The accused can easily be prosecuted in his own state, he can also be prosecuted in a foreign country, if he is caught there or if he is extradited to that country. For the act to be stalking, the first element is that "He or she intentionally and repeatedly harasses or repeatedly follows another person; and...". Harassment is defined in that section as a knowing and willful course of conduct directed at a specific person which seriously alarms, annoys, harasses, or is detrimental to such person, and which serves no legitimate or lawful purpose. The course of conduct shall be such as would cause a reasonable person to suffer substantial emotional distress, and shall actually cause substantial emotional distress to the petitioner, or when the course of conduct would cause a reasonable parent to fear for the well-being of his or her child. Since there was no communication between the parties, there is no harassment in the legal sense. There is no "following" either, therefore the act fails to constitute stalking w.r.t the first elements. Since the crime is defined by a conjunction of elements and your scenario fails on the first conjunct, it is not "stalking" (it is also not "harassment" as defined in RCW 9A.46.020, 9A.46.060.
This very much depends on where you are. Different jurisdictions have wildly different laws about this. Some places are very permissive. You can record a conversation that you aren't even a party to so long as nobody has any reasonable expectation of privacy. In others, affirmative consent is required from every party to a conversation before it's legal to record it. The laws run the entire spectrum. Some places allow you to record anything you're a party to without permission, but you can't record others' conversations. Some places require you to disclose, but not obtain explicit permission. Some allow you to record but restrict who you can disclose it to. Some allow you to record or ban recording only under certain circumstances. It's a really wide gamut of laws. Since you don't say where you are, who you're recording, or why, there's no way to really answer the question. Here's a good rundown on the United States. This Wikipedia article covers lots of different countries, but only with regard to phone calls.
I'm pretty sure that under GDPR, you can indeed request them to send all data they have on you. If it's a complex request, they may charge you something like £10. If they have a lot of data on you, they may list the categories of data they have and ask you to pick one, rather than them having to collect and send everything. They should respond within one month, but iirc in the UK implementation, they can inform you (within that month) that they will respond within three months instead. For the rest, I only know current Dutch law. GDPR is not that different from what we already had (in general terms) and in many cases it even extends it. Under our law (WBP), you can also request a correction of the data in case it is incorrect, or deletion if they no longer need it for the purpose for which it was collected and stored. I don't really know how that works out in practice though, as Facebook can of course claim that "being able to connect you to your friends when you sign up for WhatsApp or Facebook with that number" is a legitimate purpose (in their eyes). They might also not have your full name and therefore not be able to connect your data to your request. Or, perhaps, they have only your full name (and there are probably more people with your name), so they'll have a hard time verifying that it's really your data which they would be handing over or deleting. The company is required to verify your identity before acting on your request. How they implement that is up to them. Under Dutch law, if I remember correctly, any data that can be connected to your person by any party is personally identifiable information (PII). While Facebook might not be able to find who's behind a phone number, your carrier most certainly can. Therefore, the data falls under PII protection laws and they will have to implement a way to verify you and get you your data. Finally, whether your local laws apply to Facebook, I don't know exactly. There's lots of information on this though, so you should be able to find it. Generally, countries say that if something happened within their territory (e.g. you signed up for WhatsApp while in the UK), their law applies. Companies, I've read, will instead try to claim that their main office is in SomeCountry and therefore SomeCountry's laws apply. But I'm pretty sure you'll be able to find a Facebook office somewhere where GDPR applies, so that's probably fine. While not an exact answer and while I am not sure about everything, I hope this gave you some pointers to go on!
It seems clear that this is personal information under the GDPR. If you are subject to the GDPR, you need to have a "lawful basis" to store or process such information. (You are subject to the GDPR if you are locates in the EU, or if your users are. My understanding is that it is location at the time the app is accessed that matters, not a user's citizenship. I am not totally sure about that, however. Unless your app is limited to non-EU access, it it probably safest to comply with the GDPR) The degree of precision of your location data will not matter -- a specific city is quite enough to make it personal data if it can be tied to a specific person. There are various lawful bases that may be relied on for processing and storage, but explicit consent is probably the one with the widest applicability. To use consent as the lawful basis, you must present an OPT-IN decision to the user, and record the results. If the user does nothing, the result must record lack of consent. You may not use a pre-checked consent box or another mechanism that has the effect of an opt-out choice. You should be clear about what information will be stored, and how it will or might be used. You will also need to consider how your app will function for those who do not consent, and how to handle requests to withdraw consent. So if an app obtains user consent to store location data in a manner that complies with the GDPR, it may store user location data. The consent should make the possible uses of the data clear. If the data is to be shared, the consent should make the possible extent of sharing clear. Some previous questions and answers here on law.se dealing with GDPR consent that seem possibly relevant: User consent required under GDPR What provisions should I make regarding GDPR consent when users do not sign themselves up? GDPR - Withdrawn user consent Opt Out Consent under GDPR
Yes, phone numbers would generally qualify as Personal Data under GDPR. It would be so irrespective of whether you have also stored other information along with the phone numbers or not, since also information that indirectly could identify a natural person is Personal Data (provided that there are, somewhere else, public or not public, a register of who holds the specific phone number). See Article 4(1) GDPR. (One could possibly argue that the phone numbers would not be considered personal data if there is no actual register of who owns a specific phone number with any other party. Or if such register is in practice not available for anyone. It might be so in some cases, although I would not rely on it.) Whether you have the right to process the phone numbers must be assessed based on its lawfulness (see Article 6 GDPR). It could be based on consent, performance of contract, legitimate interest or any other ground set out therein.
No, it is not. Just as it is illegal to steal from a thief, it is illegal to hack a hacker. Criminals are often considered a good target for crimes from a practical standpoint, but crimes against criminals are still prosecuted. As criminals are unlikely to report crimes against them to the authorities (particularly when doing so runs the risk of them being arrested for their crimes), targeting them does tend to result in a lower risk of being caught by the authorities, but if the crime is discovered, it will generally be prosecuted all the same. To that point, two Florida men have recently been arrested and are being prosecuted for stealing millions of dollars in Bitcoins from an illegal, darkweb drug marketplace in 2013, and there is always the more famous case of the two government agents who are in jail for stealing from the Silk Road. In your specific example, if all you did was hand over the information to the FBI, it's less likely that you'd be prosecuted than if you did so for personal gain, but you would be at risk of prosecution for engaging in vigilante computer hacking, yes. Also consider that if your actions happened to interfere with an ongoing investigation or result in the inability to prosecute (say, for the evidence you gathered being tainted and inadmissible by your involvement), you could be charged with crimes such as obstruction of justice or interfering with a police investigation as well.
The GDPR has a fairly broad concept of what it means for a data subject to be identifiable. The details are given in Recital 26: To determine whether a natural person is identifiable, account should be taken of all the means reasonably likely to be used, such as singling out, either by the controller or by another person to identify the natural person directly or indirectly. To ascertain whether means are reasonably likely to be used to identify the natural person, account should be taken of all objective factors, such as the costs of and the amount of time required for identification, taking into consideration the available technology at the time of the processing and technological developments. The good news is that this mandates a risk-based approach to identifiability. You don't have to prevent re-identification with absolute certainty, but you must make sure that re-identification is not “reasonably likely”. The bad news is that “identify” does not just mean “figuring out the real-world identity of the data subject”, but also “being able to single out the data subject”. Hashes of personal data are still personal data. The hashed password still allows you to single out data subject, since the hash now serves as an identifier that links multiple records. Equivalently, a random ID would serve as an identifier. Depending on the information in the linked records, this could reasonably likely also allow linking to a real-world identity. I'll also point out that the GDPR explicitly notes that “online identifiers … such as internet protocol addresses, cookie identifiers or other identifiers” enable profiling and identification, and are thus a kind of personal data. Note that it seems you have a user database that includes a password hash. This database includes rich links between the password hash and other, more directly identifying, data. Alternatively, consider that the software that collects tracking information along with this tracking identifier would also receive other information about the data subject that could allow re-identification, such as the data subject's current IP address. It would be reasonably likely that such additional information could be used to identify or single out the data subject. For this analysis, it is irrelevant whether you have any intention of singling out users – it only matters whether, under an objective analysis, the relevant means to do so exist. Related: EDPB thinks hashed phone numbers are personal data. There has been recent debate by regulatory bodies on the question whether hashed phone numbers are personal data. This debate was published by the EDPB binding decision regarding the Irish DPC's fine against WhatsApp, which uses hashed telephone numbers to intersect user's address books. The question in the context of the fine was whether this represents processing of personal data of users who are not WhatsApp users themselves. Originally, the Irish DPC argued that such hashes were not personal data. However, the German, French, Portuguese, and Dutch supervisory authorities pointed out that the specific hashing approach used by WhatsApp does not provide anonymization, for example because there still is contextual information (such as the user's social graph) that would allow indirect identification (and because their hashing was pretty weak and reversible with reasonable effort). Such hashing would only be pseudonymization, not anonymization. The Hungarian supervisory authority makes the argument that WhatsApp could always re-create the hash from the original data, thus permitting re-identification of the hash. This is in line with my above argument that the hash allows singling out. Again, the hash should be considered pseudonymous, not anonymous. The EDPB upheld all these objections against the Irish interpretation as “relevant and reasoned”, and largely agreed with their merits. Some parts of the resulting analysis are specific to issues around phone numbers, in particular that there are comparatively few phone numbers. However, a recurring point is that the hashed data cannot be viewed in isolation. It must be viewed in the context of how it is created and used, and in the context of other data that the data controller has. Conclusion It is possible that in some cases the hash could serve as an anonymous token. But this would require careful analysis about how the hash is created and used, and about what other data you have available and could potentially link or correlate with this token. Unless you are extremely sure that there are no means that could be reasonably likely used to perform re-identification or singling out, you should consider such tokens to be pseudonymous data. Pseudonymization is a great security measure, but such data is still personal data. I suggest reading the WP29 opinion 05/2014 on Anonymization Techniques (WP216) (PDF link). It predates the GDPR and is slightly outdated in both legal and technical matters, but still contains highly relevant guidance on the matter of proper anonymization in the European data protection context. Aside from identifiability issues, I am concerned about using the password (or derived hashes) for anything other than authentication. Even in hashed form, this is fairly sensitive data. In most cases where you would use a password hash, you can likely use a random number instead.
So I suppose we basically need to disclose the exact geolocation of the datacenters that store this kind of content. That is incorrect. You need to identify a place of business where federal investigators may inspect the records without first making an appointment for access. The location of cloud storage is not particularly relevant. is it possible in any way to achieve compliance with 18 USC 2257A while using Google Cloud Storage (Or perhaps any other cloud storage service)? Yes. You must store the records as required by the statute and by the regulations issued under the authority of that statute, 28 CFR Part 75. I only scanned the regulations, but it seems that the "location" of the records is the place where they are available for inspection, not necessarily the place where digital files are stored. (The regulations also provide that you may indeed keep the records in digital form.) But consider, for example, what would happen if the FBI came knocking for an inspection and a local utility company accidentally severed the fiber cable on the next block. Such a network outage happened at my company a few years ago, and the incident disabled all of our redundant networking, so we had no internet access whatsoever for several hours. The investigators would probably tolerate such a disruption, but it is probably better to have a copy on site in addition to any off-site copies you might have. Regardless, you should hire a lawyer with relevant experience, because you need advice from someone who can find out whether there has been any litigation that may have a bearing on your rights and obligations, and you should find out what state and local law have to say about this, if anything. This is a criminal statute, and trying to protect yourself from criminal liability without qualified legal advice is quite possibly going to leave you vulnerable.
Using AI to identify similar browsing pattern I understand that storing any hash or IP that can identify "user uniquely" is against GDPR. I am planning to use user browsing patterns to see if a similar or the same user had previously visited the website. (Scroll pattern/click frequency and so on.) There will not be any hardware related information saved or any cookie saved on the client side, just the pages visited and "way" a user navigated the website. Is such a method GDPR compliant?
I understand that storing any hash or IP that can identify "user uniquely" is against GDPR. That is not correct. However any data which is identifiably associated with a an individual human, including any data which could be used to identify that human, is generally "Personal data", and may not be processed (which includes storing it) without a lawful basis, if the GDPR applies. Any of the six lawful bases allowed by the GDPR may be used, including consent, and the legitimate interest of the data controller. The GDPR does not generally specify that particular technological solutions are permitted or forbidden. If this usage pattern could reasonably be used to identify a particular person, or to single out a person from among a group of people, it is probably personal data, and a lawful basis would be required. Otherwise, not. As for whether such a person is "identifiable" if use of this technique permits the Data Controller to identify two visits at separate times as having been made by the same person, when the later visit is still in progress or is recent, the IP for that visit will still be available, and thus could be associated with the first visit as well. And even if that is not done, such a technique could permit building a profile of such a person, including the actions taken on different visits. I think that would be enough to make this "personal data".
Whether GDPR applies does not depend on the country of residence. Instead, GDPR applies to a non-EU site or service if the data controller offers products or services to people in the EU (see Art 3(2) GDPR). This depends solely on the behaviour and intent of the data controller / the provider of the website – compare also the discussion of the “targeting criterion” in EDPB guidelines 3/2018 on the territorial scope of the GDPR. While your proposed measures might not be entirely ineffective (in that they document an intent to not serve people in the EU), they are both unnecessarily restrictive and overly lax. For example, they would unnecessarily prevent EU tourists in the US from registering but would nevertheless allow US tourists in the EU. For the targeting criterion, it matters whether the data subject is in the EU at the time of the offer, not at all what their residency is. Even if a person who is currently in the EU registers with your service, that doesn't necessarily mean that you are targeting people in the EU. Instead of implementing signup restrictions, a better strategy might be to clarify in the copy on your website that you are only targeting the domestic US market, not the European market with your services. I have discussed this in more detail in an answer to “How can you block GDPR users from US based sites?” If you have a site where GDPR doesn't apply, and you receive a GDPR data subject request, you shouldn't deny it on the basis that the user must have lied – instead you can deny it on the basis that GDPR just doesn't apply to you.
Obtaining consent for cookies is not required by the GDPR at all. Instead it is covered by the e-privacy directive, which as a directive rather than a regulation, must be implements by specific legislation in each individual country. The exact requirements vary with the law of each country. An e-privacy regulation has been proposed, which would have scope similar to the GDPR, would replace the Directive, and would not require national implementing legislation. However it has not yet been adopted. Proposed versions have significantly different requirements than the current Directive. Nor does the GDPR require consent for advertising that does not involve the processing of personal information, unlike some other privacy laws such as the California CCPA. However, if the Google package sets cookies without consent that are not strictly necessary for operation of the web site, it might well fail compliance with some of those national laws implementing e-privacy. Also, even necessary cookies must be disclosed to the user, as I understand it, possibly only in general terms. Several national Data Protection agencies have said that cookie compliance is not a major priority, at least not until an e-privacy regulation is in place. But that does not mean that lack of compliance is legal. Unfortunately I see no way for a developer using the Google package to correct this issue within the package. One would either have to implement a different solution, or trust that Google will fix this before enforcement becomes a serious issue. However, the app developer could add a separate general cookie consent banner, and turn off all adds if consent is not given, I believe.
Yes such a username would be personal data. It is information that relates to an identifiable person. In this context,a person isn't identifiable only if you can infer their real-world identity, but already if you can single out one person's records. Thus, your random IDs and any linked information would be personal data as well. Just because something is personal data doesn't mean that processing it is illegal. It just means you need a legal basis. That could be necessity for performing a contract with the data subject (like saving game progress), a legitimate interest, or consent. Taking into account GDPR principles like "data protection by design and by default", it could be sensible to hide a players stats from the leaderboard until they give consent. On the other hand, you may have a legitimate interest to provide leaderboard data for ranking/comparison, especially if the leaderboard entries are pseudonymized. In any case, it should be clear to the users which information is visible to others.
The university has a legal obligation to collect certain data from attendees, including employees an visitors. It has decided to keep these records in digital form, and offers a smartphone app as a convenience. The university has outsourced the data processing activity to a third party. This is perfectly legal under the GDPR, if that third party is contractually bound to only process the data as instructed, and not for their own purposes. Whereas the university acts as a data controller (Verantwortlicher), the third party would be a data processor (Auftragsverarbeiter). I have some doubts though whether an app or a website is indeed the solution that offers the best data protection, especially taking into account the GDPR's data minimization principle. Requiring updates when entering or leaving any room is potentially excessive. Given the sensitivity of the data, the university should have performed a data protection impact assessment to weigh the consequences of this measure. At least for employees, the measure would likely have to be approved by the union (Personalrat) as well.
If you are concerned with a digital thing being verifiable as exactly the same at some later time you ought to use a hash. A hash function takes some input bits like say a digital video and produces output bits often represented as hexadecimals. For any particular input it will always have the same output, but it is not reasonable for more than one input to have the same output. All modern computers have standard software to do this and I'm sure many websites offer it as a free service.
From Article 4 of the GDPR: ‘personal data’ means any information relating to an identified or identifiable natural person (‘data subject’); an identifiable natural person is one who can be identified, directly or indirectly, in particular by reference to an identifier such as a name, an identification number, location data, an online identifier or to one or more factors specific to the physical, physiological, genetic, mental, economic, cultural or social identity of that natural person; The fact that you can use the ID in your database, along with the value returned by the cookie you set to identify the user makes it personal data. The favorite colour is information relating to an individual. The fact that it is connected to the cookie ID means that it is personal data.
Term 1 isn't going to hold up, but that is not a GDPR matter. It's just a matter of basic consumer protection law in the EU. You can't offload responsibility for your mistakes. Looking at 2, Dale M. already pointer out that it's now how the GDPR works. You are the Data Controller. X,Y and Z are Data Processors. Article 28(1) of the GDPR is in direct conflict with your disclaimer. You accept zero responsibility, the GDPR says you are fully responsible. That's the exact opposite.
Emailing a publicly available address posted by the same person I understand that emailing a person without consent is illegal under GDPR. But is it okay to email someone if the person has made the mail address public? For example if a university professor posted his/her email on the university website (which is publicly open without any login requirement). Is it okay to send them an email?
The GDPR doesn't generally distinguish public from non-public personal data. If you have a good reason to contact the professor, do send them an email. GDPR does not prevent this. If you're sending this email for “purely personal or household purposes”, then GDPR doesn't apply anyway. There are rules in the ePrivacy Directive against unsolicited emails, but these specifically relate to emails for direct marketing purposes. A company is not allowed to send out spam marketing, regardless of whether they obtained the email address from a public data source. Companies can send email marketing to their own existing customers, or to people who have given consent. Consent is defined in a fairly restrictive way (as a specific, informed, freely given, and unambiguous indication of the data subject's wishes), so that mere publication of an email address cannot be interpreted as consent to receive marketing from a particular company.
No. According to GDPR consent must be: Consent should be given by a clear affirmative act establishing a freely given, specific, informed and unambiguous indication of the data subject’s agreement to the processing of personal data relating to him or her, such as by a written statement, including by electronic means, or an oral statement Scrolling down is not a clear, affirmative, specific or unambiguous indication of consent, and therefore does not fulfill the requirements for GDPR.
This issue touches upon two distinct GDPR rights: Art 15 right to access: you have a right to receive a copy of all personal data concerning you that are undergoing processing (including storage). Access may only be denied where this would “adversely affect the rights and freedoms of others.” Art 20 right to data portability: if processing is being carried out by automated means, and processing is based on certain legal bases (consent or contract, but not legitimate interest), then you have a right to receive a copy of your personal data in a machine-readable format, for personal data that you have provided to the data controller. Whereas the right to access is fairly straightforward, the right to data portability applies under much more narrow conditions. Basically, it's a right that you can download any data that you've uploaded so that you can move to a different service. Google Takeout is primarily concerned with your right to data portability, and provides your data in a machine-readable format. Any photos that you've uploaded to Google Photos, you'll be able to download. Thus, it could be technically compliant to exclude information that they've inferred about your personal data, such as image-recognition results. Such results would still be personal data under the GDPR definition of the consent, and would be covered by your right to access. Google might argue that you already have access to this data through the web interface. In my opinion the GDPR clearly requires the data controller to provide a “copy”, i.e. the data in some durable form – not merely access through a web interface. Whereas your question is specifically about Google, the same issue applies to other services as well. E.g. Ruben Verborgh has an interesting blog series on trying to get access to all their data from Facebook, though unsuccessful so far. Similar to your scenario, Facebook offers a download for personal data but does not include all personal data in this download. In one of the documents provided by Facebook in the course of the exchange, they note that they allow access to photo tags through the web interface, but do not include this in downloaded data – without providing further justification.
This would not be "legal jeopardy" per-se, really the only remedy that Stack Exchange would have in a case like this would be to ban both accounts. It would be different if you caused SE some kind of monetary/reputation damages to the site itself. From SE's Acceptable Use Policy: Identity Theft and Privacy. Users that misleadingly appropriate the identity of another person are not permitted. It seems your described scheme would violate that term. But this isn't a legal problem, just an operational one. You aren't violating any law (unless there are local laws against this) by paying somebody to "be you" on SE. The most that this would earn you and your cohort would be a ban and probably removal of the contributions.
The GDPR has an exemption for purely personal or household activity. Creating a family tree seems purely personal as long as you don't publish it. You're also allowed to freely share the tree as long as it stays within that purely personal scope. Your proposed restriction of only showing data of blood relatives seems excessively strict. But assuming that this exemption wouldn't apply, there'd probably still be no problem. The GDPR does not require you to always obtain consent. It requires that the purposes for which you process personal data are covered by some legal basis. Consent is one such legal basis, but legitimate interest is another. You can likely argue that you have a legitimate interest to create a tree of your (extended) family. The legitimate interest must be weighed against the rights and freedoms of the affected persons. For example, contact information could be used for stalking. The balance of the legitimate interest check can be changed if you adopt suitable safeguards. Your idea of only sharing data with close relatives would be such a safeguard, but it might not be necessary. When you rely on legitimate interest, the affected person can object to further processing, furthermore they can request to be erased from your records. A request for erasure can be denied if there are overriding grounds to keep the data. E.g maybe only contact information has to be deleted but names, dates, and relations might be kept. You should notify persons when they are included into your records. It is your obligation as the data controller to make these decisions. If someone disagrees they can sue you or lodge a complaint with a supervision authority. Note that dead persons are not natural persons in the sense of the GDPR, and have no privacy. However, national laws may provide such protections.
You must get opt-in affirmative consent to process personal data, including tracking people's use of your site or providing targeted advertising. The banner on StackExchange is likely in violation of the GDPR. Do not copy it. It does not have an explicit opt-in, only an opt out which is onerous (leave the site, then manually go in and delete any cookies they set, which may be hard to identify if they are from 3rd parties). The sites you mention that have a gateway are a more correct implementation. Consent must be acquired before processing of data begins, and it must be explicit.
Your data is not anonymous since from the picture of the face the individual can be identified. It would be anonymous, if the face was blurred and other possible identifiable information was removed. Of course, that would defeat your purpose. Please note that, in any case, Anonymization Techniques are, themselves, a type of personal data processing that requires a legal ground, and achieving real anonymization is not a trivial matter (see Article 29 Working Party's opinion 0829/14/EN WP216 on the subject). 1. The face of a person includes biometric information, which is defined in article 4 (14) among other types of personal information regulated by the GDPR as: "personal data resulting from specific technical processing relating to the physical, physio­logical or behavioural characteristics of a natural person, which allow or confirm the unique identification of that natural person, such as facial images or dactyloscopic data". A facial recognition software's purpose is exactly to perform a specific technical processing based on the facial features of the persons, to achieve a unique identification of a person based on these biometric features. Article 9 of the GDPR includes biometric data among the types of prohibited processing, unless one of the exceptions in § 2 applies. There are 10 types of exceptions among which: consent of the person, employment context, personal data made public by the person, scientific or historical research,... (each exception having its own conditions). You should check that you comply with one of these exceptions stated in article 9 § 2, if your application is about using facial images for unique identification of a person based on these biometric features. 2. In turn, if your processing is not about unique identification of a person based on these biometric features, but only about emotions recognition (which you briefly mentioned at the beginning of your post), it could be considered as not falling under the requirements of Article 9. That would still be a processing of personal information, but it would fall under the normal article 6 requirements.
Yes. Article 4 GDPR Definitions (1) ‘personal data’ means any information relating to an identified or identifiable natural person (‘data subject’); an identifiable natural person is one who can be identified, directly or indirectly, in particular by reference to an identifier such as a name, an identification number, location data, an online identifier or to one or more factors specific to the physical, physiological, genetic, mental, economic, cultural or social identity of that natural person; Recital 26 Not applicable to anonymous data The principles of data protection should apply to any information concerning an identified or identifiable natural person. Personal data which have undergone pseudonymisation, which could be attributed to a natural person by the use of additional information should be considered to be information on an identifiable natural person. To determine whether a natural person is identifiable, account should be taken of all the means reasonably likely to be used, such as singling out, either by the controller or by another person to identify the natural person directly or indirectly. To ascertain whether means are reasonably likely to be used to identify the natural person, account should be taken of all objective factors, such as the costs of and the amount of time required for identification, taking into consideration the available technology at the time of the processing and technological developments. The principles of data protection should therefore not apply to anonymous information, namely information which does not relate to an identified or identifiable natural person or to personal data rendered anonymous in such a manner that the data subject is not or no longer identifiable. This Regulation does not therefore concern the processing of such anonymous information, including for statistical or research purposes.
Format of a Motion to Stay Case Pending Arbitration? This response on SE states that a motion consists of the following components: motion header; the facts on which your motion is premised; the relief you expect from that motion; a brief, where the party develops his legal arguments and presents laws favoring his position. Should one wish to file a motion to stay case pending arbitration in a landlord tenant case, must these 4 elements be clearly segregated? Is there a specific template / document that must be used to file a motion or any document can be submitted as long as the four elements are contained somewhere in the doc?
Someone has pulled a sample motion of this type off of PACER (the public access Internet portal to civil filings in federal court). The example is more formal and structured than a lot of state court motion practice would be, however (e.g. few state court's require or encourage motions with a table of contents and a table of authorities). This example is 36 pages long, and many states don't even allow motions to run for more than 10-15 pages without leave of the court to do so in advance. There is a New Jersey federal court example here which is also on the formal and fussy side (although, in part, because the motion isn't just an arbitration motion and is also raising several additional unrelated issues which if omitted would cut it in half). See also one here. Another example, from a California state court, is closer to the mark for a typical state court filing. A court that handles residential landlord-tenant matters is probably even more "casual" and probably expects motions to get to the point more quickly. The core content is probably solid, although it would have to be customized to reference the state law statutory and procedural rules rather than the federal rules of civil procedure, and to analyze and set forth the facts of your case rather than those of some random person whose pleading is linked. This would also have to be adopted to state court practice standard, which typically uses different formatting for captions, signature blocks, whether or not line numbering is required, etc., and is often subject to other requirements. Some require that a certificate of service be filed as a separate document, while others routinely incorporate it in the main document. Many state courts require that a proposed order be submitted with a motion as a matter of state or local court rules, a few states require a cover sheet to be filed with motions, many states require you to confer with the other side in the case and to recite their position opposing or supporting the motion, or something in between, before filing it, and some courts require you to notify them once the deadline for a response has passed, regarding whether an opposition has been filed to the motion's request for relief or not. Similarly, some states courts require that motions be "verified" (i.e. have their allegations confirmed under oath) or supported by an affidavit setting forth the factual matters alleged in them. New York State structures a lot of motions as "orders to show cause" in which the court preliminarily reviews the relief requested and issues an order telling the other side that it will do something if they don't file an objection showing good cause for the court not to rule in that way by a given day, which must be formally delivered (i.e. "served") upon the other side by a deadline. I don't know if New Jersey local motion practice is similar. Many court systems also charge a "new case" filing fee for motions to compel arbitration that does not apply to other kinds of motions. Ideally, you'd want to review some motions (about pretty much anything) to get a feel for how this is usually done in New Jersey.
Contracts do not have to be written and signed on pieces of paper, except in a few cases specified by law. Writing style (ordinary style of talking vs. high-register formulaic language) does not affect the validity or a writing in contract law. You do have something in writing. What matters most is what he actually said (exact words, not your belief of what it must have meant), and how it relates to any existing contractual obligation. For example if the message says "You're fired, turn your badge in at the desk. I'll think about giving you two weeks pay", that's not an enforceable promise. But your existing contract might say "You get 2 weeks severance pay when we fire you", and that can't be walked by by saying "I'll thinking about it". And it also depends on whether there are any laws mandating severance pay (but California does not have any mandatory severance pay law).
Yes The case you want to know about is Cohen v. California: A young man was arrested for wearing a jacket with the words "Fuck the Draft" and SCOTUS decided, that that was First Amendment-protected speech and the arrest illegal. The phrase מנא מנא תקל ופרסין is in Akkadian or Aramaic language but Hebrew script (as opposed to the Akkadian Cuneiform) and can be transcribed as Mene Mene Tekel Upharsin. It is also known in German as "Menetekel" or in English as the "Writing on the wall". It stems from the biblical episode of Belshazzar's feast. Literally, the text would be read as "counted, counted, weighed, distributed". Its meaning elaborated in Daniel 5 is generally understood as "Your days are numbered; Your days are numbered; You have been measured and found wanting; Your kingdom will fall and be divided". While stemming from religious texts, in the depicted situation it is more likely meant as political speech, and in that fashion indistinguishable from a flag. It also does not call for imminent lawless action - the so-called Brandenburg Test after Brandenburg v Ohio - and thus remains in the protected speech area. Remember, that even preaching genocide can be First amendment protected, as long as that line of imminent lawless action is not overstepped. As this phrase does neither, it is protected speech.
There is no opinion from the Ninth Circuit. I just checked PACER, and there is a docketed order dated May 18, 2016: Filed order (STEPHEN REINHARDT, MARY H. MURGUIA and JOHN B. OWENS) We have reviewed appellant’s opening brief, appellees’ motion for summary affirmance and appellant’s opposition thereto. We conclude that the questions raised in this appeal are so insubstantial as not to require further argument. Accordingly, we grant appellee’s motion for summary affirmance. See United States v. Hooton, 693 F.2d 857 (9th Cir.1982) (per curiam) (summary affirmance appropriate where the result is clear from the face of record); see Mullis v. United States Bankr. Court for Dist. of Nevada, 828 F.2d 1385, 1388, 1394 (9th Cir. 1987) (judges are immune from civil liability for damages and for declaratory relief for their judicial acts). AFFIRMED. [9981929] (WL) [Entered: 05/18/2016 02:48 PM] I downloaded Jaffe's Ninth Circuit brief and it's a pretty dull work of a crank. I use the RECAP Mozilla add-on, so the Ninth Circuit docket and brief should show up on RECAP soon. Go to https://www.courtlistener.com/ and in "Advanced Search", search on docket no. 15-56328. Based on past experience it should show up in a day or two. But that's the Ninth Circuit brief, not the SCOTUS one you're looking for; unfortunately, the U.S. Supreme Court is the one US court that is not searchable via PACER. You're limited to the docket, opinions and orders that the Court publishes on its site. For more legitimate cases, briefs can often be found on either SCOTUSBlog or the ABA's briefs page, but not in this case.
Yes, they still have to go through the normal eviction process and must still provide the minimum number of days required by their local jurisdiction in order to vacate the property. By moving in and establishing residency, the tenant and landlord form an implied lease - the tenant does not need anything in writing in order to establish their legal rights to tenancy. More information: No written lease--Am I in trouble?
Canada's local court systems and procedural rules vary, especially at the lowest level, by province. So, I'm just stating some general principals. General speaking legal arguments are limited to closing arguments of the parties after all of the evidence has been presented by both sides (because this limits legal arguments to those with evidentiary support rather than merely hypothetical arguments). Opening arguments are usually supposed to be limited to a recitation of what the facts in the case will show. Presentation of evidence and examination of witnesses is also not a time for this to be done. Some courts in some jurisdictions allow a defendant to make a "half-time motion" at the close of the prosecution's case, arguing that the prosecution has failed to meet their burden of proof to establish grounds for a conviction before the defense presents the defense's evidence. But, such formalities are often dispensed with in traffic court. Some courts allow post-trial motions to be made after a verdict within a certain number of days set by court rule asking the court to reconsider its decision or overturn a jury verdict, although these aren't always available in a traffic court case. Sometimes these issues are also raised in a pre-trial trial brief or in motion practice prior to trial. The amount of time allowed for closing, and discretion to consider arguments at times other than time usually allowed are in the discretion of the trial judge. Usually, courts are more lenient regarding formalities when a non-attorney is arguing a case. Usually, there is less opportunity to raise legal arguments following a trial if the traffic court is not a court of record and appeal is by trial de novo in a higher court, and there is more opportunity to do so if the trial is in a "court of record" in which a transcript is maintained and if the trial is a jury trial (although in a jury trial, the legal arguments are made out of the presence of the jury in a hearing over jury instructions, rather than before the jury). In a traffic case in a court of record, in front of a judge, five or ten minutes, at most, would be typical and trial briefs would rarely be considered, but the judge might listen longer or take the case under advisement and ask for further briefing, if the judge thinks that there is merit to a legal argument and wants to do further research (which would be extremely unusual in a traffic case).
Usually I would think one answer to a question is enough. But since your edits have transformed a reasonable procedural question into what appears to be a rant about unfairness of the sort which any bankruptcy court has heard hundreds of times before, I will give another piece of advice: Focus on one thing at a time. The judge at the hearing of the application will be deciding (if your question is accurate) the single point whether a house should be sold. The submission "There is an application to annul the bankruptcy to be heard on XXX; if it succeeds this application is a waste of money and if it fails there will still be time for this application before the time limit, so you should adjourn till YYY" is a reasonable one that he will take into account. Saying "The bankruptcy order should never have been made; it was a mistake by my accountants and HMRC, and a High Court Judge joined in the conspiracy" will get you precisely nowhere. Even if the judge believed you rather than the written evidence, it has no bearing on the point he is being asked to decide. More generally; besides casting your arguments into proper shape, there is another good reason to consult a professional, namely that he can tell you when to give up. The courts are bound by laws and regulations; however unfair you may think the result, at some point it is necessary to accept the reality rather than wasting time and money making points that the law cares nothing about. (And no, I see no point discussing this further in comments. This answer can be upvoted if you think it helpful or downvoted if you think it "not useful"; it isn't something to argue against.)
A good starting point would be the SCOTUS opinion, or everything on SCOTUSblog, especially the application for injunctive relief filed on Aug. 30. There is a long sequence of petitions and orders which ask the courts either to issue an injunction preventing the law from taking force, or to vacate an administrative stay of proceedings by the lower court regarding petitioner's challenge. The lower court denied the petitions, therefore petitioners turn to SCOTUS to get an injunction against the law. Then you can turn to the SCOTUS opinion to see what the reasons were, for and against the petition. The majority position is that an applicant must carry the burden of making a “strong showing” that it is “likely to succeed on the merits,” that it will be “irreparably injured absent a stay,” that the balance of the equities favors it, and that a stay is consistent with the public interest. The majority concludes that The applicants now before us have raised serious questions regarding the constitutionality of the Texas law at issue. But their application also presents complex and novel antecedent procedural questions on which they have not carried their burden. Immediately after this the court comments that federal courts enjoy the power to enjoin individuals tasked with enforcing laws, not the laws themselves. However, it is unclear whether the named defendants in this lawsuit can or will seek to enforce the Texas law against the applicants in a manner that might permit our intervention The law states that Any person, other than an officer or employee of a state or local governmental entity in this state, may bring a civil action against any person who and the named respondents (government workers of various sorts) all appear to be precluded from filing an action – thus an injunction against the judge is superfluous since he cannot file a lawsuit anyhow. It is also unclear whether SCOTUS can issue an injunction against state judges asked to decide a lawsuit under Texas’s law. When SCOTUS say "it is unclear" in this context, they mean that petitions did not adequately demonstrate that the court can in fact issue such an injunction. It's not that SCOTUS cannot decide such matters after extensive consideration of the facts / arguments and discussion, it's that the standards for an emergency action require something that the court found lacking in the petition: we cannot say the applicants have met their burden to prevail in an injunction or stay application. In reaching this conclusion, we stress that we do not purport to resolve definitively any jurisdictional or substantive claim in the applicants’ lawsuit.
Is a conversation "private" (in a two-party state) if it is at your desk at work with a co-worker? In the context of an in-person conversation in the State of Washington (a two-party state), an online reference states: Whether a conversation or other communications is "private" depends on a number of case-specific factors, such as the subjective intention of the parties, the reasonableness of their expectation that the conversation would be private, the location of the conversation, and whether third parties were present. Suppose the location was your desk at work, and a co-worker came up and propositioned you. Further suppose that though this is in the midst of a cubicle farm nobody else was in earshot. Would it be legal to record such a conversation at your workplace without getting the consent of the co-worker? I can't tell from this as it seems to me: a) The subjective intention of the co-worker would probably be that the conversation was private; b) the lack of other people within earshot might have provided the co-worker with the expectation the conversation would be private; but on the other hand, c) at that location you would not expect privacy. (I will accept as valid, BTW, an answer pointing me to reasonably authoritative documentation, up to and including court cases on point. I was unable to find it: Stuff I found was all in the context of telephone conversations (i.e. not in-person) or public hearings or being a journalist.)
A reasonably analogous case is State v. Kipp, 179 Wn.2d 718. The court held that a secret recording was illegal, and the recording was of a face to face recording, using a cassette recorder. The court provides an analysis of the meaning of "private" under RCW 9.73.030, and concludes that "A communication is private (1) when parties manifest a subjective intention that it be private and (2) where that expectation is reasonable" (with appropriate in-state citations). They say that Factors bearing on the reasonableness of the privacy expectation include the duration and subject matter of the communication, the location of the communication and the presence or potential presence of third parties, and the role of the nonconsenting party and his or her relationship to the consenting party. Ultimately, the intent or reasonable expectations of the participants as manifested by the facts and circumstances of each case controls as to whether a conversation is private but in this case, Kipp manifested a subjective intention that the conversation be private. We have found subjective intent that a conversation be private even though the party does not explicitly state such an intention The court in fact rejects the state's contention that a person who confesses to child molestation should expect this information to be reported to the authorities, and therefore it is unreasonable to expect the conversation to remain private and the court reaffirms that the subject matter of the conversation in this case was not one that is normally intended to be public, demonstrating Kipp's reasonable expectation of privacy.
Trump was an officer of the government, and Twitter wasn't. The First Amendment forbids the government and its agents from viewpoint discrimination, but private companies are not bound by it and can discriminate as much as they please. (There was a question as to whether such discrimination might affect whether the company enjoys a shield from liability under 47 USC 230, but even so they have the right to block and censor as they wish if they are willing to risk that liability.)
Assuming that the documents were either true, or Manning reasonably believed that they were true, there would be no cause of action for defamation. Many of the documents disclosed would have been confidential in some sense, but usually a violation of a confidentiality statute has a criminal sanction associated with it, but does not carry with it a private cause of action – in part, because conceptually, the party actually harmed is considered to be the government and not the person about whom information is revealed. It is also possible that Manning could utilize the state secrets privilege as a defense and have such a suit dismissed on the grounds that a full and adequate defense of the claims would require the disclosure of official state secrets. For example, if a covert agent were murdered due to a wrongful disclosure of information, usually official disclosure of the fact of being a covert agent would be required to prove the case, and that evidence would be barred by the state secrets privilege, effectively barring the lawsuit entirely. Constitutional claims of privacy violations under the 4th Amendment generally relate to the wrongful acquisition of information and not its wrongful disclosure. The constitution bars unreasonable search and seizure, not unreasonable disclosure of information. The only privacy tort that might be applicable is "Public disclosure of embarrassing private facts." (A sister privacy tort, Intrusion upon seclusion or solitude, or into privacy affairs, is directed at the collection of data phase and not the dissemination phase). See Restatement of the Law (Second) of Torts, §§ 652B and 652D. But, this tort raises serious First Amendment concerns and has not been widely adopted. Realistically, this tort is unconstitutional in the absence of an affirmative contractual or quasi-contractual duty not to reveal facts that runs to the person making the disclosure, and in general, Manning would not have that kind of relationship. The classic public disclosure of embarrassing private facts case would involve a lawyer's or psychotherapist's revelations about a client. Also, in the case of the public disclosure tort the basis for damages is largely personal emotional distress and violation of trust, as opposed to damage to reputation, per se. The requirement is that the disclosure be embarrassing or breach of contract, not that it harm someone's reputation since you have no legal right to a reputation that differs from the truth.
They aren’t treated differently In most jurisdictions, law enforcement requires a warrant to intercept/open/read the contents of physical or electronic correspondence. Similarly, in most jurisdictions, a warrant is not required to read the metadata: who is communicating with whom, how and when but not what. That is they can read what’s written on the outside of the envelope or the routing information of the email/SMS. Telephony is not correspondence because it is not the intent of the parties to create a permanent record. It is usually treated as any other conversation - if it carried out in a place and manner that the participants have a reasonable expectation of privacy it’s usually illegal to record it (electronically or by writing it down). If it’s said publicly, it isn’t illegal.
In general, there are few laws in the US that restrict a person's freedom to disclose a fact known about another person. Examples of such limits are HIPAA which restricts health-professionals disclosure of medical information, and FERPA which restricts an educational institution's disclosure of student records. There are laws that restrict government disclosure of information about individuals. Confidentiality might be guaranteed via a contract, if there is a non-disclosure clause in the contract. A number of (major) businesses do have privacy policies where they promise not to disclose your information, or do so only in a specified way: such things generally exist for internet businesses. Some states like California have mandatory privacy policy laws. In New Jersey, there is simply the traditional tort claims of intrusion upon solitude, unreasonable publicity of private life, false light, and appropriation of name or likeness. Passing along general information about a person or a way to contact them would not be seen as an unreasonable intrusion.
The nature of the meeting matters: I assume this is a private meeting, not a public meeting. Under RCW 9.73.030, you have to announce that the meeting is being recorded (the announcement must itself be recorded), or the recording device must be obvious. There is no exception regarding property status (such as "on school property; in a government-funded facility"). But it also matters if the conversation is "private". See State v. Townsend, 57 P.3d 255, which gives weight to the subjective intent of the parties, thus the primary question would be whether the school official intended the communication to be private. Given strong FERPA privacy protection of personal information about students and in light of the likely nature of the conversation, one might think that the administrator intends the discussion to be private. However, the administrator cannot discuss e.g. disciplinary issues with third parties, so that would not be a valid basis for expecting privacy. You would really need to get a lawyer, discuss the expected subjects with the lawyer, and see if there is a reasonable expectation of privacy (even if this is not a public meeting). Your local ACLU chapter might advise you of your rights, though they would probably also advise you to not experiment with breaking the law (I don't see what legitimate purpose would be served by recording in secret).
Attorney-client privilege is normally waived if a privileged communication is voluntarily disclosed. Submission of an attorney-client privileged document to a judge to review in camera does not waive the attorney-client privilege. Most of the case law involves inadvertent "oops" style disclosures of attorney-client privileged documents (keep in mind that big lawsuits often involve exchanges of terabytes of data that have to be reviewed page by page for attorney-client privileged materials by armies of junior lawyers and paralegals, so mistakes are inevitably made now and then), which is a somewhat convoluted area of law. Basically, if it is caught soon enough, the person accidentally receiving it can be ordered to not look at it any more and to destroy it without keeping copies if it remains within an accidental recipient law firm or government agency's possession and has not been further disseminated into public records yet. In particular, such documents can't be presented as evidence at trial if the mistake is caught before it is too late to correct the mistake. In those cases, the legal system does its best to pretend that the mistaken disclosure of attorney-client privileged materials never happened.
You've identified exactly the right question: whether the person's subjective expectation of privacy, when viewed objectively, is the "justifiable under the circumstances". (Smith v. Maryland) The Supreme Court hasn't addressed how this test applies to ISPs and website requests. However, this question has been addressed by several circuit courts of appeal. I'll build a list of example cases. Many find that there is no reasonable expectation of privacy in this information, but there are some cases that go the other way, and there is some nuance regarding exactly what information is being given away. US v. Beckett (11th Cir. 2010): the information consisted of the identifying information transmitted during internet usage and phone calls that is necessary for the ISPs and phone companies to perform their services. It is unreasonable for Beckett to have been unaware that such information was being transmitted to the ISPs and phone companies and so he “assumed the risk that the company would reveal to police the [information].” United States v. Forrester, 512 F.3d 500, 510 (9th Cir. 2007): Analogously, e-mail and Internet users have no expectation of privacy in the to/from addresses of their messages or the IP addresses of the websites they visit because they should know that this information is provided to and used by Internet service providers for the specific purpose of directing the routing of information. Like telephone numbers, which provide instructions to the "switching equipment that processed those numbers," e-mail to/from addresses and IP addresses are not merely passively conveyed through third party equipment, but rather are voluntarily turned over in order to direct the third party's servers. Regarding your secondary question about a "secret machine" that the government develops to get access to contents of an envelope without opening it, that is very similar to the situation in Kyllo v US 533 U.S. 27 (2001) (internal quotations removed): [...] obtaining by sense-enhancing technology any information regarding the home's interior that could not otherwise have been obtained without physical intrusion into a constitutionally protected area constitutes a search-at least where (as here) the technology in question is not in general public use. [...] Reversing that approach would leave the homeowner at the mercy of advancing technology-including imaging technology that could discern all human activity in the home.
What should a contract contain to protect an employees rights to work on unrelated side projects in their free time? What should a contract contain to protect an employees rights to work on unrelated side projects in their free time? Assume UK employment law.
It should contain one of the following two clauses: A clause that explicitly lists all of the side projects you are working on at the point of employment, that will not be transferred to the employer's ownership under Section 11 of the Copyright, Designs and Patent Act 1998 ("the Act") which states (1) The author of a work is the first owner of any copyright in it, subject to the following provisions. (2) Where a literary, dramatic, musical or artistic work, or a film, is made by an employee in the course of his employment, his employer is the first owner of any copyright in the work subject to any agreement to the contrary. (3) This section does not apply to Crown copyright or Parliamentary copyright (see sections 163 and 165) or to copyright which subsists by virtue of section 168 (copyright of certain international organisations). This would mean that your existing side projects are protected, but any future side projects would transfer to your employer under S11(2). This might be fine if you don't intend on doing any more side projects during your employment and simply want to protect your existing work. A clause that explicitly rejects S11(2) of the Act in relation to work undertaken outside of your employment and not on company resources, that is specifically defined as "side projects" (including a non-exhaustive list of examples) and the rebuttable presumption that any such work is outside S11(2) unless proven to the civil standard in a court of law. This provides balance to both sides: the employee is free to pursue their side projects outside of work, but in the event that they work on them in company time and on company resources (e.g. a laptop) the employer is free to rebut that presumption in court and have the work transferred to them. Generally, the second clause seems to be what most employees would want in a contract to protect their side projects. Whether it can successfully be inserted depends on the negotiation between both sides. Most reasonable employers would not refuse it. The leading case on the matter of S11(2) is Penhallurick v MD5 Ltd [2021] EWCA Civ 1770 (02 December 2021) which future courts of first instance are presently bound to follow, unless the Supreme Court issues a different decision. What does "in the course of employment" mean? Per Penhallurick mentioned above, "in the course of employment" is generally held to mean doing things that you are paid for as part of your employment. For example, if you are a baker and you write a novel in your free time, it is clear that has nothing to do with your employment: you are not being paid by the bakery to write novels. However, if you were to write a baking cookbook that incorporated recipes that you developed at the bakery, that could be held to be done "in the course of employment" because the bakery could argue that you are paid to develop new recipes for them. The development of side projects in relation to software development is fraught with peril. A lot of employers will try and advance the argument that, although you did not develop the work using company resources and time, your work is still "connected" to the area they operate in. Well known examples of this include Google asserting ownership of software development side projects that, on the surface of it, aren't done on company time and resources and don't appear to have been done "in the course of employment" as you are not being paid specifically to work on, e.g. game development when you are employed as a website backend engineer. If the employer can present enough evidence that what you are/were working on is "connected" to their business in some fashion, that is (at present, in England and Wales) sufficient for ownership to transfer to them under S11(2) even if the work wasn't done in company time and/or using company resources. An example of a clause that seeks to protect side projects Both Parties agree that Section 11(2) of the Copyright, Designs and Patent Act 1988 ("the Act") does not apply to any and all Side Projects started prior to the commencement of employment. Both Parties also agree that S11(2) of the Act does not apply to any and all Side Projects started after the commencement of employment, specifically where said Side Projects are unrelated to the Employer's business of area of business. For the avoidance of doubt, "unrelated" has the ordinary meaning that a reasonable person would assign to it. For example, since the Employer operates in area of business, a Side Project regarding the development of an online video game is clearly unrelated to the Employer's business. This ex post presumption is rebuttable on the provision of clear and compelling evidence presented in a competent and validly constituted court of law in England and Wales that the Side Project was developed on company time and/or using company resources (e.g. a laptop) or that it validly infringes upon a business domain the Employer operates in. Both Parties agree that it will not be sufficient to adduce that the Employer "could" seek to operate in the Side Project's domain. For ownership to transfer under S11(2) of the Act, the Employer must demonstrate that they operated in that domain prior to the creation of the Side Project or that the Side Project has taken advantage of company resources that were not legitimately available outside of the company. For example, confidential company know-how that is specific to the Employer and not an industry standard or widely known thing. For the avoidance of doubt, use of open-source software (used in compliance with the licence and regardless of whether that software was created, released, or maintained by the Employer or someone else) does not constitute taking advantage of company resources. The Employer agrees to pay the Employee a sum of special damages assessed and awarded appropriately by a court of law in England and Wales for any attempt to subvert this clause or sue the Employee for a Side Project contrary to this clause. In the alternative, at the Employee's absolute discretion, a permanent injunction enforcing this clause may be awarded against the Employer.
I wrote a letter to the Eclipse Foundation. The consultant pointed me to section 5 in their FAQ. My case falls under the term "linking". He warned that he isn't a lawyer, but offered the following short answer: The Eclipse Foundation does not consider linking with EPL content to be a derivative work and so you are not required to disclose your source code.
Your premise is a little off, which changes the question somewhat. The actual clause in the 2016 Junior Doctors contract Section 3 (52) states: Where a doctor intends to undertake hours of paid work as a locum, additional to the hours set out in the work schedule, the doctor must initially offer such additional hours of work to the service of the NHS via an NHS staff bank of their choosing. The requirement to offer such service is limited to work commensurate with the grade and competencies of the doctor rather than work at a lower grade than the doctor is currently employed to work at. Additional work, such as; event and expedition medicine, work for medical charities, non-profits, humanitarian and similar organisations, or sports and exercise medicine do not fall under the scope of additional work as a locum. (note that 'locum' has a standard definition of 'a person who stands in temporarily for someone else of the same profession, especially a cleric or doctor' but is not defined in the contract itself - its a well known term that does not require further definition, but it plays an important part in your question) So, a few things from that section: Where a doctor intends to undertake hours of paid work as a locum This immediately sets limits on what the clause means - the intention is to limit locum work, not general work. The requirement to offer such service is limited to work commensurate with the grade and competencies of the doctor rather than work at a lower grade than the doctor is currently employed to work at A FY2 or later junior doctor can go elsewhere to work as a house officer if they cannot find work as a senior house officer, again restricting the clause to similar working conditions and not general work. This is very very similar to any company putting a non-compete in their contract for, say, a software developer - you need the companies permission to go do contract work for another software company for example. To specifically talk to your point about being a gardener, this clause does not cover that because the employee is not acting as a locum in their professional capacity at that point. The intention of this clause is to fill the gaps in the NHS staffing plan caused by 11 years of mismanagement and underfunding - no longer can an in-contract doctor or nurse work their 38 hour rota and then go fill a lucrative shift with a private hospital, they must offer any hours under 48 to the NHS via the employee bank - this means the bank can pay minimal wages to cover shifts it had to pay locums a lot more to cover before 2016.
Your client is confused about how copyright law works (at least in the United States and virtually every other country I've ever heard about copyright in). If I were guessing, they read something like this from the United States Copyright Office: The copyright in a derivative work covers only the additions, changes, or other new material appearing for the first time in the work. Protection does not extend to any preexisting material, that is, previously published or previously registered works or works in the public domain or owned by a third party. and figured that because it's a derivative work, the copyright only covers the additions and changes they make, and there's no copyright protection for the original work. This misunderstands the law: the original work still has its own copyright (assuming it hasn't expired), and permission from the holder of the copyright on the original work is required to create that derivative work in the first place*. The copyright on the derivative work is separate—that is, both copyrights exist in parallel. * Some exceptions, such as fair use, exist, but would be unlikely to apply to the situation you describe.
Assumptions Let us assume that the code involved was created during the period of employment, was within the scope of that employment, and was validly work-made-for-hire (WFH). In that case, the code copyright is owned by the former employer.dn the person who wrote it has no more rights than a random stranger would. I am also going to assume US law. Ownership of Ideas Who owns the ideas, the knowledge of how these libraries work? No one does. In the absence of a patent, no one ever "owns" an idea. ]17 USC 102(b)](https://copyright.gov/title17/92chap1.html#102) provides: (b) In no case does copyright protection for an original work of authorship extend to any idea, procedure, process, system, method of operation, concept, principle, or discovery, regardless of the form in which it is described, explained, illustrated, or embodied in such work. Derivative Works Copyright law does prohibit anyone making a derivative work from a work protected by copyright without the permission of the owner. A derivative work is one "based on" the source work. The classic case is a translation. Exactly when a piece of software is a derivative work of another is fact-dependent. Bu several things are clear. If the source work is trivial and obvious, ther may not be sufficient "originality" for the source work to be protected by copyright at all. If the source work is not protected by a valid copyright, nothing is a derivative work of it. A "hello world" program, for example, is probably not original enough for any copyright. A straight-forward implementation of a basic algorithm like quicksort is probably not original enough, either. If there is only one way, or only a small number of ways, to express the ideas of the source work, the merger doctrine applies. This means that the expression of the work is merged into the idea, leaving the expression unprotected. When the merger doctrine applies, there is, in effect, no copyright. If a work copies ideas from a source, but none of its particular expression of those ideas, the result is not a derivative work, and is not an infringement of copyright. If a work is definitive, but is also a fair use of the source work, it is not an infringement. The usual four-factor fir use analysis must be made to determine this. In particular, if a work is highly transformative, it is likey to be found to be a fair use. Issues from the Question What if the new code (presumably, in the case of something simple) comes out exactly the same (even if I rewrite it without looking)? That Rather suggests that the work was too trivial to be original enough to have copyright protection at all, or else that there are only a few ways to express the idea, and the merger doctrine applies. But if neither o those were true, this might be an infringement. [* To be coninued*]
I would recommend talking to an adult person in HR. I'm quite sure they will notice that what your manager wants to do is more than dodgy, and doing something dodgy may be in the interest of your manager, but not in the interest of the company. The best thing is to go to HR, acting as if a mistake has been made, and point out to them what your start date was, and that the new contract has the incorrect starting date, and they need to fix this mistake or you can't sign the contract. If they insist you sign it, then you DON'T sign it. If they say you will be fired if you don't sign it, then you tell them that in that case you would get legal advice. BTW. You definitely don't sign this as it is. PS. This answer was posted on workplace.stackexchange, not law.stackexchange, so please don't complain if there is no legal content.
Based on the contract language quoted in the question, and the facts stated there, it would seem that the employee owns the copyright on the software. It would seem that the software was not created "during the course of employment." However, when the employee offers it to the employer free of charge, the employer may well want to own the copyright and any other related IP. The employer might want the employee to sign an agreement transferring the copyright. Or the employer might simply treat the software as belonging to the employer. Asserting and enforcing the copyright against the employer might be difficult. Insisting on even a token payment would help establish thst the copyright belongs to the employee, or gettign the employer to sign an acknowledgement of the ewmployee's copyright would have a similar, bnt even stronger effect.
Yes, but maybe no. In many state universities that I am familiar with, there are contractual guarantees that exempt regular academic staff from the "we pwn all your stuff" rule, which does not extend to other staff. (I had to toss back a contract for subcontracted work once because they asserted automatic ownership of copyright). It depends on your contract, entirely. Which, if it is non-existent, is a bit problematic. Their claim would be based on "work for hire" law, 17 USC 101, where the central question is whether it is "a work prepared by an employee within the scope of his or her employment". If this is a work for hire, they have more than a right to the proceeds of the work, they own the work and can sue you for publishing without permission. Work for hire means they own the copyright, and only the copyright owner can authorize publication. You do not legally have to have an attorney to request a release, but you should have one, because if you request a release, you are admitting that this is a work for hire. Your lawyer would tell you not to admit to such a thing. Of course, if you are reasonably certain that this is a work for hire and don't intend to contend otherwise, that kind of foot-shooting is not a concern. If your lawyer delivers a formal letter to your boss, the boss will almost certainly hand it to the university attorneys, and both parties will then take the hardest line possible, in defense of the interests of their clients.
What is the point of requiring consideration in a contract? If a contract where Bob gives Alice a peppercorn and she gives him an airplane will be enforced by a court if one of them tries to back out, what's the point of not enforcing a contract where Alice promises Bob the plane with no consideration from Bob?
Lon Fuller, in a classic article titled "Consideration and Form" posited three purposes of consideration: an evidentiary function, a cautionary function, and a channelling function. He quotes from Austin to say, consideration can be "evidence of the existence and purport of the contract, in case of controversy". The requirement for consideration can also just slow down the transaction, give the party time to consider their actions more carefully before committing to obligations. Other formal requirements can have a similar effect (requirement for a contract to be in writing, in certain domains, for example). He argues that the requirement for consideration provides a useful "channelling" function, in that it assists in carving out as a class those promises which people will be held to be bound to. Most of the article is devoted to explaining the ways in which this channelling function produces a worthwhile categorization. As for your specific question about peppercorn or "nominal" consideration, Fuller writes: The proper ground for upholding these decisions would seem to be that the desiderata underlying the use of formalities are here satisfied by the fact that the parties have taken the trouble to cast their transaction in the form of an exchange. The promise supported by nominal consideration then becomes enforceable for reasons similar to those which justify the enforcement of the promise under seal. In your example though, I actually don't see the contract issue. You ask, "what's the point of not enforcing a contract where Alice gives Bob the plane with no consideration from Bob?" But Alice can absolutely choose to gift an airplane to Bob. For a gift, there merely needs to be transfer, donative intent, and acceptance. That does not involve a contract law issue. The transfer would be complete and there would be no further obligation either side could be in breach of. If you rephrase your question to "what's the point of not enforcing a contract where Alice promises to give Bob the plane with no consideration from Bob?" then the contract issue appears: does Alice now have an obligation to give Bob the airplane or otherwise be in breach?
In normal commercial situations there is the principle of freedom of contract where parties are free to contract with whom they choose. As a result of this principle, they are also free to not choose to contract with whom they choose (i.e. refuse to serve someone). There are limits, such as if it could be argued that by doing so contravenes other laws, such as those against discrimination on the basis of race, age or gender for example. When a public entity is involved, it is a branch of government and is governed by the rules that define the relationship between the individual and the state - the constitution, so principles of constitutional law apply. Decisions made by public bodies can therefore be subject to judicial review, where an affected party or someone with sufficient standing can take the matter to court to be reviewed by a judge.
In general, "a signed piece of paper" is not "a contract". It may be a record of a contract, but the contract itself is the meeting of minds where an agreement is reached and doesn't depend on the existence of the piece of paper. (Depending on the jurisdiction, some sorts of contract are required to be in writing, but this doesn't usually apply to employment contracts; it's usually contracts involving land.) What is far more worrying to me is that you don't know how much they are going to pay you. That suggests there hasn't been a meeting of minds, and there is no contract. (It might be that "the going rate" is good enough to form a contract - to determine that would require advice from a local lawyer.) I suggest you don't write up a formal agreement, but nag your boss to decide how much they are actually going to pay you.
Should I ask for a contract, when asking for the money? The proper time to define or formalize a contract is not when asking for the money, but when agreeing what tasks are expected from you and how much you will charge therefor. That way both parties will be clear on what is expected from each other. And if a dispute is brought to court, the fact-finder will have an objective document from which to identify who breached the contract. It is always recommendable that the contract be self-contained, and that relevant interactions between the parties be in writing or memorialized in some way that leaves no room for unverifiable allegations of the type "I said, he said".
Offer and Acceptance What you have been presented with is an offer; by signing it unamended you accept the other party's offer and create a legally binding contract. If you amend it and sign it you have made a counter-offer that is now open for the other party to accept. There is no contract until they do. Two points to remember: Making a counter-offer ends the original offer: it is no longer open to you to accept the original offer. Offers may be accepted by actions: if you make a (counter-)offer and the other party acts like they have accepted it (e.g. by doing the things the contract would require of them) then it is likely that the offer has been accepted and a contract formed. Many disputes lie along this path - see battle of the forms. Signatures There is no need for an offer, an acceptance or a contract to be signed by anyone. There is not even a need for them to be written down. If you go into the supermarket and put their goods on the cashier's counter, you have made an offer to buy those goods at the price the supermarket has advertised. The supermarket accepts your offer by scanning the groceries and putting them in a bag. The contract is completed when you hand over your money.
One of the principles of contract law is that the offer and acceptance are evaluated based on the objectively ascertainable intentions as judged by a reasonable person. On the facts that you have provided - even if your friend claims that they filled it out wrong, there is no reason for someone to objectively think so, particularly given the fact that they went to the trouble of writing the information in. However, this will depend on what kind of legally binding document this is. If it is, in fact, a contract, then the employer must accept it before it becomes legally binding, and they must actually communicate this acceptance to your friend (the offeror). If this is a policy document, then it is only legally binding if another contract has said that it is legally binding - generally, (smart) employers will include a clause in their employment contract stating that you are to adhere to policies but that those policies do not form part of the contract. If that is the case, then your friend is legally bound by the terms of the policy and will breach their employment contract if they do not adhere to this policy. This is unlikely to be an issue of contract law in and of itself - your friend cannot unilaterally bind their employer to terms as he sees fit. More information - including the nature of the document and other agreements that were made - would be required to provide more useful information (and that's what you would give to a lawyer).
An obvious example would be a contract that gives possession of something to someone else. It's normally legal to use some reasonable amount of force to protect or prevent trespasses against property you own, but if you give possession of that property to someone else you can lose that right. For example, you can use force remove a guest who refuses to leave real property you own, but can't use force to remove a tenant even if they broke the terms of your contract. In most jurisdictions you'd need to get a court order and have the police use force if necessary remove the tenant.
Contracts are a relationship between two or more people Just as it is meaningless to speak of marrying yourself, it is equally meaningless to speak of a contract with yourself. Even if you were to draft such a thing, you would not have standing to sue because you can’t sue yourself. Your example probably isn’t a “one person contract” It’s a contract between the car owner (person 1) and the car yard (person 2) - probably a corporation. The fact that person 1 is representing both parties to the contract doesn’t make it a “one person contract”. There are potential conflicts of interest with this but they are not necessarily ones that can’t be overcome. However, if the car owner runs a business as a car dealer as a sole trader, then, no, they cannot make this kind of contract.
How can a lender of a small loan protect himself from the borrower not paying them back? An acquaintance asked me to lend him money. I believed his story and lent him $100. He promised to pay me back $150 in 5 days time. It's been months and he hasn't paid me anything. I have heard that this interest rate is illegally high for a loan. Is this correct? I hadn't really consider this to be a loan but I guess it is. How can small loan lenders protect themselves? Going to court for such a small amount isn't worth it and I don't know his current address. Would have holding collateral been a legal solution? Some loan agreements found on Docracy have terms that may mitigate the impact on the lender when the borrow doens't repay (on time). Late Charge: Any payment not remunerated within 10 days of its due date shall be subject to a belatedly charge of 5 percent (%) of the payment, not to exceed $500 for any such late installment. ... Collection fees: If this note is placed with a legal representative for collection, then Borrower agrees to pay an attorney's fee of ten percent (10%) of the voluntary balance. This fee will be added to the unpaid balance of the loan. ... Costs: The Borrower shall be liable for the costs, if any, in respect of the drafting and execution of this contact [sic]. Would any of these terms or similar ones make it productive to take legal action against a borrower of $100? Would a term like "if the lender needs to resort to legal action to enforce a term of this agreement, the borrow will reimburse him for all related expenses and his time" be enforceable?
I have heard that this interest rate is illegally high for a loan. Is this correct? Yes. This is an annualized interest rate of 715,586,124,880,210%, which is far, far in excess of the maximum interest rate allowed by law. The maximum legally allowed interest rate in British Columbia is 60% per annum. So, an interest rate of 65 cents or more in a five day period on a loan of $100.00 is illegal. I don't know his current address. Lending money without collateral to people without knowing their current address is just plain stupid when it comes to lending practices. Nobody does that without a primarily donative intent. Would have holding collateral been a legal solution? Potentially. This is essentially the business model of a pawn shop. In the case of a pawn shop, the borrower delivers tangible personal property to the pawn shop owner who takes custody of it, which serves as collateral for a small loan with a set, legal interest rate, for a fixed period of time much greater than five days (typically several weeks or to several months). If the loan is not repaid, the collateral becomes the property of the lender in full payment of the loan, and the parties haggle in advance over the fair market value of the collateral against which the customer may borrow the full amount. A pawn is essentially equivalent to an outright sale of tangible personal property (almost always used) in exchange for cash, with a right to rescind the deal for a modest interest charge within X number of days after the sale. Since the pawn shop owner has some asset of the borrower to collect from in the event of non-payment, and the loan is "non-recourse" (i.e. collection rights are limited to taking ownership of the collateral), it isn't important to even know the address of the borrower, and no lawsuits are necessary for the lending pawn shop owner to be made whole if the loan is not repaid. The down side of running a pawn shop is that the owner needs to have considerable skill to value the collateral at a price sufficient to repay the loan together with a fair share of the administrative expenses of the operation on a case by case basis, for the very modest profit margin associated with a typical pawn shop. Most people who are skilled enough to value tangible personal property accurately enough to make money running a pawn ship are also skilled enough to do other things that pay better. Late Charge: Any payment not remunerated within 10 days of its due date shall be subject to a belatedly charge of 5 percent (%) of the payment, not to exceed $500 for any such late installment. Late charges are considered in the maximum interest rate calculation, so you need a much longer term loan and a much lower interest rate for this to be legally permissible. Collection fees: If this note is placed with a legal representative for collection, then Borrower agrees to pay an attorney's fee of ten percent (10%) of the voluntary balance. This fee will be added to the unpaid balance of the loan. Not sure what is meant by the "voluntary balance." It isn't inherently improper to include the costs of collection in a loan agreement, and indeed, I think that this may be the default rule of law in British Columbia without any contractual term under loser pays rules of civil procedure. But, a court can decline to award more than the "reasonable" legal fees incurred to collect a debt, and it is not at all clear that even the minimal amount of legal fees one could incur to collect a debt would be reasonable to collect a loan of $100 and interest. Likewise, while there are "hard money loans" (i.e. loans secured only by collateral and no personal obligation to pay that can be enforced against an individual's assets in court), where it is customary for the legal costs of drafting the loan documents to be paid by the borrower rather than the lender, for the most part, this simply makes no sense, because even 12 minutes of legal time (0.2 hours in the typical legal billing format) is an excessive amount to charge for a $100 loan for a five day period of time. This would typically be $50-$60 or more. It would probably be treated as an interest charge and hence would be illegal in British Columbia. Would a term like "if the lender needs to resort to legal action to enforce a term of this agreement, the borrow will reimburse him for all related expenses and his time" be enforceable? Reimbursement for out of pocket court filing fees and any photocopying costs and process server costs is likely to be enforceable. Reimbursement for the lenders own time to enforce the loan in the event of a default is probably not enforceable in the case of a $100 loan, even at minimum wage. Making small loans has historically been a marginal economic sector for precisely this reason. Even if the default rate is low, the administrative costs associated with making and enforcing (in the event of defaults) a small loan and the administrative costs associated with making and enforcing these promise for a much larger loan are similar. But the dollar amount of interest generated by a small loan is much smaller relative to the administrative costs involved than the interest on a large loan. Credit card companies and similar lenders make small loans affordable by automating the lending process, screening borrowers based upon credit ratings, making many loans each month to the same borrower, and making loans to many, many borrowers to spread the risk out. But making small loans on a one-off basis is not a profitable venture. Business models that charge enough to be profitable with small loans, like payday lenders and car title lenders in the United States, usually have some sort of collateral or de facto collateral (like a post-dated check), and tend to be shut down by regulators because their interest rates typically need to be on the order of 150%-400% per annum to make a profit, due to high administrative costs involved in making small loans relative to the amount of the loan. But interest rates this high are considered exploitive and are illegal. Another business model, which essentially describes the business model in the question except for the enforcement method, is called "loan sharking". The main difference between legitimate or almost legitimate small loan lending and loan sharking, is that loan sharks enforce their loans by having organized crime enforcers beat up people who don't pay, rather than using lawsuits to deal with loan defaults. This is, of course, completely illegal and a serious crime.
In a civil action: If you are serving written discovery on a party, under the federal rules of civil procedure, or in any state whose adopted the model rules, (rules 33-37 typically), you need only send your requests for interrogatories, the production of documents, or for admissions to the party (through their counsel unless they are pro se), accompanied by the discovery notice, detailing the time frame in which they are due. It is typical that this time frame will get extended, sometimes by double or triple the original 21 day period plus 3-5 days for mailing. When the party is represented (this is 99% of the time) the attorney will just call you or email you for an extension and it is pro forma to assent to this. The court will not be happy if they need to seek permission of the court for this because you refused, as it is that common, and you will just get a reputation as a non-cooperative pain (not to mention, the time will come when you need an extension, and what comes around goes around). If they seek an unreasonable amount of time (I'm talking so close to the discovery cut off that you'd not have time for depositions after receipt), then you can limit it, but a couple of months is common. This need not go through the court. If they are not represented, they may just be late rather than calling, in which case you have a duty to contact them before involving the court. This is just because they don't know it is the norm, and it is nearly impossible to pull together everything needed from a full set of discovery in 21 days. When there is a true discovery dispute, you must show the court that you made all due diligent efforts to resolve it on your own. I don't have my rules in front of me (I will edit and add this when I do) ... but this is in the rules, it is not just practically speaking. Also, many jurisdictions require that you contact the court's clerk and get permission before filing any discovery motions. Sending a subpoena is not ever how this is dealt with. If the opposing party fails to respond, or if they are continually late and despite numerous contacts they still do not produce, then you would schedule a discovery conference with the court at which time you will seek a motion to compel. The court will typically give them even more time at this point. You are correct in that when a third-party is served with discovery request, since they have no obligation to take part in the case but for the presence of a subpoena; hence, in this situation you would use a subpoena to request whatever it is you are requesting. They may get their own lawyer who will try to limit your right to get anything from them as a non-essential party, but if it is really relevant you can do it. You would also use the subpoena for depositions, to ensure that witnesses present themselves. Otherwise, subpoenas are reserved for acquiring witnesses to appear in court or for custodians of records to bring records to court for hearings or trial.
Yes; While contracts can be made in written and oral form bigger acquisitions normally are in written form. Also consider this: They can't prove that they told you that the balcony is not usable. Thats a big negative in buying a property and they would need to have it documented. If they still refuse consider seeking professional help. In my country lawyers offer "fast help" that isn't legally binding but costs you only 10$ and helps you finding out if your case has any possibility to get accepted/if you're right. EDIT: Regarding the reservation fee: You can dismiss that. You didn't reserved that object, you reserved a house with balcony.
If two parties have a contract, where one party is required to do X in exchange for the other party doing Y, then the terms specified in that contract would determine what happens. You would have to see exactly what it says, especially if the other party has the option to not give you money. A contract might say "A shall at his option give B $5,000 by date X; if A elects not to make payment, notice must be given 60 days before X". Failing to give timely notice is thus breech of contract. However if the clause only says "A shall at his option give B $5,000 by date X", then there is no requirement for advance notice. And this assumes that there is a contract whereby both parties have some obligation to the other. A gift, on the other hand, carries no obligations on the giving party. There may be some social code to the effect that they should have told you by now, but failing to give advance notice is at most rude and certainly not legally actionable.
In general, "a signed piece of paper" is not "a contract". It may be a record of a contract, but the contract itself is the meeting of minds where an agreement is reached and doesn't depend on the existence of the piece of paper. (Depending on the jurisdiction, some sorts of contract are required to be in writing, but this doesn't usually apply to employment contracts; it's usually contracts involving land.) What is far more worrying to me is that you don't know how much they are going to pay you. That suggests there hasn't been a meeting of minds, and there is no contract. (It might be that "the going rate" is good enough to form a contract - to determine that would require advice from a local lawyer.) I suggest you don't write up a formal agreement, but nag your boss to decide how much they are actually going to pay you.
Can landlord backbill 4.5 years worth of utilities that were never billed to us bimonthly as directed in the lease? Yes, since the bimonthly billing issue appears to be within the LA statute of limitations for claims of breach of contract: 10 years (see here). But you might want to check the actual legislative language of the statute referred therein and the prior or consecutive ones --all pertaining to statutes of limitations-- so as to ascertain the accuracy of information in the first link (navigating through the bunch of LA two- or three-line statutes for this and that gets annoying). They are desperate to get me to move out since it is a rent-controlled unit and I feel like they have done this to cause issues and force me to default on rent. Is this a legal practice? I am not knowledgeable of state legislation particular to rent-controlled units, but I highly doubt it is lawful for them to proceed that way. Other details you describe reflect that the company has been --or is being-- malicious or grossly negligent. If so, strictly speaking, the company's conduct (1) ought to weaken its position or merits in trying to force you out, and (2) tends to contravene the contract law covenant of good faith and fair dealing (see below). If your lease mentions any statutes regarding rent-controlled units, you may want to search for case law at leagle.com to see how the statutes are applied. Without knowing the terms of your lease, I think your priority should at all times be the rent itself so as to avoid eviction. Does the "billing every two months" in the lease have any hold on this issue if they breached their own lease? Maybe not. The repeated, yet sole, failure to send you the bimonthly billings falls short of landlord's breach of contract. For your argument on breach of contract to prevail, you would have to prove that the landlord knowingly/deliberately let the water bills pile up prior to demanding you to pay everything at once. That would prove that the landlord is not meeting the covenant of good faith and fair dealing that is prerequisite in contract law.
The relevant part of Texas law is in the property code, §§92.101-92.109 §92.104 allows them to "deduct from the deposit damages and charges for which the tenant is legally liable under the lease or as a result of breaching the lease", and then they must "give to the tenant the balance of the security deposit, if any, together with a written description and itemized list of all deductions" (except when there is uncontroversial rent owed). §92.109 states what the landlord's liability is, namely a landlord who in bad faith retains a security deposit in violation of this subchapter is liable for an amount equal to the sum of $100, three times the portion of the deposit wrongfully withheld, and the tenant's reasonable attorney's fees in a suit to recover the deposit. This requires bad faith, not just being wrong. If you dispute the deductions, you can sue the landlord to recover the deposit. The law also provides that "In an action brought by a tenant under this subchapter, the landlord has the burden of proving that the retention of any portion of the security deposit was reasonable". In order to extract more money from you for putative damages, the landlord will have to sue you and establish that there was an additional $2,000 damages. If the court finds that you did actually did damage the apartment, you may be ordered to compensate the landlord. Until you get such an order, you don't owe them anything; you may be able to recover the damage deposit if the "damage" was insignificant. This sketches the process of suing in Justice Court to get your deposit back, highlighting details like the demand letter that you might not have known you have to write. As far as your credit history is concerned, this is not entirely clear. The Fair Credit Reporting Act regulates the industry of credit reporting, and crucially you can dispute false claims of debts. This does not prevent a person from making such a claim. I do not have an account with the Big 3 reporting services, so I don't know what their standards are for recording a putative debt. However, you can insert a suitable statement in your record disputing the validity of the claim. It is most likely that the landlord would sell the putative debt to a collection agency. That industry is regulated by the Fair Debt Collection Practices Act, and there is a procedure about disputing an alleged debt.
In California, the small claims court has jurisdiction over claims up to $10,000. In order to have personal jurisdiction over him: He must have a summons and complaint hand delivered to him (or to certain other people such as an adult who lives in his household, or to his secretary if he has one). This is called "service of process" and there are professionals called "process servers" who can do this for you in most cities. The service of process can take place anywhere in the world and still be valid. The summons and complaint must be hand delivered by a person over the age of eighteen who is not a party to the lawsuit and is not your attorney. The events that form the basis of the lawsuit must have happened in California, not merely the United States (long arm personal jurisdiction), or he must have the summons and complaint personally hand delivered to him in the State of California (tag jurisdiction). If you win, either by default if he fails to respond by the deadline, or following a trial, you will get a piece of paper called a judgment that legally determines that he owes you $X, which you must then enforce. A judgment can be enforced, for example, by garnishing his bank accounts, garnishing monies due to him from an employer or from a sole proprietorship he operates, seizing tangible personal property that he owns with the assistance of a sheriff, or putting a lien on real estate he owns. A judgment from a California small claims court can only be enforced against assets in California. There is a relatively simple process for having a judgment from California turned into a judgment from any other U.S. state. There is a relatively difficult and expensive process for having a judgment from California turned into a judgment from England that only sometimes works because some aspects of the U.S. civil court system (like punitive damages) are considered to be against public policy in England and are thus not enforceable there. You cannot have someone arrested for failure to pay a civil judgment. Enforcing the judgment is likely to be much more difficult than getting the judgment in your case. It is also possible to make a criminal complaint if the acts genuinely constitute theft. If a prosecutor finds that there is probable cause to back up your claim, the prosecutor could obtain an arrest warrant from the court in the place where the theft took place and that could be served within California when the individual is present in California (i.e., he could be arrested in California, after which the criminal justice process would proceed). Generally, to constitute theft, it must be intentional and must not be a mere breach of an agreement, in which case it is a breach of contract rather than theft. Any theft small enough to be addressed in small claims court would probably not be considered serious enough for the government to request extradition from the U.K. for, a step usually reserved for serious felonies, but if extradiction was sought from the U.K., the process on the U.K. side is described here. Any extradiction request would be handled by the prosecutor's office and law enforcement, in cooperation with federal law enforcement agencies.
When to File a Motion to Compel Arbitration in a LT Trial? In a landlord tenant case in NJ, should one file a Motion to compel arbitration before the case is heard or should one wait to make that argument orally in front of the judge? If it is ideal to submit the Motion in advance, what type of motion should be filed? A Motion to Stay the case pending arbitration?
The statute that explains what kind of motion to file is the New Jersey Arbitration Act. Some background can be found here and in the authorities linked therein. The statute runs from New Jersey Revised Statutes Sections 2A:23B-1 to 2A:23B-32. The main section applicable to filing a Motion is NJRS § 2A:23B-7. The Federal Arbitration Act is also relevant. Warning: There are lots of technicalities buried in this part of the law.
What the landlord is doing is forcing you to abide by the terms of your lease agreement. You most likely agreed to a 1 year lease on a signed document, which means you're pretty much screwed because if he wanted to, he could force you to fulfill the lease and pay him anyway. However, his remarks about when you can notify to terminate are wrong. See end of answer. About Terminating Your Lease Early However, there are a few loopholes you can exploit. The easiest one is to get him to increase your rent. Ask about it, tell him that you're considering staying but tell him you want to know if he's going to increase the rent by much. If he declares that he is going to increase the rent, perfect. Get him to send it to you in writing (which he is legally required to do). Just in case though, have him on speaker phone and record every conversation you have from now on without telling him. This is legal (see this answer) and is a powerful form of evidence, so exploit the hell out of it. If you can get him to tell you that he's going to increase your rent, then you can legally submit a notice to terminate tenancy on the grounds that you do not wish to pay the increase. In this case, the amount of notice that you have to give is capped to the day that the rent increase is to take place. If you try this, do everything you can to get it in writing. Don't feel proud of snaring him and immediately announce that you're leaving because of this as soon as he says it on the phone, because you're screwing yourself out of going through the proper channels to make sure you not only win, but you've made your case air tight. Also, feel free to let you landlord know that he owes you money. Landlords in Ontario have to repay you a capped interest rate on your last months' deposit every 12 months. This rate is decided annually and for 2015 is capped at 1.6%. If your landlord wants to be anal about the rules and stick the letter of the law to you, do it back. Becoming a pain your landlords ass is a great way to get them to either become more flexible, or make a mistake that will give you an out. Notice that if he does increase the rent, he can demand that you increase your last months deposit and force you to pay it. You could "accidently" make him aware of this right in a conversation where you are concerned about a rent increase immediately after letting him know that he owes you money for the interest. "I'm concerned about the rent increase because I have to increase my deposit by law too." This way, he'll hopefully have the thought "I can avoid having to give him any money by increasing his rent by the same interest rate, so he'll owe me what I owe him, therefore I owe nothing. I'm so smart!" Then he cheerfully gives you a notice to increase rent, at which time you invoke your right to terminate tenancy on short notice due to an increase in rent. Your Landlord Is Wrong All that aside, your landlord committed an illegal act when they refused your notice to terminate, because he's denying you your rights under the RTA. From the Residential Tenancies Act: A tenant may terminate a tenancy at the end of a period of the tenancy or at the end of the term of a tenancy for a fixed term by giving notice of termination to the landlord in accordance with section 44. 2006, c. 17, s. 47 The details adjust a little bit depending on your circumstances, but the conditions in section 44 are basically to ensure the following: You are giving 60 days notice. You are not giving 60 days notice where the termination date you provide is less than the previously agreed term, except in special cases like the one I mention about increased rent. There is nothing in section 44 that can be confused to mean that you must wait until you have passed the end of your term before you can decide to leave. I suspect your landlord is deliberately interpreting the use of wording like "may terminate at the end of" to imply you have to wait to give your notice. A notice of termination is not a termination. It is a notice that in the future, you are going to terminate. Let's remove the confusion by replacing the word "terminate" with "vacating the premises and not paying another cent". That should remove any ambiguity that could be abused. So frankly you can simply go straight to the board, file the appropriate form with them and just pack up and leave when you've reached the date specified in the notice to terminate. Your final month is covered by your deposit. File the form immediately, let them know about the conversation you had with your landlord, then go to your bank and cancel the cheques you've already written (except for your deposit cheque) and simply ignore the landlord, carrying on with your moving plans. You should ask the Board if this illegal act has any ramifications. Perhaps because he has done this, this gives you an immediate out or something else. Call the Board and tell them what happened and ask them. They have an obligation to inform you correctly. Sources: Landlord Tenant Board of Ontario FAQ Final Note The Board is there to serve you, free of charge. They have a duty, as it is their explicit directive, to assist you in all matters regarding being a tenant. Phone them, talk to them at length, demand assistance. They are to inform you of your rights and guide you on the appropriate action, forms and procedure to assist you in resolving any issues you have. Note that I wrote the whole bit about getting out of your lease early legally before I refreshed my memory on the fact that you can/should give your 60 days notice before the end of your lease period. That makes the case much simpler as a I note in my answer. I left the information I already wrote however because it could be applicable or at least be of some help to others. Also note that if you're saying that the landlord came to get more cheques on the basis of his lie that he used to refuse your attempt to legally leave, then you'll need to cancel those cheques. That costs money. That alone is enough of a case to take him before the Tribunal and force him to repay the cost of those cancelled cheques. You may even successfully claim further damages or the Tribunal may voluntarily award you money for the actions your landlord is deliberately taking to deprive you of your rights. Talk to the Board.
It depends How good is your (legal) English? For example, do you know the legal difference between "will", "shall" and "must"? Or, the difference between "employee", "subcontractor" and "worker"? Or the difference between "bankruptcy", "insolvency" and an "act of bankruptcy"? Contingency What are you going to put in your dispute resolution clause? Do you prefer mediation, arbitration or litigation? Will it be a one size fits all or will it be escalating? What happens if one of you dies? Or emigrates? Or divorces? Or is convicted of a crime? A financial crime? A violent crime? A sexual crime? Or what if such is just alleged but not proven? What happens if the company ceases to exist? Or is sued? Or is acquired by someone else? Or by one of you? Who is responsible for insuring the subject matter of the contract (if anyone)? To what value? If the person who should doesn't can the other person effect the insurance and claim the premium as a debt due and payable? Not all of these will be relevant to your contract. Familiarity How familiar are you with this sort of contract? Is this something you do all the time or is this a one off? For example, I am happy to enter a construction contract without legal advice because that's my business and has been for many years - I know my risks and how to manage them, inside and outside the contract. However, when I set up shareholder's agreements, wills and business continuation insurance with my partners, we went to a lawyer. What is your relationship with the other person i.e. how much do you know and trust them? Stakes If the contract is not very important (which is something that varies with the participants, for some people a million dollar contract is not important for others a $5 one is), so that if, by screwing up, you are OK if you lose everything you've staked then write it yourself. Alternatively, if the contract is vitally important to you and your heirs and assignees unto the 6th generation, I'd get a lawyer to write it - its pretty cheap insurance. How long the contract lasts will be a factor in this - a contract that exposes you to risk for 3 months is different than one that does so for 25 years. Basically, its a risk reward calculation. TL;DR Contracts only matter when relationships break down. If you reach for the contract then you can expect that the other party will be playing for keeps and that contract is your only defense against the worst they can do. If you are happy with your skills in mitigating against a cashed-up opponent who wants to see you go down no matter the cost then draft it yourself.
If you have something to say, you should have said it before now When a judge is about to hand down a decision the case is all but over. Just like figure skating at the Olympics, the points are scored even if nobody but the judges know what they are yet. The onus is on the parties to bring forward all the evidence and make all the submissions on the law that they want the judge to consider before and during the hearing. If they didn't then that's their fault and they can't introduce new stuff now. Now, it's not uncommon for a judge to share their thoughts during the hearing or in writing when considering written submissions. This is because their thinking on the law is at variance with what the parties are contending. The plaintiff says the law is X, the defendant says the law is Y, the judge thinks they're both idiots and the law is clearly Z. They will usually call for submissions on this because the judge's role is to decide the dispute between the parties on the evidence the contend -not to impose the judge's interpretation on them; by doing this the parties may relies the judge is right and a lot of the dispute disappears or they may convince the judge that they are wrong (it's not unknown) and move on from a clear agreed position.
Short answer: Yes, you can get out. However, this will be harder than you may want it to be. You will need to check your lease agreement for an arbitration clause. If the lease mentions disagreements will be handled by arbitration (or an arbiter), you need to know that going into this. Arbitration clauses usually stipulate that the landlord picks the arbiter, who will almost always be predisposed to side with the landlord. This pamphlet sheds insight into the situation. Skip down to PDF page 22, section header "My neighbors are constantly playing loud music..." Summarized, you can get out but if other tenants are not as affected, it will be hard to prove it affects you differently. You do, however, have the benefit of knowing the particular situation is illegal (as compared to the pamphlet's example of playing music, which is only situationally illegal). First, get written, signed testimony from other tenants (your roommate, the one above the smoker, etc). Preferably, get these signatures notarized. The testimony should include an acknowledgement that the signer has smelled the marijuana and a statement about how often this occurs, along with the date of signature. Next, send a certified letter to your landlord. Keep a copy of this letter. In it, state your intention to move unless they fix the situation within thirty (30) days. Remind them you already have informed them of this situation. Inform them you have (hopefully notarized) testimony of the marijuana smoking from other tenants, remind them that this is illegal, and that this is affecting your health. You may also warn them that if they do not rectify the situation and you leave after thirty days, they cannot keep your deposit or charge you a termination fee- they have breached your lease contract through failure to maintain a safe and livable rental unit (a gentle reminder that you will seek legal action if they attempt to keep your deposit or charge you fees is appropriate). In the letter, request an immediate, written response with their intentions on the matter, and give a deadline (like 3 days from receipt). As a certified letter, you will know when they get it. The wording of this letter is important. You want to clearly state the facts without sounding self-righteous, angry, or vindictive. And proofread the heck out of it. If the landlord is faced with possible legal action for forcing an illegal tenant to follow the law, and certain legal action for trying to keep a legal tenant to remain in illegal, harmful circumstances, they may well decide to oust the smoker. If your scare tactic doesn't work, however, you should make good on the threat- really do leave after thirty days, and if they attempt to charge you for anything or withhold your deposit, you really should contact a lawyer. You should also, however, have the money saved to pay the termination fees, just in case. Because the smoke affects you differently, and there is no easy way to prove this, an unsympathetic court (or arbiter) may rule against you. (NOTE: I am not a lawyer, but I did have to break a lease and spent a good deal of time researching and discussing my situation with a lawyer. In the end I lost my deposit but did not have to pay any fees or missed rent.)
Not going to hold up. Dutch Supreme Court confirmed 2012-09-21 in LJN BW6135 that arbitration is still covered by the the right to an independent judge, as established in Golder v UK, ECHR 1975-02-21, nr. 4451/70. Stack Exchange can't decide the rules themselves. (The Dutch case confirms that sector-wide arbitration is in fact legal, with regard to a standard arbitration clause commonly used in the Dutch building sector. The arbiter was found to be independent in that case precisely because they weren't picked by the builder involved.) The GDPR is only indirectly relevant, but the fact that it's mentioned does mean that there is an indisputable intent to provide services to EU consumers. (See section 23 of the GDPR, or its national equivalents). As such, you can't hide behind a US business address. If you intend to do business in the EU, it's under EU laws - all of them. You can't say that only the GDPR applies, and not other rules. I'm having a bit of a problem finding a source, but I'm fairly confident that consumers have the right to sue at their own, local court, overruling the default of suing in the court where the counterparty is located. Finally, I have the right under national law (Dutch: BW 6:236 start and sub-n) to strike the arbitration clause up to 30 days after the conflict arises, and demand a court decision. That's not 30 days after I accept the "Public Network Terms", that's 30 days after the arbitration is invoked. Dutch law explicitly allows arbitration abroad, and arbiters may apply foreign law, but as written the arbitration clause has no legal basis in the Netherlands, and any arbitration resolution would therefore not be considered valid. You may wonder if it matters to Stack Exchange that the arbitration decision would not hold in the EU. Well, consider a clause like Indemnification, which demands the user indemnifies Stack Exchange. That's a pretty empty demand if it's not enforceable.
No All parties must agree to change a contract. On the face of it, the New Tenant has to be “acceptable to both the Landlord and the remaining individual or individuals comprising the Tenant (the Remaining Tenant)”. It goes on to describe what the landlord may consider in making this assessment; there is no such imposition on the Remaining Tenant. However, there is implicit in a contract a requirement that the parties must act reasonably when using discretion. If Remaining Tenant repeatedly rejects every proposed New Tenant then this raises the question of if they are acting reasonably. Have you clearly articulated why the proposed replacements are unacceptable and are those reasonable reasons?
The purpose is to avoid the possibility that the solicitor will inadvertently end up providing advice to more than one side of the same dispute or transaction, putting the solicitor in a conflict of interest situation. In the simplest case, the solicitor might already represent the landlord that the tenant is seeking to discuss legal rights vis-a-vis. Even if the advice is merely hypothetical, this is not O.K. A solicitor has a very high duty of loyalty to the solicitor's clients. Providing aid of any kind to someone adverse to the solicitor's clients that benefits that person, even if another solicitor would probably say the same thing, is a serious breach of that duty and is forbidden and sanctionable. It could get the solicitor kicked out of the profession in a worst case scenario. The duty of loyalty includes a duty to take reasonable care not to inadvertently or negligently act disloyally. There is also a risk of a more subtle sort of conflict that has to be evaluated since many disputes and transactions are not just two sided. For example, perhaps a solicitor a big commercial tenant client on the brink of a settlement with a particular landlord after lengthy and extensive negotiations (perhaps in a business lease renewal deal), and another prospective tenant client might, for example, have an interest in leasing the same property as your existing client at a higher rate. Representing both tenants/prospective tenants could creating a conflict between your two tenant clients. Screening clients based upon their landlord relationships helps solicitors to identify these conflicts and to prevent them from arising. More generally, the best practice is for a solicitor to make sufficient inquiry prior to providing any legal advice to a prospective new client, to avoid having clients that have a conflict of interest with each other. This regulation (to the extent that it is really as specific as suggested) is simply a codification of this general rule in a specific, commonly recurring situation. In large law firms, every single legal professional in the firm typically spends the first half hour or so of every day reviewing lists of new prospective clients and parties related to them in order to screen for potential conflicts of interest. (I used to have to do that when I worked in a large, international law firm for a while.) There would typically be one or more paralegals or administrators in the firm who do nothing but manage that conflicts of interest screening process. Obviously, however, this requirement is a lot less burdensome if you are solo practicing solicitor who almost entirely represents individual human being and family tenants with isolated residential leases, and works in a large city where few clients have any connections to each other.
The legal length of one month Referring specifically to employment contracts in England, I've seen contracts that specify "one month of notice" to be given before termination of the contract. This does not specify whether this means one calendar month or a specific number of days/weeks. So, in cases like this, what can be inferred in England?
English common law has centuries of experience on this issue, and has developed some settled principles that are applied by the courts. Prior to 1925, references in contracts to months were interpreted as lunar months. There are 13 lunar months in a year. By section 61 of the Law of Property Act 1925, references in contracts to months are to be interpreted as calendar months, unless the context otherwise requires. Calendar months are counted from a specified date. It is not necessary to consider the period from the 1st of a month to, say, 31st (unless the notice period starts on 1st of a month). This contrasts with the usual understanding of calendar year, which tends to be thought of as the period from 1st January to 31st December. The “corresponding date rule” requires that one looks at the same date in the diary the relevant number of months ahead. Thus a period of 3 months from 20th April expires on 20th July. In the case of Dodds v Walker [1980] 1 WLR 1061, in the Court of Appeal, Templeman LJ said: "…if an act is authorised to be performed on any arbitrary day in any month of the year, then one month elapses on the corresponding day of the next month, provided that the day of the act itself is excluded from computation." In the same case, in the House of Lords, Lord Diplock said: "The corresponding date rule is simple. It is easy of application. …all that the calculator has to do is make in his diary the corresponding date in the appropriate subsequent month." In the same case, Templeman LJ clarified that if the period expired on a date that did not exist in a particular month (eg 31st February), then the period would expire on the last day of that month. Source
The legal reasons for dismissal in the UK are described here: it includes such things as being unable to do your job, redundancy, violence on the job, being sent to prison, the factory burning down. It does not include quitting. "Unfair dismissal" is described here, and it says Situations when your dismissal is likely to be unfair include if you...resigned and gave the correct notice period This page then describes recourse for unfair dismissal. §108(1) of the Employment Rights Act says that Section 94 does not apply to the dismissal of an employee unless he has been continuously employed for a period of not less than two years ending with the effective date of termination. §94(1) then says that "An employee has the right not to be unfairly dismissed by his employer". §108(2) also lists numerous cases where the two-year tenure condition does not apply. Most of those reasons clearly don't apply to the act of giving notice (it includes e,g, pregnancy, whistle-blowing etc), which means that any firing because an employee is pregnant (etc.) is automatically unfair, regardless of duration of employment. §104 which is within the set of conditions that are "automatically unfair" is "Assertion of statutory right", (1)An employee who is dismissed shall be regarded for the purposes of this Part as unfairly dismissed if the reason (or, if more than one, the principal reason) for the dismissal is that the employee— (a)brought proceedings against the employer to enforce a right of his which is a relevant statutory right, or (b)alleged that the employer had infringed a right of his which is a relevant statutory right. However, the reason for being fired in this case has nothing to do with bringing proceedings against the employer, or alleging infringement of a statutory right. As far as I can determine, being fired because you quit is not deemed automatically unfair in the sense of short-circuiting the two year employment requirement; and for an employee with less than two years of service, no justification is necessary.
Contracts can say all sorts of unenforceable things, you provided an example of one of them. A person cannot be compelled to stay and work somewhere they no longer wish to work. At the risk of getting my wrist slapped for straying too far into the land of opinion, a clause like this is likely intended to take advantage of naive teenagers who will provide free employment referrals because they think they have to.
If this is a client - contractor relationship, it depends on the contract. Attorneys may bill on a quarter-hour basis, or a 10th-hour basis. A 1 minute phone call under a quarter hour billing basis is more expensive than under a 10th-hour basis, all other things being equal (i.e. the hourly rare). So if I hire an attorney to do something and he bills me for 1 hr 6 minutes because he spent 1 hr 4 minutes to do it, he can do that, and I can't object that he didn't spend a full second hour on the task. It just comes down to what the client and contractor agreed to, and if a contractor wants to bill by the second, he can. For employers and their employees, the Fair Labor Standards Act applies in the US (there are state analogs which mostly say the same thing). The employer is responsible for paying employees based on work done, so they have to keep records. Department of Labor rules allow an employer to simplify record keeping, for example they can round employee hours (1 hr 2 minutes is the same as 55 minutes) – you have to be consistent. They explicitly allow 5 minute granularity, and don't disallow granularity to the second.
Law (regardless of its type) supersedes contract, provided it has jurisdiction over the persons bound by that contract. Contract provisions that are counter to law are generally held to be void. State law has authority over an employer's policies or hand book. However, there may be exceptions in state law (so I would double check). A frequent exception (at least in California law, which I am most familiar with) is for very small businesses. Another exception, from C.R.S. § 8-4-101(5), is if you are considered a "contractor" rather than an employee, per the government's determination. It is possibly worth your time to let you employer know of this conflict before termination if possible, so that they can adjust their policies, rather than in an adversarial position after termination, if only to avoid the headache.
Can the subject actually sue me in England, or is it possible to sue only in the EU country I posted the article from, or in the US where the article is actually hosted? Yes. If the online encyclopedia is available in the UK, then you have libelled them in the UK and, indeed, in every country where it is available. They can choose to sue in and under the laws of any country where they were libelled. If the subject can and does sue in England, what happens exactly? This is laid out in the Civil Procedure Rules Am I correct in presuming that I will be notified of this by mail and asked to enter a defence? You will definitely need to be served with the Particulars of Claim, however, this may come by other methods than snail mail. If so, what happens if I ignore the matter? Will a default judgment against me necessarily be entered, or will the court duly consider the plaintiff's case, perform the bare minimum investigation/reasoning necessary to determine which arguments of theirs are (un)sound, and so possibly rule in my favour? A default judgement will be entered providing the Particulars of Claim show a cause of action on its face. The court will not examine any evidence or enquire into the veracity of the statements made on the Particulars of Claim. In short, unless the plaintiff has ballsed something up - you lose. If I do choose to respond, can I hire an England-based lawyer to handle everything remotely, or can I be compelled to physically attend the court in England? You are generally not required to attend court in a civil matter unless you need to testify. Even then, arrangements can be made for remote testimony. If the court rules for the plaintiff and awards damages, can this judgment be enforced in the EU, or would it apply only in the UK? It can be enforced in the EU. As a courtesy or by treaty, domestic jurisdictions will enforce foreign judgements in most cases. If the court rules in my favour, would I recoup my legal fees? You will probably recoup some but not all of your legal fees, say 50-60%. Costs orders are complicated - talk to your lawyer.
Can landlord backbill 4.5 years worth of utilities that were never billed to us bimonthly as directed in the lease? Yes, since the bimonthly billing issue appears to be within the LA statute of limitations for claims of breach of contract: 10 years (see here). But you might want to check the actual legislative language of the statute referred therein and the prior or consecutive ones --all pertaining to statutes of limitations-- so as to ascertain the accuracy of information in the first link (navigating through the bunch of LA two- or three-line statutes for this and that gets annoying). They are desperate to get me to move out since it is a rent-controlled unit and I feel like they have done this to cause issues and force me to default on rent. Is this a legal practice? I am not knowledgeable of state legislation particular to rent-controlled units, but I highly doubt it is lawful for them to proceed that way. Other details you describe reflect that the company has been --or is being-- malicious or grossly negligent. If so, strictly speaking, the company's conduct (1) ought to weaken its position or merits in trying to force you out, and (2) tends to contravene the contract law covenant of good faith and fair dealing (see below). If your lease mentions any statutes regarding rent-controlled units, you may want to search for case law at leagle.com to see how the statutes are applied. Without knowing the terms of your lease, I think your priority should at all times be the rent itself so as to avoid eviction. Does the "billing every two months" in the lease have any hold on this issue if they breached their own lease? Maybe not. The repeated, yet sole, failure to send you the bimonthly billings falls short of landlord's breach of contract. For your argument on breach of contract to prevail, you would have to prove that the landlord knowingly/deliberately let the water bills pile up prior to demanding you to pay everything at once. That would prove that the landlord is not meeting the covenant of good faith and fair dealing that is prerequisite in contract law.
This would be a case of mutual mistake or unintentinal ambiguity. If the circumstances make it clear what year the parties intended, particularly if it is the current year, a court would probably treat the contract as if it specified that year. If the parties' intentions could not be reasonably determined, a court might rule that there had been no meeting of minds, and so no valid contract at all.
Can a Defendant Insist on Cross Examining the Plaintiff Directly in a LT Trial? This question relates to a landlord tenant trial in NJ in which the landlord ("Plaintiff") is being represented by an attorney. The Defendant wishes to cross examine the Plaintiff directly because it is unlikely that the Plaintiff's attorney has much knowledge about the topics the Defendants intends to discuss. The Defendant also believes that the attorney may do a better job at concealing the truth. Does the Defendant have a legal right to insist on cross examining the Plaintiff or can the Plaintiff argue that he isn't required to agree to be cross examined directly as it infringes on his legal right to be represented by an attorney?
Yes, Defendant may compel Plaintiff to appear and may cross-examine Plaintiff personally. The right to counsel does not include the right to have an attorney testify for you at trial. At trial or deposition, Plaintiff's lawyer generally has no business testifyng at all, and his statements would not be evidence. If the attorney's testimony is necessary for trial, he would likely be disqualified from representing Plaintiff. Defendant is unlikely to persuade the judge to question Plaintiff for him. The judge might ask questions to clarify answers that Defendant elicits himself, but he might also just rule based on whatever information he receives, regardless of how clear it is.
You could bring a motion to compel for failing to respond substantively to a motion to admit which is objected to, just as you could for an interrogatory. The process is the same. Normally, a request to admit would not be deemed admitted if a substantive objection was filed by the deadline, even if there was no express admission or denial. Only if the objection were completely and utterly meritless would a judge be likely to order that the request to admit would be deemed admitted in that case since the response was a de facto non-answer and the objection was a mere sham. @Iñaki Viggers states in his answer: the purpose of a request for admissions is [to attempt] to stipulate --rather than to discover-- the facts on which plaintiff and defendant agree. This is not really true. A request to admit is a discovery tool to prevent you from having to prove up what should be non-controversial facts that might nonetheless take time or documentation to prove at trial and to gather evidence for in advance of trial. The questions in a request to admit are typically ones that the other side would not willingly stipulate to (for example, because they'd like to be able to offer testimony to explain a seemingly unfavorable fact) but may not be able to deny. If a party denies a request to admit and then offers nothing to support the denial in discovery practice or at trial, that party risks court sanctions for the groundless denial. Good litigation practice is also always to include some requests to admit that are effectively outcome determinative to give the opposing party a chance to screw up and essentially default the case by not responding on time.
can you hire a witness as your lawyer to exclude their testimony? That is pure fiction and misleading. Unfortunately scenes like that contribute to keep people ignorant about the law, which then makes it easier for courts to dissimulate their recurrent miscarriage of justice. But Purdue University v. Wartell, 5 N.E.3d 797 (2014) is an example where the Indiana courts did the right thing, and is pertinent to your question. There, Purdue University first assigned an investigator in regard to plaintiff's grievance, and thereafter the University tried to withhold information under pretext that the investigator was also its lawyer and thus that the information was protected by the privilege. Because that person hitherto had been portrayed only as an independent investigator, the Indiana courts concluded that Purdue University was estopped from invoking the attorney-client privilege (as well as the work-product doctrine). Thus, the guy in the film or series who said to be "screwed on Kardashian" reflects pure cluelessness about how the law supposedly operates. I have not seen the plot of that film or series, but the information that the friend-lawyer obtained prior to becoming O.J.'s attorney would not be protected by the privilege because it was not obtained in preparation for O.J.'s defense. If there were one star witness on the opposing side and they happened to be a lawyer, could you simply pay them off by hiring them as your lawyer? This question is somewhat unclear to me, but I will mention that lawyers have a duty to disclose to their potential or actual client any conflict of interests. The rules of so-called "professional conduct" discourage lawyers to ignore conflict of interests in that this conflict may impair their "services". And, as I explained previously, any information that a lawyer obtains as witness rather than as attorney in the matter is not protected by the privilege. Thus, as for If you committed a crime at a law-firm and everyone who witnessed it was a lawyer, is there any rule preventing you from just hiring all of them? the answer is: Nothing prevents the criminal from hiring all of them, but that information is not protected.
Only if counsel challenged the point during the trial Difficult as it might be, you can’t allow the judge to be wrong during the trial without calling them on it: very, very politely. For example, there is case law that says you can’t successfully appeal because the judge was asleep through significant parts of the trial; appeals courts are clear that you have to wake them up. If you don’t then you accepted that you didn’t want the judge to hear the parts of the case they slept through, it’s your choice how you present your case. Frankly some cases are better if the judge misses half the evidence. Of course, if the error of law makes it through to the oral or written judgement then you can appeal even if you didn’t take issue with it.
You don’t need to hire an attorney If you like, you can represent yourself. Just like you can build your own house, repair your own car or amputate your own limb. You only need to be a lawyer if you are representing someone else. However, there is a saying that goes: A person representing themselves has a fool for a client. Your lawyer is a professional, you aren’t. They know what to do when the other side says “Objection, facts not in evidence” or how to correctly fill out, file and serve a pleading; do you?
The court clerk was right. A judge is not supposed to interact with a party (at least not in the absence of the adversary) except during court hearings for which the adversary was notified and given an opportunity to attend. Also, there is no need for you to prove the mere fact that you went to court. That in itself is either inconsequential or palpable from the hearing transcripts. When you file in court papers such as a motion or a response to a motion, you may --and should-- bring an extra copy for the clerk to stamp it. That a clerk does with no objections. The stamp reflects the date on which you file your document(s). That stamp incidentally evidences that you or someone on your behalf went to court but, again, that sole fact is inconsequential. There is no such thing as "motion to appeal". A litigant may initiate an appeal, or appellate process, once the judge has decided a case in its entirety or in part. If the ruling to be appealed does not close the case, the upper court might refuse to review the issue(s) appealed until the whole case has been decided (that refusal is known as denial of the appellant's leave to appeal). Your description nowhere indicates that the judge has already made any rulings or that there have been any hearings on your matter. Your mention of prior motions suggests that you should gain acquaintance with the Texas Rules of Civil Procedure and of Appellate Procedure. Those rules cover several aspects of litigation, including motion practice, the allowed methods of service, and the requirements to file an appeal in upper courts.
The defense has an opportunity to question the witness the prosecution had called to provide foundation for the evidence, and in this case the defense's perspective is that the prosecution was trying to introduce evidence that they had improperly digitally manipulated. Part of their questioning was trying to figure out how the witness had manipulated the image prior to offering it as evidence. It's the prosecution's burden to prove that the evidence they are offering is accurate, the defense's purpose in asking the witness questions he could not answer is to try to prove to the judge that the prosecution has not laid proper foundation for the evidence because it has been manipulated from its original form in a way the prosecution cannot explain or justify as remaining fair and accurate to the events captured by the original footage. This case in particular had a lot of video evidence, and most of these issues were handled in motions in limine before the trial started. However, the drone evidence in question was dropped at the prosecutor's office after the trial started, so the prosecution did not really have time to hire and voir dire an expert witness on Amped 5 (keeping in mind that the defense similarly had little time to review and account for the new evidence in the middle of trial). Since the defense in this case were cross-examining the witness, they have some leeway to present an argument with their questioning like they chose to do with the red/blue pixel drawings. As I recall the judge allowed the evidence as-is, so it does not appear that the defense's arguments were persuasive to the judge.
Should one be unconditionally honest with their lawyer whenever one is being charged with a crime ? Yes. Otherwise, the defendant risks doing one or more of the following: (1) hinder the litigation strategy his lawyer devised; (2) increase the likelihood of inconsistencies that can only hurt the defendant's credibility on factors relevant to the sentencing guidelines; and/or (3) prompt the lawyer to withdraw once the truth is unveiled (whether the withdrawal is on grounds of wasted effort or on moral grounds), which further complicates the defendant's position.
What's the difference in copyrights between a book and lyrics of a song? As far as I understand copyrights, both books and lyrics of a song are protected in the same way. Are they really? It's much easier to find whole lyrics of a song than it is to find whole text of a book. And if you reach a book online, it will be on some shady websites only. How come? What's the legal difference?
There is no legal difference, really. There may well be a practical difference. It is much easier to steal a wheelbarrow than it is a 20-foot section of 2-foot wide iron conduit. But doing either is theft, and the legalities are pretty much the same. It is indeed easier to copy a song lyric, or a poem, then the text of a novel, say. But if done without permission, either would be copyright infringement, unless of course an exception to copyright, such as fair use (in the US) or fair dealing (in the UK and some other countries) applies. (Or unless the text is out of copyright. One may lawfully copy Shakespeare, for example. Or Mark Twain.)
Copyright protection is about certain acts, and not about relationships between products. Copyright law says that the creator of an original work hold the exclusive right to copy and to authorize creation of derivative works. Copyright law does not say that anybody can freely create derivative works as long as they are different to a certain extent. So if you take an original Mario and modify it a teeny bit, that is a violation of copyright; if you take an original Mario and modify it hugely, that is a violation of copyright. Degree of similarity is relevant on some cases when the factual question arises whether the allegedly-infringing work is based on some protected original. This is most obvious in music cases, where all baroque music has some similarity to all other baroque music, all death metal has some similarity to all other death metal, and so on. There is not a legal quasi-statutory standard for measuring substantial similarity in music. The scientific underpinning of such a standard would be based on (weighted) combinatorics and the idea that there are only so many tunes possible (that would be a huge number, until you get to the "within a genre" condition). It seems obvious (by your "admission") that the derived works are based on protected works, so Nintendo's permission is required to legally create such works. However, you do or would hold copyright in your unauthorized derived work. Without a trail of evidence such as a SE question pointing to the connection, the derived images might be hard to connect to the originals. In addition, you may be able to avail yourself of a "fair use" defense, in case you get sued by the original creator. Factors favoring such a defense are the insubstantiality of the copying (a small portion) and the "transformativeness" of your creation.
Copyright still exists even if you don't know who owns it In this particular case, however, the copyright has expired - UK copyright lasts for 70 years after the last author passes away. For a death in 1918, copyright expired on 31 December 1998. For other cases where the author was still alive in 1940 (for this year - 2020) but has since passed, the copyright belongs to their heirs and assignees. It's possible that you don't know who that is. It's even possible that they don't know that they own it. Doesn't matter, it's still copyright protected and those people (whoever they are) can enforce their rights if they want to. When you think that everything everyone ever writes, records, photographs, paints, draws etc. will have copyright for 70 years after their death and that most of that stuff has little to no value, is usually not explicitly dealt with in a will, and their heirs will generally not think to deal with it or pass it on in their will it's no wonder the world is full of orphan works. Some copyright legislation deals with this; the UK's does. You can pay the government for a 7-year licence for orphan works. If the right's holder ever comes forward, they get the fees collected.
Well, actually, fair use is maximally relevant. Copyright means, put simply, DO NOT COPY. Citing or not is irrelevant (plagiarism is a whole other non-legal kettle of fish). Technically, what you describe is violation of copyright. However, under section 107 of Title 17 (the copyright law), you could attempt to defend yourself against an infringement suit on the basis that your action was "fair use". See this LSE q&a for the essentials of fair use.
may require that you obtain license rights from third-party owners or licensors of content that you include in your text inputs (Emphasis mine). Based solely on the excerpt above, yes, you have the copyright on the audio files if you created the source material, as you are the creator, using Amazon Polly as/to generate a "tangible medium". One of the central rights granted by copyright is to control translation into a different medium (in this case, from text into audio), as is the right to control distribution, which is what this excerpt is talking about. "Third party" in this case means neither you nor Amazon. Basically, Amazon is informing you that using their software on someone else's copyrighted material does not grant you copyright on the audio recording.
A book (or any other creative work) published in the 1800s is now in the public domain everywhere in the world (excepting odd cases like Peter Pan where a special rule applies in some jurisdictions.) Anyone may legally quote from such a work at any length with no legal requirement for permission. In fact there is no legal requirement to attribute the quote to the author (although there is an ethical requirement). In fact one may publish a new edition of such a work, unchanged or modified in any way one chooses, with no legal need to obtain permission from anyone or to pay any royalties or fees. If the work were recent enough to still be protected by copyright, a limited quote could be used under fair use, fair dealing or another exception to copyright under the laws of most countries. The exact rules vary by country, and are often highly fact-dependent, so the exact details will matter. If one wanted to quote enough from a recent work that permission is required, the copyright holder, who is often not the publisher, would need to grant permission. That is often the author or the author's heir, but it can be a person or firm to which the author transferred the rights. Sometimes the rights-holder can be hard to identify. Update: it would be possible for a work published in, say, 1890 by an author then young who lived to a fairly old age, dying in, say 1960, to still be protected in some countries, although not in the US. (Anything published before 1925 is now PD in the US.) But Charlotte Bronte died in 1855, and all of her work has long been in the public domain
First of all derivative works are not exactly "illegal". They are fully legal if the owner of the copyright in the original work has given permission. If no permission has been given, they may be copyright infringements. But they may fall under an exception to copyright. Under US law, the most common exception is "fair use". See this question and answer for more on fair use. But particularly relevant in this case is that a parody is usually a fair use, although as in every fair-use decision, there is pretty much no clear-cut, hard&fast rule on what is and is not fair use. In the UK and much of the EU (or maybe all of it, I am not sure) there is a somewhat similar concept known as "fair dealing". It is also an exception to copyright. So it is possible that such works fall under fair use, fair dealing, or another exception to copyright, or that the rights-holder has given permission. Secondly, copyright infringement is a tort, not a crime, under most circumstances. It is enforced when, and only when, a copyright-holder chooses to take action, sending a take-down notice or copyright complaint, of filing suit for infringement. Some rights-holders choose as a matter of policy not to take such actions, thinking that such derivative works actually benefit them. That is their choice to make. Some rights-holders don't have the time or money to track down and take action against most infringements, and will only act if they think the derivative work will in some way cost them a lot of money or harm their reputation. Some rights-holders may just not have heard, yet, of specific possible infringing derivative works. As for Acta2, it has not yet been approved, the Wikipedia article linked in the questions says: In order for the text of the directive to become law in the EU, it must be approved by the European Council on 9 April 2019 The article also mentions significant continuing opposition. If it is approved, it is not clear, to me at least, how it will affect sites hosting such content, nor how it will interact with the copyright law of individual EU nations. If approved, it will no doubt take some time before enforcement is widespread. And of course it will only apply when EU law applies. If both site and author are outside the EU -- say if both are from the US -- it seems that it could not apply.
copyright.gov is the oficial site of the US Copyriuht office, and is here quoting 17 USC 102(b) which is the actual copyright law. Under it, copyright protection extends to expression, but not to any idea, etc. However, these are not in conflict, because using information or ideas from a work to create a new and original work is not "duplication or use of images, diagrams, or text, or other electronic or printed publications" so Site A is also correct. However, a close paraphrase where the words are changed but the sentence and paragraph structure of a text is followed, presenting the same ideas in the same order in sentences of the same structure in the same order, may constitute a derivative work, and thus a copyright infringement. Wikipedia describes "close paraphrase" as: "... the superficial modification of material from another source." It goes on to give an example: Facts and ideas cannot be protected by copyright, but creative expression is protected. The test of creativity is minimal. Hilaire Belloc's 1897 More Beasts: (for Worse Children) illustrates creative expression in his description of a llama: The Llama is a woolly sort of fleecy hairy goat, with an indolent expression and an undulating throat; like an unsuccessful literary man. If this somewhat dubious source was used for the article on llamas and was still protected by copyright, it would be acceptable to say that the llama is an animal with a shaggy coat, and perhaps that it has a long neck. These are facts. But use of the phrases "indolent expression" and "undulating throat" might violate copyright. The original choice of words is part of Belloc's creative expression. Going further, the simile "like an unsuccessful literary man" is also creative, and is also protected. A clumsy paraphrase like "resembling a failed writer" might violate copyright even though the words are entirely different. More than the facts have been copied. So when the question reads: am I allowed to take the facts and information from Site A and use it on my own site? There answer is: "Yes, but the rewriting must be more than superficial, A mere substitution o synonyms will not do, the expressive structure must also be rewritten." However, if the expressive structure is simply a list of facts in an obvious order, such as alphabetical or chronological there is no copyright at all on either the words or the structure. see Feist Publications, Inc., v. Rural Telephone Service Co., 499 U.S. 340 (1991) edit The scenario added by edit looks reasonable. In this case it would seem that the operator of "my site" has probably not infringed the copyright on "Site A".
May I add additional lyrics to a copyright song without claiming any ownership? A copyright holder has flatly refused my request to add additional lyrics to one of their songs, for use in a private congregational church setting. Does this mean it is simply illegal? I have seen several high-profile cases in the pop music world recently where artists have resolved copyright dispute by simply adding other artists as writers - sometimes as a precautionary measure before any complaint has been made! And going a bit further back, The Verve famously were only allowed to release their hit single "Bittersweet Symphony" by giving up all income to the Rolling Stones (whose song they sampled). Does this imply that I can make a derivative work so long as I relinquish any rights to it, or does the original author still have the final say - is listing them as the author merely a politeness they can reject or does it grant me some official position? I couldn't care less if they wanted to claim ownership but I don't understand the rules. A lot of the time in real life it seems artists just 'do it' and then pay some/all the proceeds to the copyright holder but it is important to me I do things correctly.
general things on copyright Copyright law is very similar globally, due to the Berne convention on copyright. Ány country's copyright law grants the copyright to an author. Copyright is the exclusive right of an author to authorize ("license") copies, performance, and derivative works. In case multiple authors jointly create a work, they own the right in their respective parts, or jointly. The copyright holder can deny making derivatives. If a derivative is made without authorization, it is copyright infringement. If the author was asked, denied the authorization and it is made anyway, it is wilful copyright infringement. Relinquishing your rights in the altered work does not make it not copyright infringement. The only way to not commit copyright infringement is to get a license. Naming the original author of a work you adapted is not just politeness, it is mandatory in all copyrights that follow the Berne convention on copyright. Licensing Fees The Verve's agreement to get the license was specifically to pay all the proceeds to the Rolling Stones, but that was an extraordinary case. License fees for recording a cover version (with the unaltered lyrics!) are usually mandatory to be available. for example in the united-states, it is mandatory to grant a mechanical license to create cover recordings for a licensing fee, for which for example the Harry Fox Agency is collecting and distributing the required payments and royalties. Those Royalties are about 9.1 cents per copy for a sub-5-minute song's recording. This license does not allow to alter lyrics. However, synchronization (tone and video) is not mandatory to be granted, and those start at a flat 4-digit and are rather open-ended. Without a sync license, you may not make video recordings of a work being performed. A public performance of a work requires a different license. A performance license is required for any public performance, and those are not regulated either, but typically not too expensive - yet alteration again is not within the scope of such a license. Granting a performance license is typically handled by Performing Rights Organisations such as ASCAP, BMI, and SESAC, taking the required fees and distributing the royalties. Making an adaptation or alteration is a derivative work. Making a derivative work requires a license that is different again. Those can only be granted by the copyright holders, and if they say no... Close the folder. The price of copyright infringement Wilful copyright infringement, especially after you were told no, can be super expensive: In the US, the rightsholder can get 150 000 USD and the lawyer fees for willful infringement. The rightsholder can sue in the US if they are there. Recoverable costs plus damages are also available in the UK, capped at 60 000 GBP for costs and 500 000 GBP in damages.
Yes That is very simple - copyright is an exclusive right that starts automatically with the creation of a copyrightable work. The default situation is that the author has an exclusive rights to make copies of the work and derivative works. If the code is published somewhere by the author but the author has not said anything about its licence or copyrights, then the default situation applies - you need permission and you don't have it, so it's not legal for you to distribute their copyrighted works. They have the right to just publish it somewhere, others don't. If you try to contact the author and they don't say anything and ignore you, then the default situation applies - you need permission and you don't have it, so it's not legal for you to distribute their copyrighted works. If it's impossible to find the author (e.g. I have certain cases with literary works where it's not clear who inherited the rights after the author died), then the default situation applies - you need permission and you don't have it, so it's not legal for you to distribute their copyrighted works. That being said, certain forms of reuse (recreating ideas, learning from them, etc) would not be a copyright violation. But in general the situation with the author not saying anything is almost the same as the author explicitly stating "all rights reserved, you're not allowed to do anything, violators will be shot" - some specific uses are allowed even against author's wishes (e.g. 'fair use' clauses) but everything that needs their permission really does need their explicit permission.
I think that both your examples would be considered, if not outright copies, then at the very least derivative works of the originals. Under US law, the copyright holder of a work has the exclusive right to prepare derivative works. So anyone who prepares such a work without the authorization of the copyright holder is infringing their copyright and will be liable for such infringment. The US Copyright Office, in their Circular 14, explicitly includes "a new version of an existing computer program" as an example of a derivative work. That would certainly seem to cover the GTA folks. The concept that derivative works generally include "translations" might capture them, too. Your example of transcribing a musical performance isn't explicitly mentioned, but I think your sheet music would likewise be a derivative work of the performance: it includes all the editorial and arrangement choices made by the orchestra. Of course, both the performance and your transcription are derivative works of the original composition, but since the composition is out of copyright, there's no legal problem with that aspect.
There are three questions relevant to this issue: Who owned the copyright in the first place? Was the copyright transferred? If not, was a license given to the site to use the content? In general, under most countries' laws, the person who creates an original work owns the copyright. The person with the copyright has the right to copy and distribute the work, and the right to prevent others from doing so. In some cases, such as where a work is created as a "work for hire" by certain employees under certain circumstances, the initial copyright is held by a third party. You will need a lawyer familiar with your jurisdiction and your circumstances to determine if this is the case. Finally, even if you own the copyright, you can license others to use your content. This may be in an express written document, or it may be an implied license--implied, for instance, by the act of posting it on their blog. The existence and scope of such a license is, again, something that will have to be determined based on your country's specific laws and your specific situation. The bottom line is: if you submitted articles to that blog, you can't complain that they posted them. Depending on the license in effect, you might be able to get them taken down, or you might not. You need a lawyer, not the internet, to tell you what your rights are in this very specific case.
You misunderstand the nature of copyright. Holding copyright allows you to decide how the work can be copied: there is no obligation on you to publish it if you don't want to. After your copyright expires you don't have to publish it either: the only thing that has changed is you can no longer prevent anyone making a copy. The lost works of Aristotle are in the public domain - if you can find them you can make as many copes as you like.
Their code, their rules A copyright holder is free to offer their work under none, one or many licences. They can, at the same time, use their own work however they see fit without regard to the licences they have given/sold to others (except, they can only give one person an exclusive licence). As an analogy, let’s say I own a fleet of cars. I can drive my cars anytime I want. I can let Jim drive my cars anytime he wants for free. I can let Mary drive a specific car on Thursdays and only within 10km of the depot. I can let Joe drive my cars providing he pays me $50 a day. And I’m not going to let Fred drive them at all because Fred’s a jerk. Each of those is a different licence.
may require that you obtain license rights from third-party owners or licensors of content that you include in your text inputs (Emphasis mine). Based solely on the excerpt above, yes, you have the copyright on the audio files if you created the source material, as you are the creator, using Amazon Polly as/to generate a "tangible medium". One of the central rights granted by copyright is to control translation into a different medium (in this case, from text into audio), as is the right to control distribution, which is what this excerpt is talking about. "Third party" in this case means neither you nor Amazon. Basically, Amazon is informing you that using their software on someone else's copyrighted material does not grant you copyright on the audio recording.
The name can not be copyrighted, but they don't own the rights to the songs and they are telling you they will perform them. They don't want to put it in writing that they are performing songs they legally can't.
Are published recipes on the internet considered ’open source’ for commercial utilisation? Let’s say there is a site where everyone share recipes for cakes. Everything is public. Can you sell commercial product based on thoses recipes? Can you use the same name? Let’s say Jina Chocolate cake is very popular and public. Can you make and sell Jina Chocolate cake mix without heading into lawsuit? Update: My problem is with pottery glaze recipe like this one: https://glazy.org/recipes/56085 In those case it’s mix of chemical powder to achieve a glass coating with the desired color and effects. I didn’t think that the kind of recipe would have an effect but it seem there is a special case for cooking recipes.
Recipes are not subject to copyright although the particular manner in which the are expressed (e.g. on a printed page) is protected by copyright, under U.S. copyright law. This is not because they are "public" and is instead because the scope of copyright protection established under old case law that remains good law in the U.S., does not protect most kinds of creations historically made by women in the home. In the same vein, clothing designs, as a general rule, are not subject to copyright protection under U.S. law ("as of 2016 [in] most countries (including the United States and the United Kingdom) fashion design[s] . . . are . . . excluded from protection by copyright laws"). For example, this source explains: For much of modern history, and certainly in the early days of legal grants in IP, the formal roles from which IP might arise were closed to women. The creative occupations of artist, engineer, writer, scientist and musician were dominated by men, if not exclusive to men. At that time, social convention frowned on female activity in such professions. IP law, as it developed, followed such social prohibitions. For example, as noted by Professor Shelly Wright, copyright historically encompassed the “fine arts” such as sculpture, painting, literature and music – fields that were male dominated if not exclusively masculine, with “crafts” such as needlework, knitting, quilting and other “domestic” fiber arts until relatively recently excluded from the canon of copyrightable subject matter. See also, e.g., Ann Bartow, "Fair Use And The Fairer Sex: Gender, Feminism, and Copyright Law", 14(3) Journal of Gender, Social Policy & the Law 551 (2006). It is possible that the a stylized individual name for a recipe, as opposed to a generic name for the same recipe, at a minimum under common law trademark rights even if it is not protected by a federal or state trademark registration, may have trademark protection even though it is not protected by copyright.
This is going to depend on several things. First of all, do you have a lawful, licensed copy of the SDK? My understanding is that Nintendo only licensed the SDK to selected game companies. If what you have is an unauthorized copy, you do not have the legal right even to use it. If what you have is properly licensed, then you do. Or is what you have an unofficial SDK created by someone other than Nintendo? Secondly, what does the license agreement that comes with the SDK provide? Does it require developers to register with Nintendo? If it does, you will need to comply. Nintendo cannot prevent others from writing programs designed to run on their hardware. But they can control who uses their development software, if they choose to. You cannot reproduce in your game any of Nintendo's copyrighted software (or anyone else's) without permission. That applies even more strongly if you intend to sell the software. But you can use any development software for which you have a valid license in whatever ways its license permits. I would expect this includes creating games. It would include selling games that you create that do not use any of Nintendo's code, unless there is a specific provision forbidding that in the license agreement.
The first question is whose law you are concerned with, since in principle you might have violated copyright law in any country, and might be sued under the laws of multiple countries. The US has a concept of "fair use" which is notoriously difficult to apply. When you are sued in the US, you can defend against the allegation by arguing certain things: telegraphically, this includes purpose and character of use, nature of the work, substantiality in relation to the whole, and effect on market. Plus there is a 5th factor to be considered, transformativeness. The court then weighs these factors to decide if the use is "fair". By reading existing case law on the topic (conveniently available from the US Copyright office) you might develop a fact-based opinion of the risk: you would be vastly better off hiring an attorney who specializes in US copyright law to do an analysis for you. Do not hire a programmer to give you legal advice (do not hire an attorney to debug code). You would "fail" on the test of substantiality in that you are copying a highly substantial portion of the original work(s). You would "win" on nature of use (research especially non-profit and commentary are the underlying purposes that drive fair use law). It's not clear how you would fare w.r.t. nature of the work, which is intended to distinguish the extremes "news report" and "literature and artistic work" where copying news is at the fair use end of the spectrum. It is not clear how you would fare on "effect on market", but probably not so badly: are you avoiding some licensing fee? Coupled with the tranformativeness consideration, you are most likely having no effect on the market, since the product that you will distribute is not the original work, but a scientific conclusion about the work. Germany has different laws, and this article would be relevant if you cared about Germany. There was a change in the law that expanded the analog of fair use pertaining to research use. That law allows 15 percent of a work to be reproduced, distributed and made available to the public for the purpose of non-commercial scientific research. That, b.t.w., does not refer to what you are planning to do (unless you also publish quotes); for personal scientific research you may reproduce up to 75 percent. Since this is a new law only a year old, you could become part of the cutting edge in testing the limits of the law. So the standard disclaimer applies: ask your attorney. But note section 60d of the law which legalized data mining, and is squarely on point: (1) In order to enable the automatic analysis of large numbers of works (source material) for scientific research, it shall be permissible to reproduce the source material, including automatically and systematically, in order to create, particularly by means of normalisation, structuring and categorisation, a corpus which can be analysed and to make the corpus available to the public for a specifically limited circle of persons for their joint scientific research, as well as to individual third persons for the purpose of monitoring the quality of scientific research. In such cases, the user may only pursue non-commercial purposes. (2) If database works are used pursuant to subsection (1), this shall constitute customary use in accordance with section 55a, first sentence. If insubstantial parts of databases are used pursuant to subsection (1), this shall be deemed consistent with the normal utilisation of the database and with the legitimate interests of the producer of the database within the meaning of section 87b (1), second sentence, and section 87e. (3) Once the research work has been completed, the corpus and the reproductions of the source material shall be deleted; they may no longer be made available to the public. It shall, however, be permissible to transmit the corpus and the reproductions of the source material to the institutions referred to in sections 60e and 60f for the purpose of long-term storage.
It is unclear whether WINE is infringing copyright or if it can rely on a fair use defense. The CAFC held that: that the declaring code and the structure, sequence, and organization of the API packages are entitled to copyright protection In that light, if WINE had original content in the structure, sequence, and organization of its API, the CAFC would likely also find that it is entitled to copyright protection. However, because this issue is outside the scope of the CAFC's exclusive jurisdiction (this is a copyright issue, not a patent issue), the holdings are not binding in any other circuit. Each circuit is free to review anew the copyrightability of APIs when such a case comes up. My guess is that this is the reason the Supreme Court declined to hear an appeal on CAFC's Oracle v. Google opinion. To address your fair use question would be simply speculation, because fair use is always assessed case-by-case, and even in WINE's closest analogy (Oracle v. Google), the CAFC remanded the fair use question back to the trial court, and that question hasn't been decided yet: we remand for further consideration of Google’s fair use defense in light of this decision
It's not fair use. Fair use is when you do something that normally only the copyright holder can do. Playing a video game is the ordinary, intended use of the work. In the United States, ordinary use is not protected by copyright. 17 USC 106 sets out the rights protected by copyright. The include copying the work, producing derivative works, distributing the work, and so on. None of these are ordinary use. Someone could perhaps argue that you are creating a derivative work. I doubt that argument would work because you are not taking any protectable elements from the work. But if anyone did argue that, it would make sense to also argue that if that's so, your use would still be covered under fair use because it's transformative, does not substitute for the original work in any way, and takes very little of the work.
StackExchange probably has no obligation to continue to provide the content, however StackExchange probably cannot stop copies from continuing to be used, reproduced, etc. from the Terms of Service (click on Legal below): You agree that all Subscriber Content that You contribute to the Network is perpetually and irrevocably licensed to Stack Exchange under the Creative Commons Attribution Share Alike license. Bold added by me. The content is licensed to SE, unlike some sites where you transfer ownership of content to the site. SE can continue to use your data, but you still own the copyright. They can't limit your use of your own content, because you remain the owner. SE cannot use your content in a way that violates the Creative Commons Share Alike License, but I don't see any limitations on how SE makes your work available, including to a limited audience. They could, for example, probably move to a paid model because there are no commercial exclusions (unlike the Creative Commons non-commercial variations of the license). You could post a copy of SE content elsewhere, as long as you adhere to the requirements: In the event that You post or otherwise use Subscriber Content outside of the Network or Services, with the exception of content entirely created by You, You agree that You will follow the attribution rules of the Creative Commons Attribution Share Alike license as follows: You will ensure that any such use of Subscriber Content visually displays or otherwise indicates the source of the Subscriber Content as coming from the Stack Exchange Network. This requirement is satisfied with a discreet text blurb, or some other unobtrusive but clear visual indication. You will ensure that any such Internet use of Subscriber Content includes a hyperlink directly to the original question on the source site on the Network (e.g., https://stackoverflow.com/questions/12345) You will ensure that any such use of Subscriber Content visually display or otherwise clearly indicate the author names for every question and answer so used. You will ensure that any such Internet use of Subscriber Content Hyperlink each author name directly back to his or her user profile page on the source site on the Network (e.g., https://stackoverflow.com/users/12345/username), directly to the Stack Exchange domain, in standard HTML (i.e. not through a Tinyurl or other such indirect hyperlink, form of obfuscation or redirection), without any “nofollow” command or any other such means of avoiding detection by search engines, and visible even with JavaScript disabled. Making a complete copy of SE would seem to be within the terms of the license, as long as all the requirements for attributing, linking, etc are met, so you could mitigate the risk of the SE material going away in that manner.
A translation is a devivative work - the copyright owner has the exclusive right to these So, yes, translation is prima facie copyright infringement. Strictly speaking, if you translate it, it's a derivative work because you exercised creativity in making the translation; what Google translate does is not a derivative work, it's a copy because there is no creativity. Either way, only the copyright owner can do (or authorise) this. Whether it's legal or not depends on if what you are doing falls within one of the exceptions to the applicable copyright law such as fair use or fair dealing. Attributing the original author does not, of itself, allow translation. Additionally, I'm not able to find the copyright documentation for the site link I provided above. What is "copyright documentation"? Copyright exists the moment a work is created and no further documentation is required. Essentially, I could translate the whole documentation by myself to avoid this problem. No, you can't - see above. If copy-pasting the google translate is illegal, then exactly how much must I edit, move around sentences, change words, and such until the text is no longer plagiarized? All of it. If you were, based on your own knowledge of the software, to write a manual without any copying o the existing manual, that would not be copyright infringement. Is this plagiarism or copyright infringement? It's copyright infringement - plagiarism is an academic misconduct issue not a legal one. where can I check the copyright for the above link? The site you linked has "Copyright © 2020 Acquia, Inc. All Rights Reserved" in the bottom left corner which identifies the copyright holder, the date and prohibits all copying ("all rights reserved"). This isn't necessary but it is helpful. If you really want to do this, contact Acquia, Inc and ask for permission.
It seems that you don’t understand what parody is. If you do understand, please explain how it’s even possible to parody computer code. What you can do with “open source” code depends on the licence the copyright holder(s) release it under. For some very permissive licences you can do what you suggest, for most, you can’t.
When claiming under Manufacturer's warranty, how can Plaintiff prove never breaching Manufacturer's proper care and use instructions? Many non-stick products are sold with a limited lifetime warranty, e.g. for their NONstickiness. Presume that a consumer has perfectly followed, e.g., manufacturer's proper care and use instructions. I read about this class action, but I cannot find it on CanLII. But when Consumer pleaded a breach of this lifetime warranty, Defendant Manufacturer alleged that Plaintiff breached Manufacturer's instructions. Upon inspection of Plaintiff's used product, Defendant allegedly found that Plaintiff negligently either used its non-stick cookware over high heat, AND/OR held acidic foods in the pan, AND/OR left food scraps to dry on the pan, AND/OR scratched the NONstick coating with metal utensils and/or scouring agents and/or abrasive sponges, AND/OR held acidic foods in the pan. As an example, see this blog post. As alternative pleading, Defendant put Plaintiff to strict proof that Plaintiff fulfilled manufacturer's instructions. On a balance of probabilities, how can Plaintiff gainsay Defendant, and prove this kind of negative that Plaintiff never "used its non-stick cookware over high heat AND/OR" etc...? Obviously, Plaintiff cannot realistically record continuous 24/7 video footage of the pan, since the time of purchase and contract formation! Some examples are below: Cuisinart's NONstick Hard-Anodized Skillet T-fal's Intuition 26 cm Frypan Meyer Confederation's Everyday Pan
semper necessitas probandi incumbit ei qui agit Roughly “she who asserts must prove.” The manufacturer is asserting actions by the consumer - the manufacturer has to prove they happened, the consumer does not have to prove they didn’t.
I've answered this in the context of US patent law, but similar principles apply elsewhere in the world. As stated in 35 USC 271, "whoever without authority makes, uses, offers to sell, or sells any patented invention, within the United States or imports into the United States any patented invention during the term of the patent therefor, infringes the patent". Thus, a patent provides the patent owner with the right to exclude others from performing these actions, and the right to sue anyone who does perform these actions (both to stop them from infringing the patent, and to collect monetary damages for their infringement). Creating an infringing product and then licensing it under the GPL (or any other scheme) does not change the fact that it infringes a patent. 35 USC 271 also states that "Whoever actively induces infringement of a patent shall be liable as an infringer". This means that, even if the creator of the infringing product does not perform any infringing acts in the US, the act of offering it for free use could be construed as induced infringement of the patent, and they could still be sued for that infringement.
It is conceivable that A's employer would claim that the intellectual property was actually created by A in the course of their employment rather than B. That would be a question of fact for the lawsuit to determine. Realistically, assuming A and B both testify that B created the intellectual property with no input from A and A's employer had only the IP address as evidence, it is pretty unlikely that the fact finder would find that A created the intellectual property. A's employer would almost certainly need to provide some additional evidence that would show that the balance of probabilities favored the employer's position (i.e. A works at FedEx writing software for package logistics, B is a 12 year old kid with no formal computer science training, and the intellectual property in question involves the implementation of sophisticated graph traversal algorithms that would be common in package logistics applications).
To win a negligence claim, the plaintiff needs to prove that the defendant: had a duty to the plaintiff, breached that duty by failing to conform to the required standard of conduct (generally the standard of a reasonable person), the plaintiff must have suffered actual harm, the negligent conduct was, in law, the cause of that harm, and that harm was foreseeable. If they fail to prove any one of the limbs, the claim fails entirely. The eggshell skull principle which is what you are referring to goes to the amount of damage (and damages) that happens: not to if there is negligence in the first place. The foundation case in the modern law of negligence is Donoghue v Stevenson: the facts involved Mrs Donoghue drinking a bottle of ginger beer in a café in Paisley, Renfrewshire. A dead snail was in the bottle. She fell ill, and she sued the ginger beer manufacturer, Mr Stevenson. The House of Lords held that the manufacturer owed a duty of care to her, which was breached, because it was reasonably foreseeable that failure to ensure the product's safety would lead to harm of consumers. Lord Atkin define neighbour (people to whom a duty is owed) as "persons who are so closely and directly affected by my act that I ought reasonably to have them in contemplation as being so affected when I am directing my mind to the acts or omissions that are called in question." The determination of the existence of a duty is a matter of law, not facts, therefore the decision rests with the judge not the jury. However, the law needs to consider the particular facts of the relationship including the particular risk of injury which eventuated, the defendant's relationship to that risk and the nature of the damage suffered although no one factor is itself sufficient. Of relevance to your hypothetical plaintiff is Bolton v Stone, the plaintiff was hit by a cricket ball which had been hit out of the ground; the defendants were members of the club committee. The judges held that as it was not reasonably foreseeable that a cricket ball would be hit so far, the club was not negligent. In the words of Lord Normand, "It is not the law that precautions must be taken against every peril that can be foreseen by the timorous." In essence, Stone being hit by a cricket ball was, in your words, an accident even though it was caused by the cricket club. It is not reasonably foreseeable that brushing against a stranger in, say, a corridor would cause them harm. Therefore the act is not negligent even though, for this particular person, harm can be caused. In the absence of negligence, the eggshell skull principle is moot. However, in circumstances where the defendant has knowledge of the plaintiff's condition, brushing against them may be negligent depending on all the surrounding circumstances.
united-states Absent an agreement to the contrary, the employer can make expert testimony a requirement for further employment, and the employee can quit if this is not acceptable. As a practical matter, employees almost always agree to do so without any serious objections to testifying as experts on behalf of their employers. Also, U.S. courts distinguish between retained and non-retained expert testimony. A retained expert is someone testifying solely because they were hired to do so in particular case. A non-retained expert is someone who has personal knowledge of the events in the case who has expertise in an area and is being asked to testify about that personal knowledge in a manner informed by that person's expertise. A non-retained expert can be compelled to testify by subpoena, even if an agreement for that person to testify as an expert voluntarily is not reached. Many employees asked by an employer to provide expert testimony would fall in the category of a non-retained expert who could be compelled to testify about the matter from their personal knowledge in a manner informed by their expertise, even if they quit. But, a non-retained expert can only be compelled to testify at trial, not to cooperate in preparing for that testimony with an attorney for the employer or preparing a written report in advance of that testimony. Incidentally, it would be the rare exception to the rule for the written report of a retained expert witness in advance of their testimony at trial or in a deposition to make that report stating that opinion under oath. Typically, it would be signed but not sworn to by the expert. the court requires (version 1) the company (version 2) someone with expertise from the company to provide a sworn opinion (something like "the process to do X is Y"), and answer questions in court. In U.S. cases, it isn't "the court" that is proactively telling litigants what evidence they have to provide. The law tells litigants what has to be proved. Sometimes, in U.S. non-criminal litigation, expert testimony from someone is required to proven or disprove an element of a case. For example, in professional malpractice cases, someone with expertise in that profession must testify that the professional did or did not perform the work which is the basis of the lawsuit in a manner that falls below the standard of care for a professional of that type. Other times, expert testimony is one means of many possible means to prove a fact in the case. For example, one could prove lost profits by showing that a specific contract was lost by someone's action, or one could instead hire an expert to show what profits could have been earned if something was done.
Can a party unilaterally prohibit any of its output from use as evidence in litigation? The disclaimer is not really a prohibition, but a warning against relying on the underlying report or product for any of the listed purposes. Thereby the issuer informs that it did not apply, did not attempt to apply, and/or ought not be presumed to have applied, the standards that are requisite or reasonably expected for the listed purposes. Absent a disclaimer of that sort, the issuer exposes itself to liability for losses that could have been prevented had the issuer informed the consumer on what to expect from the product as well as the limitations thereof. Will the courts respect such disclaimers? The disclaimer primarily substantiates a party's objection to the adversary's intent (if any) to use the report or product as evidence. If all parties stipulate that such report be used as evidence, the judge might still have discretion on whether to admit it. But that is different from construing the disclaimer as something the issuer prohibits.
Probably not In order to establish negligence as a Cause of Action under the tort of negligence, a plaintiff must prove that the defendant: had a duty to the plaintiff, breached that duty by failing to conform to the required standard of conduct (generally the standard of a reasonable person), the negligent conduct was the cause of the harm to the plaintiff, and the plaintiff was, in fact, harmed or damaged. What standard of conduct do you think your employer failed to conform with? Owning a tree or a parking lot is not, of itself, negligent. Further, the branch fell "during high winds" - the wind is not within your employer's control. Now, if you can prove that your employer knew that the particular tree was ill and likely to drop branches in high winds and failed to do anything about it, that might be considered negligent. I know of a case where a council who had refused permission for a tree to be removed because it was "healthy" was found negligent when that tree latter (in calm winds) dropped a branch on Jaguar.
Similar to this question and this one, the Uniform Commercial Code requires that exclusion of warranty be conspicuous. While it does not specify the manner in which text should be made conspicuous, putting it in all caps certainly has that effect if the surrounding text is in sentence case. The meaning is that all products come with implied warranties of merchantability (it is good enough to be sold to you) and fitness for purpose (it will do what it's meant to, and what you've been told it will do). This text excludes this product from those warranties (that is, those warranties do not apply). It also disclaims liability for claims and damages, which means that if this software causes you harm or damage, you can't file a suit to recover any loss. Whether this is enforceable would be decided by a court.
What are the legal issues when using copyrighted images to advertise a product that doesn't contain them? I was on YouTube a couple of days ago watching a video that looked at mobile game advertisements and whether or not they were reflective of the product. To give an example, one game used online ads of supposed game footage with some of the characters being creatures from the Pokémon franchise. However, the actual game doesn't contain these characters at all. On the one hand, I wondered if while the ad could likely be removed on copyright grounds, would the game itself be shielded by not actually including these characters? On the other hand, is advertising a product as though it is connected to a franchise it blatantly isn't not also violating some advertising standards agency's rules of misleading advertising? It obviously seems wrong to be using someone else's work in this way, even if your actual product doesn't contain it, but I'm intrigued by what the actual legalities are here.
The issue you identify isn't really a copyright issue. The same issue would arise if the product contained public domain images in the advertisements that aren't present in the work itself. Essentially, the question comes down to whether there was actionable deceptive advertising. Usually, these claims arise under specialized consumer protection statutes that offer remedies and means of enforcement different from an individualized fraud lawsuit, and usually a deceptive advertising claim is easier to prove than traditional fraud lawsuit. Traditional fraud lawsuits normally require a showing of damages caused by reasonable reliance upon the misrepresentation, which is uneconomic to prove in the case of an individual small consumer purchase. Usually, deceptive advertising of consumer products is established in a lawsuit by a government official in charge of regulating deceptive advertising or a class action lawsuit, and often statutory damages are assigned to each violation rather than requiring detailed proof of economic harm for compensatory damages from some but not other images being present. Often fine print in the advertisement or in a purchase form before buying the product discloses the disconnect. Also, the mere presence of an image in an advertisement doesn't necessary imply that it is included in the product. So prove of deceptive advertising liability in these cases is often difficult even with these relaxed standards. There are many gray area and close cases, and often, businesses settle these lawsuits rather than litigating them. A more specific answer would require knowledge of which jurisdiction's laws apply, which is often a non-trivial question in Internet based advertising lawsuits.
This kind of quotation, for commentary, criticism, or reference, is generally allowed without obtaining permission. In the US, this falls under fair use (see 17 USC 107. In the UK and most commonwealth countries, it falls under fair dealing. In other countries there are various exceptions to copyright that will probably cover this. Even answers that do not directly quote the rule books often use information from those rulebooks to write an answer. Facts and ideas are never protected by copyright, so this is not going to be an issue. See 17 USC 102(b), which provides: (b) In no case does copyright protection for an original work of authorship extend to any idea, procedure, process, system, method of operation, concept, principle, or discovery, regardless of the form in which it is described, explained, illustrated, or embodied in such work. As a comment by user Trish reminds, game rules are facts and are not protected, although their exact wording may be.
No. The images are copyrighted, and you are using them in a way that would leave you with virtually no argument for fair use. The factors for fair use are set out in 17 USC 107, and they indicate that the courts would reject your use: The purpose and character of the use, including whether it is of a commercial nature or for nonprofit educational purposes: There's no indication that your use would be for nonprofit or educational purposes. The nature of the copyrighted work: Works of fiction and art are highly creative works at the heart of the policy for copyright protection. The amount of the portion used in relation to the copyrighted work as a whole: You are apparently copying entire images, though I suppose you could argue that each image is just one small portion of a larger book or website. The effect of the use upon the potential market for or value of the copyrighted work: You are trying to create a board game, putting yourselves basically in direct competition with the makers of D&D. I generally prefer a pretty liberal interpretation of what constitutes fair use, but this just has virtually nothing that would make me comfortable arguing in your favor.
It doesn't make a difference if the product is free or commercial use, if it's initiated by a company or an individual. What you are considering would be a "derivative work" and without explicit permission from the copyright holder, it is considered a violation.
No It says right on the page you linked: These downloads are not public domain, as they are parts of content that has already been licensed and distributed. Although using these downloads may be permissible as long as the project itself falls under the rule of "Fair Use," it is ill-advised to use these downloads for any project intended for profitable gain or commercial advertisement, unless otherwise stated by Kyutwo.com.
If any elements of the game are protected by copyright, then you cannot reproduce those elements (17 U.S.C. §106) unless your reproduction falls under a fair use exception (17 U.S.C. §107). Elements that may be protected by copyright include: artwork specific language on each card the aggregate effects of the cards (i.e. copying a single card's effects might not infringe copyright, but if you copy the effect of a bunch of the cards, such that you are taking expression of the original author's creativity, that might infringe, even if you change the words used) Whether an element of the game is protected by copyright is a fact-intensive question that would depend on the specifics of the game. Whether your copy infringes is likewise a fact-intensive question that would depend on what you copy. Fair use is also a fact-intensive, case-by-case analysis, but in my opinion, it is likely that creating a computer program derivative work (17 U.S.C. §101) of the game for your own personal education would be considered fair use. From a practical standpoint, even if it were not fair use, it would be near impossible for the copyright owner to discover. Posting the code on GitHub tips the scales away from fair use because of (17 U.S.C. §107(4)): "the effect of the use upon the potential market for or value of the copyrighted work." But, none of the factors are determinative on their own. You ask: I likely cannot simply change all the names of the various cards to something else, right? I agree. In my opinion, the selection and arrangement of the effects attributed to each card is an expression of the author's creativity, and no matter what you call the cards, copyright in the game would be implicated if you retained the effects associated with each card. If I start changing the rules of the game, does that make it legal for me to share my source code, for instance? At some point, it will be an entirely different game, so certainly, in the limit, your work would not be infringing. We can't answer where that line is, but in general, the less of the original author's creativity that you re-use, the less likely a ruling of infringement. Also, in general, the more transformative your work is, the more likely a fair use exception would apply.
Copyrights protect the mark as is, and derivatives of it, but does not protect the brand from look a likes or from new trademarks that would be confusing. Consider the Pepsi logo: I could easily draw a circle half red and half blue with a white line straight across, vertically, or diagonally. In fact: © 2018 A. K. all rights reserved. There it is my new logo for my cola company called Hep-C (I'm raising awareness). Under copyright law Pepsi could not come after me because the logo is my own creation. I could even call it Pepsi and it would not be a copyright violation as you cannot copyright words. However, Pepsi has better lawyers than that and with my trademark so similar to theirs and the name sounding so similar (and my new name being potentially disparaging to Pepsi) it would likely confuse consumers between what was Pepsi and what was Hep-C thus under trademark law it would be disallowed for commerce. Now you would have common law trademark protection by virtue of using your mark in commerce, but it would only be for the states in which you used it. Additionally a lack of a registered trademark would disallow you from seeking statutory damages under 15 U.S.C. § 1117.
This is likely not fair use. At first blush it appeared similar to things one might see in The Onion (parody print and online newspaper) or other parody publications or shows (SNL, Key and Peele, etc.). In this case, the context would have likely been deemed transformative. However, since they are selling coffee called "Dumb Starbucks" while using their trademark, they would be be found liable if sued. You can parody a trademark brand, so long as the work is transformative such that the use of the brand goes from selling coffee to making a commentary in which the brand itself is relevant. Amendment I don't think this would pass the test as a parody/commentary. Originally, I failed to notice that they are actually selling coffee. This takes it out of fair use and they would almost certainly lose if sued. If they never sold the coffee, but just had it open as a performance art (like I had originally read this) giving the coffee away to complete the parody, I think they'd be fine. However, they are literally using the Starbucks logo, and selling the same product. This is clearly an infringement of their copyright and not fair use. Sorry for the confusion.
Attorney Client Privilege (ACP): Attorney Invoices The Home Owner's Association's attorney labels its work products as "Attorney Client Privilege". Does the HOA's lawyer have a duty or is it standard practice to label documents (including) as privileged if it contains privileged information? I ask because in my time working for 3 letter agencies, the equivalent of privileged information is required to be clearly labeled. The HOA is required to provide access to the Association's records within 10 days of a request. Invoices are Association records. Bonus Question: Does the Association's contractor who maintains the records have a duty to act as a gatekeeper to said invoices if they are not labeled?
Does the HOA's lawyer have a duty or is it standard practice to label documents (including) as privileged if it contains privileged information? While it is sometimes labeled, this is done by attorneys when it is done, mostly to prevent stupid clients from sharing the information and waiving the privilege. Usually, however, documents are not marked as privileged in advance and when documents are requested from a third-party this analysis is usually done by junior attorneys and paralegals working as a team for the first time. Formal designation is not required because the definition of what is protected is defined by statute and common law rules on a uniform basis. The duty to share information with HOA members does not generally extend to privileged information. If a document that would otherwise be required to be disclosed (like attorney invoices) contains privileged information, the usual course of action is to redact the invoice so that it contains only non-privileged information (e.g. a bottom line amount owed and the date of the invoice and the matter). In an HOA context, the privilege of the HOA as a client belongs functionally to the board and its officers, not to all of the members of the HOA. Does the Association's contractor who maintains the records have a duty to act as a gatekeeper to said invoices if they are not labeled? This depends upon the contract between the Association and the contractor. A well written contract would include this duty, and spell out the mechanics of how it is implemented, but not all contracts live up to best practices. A related issue is whether a release of privileged information by an independent contractor constitutes a waiver of the privilege by the client if the contractor is not in an agent-principal relationship with the Association, which is often a determination made only after the fact by a court. Some jurisdictions' rules of civil procedure provide a waiting period between the issuance of a third-party subpoena for documents and the earliest time that those documents can be delivered to a third-party, to allow objections on grounds of privilege or another basis to be raised prior to the disclosure of the documents. Colorado Rule of Civil Procedure 45, for example, has such a provision. I don't know what the rule is in Florida on that issue.
Does Alice have to expressly announce if she or friends or family would be recording and obtain therein the implied or an express consent due to a covenant of good faith duty or since they don’t have a contractual relationship, and Bob acts out of a statutory right of Alice imposing in particular a duty on Bob, she has no such duty? Alice and her counsel have some reciprocal duties. The duty of good faith and fair dealing, while in principle applicable to any contractual relationship, is not a good framework in which to analyze those duties. It is more fruitful to consider this specialized situation as a relationship arising at law which is not predominantly contractual in character. It is an attorney-client relationship primarily, not a contractual one, particularly in the case of appointed counsel who is not voluntarily selected or paid by the client. There are rules of professional conduct that specifically govern the allocation of responsibilities between an attorney and a client, some of which are particular to criminal defense clients and their attorneys. These rules of professional conduct would be controlling, not the duty of good faith and fair dealing. Further, it bears noting that the proposed arrangement would result in a forfeiture of the attorney-client privilege which is not a condition that any reasonable attorney engaged in a criminal defense case would agree to allow, for the client's own good. The main rules of professional conduct that are applicable (all U.S. jurisdictions use the same numbering system for their rules of professional conduct although not all of them are identical in content) are Rule 1.2 (Scope of Representation and Allocation of Authority Between Client and Lawyer), Rule 1.4 (Communications), and Rule 1.6 (Confidentiality of Information). Of these Rule 1.2 is most important. It states: [A] lawyer shall abide by a client's decisions concerning the objectives of representation and, as required by Rule 1.4, shall consult with the client as to the means by which they are to be pursued. A lawyer may take such action on behalf of the client as is impliedly authorized to carry out the representation. A lawyer shall abide by a client's decision whether to settle a matter. In a criminal case, the lawyer shall abide by the client's decision, after consultation with the lawyer, as to a plea to be entered, whether to waive jury trial and whether the client will testify. It also prohibits a lawyer from allowing his or her services to be used in furtherance of an ongoing crime or fraud. Rule 1.4 provides that: (a) A lawyer shall: (1) promptly inform the client of any decision or circumstance with respect to which the client's informed consent, as defined in Rule 1.0(e), is required by these Rules; (2) reasonably consult with the client about the means by which the client's objectives are to be accomplished; (3) keep the client reasonably informed about the status of the matter; (4) promptly comply with reasonable requests for information; and (5) consult with the client about any relevant limitation on the lawyer's conduct when the lawyer knows that the client expects assistance not permitted by the Rules of Professional Conduct or other law. (b) A lawyer shall explain a matter to the extent reasonably necessary to permit the client to make informed decisions regarding the representation. Rule 3.1 (Meritorious Claims & Contentions), Rule 3.3 (Candor Towards The Tribunal) and Rule 3.4 (Fairness to Opposing Party & Counsel) would also often be pertinent (as this defines what communications an attorney can and cannot have with others ethically, primarily prohibiting an attorney from knowingly using false testimony or faked evidence). There is some variation from state to state in the exact details of these rules, but the general thrust and the general scheme of organization is the same. In a nutshell, the clients has a responsibility to determine ends, and the lawyer is charged with deciding means, although in practice, it can get more complicated than that when the ends and the means are intertwined. The main exceptions in criminal cases to this division of labor are the means involved in electing a jury trial and choosing to have the client testify as a witness. A lawyer could reasonably insist, as a condition of ongoing representation by the lawyer of the client, that communications between lawyer and client not have someone else listening in.
Must/may the court give that instruction? No. It would be error for the court to give that instruction. The only privilege for which an adverse inference instruction is generally authorized in civil litigation is the 5th Amendment privilege against self-incrimination. This is because when you invoke it, you are implicitly asserting that your testimony could be used against you, if you gave it, to show that you were guilty of a crime, and because a relevant question will be about events pertinent to the lawsuit. An adverse inference is also not allowed for invoking the 5th Amendment when you are a defendant in a criminal case because that would undermine its purpose in the the criminal justice system. An invocation of a marital privilege, in contrast, merely implies that you are married, which is not something that would normally and naturally suggest that you did something for which there is civil liability. One could probably imagine a fact pattern in which being married was a disputed issue that could give rise to liability (e.g. under the "family car doctrine"), of course, in which the invocation of the privilege would estop A from asserting a defense on the ground that he isn't married to A's wife (either at the time of the communication if the confidential communication privilege is raised, or at the time of the testimony, if the right to not testify against a spouse privilege is raised, as the case might be). Tricky cases would involve people who were unmarried at the time of the accident but subsequently married. But, outside very unusual facts, people generally don't deny that they are married in a lawsuit and then try to assert the marital privilege in a lawsuit. Does the answer change depending on whether it is the litigant or the spouse who invokes the privilege? No.
The leading case in this area is Commun. for Non-Violence (CCNV) v. Reid 490 U.S. 730 (1989).1 There are two routes to employers automatically being the first owner of copyright in a work produced by a hired party: in an employee-employer relationship, or in certain works by independent contractors if an express agreement is made. CCNV construed the definition of "work made for hire" in 17 USC 101 to split paid work into two categories: work done by "employees" and work done by "independent contractors". Copyright in "employees" are automatically owned by the employer. Copyright in work by independent contractors can also be owned by the employer if it falls under a set of specific categories of work (which course materials are certainly included in) and "parties expressly agree in a written instrument signed by them that the work shall be considered a work made for hire". The term "employee" above takes on a special meaning in this context. The court held that the test is to use common law agency principles: To determine whether a work is a "work made for hire" within the § 101 definition, a court should first apply general common law of agency principles to ascertain whether the work was prepared by an employee or an independent contractor The court listed 12 (non-exhaustive) factors to be taken into account when deciding whether a hired party is a an employee under common law agency and thus the work would be automatically considered a "work for hire": the hiring party's right to control the manner and means by which the product is accomplished the skill required the source of the instrumentalities and tools the location of the work the duration of the relationship between the parties whether the hiring party has the right to assign additional projects to the hired party the extent of the hired party's discretion over when and how long to work the method of payment the hired party's role in hiring and paying assistants whether the work is part of the regular business of the hiring party whether the hiring party is in business the provision of employee benefits the tax treatment of the hired party This is a case-by-case judgement, and courts have not made a ruling that applies to all university course materials universally. I'm sure we could all imagine arrangements that would fall squarely on the "employee" side of the test, and thus give the employer first ownership of copyright in course material just as easily as we could imagine arrangements that would fall squarely on "independent-contractor" side. There are arguments on both sides regarding whether the typical university professor or lecturer relationship would be considered an "employee" relationship for the purpose of the "work made for hire" definition (I'll come back to reference some law journal articles later). Regardless, even if particular relationship is found to be an "independent-contractor", the employer can still be the first owner of copyright in the works if "parties expressly agree in a written instrument signed by them that the work shall be considered a work made for hire" (assuming the work is one of the categories listed in the 17 USC 101 definition of "work made for hire" part (2), and course material certainly is). Last, even for independently contracted work that doesn't fall under one of the special categories in "work made for hire" (2), parties could agree to a contract requiring assignment of copyright. In this case, the employer wouldn't be the initial owner, but they would be due equitable assignment of the copyright by the author. 1. There are various reasons why Weinstein (mentioned in the question) is not relevant. Weinstein doesn't hold that the author of course material is automatically the copyright owner. Weinstein is pre-CCNV. Weinstein was a Seventh Circuit opinion; CCNV is a Supreme Court opinion. The test that was being used at the time by the Seventh Circuit (an "actual control of the work" test) was rejected by the Supreme Court in CCNV.
No Voluntary disclosure, even accidental, by the client ends privilege. The information may still be confidential (inadmissible) if it happened in the appropriate circumstances, for example, as part of a mediation. Edit A recent decision of the High Court of Australia has determined that a litigant can use material that comes into its possession that would have attracted privilege irrespective of how this happens. In that case, the law firm was hacked by an unknown party, the information was given to a journalist and published and the litigant wanted to use it in their case - they were allowed to do so. The court decided that privilege is not a legal right that could found a course of action. Basically, it only prevents the compulsory production of such information - it doesn't protect the information itself.
Yes. An HOA covenant binds successors to the owners who make the HOA declarations and establish the relevant covenants. Generally, there is a process in the HOA rules by which a supermajority of owners can disband the HOA, but otherwise HOA rules automatically bind successor owners, whether they agree or not. Fines imposed by an HOA member by an HOA normally only bind a successor owner if the fines have been recorded as HOA liens against the property.
I don’t understand why you think this is a “3rd party communication” - as I read it it says it’s an email from you. You are most definitely not a third party. Notwithstanding, communication between 3rd parties is not prima facie excluded. For example, correspondence between your company and your accountant (who are both third parties) is likely to be extremely relevant to a family law case. Assuming that it is relevant (which is hard to say without context) and that it doesn’t fall foul of one of the evidentiary rules (hearsay, opinion, privilege etc.) there is no reason why it wouldn’t be admissible.
In general, "a signed piece of paper" is not "a contract". It may be a record of a contract, but the contract itself is the meeting of minds where an agreement is reached and doesn't depend on the existence of the piece of paper. (Depending on the jurisdiction, some sorts of contract are required to be in writing, but this doesn't usually apply to employment contracts; it's usually contracts involving land.) What is far more worrying to me is that you don't know how much they are going to pay you. That suggests there hasn't been a meeting of minds, and there is no contract. (It might be that "the going rate" is good enough to form a contract - to determine that would require advice from a local lawyer.) I suggest you don't write up a formal agreement, but nag your boss to decide how much they are actually going to pay you.
Is there any country that acknowledges people’s right to not participate? I was trying to look through the US Code to see where it says what I would consider to be the axioms of a country and its law, something like: There is an entity called “The United Stated” This is the land that defines it: (territory) The country is also defined by people who constitute the country; they are called “citizens”. Who is a citizen is determined in a way described later. The United States can make laws, or statements about what citizens must,can, or can not do. There is a body / group of people - called the “government” - they have more ability than other citizens to create or change the laws. (There are laws to be described later about how it is determined which citizens are in the “government”.) The United States enforces laws on its citizens. That means, there is a law that says that the government has the ability to require citizens to follow laws; and what ways it can respond to anything forbidden by law, is described later. I think I did find roughly that under “Organic Laws - Articles of Confederation” in the US Code, but I think what I did not expect is that it appears to be the document that was written in the 1700’s, without there being a sort of modern rephrasing, and collation of all laws into one single document, rather than a library of different ones. Maybe the nature of law is it’s very hard to change an essential law’s phrasing, so it remains word for word over time? What my real question is, is in our time, it seems that almost all “space” is owned / controlled by a “country”. It’s like a default assumption of our time that the world divides into countries. I’ve been thinking about how it could be useful and upright research to design different “human systems” - mechanisms, guidelines, rules - starting with small groups and exploring larger ones slowly - to try to explore “government” or political philosophy actively and empirically, like scientific research. But it just occurred to me that if someone wanted to try to explore a small society based on certain rules, there is an extent to which it might feel limited so far as it was limited by the country the research was happening in. Also, it’s like humans don’t have the right to live in a society of their choosing. We didn’t choose the countries we were born into. Governments control land with force. It’s almost like a philosophical basis is lacking for how an entity like a government can declare that you are its subject. It’s almost like we’re lacking a natural freedom but it isn’t one that’s been widely recognized yet so people do not even realize they don’t have it. Is there any country with a legal code / constitution that is perhaps based on a completely modern, modernized, and recent philosophy of what the rules of a society should be, and on philosophical grounds alone, consider that the natural human right to freedom means you are not required to be a member of that state, and you can opt out - but furthermore that it is wrong for the country to claim complete dominion over certain areas of land. In other words, a person can opt out of their country and has the right to some land within that country. Maybe the region would still be regulated by international standards like basic human rights, but other than that they are no longer part of their state. The only example I can think of is Christiana, a district in Copenhagen, Denmark where the people declared themselves an anarchist community that is not part of any country or the EU. For some time it seemed the government respected it, until crime and other issues caused more police control, I think. So, which country comes closest to actually preserving people’s right to opt out of the state and have a natural right to at least some land?
The United States enforces laws on its citizens. This is not true and never has been in the United States or pretty much any other country. Countries exercise authority over anyone in their territory, and over their citizens even if outside their territory. Sometimes countries agree to waive their authority over a tiny number of diplomats voluntarily while retaining the right to expel them from their country, but that is the rare exception and not the rule. So, which country comes closest to actually preserving people’s right to opt out of the state and have a natural right to at least some land? There really aren't any, and the claim that this is a "natural right" is, at a minimum controversial and not widely held. Many countries have areas that they control which are subject to different regulations than most of the country. For example, until recently, Hong Kong was subject to different laws by different authorities than the rest of China, and there continue to be some laws generally applicable in the rest of China which are not applicable in Hong Kong. Until recently, the Panama Canal Zone was a similar example of control of territory within one country being temporarily ceded to another sovereign authority. Guantanamo Bay, Cuba is a third example. Similarly, and with some of the same conceptual framework behind it, the laws that apply in places such as the Channel Islands or the Cayman Islands or Scotland, which are subordinate in legal and political theory to the same King as England is, are permitted by the King and treaties and organic statutes established with the King's symbolic approval, to have laws that are different from those that apply in England. Ultimately, this is simply a form of federalism, although when the extent that the central government's otherwise generally applicable laws can be disregarded quite completely is high, it feels like something more than mere federalism, and is often called a dependency or colonial relationship. Similarly, many countries have "free ports" or "duty free zones" in which their usual taxes don't apply. For example, the U.S. taxation regime that applies in Puerto Rico is different from the U.S. taxation regime that applies within U.S. states. But, even in these cases, there is not an individual right to opt out of laws, there is permission granted by a higher level government for a subordinate level government to adopt laws different from the generally applicable laws of the higher level government. Sometimes the alternative government is democratic, sometimes it is not. Hong Kong, for example, was not self-governing in a meaningful sense until not long before China regained control of the territory at the end of a 99 year concession to the United Kingdom. Some jurisdictions give people subject to their jurisdiction more ability to reach their own legal arrangements contrary to the default rules of law than others. For example, Delaware affords people who create limited liability companies there more authority to deviate from Delaware's default rules of law for limited liability companies than any other U.S. jurisdiction. But this is a far cry from granting people subject to Delaware's jurisdiction generally, freedom to displace mandatory rules of Delaware law in other legal domains such as criminal law. Similarly, sometimes the government will tolerate deviation from binding national laws even when they technical still apply. This has been the story of marijuana legalization in the U.S. and of prostitution legalization in Perth, Australia. But, again, this is an isolated act of tacit toleration in a single subject area, and not a general disavowal of legislative authority.
Law, as such, is not a moral or a philosophical construct. It can be based on moral constructs and often it is. And, of course, the process of writing laws is often informed by philosophy. But law as such is neither one of those. Law is a set of behaviors which are known to be acceptable to the powers "that be." This maybe an unsettling idea. But it is true nonetheless. The phrase that summarizes this is "any law is only as good as its enforcement mechanism." What makes it seem untrue is that in the modern tradition laws are written down. And, when there is a need to resolve doubt as to whether something is illegal or not, they are carefully considered through a deductive process. Within countries, there is little question who "the powers that be" happen to be. But when it comes to laws governing actions between nations, it is more complicated. Yes, treaties make it clear, ahead of time, what types of expectations exist. Predictability (even in war) allows for long-term planning. And even laws of war are usually followed because wars are fought with the expectation that at some point they will end. And predictability allows to set end-goal conditions. Notably, entities which have no clear end-goals in sight are the ones least likely to follow any laws. The idea of any group of countries sitting in court of another group of countries is mostly a political theater. There is no possibility of predictable outcomes from entities which have not made commitments to those outcomes. So whether some countries have to follow "laws" set out for them by other countries (or non-government entities) is largely a result of those countries or entities being in positions of power to dictate their will. This is not the same as international laws being strictly de facto. Agreed-upon restrictions and restrictions which have been dictated from the top-down, by those with more power, are de jure because they create predictable boundaries on behavior. De facto restrictions are the ones which have come to be the case without any prior agreement or fiat.
I was initially going to vote to close this as a political rather than a legal question, however, I think there is scope for separating out the two dimensions. Our society makes a distinction between children and adults by giving them different legal rights, obligations and protections. If you think about it, there are a lot of things beyond sexual activity where the law does this: voting, drinking, military service, compulsory schooling, legal culpability etc. What things are subject to legal restriction is a political distinction. Now, there is no reason politically why these laws could not have been drafted to say "children can do this, adults can do that" and leave it to the courts to decide who is a "child" and who is an "adult". Biologically and emotionally people reach maturity at different ages so this is perfectly sensible. It might even be more just. However, justice is only one thing that we require of our legal system. Among the others are certainty and efficiency. Providing a bright line based on birth date gives certainty. Not requiring the court to deal with this on a case-by-case basis increases efficiency - justice is not free. This is why jurisdictions use age as a proxy for adulthood. As to why they choose any particular age, that is a political question.
See Article VI of the Constitution: This Constitution, and the Laws of the United States which shall be made in Pursuance thereof; and all Treaties made, or which shall be made, under the Authority of the United States, shall be the supreme Law of the Land; and the Judges in every State shall be bound thereby, any Thing in the Constitution or Laws of any State to the Contrary notwithstanding. This seems to me that it pretty clearly establishes the Constitution as taking the place of any previous laws. In particular, Article XI of the Articles is in conflict with Article IV Section 3 of the Constitution ("New States may be admitted by the Congress into this Union"). The Constitution says that Congress's action is required to create a new state, and doesn't mention any exceptions. The Constitution's terms presumably take precedence. If Canada wanted to become a state, it would have to be admitted by Congress under Article IV Section 3.
The 5th amendment of the US constitution reads: No person shall ... be deprived of life ... without due process of law and the 14th amendment reads: ... nor shall any State deprive any person of life... without due process of law In Roe v Wade the majority opinion expressly acknowledged: The appellee and certain amici argue that the fetus is a "person" within the language and meaning of the Fourteenth Amendment. In support of this, they outline at length and in detail the well known facts of fetal development. If this suggestion of personhood is established, the appellant's case, of course, collapses, for the fetus' right to life would then be guaranteed specifically by the Amendment. (emphasis added) The majority in Roe v Wade then concluded: the word "person," as used in the Fourteenth Amendment, does not include the unborn In Dobbs, the majority instead stated: Today’s decision therefore does not prevent the numerous States that readily allow abortion from continuing to readily allow abortion ... all of the States may evaluate the competing interests and decide how to address this consequential issue ... There is ample evidence that the passage of these laws was instead spurred by a sincere belief that abortion kills a human being. Many judicial decisions from the late 19th and early 20th centuries made that point. [numerous citations] One may disagree with this belief (and our decision is not based on any view about when a State should regard prenatal life as having rights or legally cognizable interests) ... Our opinion is not based on any view about if and when prenatal life is entitled to any of the rights enjoyed after birth. In conclusion, though it is recognized in Roe v Wade that if the unborn is considered a "person" then there is a "right to life", no justice has indicated in an opinion (including concurring or dissenting opinions) that "person" in the constitution includes the unborn.
States have a general police power, meaning that they can pass laws about whatever they want unless there's a specific reason they can't. A state does not have to give special justification for why something is in the realm of stuff they can regulate; someone challenging it has to say what specific section of the Constitution it violates. For a time, the Due Process clause of the US Constitution was considered to imply freedom of contract. This time ended in the 1930s. The doctrine of a constitutionally protected freedom of contract is pretty much completely dead. A state can't abridge the freedom of contract for no reason, but that's because just about any law needs some reason to be allowed. The level of review is that the law is rationally related to a legitimate state interest; this is not a very demanding level of review. Source State bar associations are given power by laws making it illegal to practice law without being a member of the bar and requiring licensed lawyers to comply with bar rules. State bars that control admission to practice are generally government agencies (specifically, agencies of the court system). When the state bar is not a government agency, attorney discipline and licensing is handled by a government agency (lawyers might have to join the bar, but the bar has to accept licensed lawyers as members; the bar's power in these cases is limited to recommendations to the courts).
Art. 25 of the Indian Constitution says (in part) Subject to public order, morality and health and to the other provisions of this Part, all persons are equally entitled to freedom of conscience and the right freely to profess, practice and propagate religion. But, Nothing in this article shall affect the operation of any existing law or prevent the State from making any law regulating or restricting any economic, financial, political or other secular activity which may be associated with religious practice; providing for social welfare and reform or the throwing open of Hindu religious institutions of a public character to all classes and sections of Hindus. The preamble does also declare that India is a sovereign socialist secular democratic republic, but this is not a clearly-enforceable article. There is no legal requirement that government action be entirely devoid of consideration for religion. What the law says is that the government must respect the rights of individuals to practice their own religion, but that does not preclude favoring a particular religion, e.g. using Hindu texts in official contexts. So far, the courts have not rules that government action must be entirely devoid of religious reference (for example the various Hindu family laws vs. Muslim family laws are not unconstitutional).
If a nation's constitution does not allow a legal means of secession, then the only possibility would be to appeal to a multi-national judicial body, but such bodies have negligible power to enforce. While numerous organizations recognise a generalized right to self-determination (for example the UN has declared that "all peoples have the right to self-determination"), this does not automatically translate into an internationally-recognized right to illegal secession. The International Court of Justice deftly avoided any finding on whether Kosovo had a right to secede, and there is no generally recognised (or denied) "right to secede". There are certain conditions under which one would have support for a claim to legal secession, for example peoples subject to decolonization, the territory was invaded / annexed after 1945, or the state flagrantly violates the rights of those peoples concerned. The "decolonization" angle has been applied to Somaliland (the premise being that the merger of British and Italian colonies into the nation of Somalia was invalid). The use of "peoples" reflect the importance of some sort of ethic division, which becomes a matter of controversy. There is reading on the topic, for example: Secession: State Practice and International Law after the Dissolution of the Soviet Union and Yugoslavia Secession (Bibliography by Theodore Christakis) The Remedial Right of Secession in International Law
What is the legal basis for trying a juvenile as an adult? I understand that it is generally only done for serious crimes, and I believe the reason is to not have the perpetrator's criminal record simply sealed at a certain age, but what is the legal basis in the United States for this? If you are not yet a certain age, or have passed an age, you just aren't that age... period. As a society we are obsessed with arbitrary numerical figures as a cut-off for certain privileges, and enforce them strictly to the extent that a 21 year old cannot be served alcohol at 1:00am on their birthday because presumably it falls under the previous serving day. And I'm pretty sure that same 20 year old couldn't petition the court to be tried as a 21 year old such that they might be found not guilty of a minor in possession charge happening the day before. Falsifying your age for any reason (other than a social fib) is normally considered illegal. Certainly there is an expectation that if provided for official governmental purposes, or when entering into a private party contract where age may be germaine, the information provided will be correct. So what is the legal basis, logic, reasoning, age cut-off, crime severity, or any other standard that must be met to authorize a court to not recognize the correct natural age of a child and hold them to the standards of an adult? And does a defendant have any say in the matter such as it being part of a plea deal? Bonus question: If declared an adult by the court and then acquitted, does the juvenile retain any adult privileges? (I suspect not, but again it doesn't pass my personal reasonableness test...)
Juvenile Proceedings in General The question seems to assume that having reduced penalties for offenders below a certain age, or special courts or modes of trial for accused under a specific age is natural and automatic. It is actually a comparatively recent feature of US law, and exists only because statutes have so provided. Such statutes are largely matters of state law, and vary from state to state. When a judge orders that an accused minor "be tried as an adult", the judge is not pretending that the minor is actually over the age of majority, nor ignoring the accused's actual age. Rather, the judge is following a procedure authorized in the same law or body of law that authorizes special juvenile procedures in the first place. Such a finding determines the procedure for dealing with a particular charge or case. It does not make the child a legal adult. The procedures for making such a determination are generally spelled out in detail in the law of the relevant jurisdiction. The details will vary. Almost anything can be part of a plea deal, and juvenile treatment could in theory be part of such a deal, when the relevant law permits, if the judge approves. I believe that is unusual, however. Maryland Some crimes are, in specific circumstances, to be handled in adult court. In other cases, there is an option to have a case to adult court, following a hearing, in which the child (or the child's representative) can present reasons not to move the case. Specifically: Code section 3-8A-02 sets out the purposes of the juvenile court system. Section 3-8a-6 (see below) specifies the circumstances under which a judge may move an accused child to an adult court, and the procedure for doing so. Code section 3-8A-03 outlines when a matter is under the jurisdiction of a juvenile court, providing that: (a) ... In addition to the jurisdiction specified in Subtitle 8 of this title, the [juvenile] court has exclusive original jurisdiction over: (a) (1) A child who is alleged to be delinquent or in need of supervision or who has received a citation for a violation; (a) (2) Except as provided in subsection (d)(6) of this section, a peace order proceeding in which the respondent is a child; and (a) (3) Proceedings arising under the Interstate Compact on Juveniles ... (c) Criminal cases under compulsory public school attendance laws. -- The jurisdiction of the court is concurrent with that of the District Court in any criminal case arising under the compulsory public school attendance laws of this State. (d) Limitations. -- The court does not have jurisdiction over: (d) (1) A child at least 14 years old alleged to have done an act which, if committed by an adult, would be a crime punishable by life imprisonment, as well as all other charges against the child arising out of the same incident, unless an order removing the proceeding to the court has been filed under § 4-202 of the Criminal Procedure Article; (d) (2) A child at least 16 years old alleged to have done an act in violation of any provision of the Transportation Article or other traffic law or ordinance, except an act that prescribes a penalty of incarceration; (d) (3) A child at least 16 years old alleged to have done an act in violation of any provision of law, rule, or regulation governing the use or operation of a boat, except an act that prescribes a penalty of incarceration; (d) (4) A child at least 16 years old alleged to have committed any of the following crimes, as well as all other charges against the child arising out of the same incident, unless an order removing the proceeding to the court has been filed under § 4-202 of the Criminal Procedure Article: (d) (4) (i) Abduction; (d) (4) (ii) Kidnapping; (d) (4) (iii) Second degree murder; (d) (4) (iv) Manslaughter, except involuntary manslaughter; (d) (4) (v) Second degree rape; (d) (4) (vi) Robbery under § 3-403 of the Criminal Law Article; (d) (4) (vii) Second degree sexual offense under § 3-306(a)(1) of the Criminal Law Article; (d) (4) (viii) Third degree sexual offense under § 3-307(a)(1) of the Criminal Law Article; (d) (4) (ix) A crime in violation of § 5-133, § 5-134, § 5-138, or § 5-203 of the Public Safety Article; (d) (4) (x) Using, wearing, carrying, or transporting a firearm during and in relation to a drug trafficking crime under § 5-621 of the Criminal Law Article; (d) (4) (xi) Use of a firearm under § 5-622 of the Criminal Law Article; (d) (4) (xii) Carjacking or armed carjacking under § 3-405 of the Criminal Law Article; (d) (4) (xiii) Assault in the first degree under § 3-202 of the Criminal Law Article; (d) (4) (xiv) Attempted murder in the second degree under § 2-206 of the Criminal Law Article; (d) (4) (xv) Attempted rape in the second degree under § 3-310 of the Criminal Law Article or attempted sexual offense in the second degree under § 3-312 of the Criminal Law Article; (d) (4) (xvi) Attempted robbery under § 3-403 of the Criminal Law Article; or (d) (4) (xvii) A violation of § 4-203, § 4-204, § 4-404, or § 4-405 of the Criminal Law Article; (d) (5) A child who previously has been convicted as an adult of a felony and is subsequently alleged to have committed an act that would be a felony if committed by an adult, unless an order removing the proceeding to the court has been filed under § 4-202 of the Criminal Procedure Article; or (d) (6) A peace order proceeding in which the victim, as defined in § 3-8A-01(cc)(1)(ii) of this subtitle, is a person eligible for relief, as defined in § 4-501 of the Family Law Article. Code section 3-8A-05 provides that: (a) Cases of delinquency. -- If a person is alleged to be delinquent, the age of the person at the time the alleged delinquent act was committed controls the determination of jurisdiction under this subtitle. (b) Acts under § 3-8A-19.1(b). -- If a person is alleged to have committed an act under § 3-8A-19.1(b) of this subtitle, the age of the person at the time the alleged act was committed controls the determination of jurisdiction under this subtitle. (c) Other cases. -- In all other cases under this subtitle the age of the child at the time the petition is filed controls the determination of jurisdiction under this subtitle. Code section 3-8A-6 provides, in relevant part: (a) How waived. -- The court may waive the exclusive jurisdiction conferred by § 3-8A-03 of this subtitle with respect to a petition alleging delinquency by: (a) (1) A child who is 15 years old or older; or (a) (2) A child who has not reached his 15th birthday, but who is charged with committing an act which if committed by an adult, would be punishable by life imprisonment. (a) (b) Hearing -- Required; notice. -- The court may not waive its jurisdiction under this section until after it has conducted a waiver hearing, held prior to an adjudicatory hearing and after notice has been given to all parties as prescribed by the Maryland Rules. The waiver hearing is solely to determine whether the court should waive its jurisdiction. When the juvenile court "waive[s] its jurisdiction", the child is brought before an adult court and treated as an adult. Section 3-8a-6 further provides: (d) (1) The court may not waive its jurisdiction under this section unless it determines, from a preponderance of the evidence presented at the hearing, that the child is an unfit subject for juvenile rehabilitative measures. (d) (2) For purposes of determining whether to waive its jurisdiction under this section, the court shall assume that the child committed the delinquent act alleged. (e) Criteria. -- In making its determination, the court shall consider the following criteria individually and in relation to each other on the record: (e) (1) Age of the child; (e) (2) Mental and physical condition of the child; (e) (3) The child's amenability to treatment in any institution, facility, or program available to delinquents; (4) The nature of the offense and the child's alleged participation in it; and (e) (5) The public safety. (e) (f) Procedures. -- If jurisdiction is waived under this section, the court shall order the child held for trial under the regular procedures of the court which would have jurisdiction over the offense if committed by an adult. The petition alleging delinquency shall be considered a charging document for purposes of detaining the child pending a bail hearing. Falsifying Age The question now asserts: Falsifying your age for any reason (other than a social fib) is normally considered illegal. This is by no means generally true. Falsifying age to obtain a benefit not otherwise available, such as a reduced price, is fraud. Also unlawful is falsifying age to purchase age-restricted products, such as alcohol. But except where a specific law creates one, there is no general legal duty to provide one's true age.
The government has the choice They can prosecute the child for a crime in the adult system and the defendant then has the right to a jury, or they can refer the matter to the juvenile justice system (JJS) in which case any sentence is administrative and rehabilitative, not criminal and punitive. Some jurisdictions have removed certain classes of crime from the JJS and others allow the prosecutor or the JJS judge to refer the matter to the adult system. You may argue that this is a distinction without a difference, however, SCOTUS did not agree in McKeiver v. Pennsylvania (1971). The fifth amendment says "No person shall ... be deprived of life, liberty, or property, without due process of law" and SCOTUS was satisfied that the JJS provided that. They were also satisfied that because the prosecution was not criminal, the sixth amendment's right to a jury trial was not engaged. The JJS was established around the turn of the 20th century out of a belief that juveniles were more amenable to rehabilitation and that juvenile crime was a product of lack of parental supervision and societal influences whereas adults made a conscious choice to be criminals. In theory, the idea was to create a more sympathetic and less adversarial system to allow orders that were aimed to promote rehabilitation rather than punishment. Its success in that regard has been, at best, mixed. With the rise in crime in the US (but also worldwide) from the 1970s to 1990s, it became more politically beneficial to be "tough on crime" and more children were diverted from the JJS to the adult system - especially if they were people of colour. Even though crime rates have crashed since the turn of the 21st century, this is still many politicians' go-to response.
Your kid is not in trouble; he's a minor. You're in trouble. A criminal case for the charges a prosecutor would bring, i.e. destruction of property (the data) or for a relevant cyber or computer crime (malware, etc.), and/or a civil case for damages due to the destruction of the data would both hinge on one point: the concept of intent. See intent - Wex Legal Information Institute and Civil Law vs. Criminal Law: The Differences | Rasmussen College. Did you knowingly intend to cause damage or data loss with the structure of the name? It's pretty clear you did. The structure of a name that can invoke an SQL command is not in any sense a standard name in spelling or format or punctuation. So how would you convince the jury or judge that you had no intent when you named your kid? The possible poor design of a data system that didn't sanitize inputs is no defense. Saying the door was unlocked so I assume the homeowners didn't care if I trashed their house will get you laughed into jail or on the hook for a stiff civil judgement.
The law doesn’t “defines a minor as a legal person below (some age)” It defines it as a natural person below (some age).
In germany, a child below the age of 14 cannot be guilty of a crime. However, a family court may order measures regarding the welfare of the child. In a case like the one you describe, or even somewhat less extreme ones, this might be taking the child out of the family and into a care home where the child would be locked up for his or her own good.
Most place it isn't illegal, but unless the company has some good reason for asking (such as the ones that Nij outlines) then it might open them up to accusations of ageism. In other words, if they have no good reason for asking they would have difficulty explaining to a court why they wanted that information if it wasn't to facilitate age discrimination.
I presume that the document refers to "barn" and "barnebarn". Norway has forced heirship laws, which refers to offspring as "barn", not limited to those under the age of majority. Interpreted in the context of Norwegian law, there is no assertion in using the word that it grants a right to minors. When you add the additional condition that the recipient must have reached the age of majority, there is no conflict. In this kolonihage bylaws document, which is probably similar to the one you are looking at, §11.2.1 requires that a tranferee fulfill the criteria required for the allocation of parcels, and §11.2.2 addresses the non-necessity of paying the transfer fee in the case of death of the member, and does not create a special inheritance right. It also says that the new contract must be established. But a minor cannot establish a contract, and in general cannot be forced to fulfill the obligations of a member as spelled out in §9. You should check with a lawyer to be certain, of course.
If one day the child goes around to the father's house, perhaps in a state of upset, and says, "That's it, I'm staying," what is the legal position of the father? An eleven year old child really has no say in the matter. A judge in a custody case may consider what the 11 year old has to say but is unlikely to give it much weight. (In contrast, a judge is likely to give a lot of weight to the views of a child who has a job, who is doing O.K. in school, and is a year or two from becoming a full fledged adult.) This is up to his parents to resolve absent circumstances not present here (e.g. the child has made bona fide allegations of child abuse, or the parents are both incarcerated). And, if the parents can't resolve the dispute, it is up to a court in a case where parenting time is at issue (probably either a legal separation or a divorce in this case). For example, while (as noted below) the police will not generally drag a child kicking and screaming to the other parent without a court order, if the child is at his father's house, the father can absolutely drag the child kicking and screaming to the child's mother's house, no matter how much the child doesn't like it. Moreover, while the father will not be violating any law, if he does not do that, a child custody judge is likely to look dimly upon a parent who intentionally withholds visitation from another parent without good cause, when the court considers what kind of child custody arrangements to put in place. And, the court has extremely great discretion in these matters. The judge is also likely to be pretty unhappy with both of the parents for failing to be capable of communicating or cooperating over child rearing related issues, because they are apparently so focused on not getting along with each other over their issues with each other. In particular, if the mother calls the police claiming "child abduction," what will be the police position? Will they come to the door of the father? Will they drag the child kicking and screaming back to mother's house? It is not generally illegal for a married parent in a situation where there is no child custody order in place to have that parent's child with them over the objection of the other married parent. Absent a court order to the contrary, the police will probably call this a "civil matter" and will be unlikely to take any action until there is court guidance, absent exigent circumstances like evidence of recent not previously adjudicated claims of child abuse or neglect. The way to resolve this would be with a court filing of some sort seeking to resolve the parenting time issue, if necessary, on an emergency basis. Post-Script Whether or not the parents want to end the marriage, this situation is long overdue for court intervention. I've had couples who "pull the trigger" too soon, but this would not be a case of that type. Either the father or the mother needs to find a solicitor (if at all possible to afford that) and get the court system involved. If there is a breakdown in communications over matters related to the child, and the child is not cooperating in the face of an ambiguous parenting situation involving two parents who can't communicate about their child, the situation is out of control. Prompt court action could prevent a more negative outcome in the future by creating stability and structure in the situation.
Is it punishable to purchase (knowingly) illegal copies where legal ones are not available? Rob has created some illegal copies (violating the copyright) and is (illegally) selling them. Bob likes the content, and, unable to find any legal copies of the same content, buys from Rob. I get it that the contract is null and void. However, Bob, knowing all the above, still completes the transaction and enjoys the content. Does he commit any offense that can be punished? Jurisdiction: anywhere you can answer about.
canada Bob is not committing any standalone copyright infringement unless he needs to make a further copy of the material in order to receive it (such as a download). However, Rob is committing an offence punishable by indictment by making for sale an infringing copy (s. 42(1) of the Copyright Act. If Bob, knowing that Rob is selling infringing copies, buys one of them, then Bob commits the offence of possessing a thing while knowing the thing was derived from the commission of an offence punishable by indictment (Criminal Code, s. 354). (Credit to jcaron, who noted this and provided a similar answer for France.)
In the EU, software license resale is legal, even if explicitly forbidden by terms of any EULA or other contract imposed upon the parties. To quote the European Court of Justice's press release on its ruling in a case in Germany between Oracle and a German reseller, An author of software cannot oppose the resale of his `used' licences allowing the use of his programs downloaded from the internet. [...] The principle of exhaustion of the distribution right applies not only where the copyright holder markets copies of his software on a material medium (CD-ROM or DVD) but also where he distributes them by means of downloads from his website. Where the copyright holder makes available to his customer a copy – tangible or intangible – and at the same time concludes, in return form payment of a fee, a licence agreement granting the customer the right to use that copy for an unlimited period, that rightholder sells the copy to the customer and thus exhausts his exclusive distribution right. Such a transaction involves a transfer of the right of ownership of the copy. Therefore, even if the license agreement prohibits a further transfer, the rightholder can no longer oppose the resale of that copy. There are many such companies in the EU who resell software legally, including used OEM Windows licenses that are far cheaper than retail copies. This is, in my opinion, a fantastic thing -- but undoubtedly has been behind the trend towards time-limited licenses rather than perpetual ones, which we all arguably suffer from today.
Their code, their rules A copyright holder is free to offer their work under none, one or many licences. They can, at the same time, use their own work however they see fit without regard to the licences they have given/sold to others (except, they can only give one person an exclusive licence). As an analogy, let’s say I own a fleet of cars. I can drive my cars anytime I want. I can let Jim drive my cars anytime he wants for free. I can let Mary drive a specific car on Thursdays and only within 10km of the depot. I can let Joe drive my cars providing he pays me $50 a day. And I’m not going to let Fred drive them at all because Fred’s a jerk. Each of those is a different licence.
The reason is 17 USC 106: the owner of copyright under this title has the exclusive rights to do and to authorize any of the following... (2) to prepare derivative works based upon the copyrighted work The original picture is the underlying protected work. The ASCII reproduction is a derivative work. If you get permission to make the derivative work, it is okay. Otherwise, it is copyright infringement. There is an escape clause, "fair use", which amounts to taking a chance that you won't be sued and then arguing that you didn't do them any prohibited harm. If you make any money off of the game, you have a major strike against you. I suggest reading the fair use FAQ; basically, it is really hard to know how a fair use defense will fare, but based on prior cases, I'd say it's infringement, not fair use.
Under United States law, it is not illegal to simply make an account on a forum where criminal activity takes place. The closest thing I can think of would be misprision of felony (AKA failure to report a crime), which requires active concealment (see United States v. Johnson, 546 F.2d 1225 (5th Cir. 1977)). Simply observing evidence of criminal activity and not reporting it would not qualify. However, if that forum also contains material that is illegal to posses (such as child sexual abuse material), downloading that (even by simply viewing it using your browser) could be a crime. I would note that I am specifically not advising you whether or not doing any of the other things, like making and publishing tutorial videos on how to access such sites, is likely to get you into trouble with the law. If you want that sort of legal advice, you should contact a lawyer, as the advice is going to be very specific to the exact details.
IANAL, just a programmer with an interest in legal rules. Due to the very permissive nature of the MIT license, no, it does not appear that anything illegal has been done. Specifically, the section to deal in the Software without restriction, including without limitation the rights to use, copy, modify, merge, publish, distribute, sublicense, and/or sell copies of the Software (emphasis mine) grants everyone the right to modify your code and share those modifications, provided one includes the license. Since this person has included your license (including your copyright notice), they have followed the conditions of the license and are able to share your stuff. Legally. Ethically, I still think its ****. This might be a good starting point in selecting a license (note the Modification column). https://en.wikipedia.org/wiki/Comparison_of_free_and_open-source_software_licenses The CC-BY-SA license family, as mentioned by Ron Beyer in comments is on this list, for example. TL;DR: You unfortunately granted a more permissive license than what you wanted/needed to. This was a BadThing(TM), analogous to giving too broad of access rights to a method or class. Determine your desired permissions, then select a license that matches what you'd like to grant.
It comes down to intent ... and possibly responses to illegal activity. Localbitcoins intention is to facilitate trade in bitcoins - in itself a legal undertaking. Cryptocurrancy transactions can be used for illegal purposes but it is not the sites intention to enable that. Amazon.com intention is to facilitate trade in books - in itself a legal undertaking. Some books contain material that is prohibited under some countries laws but it is not the sites intention to enable trade in illegal books. Ebay.com intention is to facilitate trade in "stuff" - some "stuff" is illegal but it is not the sites intention to enable trade in illegal stuff. Silk Road intention was to facilitate trade in illegal goods and services - therefore they are accessories to the crimes committed.
wouldn't this count as an unlawful clause in the license agreement, therefore, invalidating the entire contract? No. The excerpt of legislation you posted implies that the clause in the EULA is null and void --rather than illegal-- if your reason for reverse engineering meets the legislative criteria. For the clause to be illegal, the statute would have to outlaw clauses which prohibit the reverse engineering intended for achieving interoperability. The statute does not prohibit those clauses. Instead, it only authorizes you to ignore that clause, provided that your reason for doing so is to achieve interoperability. Lastly, an invalid clause does not invalidate the entire contract. Any portions of the contract which do not depend on the invalid clause retain their status of [being] binding and enforceable.
How is a plea agreement NOT a “threat or promise”? I was viewing a televised case, the Judge asks the defendant “have any threats or promises been made to you to deliver this plea” before the defendant delivers their guilty plea as part of a plea bargain. I was wondering, how is a plea bargain/plea agreement exempt from being considered a “promise” as the judge words it?
This is covered by Rules of Federal Criminal Procedure Rule 11, which says that Before accepting a plea of guilty or nolo contendere, the court must address the defendant personally in open court and determine that the plea is voluntary and did not result from force, threats, or promises (other than promises in a plea agreement). The judge is not required to include a disclaimer (like "other than the plea deal itself") in interviewing the defendant. By asking the question in an unqualified way, the judge will decide whether there were promises made that are outside the scope of the plea bargain.
A settlement is fundamentally a contract where parties A and B promise to do certain things (one of them being "stop litigating"). A court order is an enforceable order to do something. A contract cannot be directly enforced (where force is used to make a person comply), it requires a court order for actual enforcement. The conditions of a contract might be enforceable, but you can't get the sheriff to come out based just on a contract. It appears that you got to the "facilitation" phase where the parties talk about the issue and the CRT case manager talks to the parties in neutral terms, aiming for an agreement. If you don't reach an agreement, the Tribunal Decision Process escalates the matter. Under the decision process, the CRT member makes a decision, and it can be enforced in court. They state that "For a $25 fee, the CRT can turn your agreement into an order, if both parties agree that an order should be issued. This is called a “consent resolution order”." I suppose that you did not go through that step, and you only have an agreement. So you would need a separate court process to get a court order. Because everything that you did in this negotiation phase is confidential, if you want CRT to give you something that is enforceable, you have to present the case from the beginning, since they don't have access to what has happened before. The problem in your account is that a settlement has to be reached by yourselves – possibly with the assistance of the CRT case manager. I assume you did actually get a settlement (agreement) with the landlord, but have not filed for a consent resolution order. It may be that the case is too old for you to just pay the $25, and it does require agreement by the other party. Read their FAQ about how cases end.
This is called solicitation. A person is guilty of solicitation to commit a crime if with the purpose of promoting or facilitating its commission he commands, encourages or requests another person to engage in specific conduct which would constitute such crime. Model Penal Code § 5.02.
No (in almost all U.S. jurisdictions). Truth or falsity is evaluated when a statement is originally made and doesn't have to remain true forever. Also, generally the law treats an ad like that as an invitation for you to make any offer to them, not a binding offer to form a contract that is held open indefinitely. So you can't force them into a contract simply by accepting their offer. The default rule is that an ad is an invitation to make an offer rather than an offer that can be accepted. And, even if it really is an offer, when it does not state any termination date, the default rule is that it can be withdrawn at any time.
When it says "any e-filed document submitted in support of, in opposition to, or in connection with any motion or application must be delivered to the courtroom clerk assigned to the Department in which the motion or application will be heard" this appears to apply to motions and other requests and not to complaints. This said, the easiest way to determine the answer would be to call the clerk of the court's office and ask. An answer from a clerk of the court would be definitive and easy to secure.
Perjury is not 'not telling the truth'. It requires (in most jurisdictions) being proven to have deliberately lied under oath. As Xavier pointed out, you are not on oath when entering a plea (among other reasons, you would be required to incriminate yourself). Secondly, "I am not guilty" could mean anything from "the prosecution wrongly think that what I did is illegal" to "this law is unconstitutional" even if the facts are not in dispute; either may be mistaken without being a lie. If the facts are in dispute, the jury will have to deliver a verdict that implies (it does not state, let alone prove) that they disbelieve one party; deliberate falsehood, whether by a defendant or a police officer, would be several steps beyond that.
Can you be punished for planning a crime and what constitutes "planning"? The intent to commit certain classes of crimes is punishable. That being said, there is a difference between intent and a mere wish. Intent is inferred from statements or circumstances indicating that a person's actions were (or are) devised toward knowingly committing the underlying crime. The Black's Law Dictionary defines intent as "[D]esign, resolve, or determination with which [a] person acts. [...] [M]ental action at its most advanced point [...]. It is the exercise of intelligent will, the mind being fully aware of the nature and consequences of the act which is about to be done" (brackets added). By contrast, a wish that goes no further than fantasizing or expressing "I want to do this" usually is inconsequential from a legal standpoint. One exception to that relates to promoting offenses such as terrorism, murder, and arguably pedophilia. Even if it is proved that the person making those expressions has no propensity or intent to indulge in the criminal conduct he depicts, the expressions themselves might encourage others to do so. That encouragement makes it more difficult for a government to prevent those crimes from being committed and to identify the perpetrator(s).
It depends on where you are. In the US, entrapment is a defense to a criminal charge. There is a threshold question: is "solicitation" sufficient encouragement, there must be "inducement" by the government agent which is at least persuasion or mild coercion... pleas based on need, sympathy, or friendship... extraordinary promises of the sort 'that would blind the ordinary person to his legal duties' such that 'a law-abiding citizen's will to obey the law could have been overborne', or that the government created 'a substantial risk that an offense would be committed by a person other than one ready to commit it'" Any person can be charged with the crime of "solicitation" (RCW 9a.28.030 in Washington), which however pairs some sort of request with a reward (money or other valuable thing). In Nevada, solicitation refers to a person who "counsels, hires, commands or otherwise solicits another", but also the crimes are limited to kidnapping, arson and murder. A police officer is not rendered immune from criminal prosecution just because he intended the criminal act to have a "good outcome" such as leading to the criminal conviction of a bad person. But whether what he said is a crime depends on what the officer said, and what the laws of that state are.
Does an act of Perfidy excuse no quarter? Yesterday, Evilstan declared war on Ruritania. One of the Ruritanian units, let's call them the 1st Chasseurs manages to encircle a splinter troop of Evilstanian troops from the 2nd Armored Rifle Brigade. Encircled and rounded up, the commander of this group from the 2nd ARB pops a white flag and his troops leave their vehicles, arms raised to surrender. However, it's a trap and they gun down a couple of the 1st Chasseurs in their act of Perfidy. In response, the rest of this group from the 2nd ARB is wiped out. Clearly, the commander from the 2nd ARB had committed a war crime, and the unit was free game, their protection of the white flag removed by the perfidy. The survivors of the 1st Chasseurs manage to encircle another group of tanks from the 2nd ARB today morning. Apparently, they are just that good. When the commander of this unit pops the white flag after comparable resistance, instead of stopping the fire to receive the POWs in a similar fashion, the soldiers of the 1st Chasseurs only pause long enough to top up their guns with fresh ammunition and then mow down the possibly surrendering soldiers, assuming this too was an act of Perfidy. However, having not honored the white flag in the second instance and by giving no quarter, have the Ruritanian 1st Chasseurs troops committed a war crime by eliminating the 2nd unit from the Evilstanian 2nd ARB? notes Declaring no quarter will be given in itself would breach the rules of war under Article 23 (d) of the 1907 Hague Convention IV - The Laws and Customs of War on Land. Assume no such declaration was given. Evilstan (Evil + the Slavic end for a country) and Ruritania are fictional countries. They are not real countries. They are not made to mimic any actual operation. All matches and similarities are coincidental. In fact, the two countries can be assumed to be reappearing from this question.
The Geneva Conventions prohibit attacking anyone who has clearly communicated an intent to surrender. Certainly, there is a point at which if perfidy reaches a sufficient level of frequency, then the side committing it will lose the ability to "clearly communicate" an intention to surrender, but it isn't clear just where that point is.
There is no federal prohibition against sexual discrimination in public accomodations. Colorado has an applicable state law, which covers "any place of business engaged in any sales to the public", where "It is a discriminatory practice and unlawful ...to refuse, withhold from, or deny to an individual or a group, because of ...sexual orientation...the full and equal enjoyment of the goods...". No provision exempts lemonade stands. Churches etc. are specifically exempted: "'Place of public accommodation' shall not include a church, synagogue, mosque, or other place that is principally used for religious purposes". Sex discrimination is allowed "if such restriction has a bona fide relationship to the goods, services, facilities, privileges, advantages, or accommodations of such place of public accommodation", an argument that can't reasonably be made in the described case. It is also not obvious that running a lemonade stand is a business (the courts will not admit unsubstantiated Wiki assertions as evidence). It would be relevant to wonder what constitutes a "business" under Colorado law. E.g. is a business license required? In Colorado (US) law, it has not been definitively decided whether there can be a religious exception to the anti-discrimination law. Masterpiece Cakeshop was decided without answering that (the state showed clear religious intolerance in its handling of the case). We do not know how a similar case will be decided: Arlene's Flowers was handed back to the state court with the instruction "do it again" (with nothing more than a mention of Masterpiece Cakeshop). The court cannot establish certain beliefs and practices as "valid religions" (Establishment Clause); the proxy expression that is used is "deeply held belief", which includes atheism. The relationship of the issue to the First Amendment is uncertain.
The question is oddly phrased: The law does not give allowances for its violation. Many laws have exceptions. E.g., the law against killing endangered animals contains an exception for defensive killings. Perhaps you are thinking of safe harbors? For example, there are general provisions in the law like "exigent circumstances" that allow police to proceed with actions that, absent those provisions, would constitute violations of law. "Permission" to violate a right can be granted explicitly in the form of a warrant, which allows law enforcement to "violate" specific property and freedom rights. Finally, one might consider an executive pardon or jury-nullification to be ex post "permission to break the law."
An assault is carried out by a threat of bodily harm coupled with an apparent, present ability to cause the harm. There is no need for physical contact in an assault, all that is needed is the threat and the apparent, present ability. The drill sergeant was behaving in a threatening manner and had an apparent, present ability to cause harm; he was guilty of assault. Consensually engaging in a legal contact sport lacks the threat of bodily harm; that is to say that the bodily harm is a risk of the sport but it is not the object of it. Of course, an illegal sport where death or maiming is an inherent part would leave the participants open to assault (and battery) charges - you cannot agree to do illegal things. What is necessary to constitute the threat and the apparent means depends on the whole of the circumstances. A person throwing water when they had threatened the victim with acid is most certainly assault. Pointing a replica pistol at someone who doesn't know it is a replica constituted the threat and apparent means in one action.
"Civic obligations" are based on one's personal moral philosophy, best discussed on Philosophy SE. On the legal front, in the US, there is no (existing) legal basis for simply declaring some random thing to be "top secret", even if it has great potential to be used for evil purposes. If this is research conducted under the umbrella of the Dept. of Defense, it might be classified, but a garage inventor is not subject to the laws regarding classified documents. Congress could pass a law prohibiting promulgating research on time travel, but even if such a law were found to be constitutional (unlikely, on First Amendment grounds, see this), one cannot be penalized for breaking the law before it becomes a law.
Interesting question. I routinely write wills that authorize the executor to destroy property that has no significant economic or sentimental value, but I've never encountered a case where a testator or testatrix has directed that property be destroyed and I've never seen a reported case (or even a news report) in which that has happened. To the extent that an estate is solvent, there is no reason that a creditor could complain and if the destruction was done in a safe manner (as opposed to burning down a house or something like that without consulting the fire department) I'm not sure that there would be a public interest in doing so either. There are many religions that had a practice historically of burying someone with grave goods, so there are reasonable First Amendment freedom of religion arguments for allowing such a practice if it had a religious basis. And, if no interested party objected, I don't see how anyone could stop the executor from acting, unless the property to be destroyed was, for example, evidence of a crime, in which case it would be a crime to destroy it and the provision of the will would be void because it was a crime to carry it out. If an executor sought permission from a court to carry out this instruction, the court might require a public notice of the planned destruction to give notice to any third party who might claim an ownership interest in the property allegedly belonging to the decedent. On the other hand, usually, all interested parties in an estate can agree to act contrary to a will by unanimous consent, in which case no one would have standing to fight for the provision in court (unless it was considered a charitable bequest, in which case a state attorney general or an advocate appointed by the court with the "will" as the client could defend it). Given the strong public policies in the law disfavoring "waste" (i.e. useless destruction of property) such a provision could be held to be void as against public policy (similarly, bequests contingent upon marriage decisions are now void as against public policy).
There is a factually similar impeachment case. But there might be a court case fitting these facts as well. No such case is annotated by West under 14th Amendment, Section 3 either with the note or on its list of citations. It is also not mentioned in a law review article looking a WV civil war era jurisprudence up to 1872 when WV's new constitution was adopted. I suspect that the case you are looking for is a pair of related cases (neither of which involves West Virginia), one tried by the Chief Justice of the U.S. Supreme Court alone on a habeas corpus petition when riding circuit, and a related decision of the Texas Supreme Court involving the same defendant. Griffin's Case, 11 F. Cas. 7, 2 Am. Law T. Rep. U. S. Cts. 93; 8 Am. Law Reg. N. S. 358; 25 Tex. Supp. 623 ; 2 Balt. Law Trans. 433; 3 Am. Law Rev. 784 (Circuit Court, D. Virginia, May 1, 1869) and In re Caesar Griffin, 25 Tex. Supp. 623 (Tex. April 1869). The official summary of the fact and procedural posture of the main case on point was as follows: Caesar Griffin, a negro, was indicted in the county court of Rockbridge county, for an assault with intent to kill. He removed his case as under the law he had the right to do into the circuit court for that county, and was there tried by a jury which found him guilty and assessed his punishment at imprisonment for two years in the penitentiary. He was accordingly sentenced by the court to that imprisonment While on his way thither, in the custody of the sheriff of Rockbridge county, he sent out this writ which was served on the sheriff. That officer produced the petitioner in the district court then in session in Richmond, and made return to the writ that he held him by virtue of the conviction and sentence of the circuit court for Rockbridge county, making the record of the trial and conviction there a a part of his return. This return the petitioner traversed, denying that there was any court or judge in Rockbridge county as pretended by said pretended record, and that the paper exhibited was any record as alleged. The state of Virginia appearing by the attorney-general, Mr., Judge H. W. Sheffey, the judge of the circuit court for Rockbridge by Bradley T. Johnson, Esq., and the sheriff by James Neeson, Esq. they joined issue on this traverse. The petitioner then proved that Judge Sheffey had been a member of the house of delegates in 1849. That in 1862, he was speaker of the house of delegates, and that his votes were recorded for affording men, money and supplies to support Virginia and the Confederate States, in the war then flagrant with the United States. It was admitted that he was duly appointed on February 22, 1866, by the then government of Virginia, to be judge of the circuit including the county of Rockbridge; that he immediately entered on the duties of that office, and that he has ever since and still is discharging the functions of the same. The cause was argued at great length in the district court, before the district judge in December, 1868, who ordered the discharge of the petitioner, whereupon an appeal was prayed by the sheriff under the habeas corpus act of 1867 [14 StaL 385], to the circuit court, and the petitioner admitted to bail. Before the circuit court could meet other writs of habeas corpus were sued out by other parties convicted of felonies, two of them of murder, on the same ground as in this case, and the petitioners were discharged. A motion was then made by James Lyons, Esq. in the supreme court of the United States for a writ of prohibition against the district judge, to restrain him from further exercise of such power. The supreme court advised on the motion, and never announced any conclusion, but shortly afterward the chief justice opened the circuit court at Richmond, and immediately called up the appeal in Griffin’s Case. This statement is necessary for a full understanding of the pregnancy of the chief justice’s statement that the supreme court agreed with him as to the decision he rendered in this case. In consequence of the failure to oust the state officers disfranchised under the fourteenth amendment by these and similar judicial proceedings, congress in February, 1869, passed a joint resolution directing that all such officers should be removed by the military commanders of military districts into which the late Confederate States had been divided. Thus all the old officers of the state government of Virginia were removed except a very few, and new ones appointed not obnoxious to the denunciation of the federal bar — the supreme court of appeals of Virginia; the judges thereof having been removed by the major general commanding, he appointed as judges in their stead, a colonel of his staff, and two others, who had held or did then hold commissions in the United States army. The president judge of the court performed his functions and drew his pay as colonel and judge advocate on the staff, overlooking the execution of the laws of the military, and at the same time those of presiding judicial officer of the state. The procedural posture of the case and its result match your description even though the state does not, and there is a supreme court connection even though it is not a U.S. Supreme Court decision. The West Virginia association is probably a mental mangling of that case with a somewhat similar case from right time frame, a WV murder conviction overturned due to all white jury requirement by U.S. Supreme Court in Strauder v. West Virginia, 100 U.S. 303 (1880).
It is reported that this is the result of new legal reasoning in German law. In the cases of Demjanjuk in 2011 and 2015 it was found that being a camp guard is enough to be found guilty of accessory to murder, even without specific evidence of a crime. In a more recent trial (Rehbogen) the prosecution used the same reasoning to charge and try a concentration camp guard.
Is an Arbitration Agreement Binding on a New Owner? Suppose that a tenant, T, has been renting the basement of a two unit home for several years in NJ. The initial term of the lease was for 1 year and then converted into a month to month tenancy after the first year. The home was sold to a new owner, N (who plans on occupying the upstairs apartment) and N moved to terminate the downstairs tenancy immediately after purchasing the home by sending out a Notice to Quit that terminated the tenancy after 1 month. Suppose that T wants to dispute both the underlying grounds for termination as well as the validity of the Notice to Quit. T's original lease from the previous owner, O contains an arbitration agreement. Can T legally force N to arbitrate both the underlying grounds for termination and the validity of the Notice via arbitration, not in court. Is the arbitration agreement binding on N? Can the new owner argue that s/he isn't bound by the arbitration agreement since: s/he never signed the agreement T is in a month to month tenancy S/he moved to terminate the tenancy as soon as he purchased the home? Will the court send the case to arbitration?
In general, and in particular in New Jersey, a new owner takes possession subject to existing rental agreements, and in particular subject to existing leases, unless there is a provision in the lease to the contrary. This happens automatically, by law. Thus any lease is as enforceable against the new owner as it would have been against the old. But how enforceable is this arbitration agreement? How enforceable would it have been against the old owner O? The basic fact about a month-to-month tenancy is that either party may end it on one month's notice, for any reason or none. Moreover, when a new owner intds to occupy the premises personally, or use them for his or her family, the requirement to honor a previous lease is, in general, not applicable. T might be able to force N to go through arbitration, depending on the wording of the agreement, and on whether the written lease applies at all after the end of the first year (which it may well not). But on the facts as stated in the question, T would lose in arbitration as well as in court, and if there is any increased expense because of the arbitration, T would be obliged tom pay it. Let us look at the actual NJ law N.J.S.A. 2A:18-53 provides that: any lessee or tenant at will or at sufferance, or for a part of a year, or for one or more years, of any houses, buildings, lands or tenements, ... may be removed from such premises by the Superior Court, Law Division, Special Civil Part in an action in the following cases: a. Where such person holds over and continues in possession of all or any part of the demised premises after the expiration of his term, and after demand made and written notice given by the landlord or his agent, for delivery of possession thereof. The notice shall be served either personally upon the tenant or such person in possession by giving him a copy thereof or by leaving a copy of the same at his usual place of abode with a member of his family above the age of 14 years. [emphasis added] Section 2A:18-56 provides that: No judgment for possession in cases specified in paragraph "a." of section 2A:18-53 of this Title shall be ordered unless: a. The tenancy, if a tenancy at will or from year to year, has been terminated by the giving of 3 months' notice to quit, which notice shall be deemed to be sufficient; or ? b. The tenancy, if a tenancy from month to month, has been terminated by the giving of 1 month's notice to quit, which notice shall be deemed to be sufficient; [emphasis added] Section 2A:18-57 provides that: If no sufficient cause is shown to the contrary when the action comes on for trial, the court shall issue its warrant to any officer of the court, commanding him to remove all persons from the premises, and to put the claimant into full possession thereof, and to levy and make the costs out of the goods and chattels of the person in possession. No warrant of removal shall issue until the expiration of 3 days after entry of judgment for possession, except as provided for in chapter 42 of this Title. Section 2A:18-61.1 provides that: No lessee or tenant or the assigns, under-tenants or legal representatives of such lessee or tenant may be removed by the Superior Court from any house, building, mobile home or land in a mobile home park or tenement leased for residential purposes, other than (1) owner-occupied premises with not more than two rental units or a hotel, motel or other guesthouse or part thereof rented to a transient guest or seasonal tenant; ... except upon establishment of one of the following grounds as good cause ... [emphasis in original] h. The owner seeks to retire permanently the residential building or the mobile home park from residential use or use as a mobile home park But note that good cause is not required for an owner-occupied dwelling with no more than two rental units. T would be wise to consult a lawyer knowledgeable about landlord/tenant law in NJ before attempting to contest the notice or eviction.
If the tenant were alive, you couldn't stop them from taking away their personal property, could you? No matter how overdue the rent was. Nor could you deny them access to the property, except through formal eviction. AFAIK the estate generally has the same rights that the decedent did. So if the tenant would have had the right to remove their property, then their estate should have that same right. I'd be concerned about legal risks to you if you try to withhold it - I wouldn't want to do so without having advice from my lawyer that it was okay. (Answers on this site are not legal advice and most of the users are not even lawyers.) The decendent's personal property should now be part of their estate, so if it has any value, the representative should have to sell it if necessary to settle their debts. Thus even if you release the property, some of its value may still come back to you. Of course, if the decedent had other debts, and their assets don't cover them all, you may not be able to recover everything you're owed - that's one of the risks you run when you decide to become a landlord. In particular, the personal representative is not obligated to pay off the overdue rent out of her own pocket.
You said it yourself - "The only way for me to remove him is through an eviction process". From this link - give the tenant a non-payment termination notice, signed by yourself and including the address of the premises, the date the tenant needs to vacate (at least 14 days out) and the grounds for notice being non-payment of rent. The notice also needs to say that they can pay the rent owing (including 2 weeks in advance) or enter into, and fully comply with a repayment plan you agree to. The notice needs toproperly delivered - in person, b post, fax or hand delivered in an addressed envelope to a mailbox as the home address. (If posted, you need to allow an extra 4 days for delivery) Once you have done that, you apply to NSW Civil and Administrative Tribunal for a termination order. (You can make this application at the same time, but it can't be heard until the time to remedy has passed).
Can the renter declare the contract to be void because of the death of the only other party to the contract? No. The estate of the decedent steps into the shoes of the decedent and the executor of the decedent's estate can enforce the lease. What if one of the heirs comes to the renter and tries to add additional conditions? The heirs do not have the authority to modify the lease without the tenant's consent, although the tenant knows that the lease may be less likely to be renewed if the tenant does not consent. Also, the heirs, strictly speaking, don't have the authority to do anything. Only an executor duly appointed by a court does.
Generally speaking, you signature and delivery of the lease to the landlord makes it possible for the landlord to enforce. Particularly when, as in the question, the landlord presented the lease to you as an "offer" which you accepted without modification, it is probably binding upon the landlord even if the landlord does not sign it or return a copy with the landlord's signature. In jurisdictions that have a statute of frauds, your part performance by sending checks in the lease period consistent with the lease, and the landlord's part performance by continuing to allow you to occupy the premises without objection, would probably make the statute of frauds (which generally requires a signed writing by the party against whom a lease is enforced) to be inapplicable. On the other hand, if you materially changed a version provided by the landlord, there is a real question over whether there has been an offer and acceptance, or a meeting of the minds, agreeing to the new lease. Materially here meaning changes that are more than updating your contact details and go to the heart of the lease contract.
Is it legally possible for a tenant to replace their landlord? Generally not. The landlord-tenant relationship flows from the landlord's ownership of the property and the tenant can do nothing to change that (short of buying the land from the landlord in a voluntary transaction). If the landlord were a government agency, the tenant could petition the government to put a different employee in charge of managing the lease, and if the landlord were a trust it is barely conceivable that the tenant could assist some other party in removing the trustee and replacing the trustee with another trustee (particularly if the trust was a charitable trust or the tenant was also a beneficiary of the trust). But, generally speaking, this is not possible.
If a contract does not say what one of the parties wishes it would say, before signing it they should renegotiate the lease. Once the parties have an agreement as witnessed by signatures, a party cannot change the terms of the contract by declaring that some provision of the lease is a "typo". If they want to renegotiate the terms of the contract after the fact, they can, if the other party is willing to give in on the particular point. So as it stands, it seems that the landlord is in breach of contract. This section of Maryland's landlord-tenant law is relevant to this situation. (b) In general. -- A tenant may deduct from rent due to a landlord the amount of payments made to a utility service provider for utility service if: (1) An oral or written lease for an affected dwelling unit requires the landlord to pay the utility bill; and (2) (i) The tenant pays all or part of the utility bill, including payments made on a new utility service account; or (ii) The tenant pays any security deposit required to obtain a new utility service account. (c) Waiver not permitted. -- A tenant's rights under this section may not be waived in any lease. There is no provision under the law whereby the landlord can be penalized for the inconvenience that you've suffered. This section of the public utilities law addresses the problem of the landlord's debt, in particular: (c) If utility service at an affected dwelling unit is subject to the threat of termination or actual termination, a tenant residing in the affected dwelling unit: (1) may apply for a new utility service account in the tenant's name; and (2) may not incur liability for charges due on the landlord's account. In particular, (d)(3) says A utility service provider may not refuse or otherwise condition a tenant's ability to establish a new utility service account in the tenant's name because of arrearages on the landlord's account. So the utility company is wrong, and so is the landlord.
At common law you do not need to sign a contract for it to be legally enforceable; it doesn't even have to be written down. Local real estate law may require a lease to be in writing (and possibly even signed). Putting that aside generally, the purpose of signing a contract is to: Show the intention to be legally bound. This is superfluous: they have sent you the lease, you have moved in - it is clear you both intend to be legally bound. Avoid future disputes over what the terms of the lease are. Signing it provides evidence that the document has not been altered subsequently. A written rather than a scanned signature is better for this simply because anyone with reasonably low computer skills can take a scanned image and apply it to another document. Better than both is a secure electronic signature that is invalidated if the document is changed. Unless you or your landlord are willing to commit fraud to win a dispute over a lease, it probably doesn't matter either way.
Convicted for murder and "victim" found alive In two works of fiction I read or saw, a person was convicted for murder when the victim was actually alive. (In one case, not quite alive - police take finger prints of an unknown 30 year old woman, freshly murdered, and finds that they match a 16 year old girl supposedly murdered 14 years before, with her father in jail for the murder.) Now while this makes for an interesting story, have there been any real cases where this happened where A was convicted of murdering B, then later it is shown that B was well and alive long enough that A couldn't have been guilty? In addition to no evidence suggesting that A murdered someone else?
australia Although the alleged victim has not been found, this case from the upi.com archives dated 25/09/1986 is worthy of note (emphasis mine): A woman jailed for murdering her husband had her conviction reversed when a witness testified she saw the man on television -- in a crowd at a cricket match -- three years after he allegedly was killed. The New South Wales Court of Appeal Wednesday overturned the murder conviction of Margaret Burton, saying the case against her relied on a web of circumstantial evidence and that the new evidence provided reasonable doubt of her guilt. Burton, however, still must complete an 8-year sentence for conspiracy to commit murder. She was sentenced to life in prison on Nov. 8, 1984, for the May 1983 murder of her husband. She and Ronald Burke, a close friend, also were sentenced to eight years in jail for conspiracy to murder her husband, Peter Burton. Peter Burton's body never was found. At the appeals court hearing, Judy Edmonds testified she is sure she saw Peter Burton in the crowd at a televised cricket match in January. Edmonds was shown a videotape of part of the cricket match and identified a man in sunglasses as Peter Burton. She said she was a close friend of his. Another witness, Jan Dyson, told the court the man in the videotape bore a remarkable resemblance to Peter Burton. Lawyers for Margaret Burton argued before the appeals court her conviction should be overturned because the prosecution failed to prove Peter Burton was dead. Appeals Court Chief Justice Sir Laurence Street agreed, saying it is not for the court to decide whether or not the person on the videotape is Peter Burton, but it is the court's responsibility to determine how a reasonable jury would have regarded the new evidence.
The answer provided by Dale M is half right, but there are a few things that I think are wrong. Firstly, the actual reality of the situation doesn't matter. What matters is that you act in a reasonable manner, performing assessments of the situation as a reasonable person would do. If you misread the situation, and end up killing a police officer that was acting in a lawful manner, it doesn't necessarily mean you were acting unlawfully yourself. Because police officers are generally exposed to situations where they would be forced to use their firearm, that obviously would impact how a reasonable person would see the situation, but the test for reasonableness would not go out the window. In addition, even if you were found to not be acting in a reasonable manner, there is certainly a question if you would be found guilty of a lesser charge of manslaughter rather than murder. It's possible the self-defence claim would be upheld as an imperfect defence.
No, a later trial is not allowed A prosecutor can, and often will charge multiple related crimes, and all will be addressed at the same trial. But once a person has been acquitted on a given set of events, the same jurisdiction cannot re-try the same person on what is often called a lesser included offense. Nor on a greater offense implied by the same events. Not even if additional evidence comes to light. However, if an act (or set of acts) is a crime under both state law and Federal law, for example theft by deception (state crime) and wire fraud (federal crime) one jurisdiction may try the person even after ther has been an acquittal in the other. I think the same rule applies if an act is a crime within the jurisdiction of two different states, that both can trey the accused. In many cases prosecutors will choose not to bring the second trial, but they can if they see fit.
Since we don't have a system of robot justice, it's impossible to say whether a prosecutor would file charges in this bizarre circumstance, since filing charges is discretionary. However, this situation does fit the description of murder. It is intentional, it causes death (maybe, vide infra), it is not legally justified (as self-defense, or as an act legally sanctioned by a state executioner), the victim is a person. It is not sanctioned by any "death with dignity" statute. The one issue that might be effectively argued by the defense assuming the irrefutability of the factual claims of your scenario is that perhaps the relevant crime is assault with a deadly weapon, since it probably could not be proven beyond a reasonable doubt that the victim died from the shooting, and not from being incinerated by lava. It depends on where the person is shot, and with what.
When it is a mistake of memory, and not intentional (as this question is asking), there are no clear standards, and it is largely up to prosecutorial discretion. This means that whatever factors affect prosecutorial discretion (such as the prosecutor knowing who they have to work with on other days) can become significant in the determination. A prosecutor who announced this decision also specifically noted that it's up to the prosecutor to decide each case separately, with no guidance on fact patterns that could influence the decision either way. The Washington Post Magazine covered this question somewhat in depth several years ago, arriving at that conclusion. This was a surprise to me, but the article seems like a good resource on this - the question turns out to be more interesting and less resolved than it first appeared to be.
It is probably illegal, just not pursued. In the case of something like bank robbery, you'd have a victim that filed a police report. A murder would need to be discovered somehow - either a missing person report or a dead body. If the porn shoot happened somewhere that a member of the public saw it and subsequently filed a police report, the video could be used as evidence. Absent a report, the police simply have no reason to look into it (unless the police catches them in the act, but we probably don't see those videos posted online). Why would these public offenses go unreported? Perhaps nobody sees it. Perhaps the bystanders in the video are paid extras. Maybe they're filming in what appears to be public but is actually private property. Perhaps they have a permit to use a public space for this purpose. Perhaps they just got lucky. Again, there might be some confirmation bias here - you're not going to see as many videos of folks they catch breaking the law, since they will either be interrupted and stopped or (maybe) have their videos ordered taken down.
"Double jeopardy" applies to a criminal proceeding, that is one that needs to be proved "beyond a reasonable doubt," and involves criminal sanctions such as jail time. Once OJ was acquitted of criminal charges, he couldn't be tried again as a "criminal." The second trial was a civil trial, with a "lesser" standard of proof (preponderance of evidence), and lesser "damages" (money, not jail time). So even though the facts were the same, OJ was accused of violating a different standard, that is a different "law" so to speak. He could be tried for a "tort" just not a crime. Or put another way, "wrongful death" is not the same as murder. The latter requires intent. Wrongful death suggests "tortious" negligence, but not necessarily intent.
Yes. This is treated as time served as several media accounts of sentencing hearings in these cases have demonstrated. See, e.g., this account in The Atlantic magazine, and this one in the newspaper USA Today, and this one in the newspaper the Houston Chronicle. I also saw a similar account in the L.A. Times but can't provide a link because my non-subscription access limit has been exceeded.
Is it a crime for a mail lady to take mail out of your hand, threaten to destroy it and drive off? The mail lady knocked on my door, handed me a stack of mail, and asked for me to sign for one piece of certified mail for my dad. I declined. She ended up snatching all the mail she handed me which was primarily non certified (Only one piece was certified which meant it required a signature). She said she was destroying all the mail and we would never receive it or any future mail at that address. She explained she was making my life difficult like I was making hers by not signing for the one piece of certified mail to my dad. I asked what she was doing with all the mail she snatched back that didn't require a signature and she replied she was throwing it away. She then drove off. Did she do at least two crimes?: 1) steal property 2) threaten to destroy property for the purpose of intimidation
I cannot answer whether this particular person committed a crime or not. Only a court can answer that. I can give you general information about laws involving destruction of mail. Under 18 USC 1703: Whoever, being a Postal Service officer or employee, unlawfully secretes, destroys, detains, delays, or opens any letter, postal card, package, bag, or mail entrusted to him or which shall come into his possession, and which was intended to be conveyed by mail, or carried or delivered by any carrier or other employee of the Postal Service, or forwarded through or delivered from any post office or station thereof established by authority of the Postmaster General or the Postal Service, shall be fined under this title or imprisoned not more than five years, or both. So it would generally be a crime to deliberately destroy or delay mail that was otherwise deliverable. If a carrier took back mail that should have been delivered, that would probably count as "detaining" or "delaying" that mail. In the case at hand, though, I suppose the carrier might argue that when you refused to sign for the letter, it gave her reason to doubt that the addressee(s) actually lived there, in which case perhaps the mail should not have been delivered after all. So she might say that she took it all back to the post office for further investigation as to where or whether it should be delivered. Destroying the mail would similarly be illegal. However, based on other information in your question that is now removed, it appears that she did not actually do so. Merely threatening to destroy mail, if the threat is not carried out, does not seem to be a crime under this section. I don't know whether it might be prohibited by some other statute. Crimes involving mail are normally investigated by the US Postal Inspection Service, not by local police. Of course, even if the behavior is not a crime, it may still be cause for the postal employee to be fired or otherwise disciplined.
Assume that this happened in a matter that goes to court. In civil court, there is no "innocent until/unless proven guilty". In civil court, the judge hears everyone's story, and decides which story is more likely to be true. So I tell the judge "I sent a letter by registered mail; this is what was in the letter, and the post office reported to me that they delivered the mail, and someone signed for it". And you say "I never received a letter". The judge will believe me and the post office. You say "I received a letter and signed for it, but there was just a birthday card inside". Who does the judge believe? Does he or she believe that you received a letter with the contents I said and you are lying about it, or does she believe that I sent you an unsolicited birthday card by registered mail? Why would I do that? So they believe me. Now if you said "I received a registered letter containing just a birthday court, so I immediately called my secretary and three other people in the office to see this and to verify there was nothing but the birthday card, and here they are as witnesses", then the court might start believing you.
The primary question is whether you actually committed a crime in signing a credit card receipt, when you are not the cardholder nor are you authorized to sign on behalf of the cardholder: did you commit fraud? It is not possible to accidentally commit fraud, you have to have intended to deceived the other party that you are authorized to sign. For the sake of discussion, I will assume that you had no such intention. Presumably, the person who ordered the stuff will wonder "where is my stuff?", will complain to the vendor, they may then find the signed receipt and some evidence regarding where the goods were delivered. Whether or not they contact you asking for an explanation / return of the goods, the police would have to investigate the situation in light of some allegation that you committed fraud. The police will not just come knocking on the door and nab you (in the US: North Korean law is different). In many jurisdictions, there is a requirement for a warrant supported by probable cause. If the investigation provides sufficient credible evidence proving that you did intentionally falsely sign the receipt, to the point that given those facts you would be convicted of the crime, then there is probable cause for a warrant for your arrest. The fact of signing a receipt is not probable cause to support such an arrest, but other facts could be added to reach that level of evidence.
I'm a notary. If someone showed me a marked-up license, I'd refuse to perform the notarization, and make a note of the persons name and phone number, to make sure I would never make another appointment with the person. Is there a law that says I have to refuse? I don't think so. Is there is a law that says I can refuse if I have any doubts about the person's identity? Absolutely.
Leaving out who the shipper is for a minute, the primary loss would be the seller's (UCC 2-613) in that the loss would be total and the contract would void (so the buyer has not obligation to pay the seller, and the seller's stuff is nevertheless gone). The seller has a remedy against most shippers, so that UPS or Fedex would be liable to covering their loss (assuming buyer has not assume the liability by agreeing to delivery without signature). However, USPS has special immunity: the government is liable to tort claims, but 28 USC 2680(b) states that The provisions of this chapter and section 1346(b) of this title shall not apply to... Any claim arising out of the loss, miscarriage, or negligent transmission of letters or postal matter Thanks to Nate Eldredge for raising the case Dolan v. USPS 546 U.S. 481 (2006), where it was held that USPS has very narrowly circumscribed immunity from liability. Under this provision, they are not liable for breaking contents when delivered negligently, but that does not mean that they are not liable for breaking things as a result of their deliveries (they broke Mrs. Dolan, in how they piled stuff on the porch). Although this case does not rule on the meaning of "loss" or "miscarriage", on a plain reading of the terms, theft results in a loss ("loss" is not restricted to "mysterious disappearance"). The court also observes that losses of the type for which immunity is retained under §2680(b) are at least to some degree avoidable or compensable through postal registration and insurance and the court explains that one purpose of the FTCA exceptions was to avoid “extending the coverage of the Act to suits for which adequate remedies were already available” (that is, Congress opened the government to tort liability in just those cases where there were no remedies: but there has long been postal insurance).
In California (where lost+found laws have been discussed quite a lot), this would be either "lost property" or "abandoned property". With abandoned property, you can do what you want. With lost property, it is legal to ignore it. If you take it, you have the obligation to try to return it to the owner. If you don't do that, it's theft. If you don't take it, you have no obligation whatsoever. Put it somewhere where the loser (the person who lost it) is more likely to find it, for example on the street. Don't take anything. Clarification for comments: There is a box. And the owner of the box is nowhere to be seen. That box is by definition lost or abandoned - it is abandoned if the owner got rid of it intentionally, it is lost if the owner is looking for it. We don't know. We can make guesses depending on the situation. No matter whether lost or abandoned, you are legally absolutely fine if you just ignore it. You have no reason to try to return it to its owner. If you don't make it your business, it's not your business. But if you decide you want the box, or bits of it, and it isn't abandoned (which is hard to know for sure), then you have to try to find the owner first, and if you don't find them, then you can keep it.
First, return addresses are intended simply to provide a mechanism by which an undeliverable or returned letter can be returned to the sender. If you have a practical concern then consider the following: I worked for the postal service and never experienced an instance where anyone cared whether there was an accurate return address except in the following cases: As mentioned above, a letter was refused or otherwise undeliverable, and an attempt will be made to return the letter to the return address. In cases of a false, unreadable, or non-existent return address, the letter will be marked undeliverable and likely destroyed or recycled. Someone is trying to scam the system by putting an identical address on each the delivery and return address of a mail piece, especially on mail pieces that have insufficient postage. If caught, this mail piece will go to the delivery address the same as any other case of insufficient postage, with a postage due requirement for the recipient. However, in this case this piece will be held and eventually destroyed rather than returning to sender, since it does not have a non-identical return address. The content of the mail piece is illegal (e.g. anthrax, drugs, etc. made apparent by forensic equipment or by a piece of mail being inadvertently opened/destroyed by a machine and discovered by a postal employee). In these cases the mail piece will be sent to the postal inspection service (most plants have one in-house). These postal inspectors might have use for a return address in the event that the sender was dumb enough to include an accurate return address on an illegal mail piece. 18 U.S. Code § 1342 penalizes those who commit crimes under false names, and uses broad language to include people who use pseudonyms to avoid detection, since these actions make the job of postal inspectors much more difficult. The final language also makes opening mail address to people other than one's self illegal, though this is likely described elsewhere, too. It does not pertain to false return addresses, unless someone were to open the letter upon return, despite that person not being the return addressee, or committing some other crime using the postal service. The only situations where I can see your hypothetical situation becoming a concern for postal inspectors or postal regulators would be: The mail piece masquerades as a certified, registered, or other special class of mail. There are many junk mailings out there that look surprisingly similar to the protected classes of mail, but are distinct enough to not raise any serious concerns (e.g. "CONFIDENTIAL", "URGENT", or various green or red markings). The penalty would probably be a fine in the amount of each identified letter times the price for the corresponding postal product. The return address is for a governmental entity, or possibly an annoyed person or company, but not actually sent from these locations. I suspect this is the possibility most relevant to your question. However, this is unlikely to raise any concern, unless a recipient or other affected party raises a fraud concern (18 USC 1341, 1342 & 1345; 39 USC 3005 & 3007) with the postal service. This would be taken on by the postal inspection service, which would investigate the content of the mailings for any signs of the actual sender, and they may attempt a variety of other methods (e.g. tracing letter meters, surveillance) to locate the source of the mail. However, the legal penalties would probably be fraud-related and might fall outside postal regulations per se, but could include federal laws about committing crimes that leverage the mail service, and various other laws if this is done across state lines (also this might invite FBI attention).
If they really ordered it, they entered into a contract, and you have a claim against them for damages suffered because the contract was breached. This would be a civil claim, not a criminal claim, in the Netherlands. However, if you're delivering an order that was sent anonymously, you have no way to prove that the person at the door is the one who ordered the food - and the onus would be on your to prove that it was. It could become a criminal act under a number of laws ("oplichting", "fraude", etc.) if intent can be proven but that's not easy - and you first have to get the police/public prosecutor interested in the case. It's quite comparable to someone ordering in a restaurant and not paying the bill, which is notoriously hard to prosecute criminally in the Netherlands. (Search for "eetpiraat" - dinner pirates) As a restaurant, you usually can only try to enforce a civil claim through the civil courts.
In Russia, if a perp commits several of the worst crimes and there is digital evidence for them, do they get the max sentence? Suppose a Russian citizen commits many of the worst atrocities. Now suppose that they have a whole digital record of planning and premeditation. Would the digital evidence make the Russian Civilian get the maximum sentence possible? Note: I know that it is possible to get the max without digital evidence. I would like to know if digital evidence can be the deciding factor.
The Criminal Code of the Russian Federation does not list the digital nature of the evidence as an aggravating circumstance for sentencing / punishment. Rather, it lists: a. repeated commission of crimes; recidivism of offences; b. grave consequences of the commission of a crime; c. commission of a crime by a group of persons or a group of persons as a result of a preliminary conspiracy, by an organized group, or by a criminal community (criminal organization); d. especially active role played in the commission of a crime; e. involvement in the commission of the crime of the persons who suffer from heavy mental derangement or who are in a state of intoxication, or of persons who have not attained the age of criminal responsibility; f. commission of a crime by reason of national, racial, or religious hatred or enmity, out of revenge for the lawful actions of other persons, or with the purpose of concealing or facilitating another crime; g. commission of a crime against a person or his relatives in connection with his official activity or the discharge of his public duty; h. commission of a crime against a woman who is obviously in a state of pregnancy, or against a minor, another defenseless or helpless person, or a person who is dependent on the guilty person; i. commission of a crime with especial brutality, sadism, or mockery, or involving torments for the victim; j. commission of a crime with the use of weapons, ammunition, explosives, fake explosives, specially manufactured technical means, poisonous or radioactive substances, medicinal or other chemical and pharmacological preparations, or with the use of physical or mental compulsion; k. commission of a crime during a state of emergency, natural or social disaster, or during mass disturbances; l. commission of a crime, abusing confidence placed in the guilty person through his official position, or through a contract; m. commission of a crime with the use of uniforms or documents of representatives of the authorities. As a practical matter, this makes sense. Facts are determined based on evidence. If the evidence considered in the totality of the case, gets the finder of fact to a particular conclusion, it should not matter any further what the nature of that evidence was. I also see no logical or practical distinction between, for example, evidence of an act of murder captured by digital camera and that same evidence captured on cinematographic film.
Criminal charges are filed and prosecuted by the government, on behalf of the public, and there is no requirement for approval or cooperation by the victim. As a policy matter, a DA may decide to not charge a person in case the victim is unwilling (though less so in cases of domestic violence), perhaps because of the widespread impression that the victim has to "press charges" (which indeed they would have to do in the case of private prosecution, which is no longer allowed in the US). The alleged victim's reddit exchanges on the topic are here. An uncooperative victim does not make a good witness, even if they are compelled to testify. The police statement that they cannot pursue an investigation should not be interpreted as a statement of law, it's probably a statement of policy and practicality.
In California (as in all states) there is a justifiable homicide defense which might be used in such a situation. For the force to be justified, you have to reasonably believe you are in danger of being harmed, that you need to use force to avoid the harm, and you may only use the minimum force necessary to eliminate the threat. It then is a matter for the jury to decide whether those principles were followed in your particular instance. The reason why it's hard to predict the outcome is that it depends on a subjective evaluation by the jury, as to whether the shooter had a reasonable fear and whether lesser force was a viable option. The jury's decision is guided by instructions to the jury (#506, #506) which focus on relevant distinctions. The jury will be told that "Belief in future harm is not sufficient, no matter how great or how likely the harm is believed to be", and that you have to reasonably believe there is "imminent danger of great bodily injury". My evaluation is that that does not describe the scenario in the question. There is some possibility of future harm... but not imminent harm. People v. Ceballos (1974) 12 Cal.3d 470" states that "the rule developed at common law that killing or use of deadly force to prevent a felony was justified only if the offense was a forcible and atrocious crime" and "Examples of forcible and atrocious crimes are murder, mayhem, rape and robbery", and that could support application of a justifiable homicide defense in a bank robbery. But in the present instance, the bank is being robbed and the shooter is a by-stander. Despite all of the bank robberies in California, there is no relevant case from which one could draw an analogy.
Yes in general Generally, almost all western jurisdictions (be they civil law or common law) have some way to get medical records into evidence, be that via subpoenaing, or by discovery requests or court orders. In most cases, the party that brings the suit is also the patient or their legal representative, and they give (or imply) consent to the use of the records. And in cases where the defendant's medical records are required, usually, the defense wants those in too to prove some condition. And then there are cases where the state or their representatives brings the charge. They usually can bring a warrant or court order to obtain the documents. Then there are Medical records that had been made specifically on the behest of the state. Here, the warrant is usually filed to obtain the samples or access to the body to be investigated, the record itself forms the basis for the investigators to proceed - and is not under client-doctor confidentially in the first place. It had been made specifically for the state and it is a state-owned medical record, be they made on request of the executive power (police) with a warrant signed by a judge or on behalf of the judicative after a court order to evaluate capacity (see below). However, medical records can generally only be obtained if the records are relevant to the case at hand and only to the degree necessary: You can't request the medical records about a person's fertility status in a case that discusses damages for his broken arm. As a result, the medical record available in court might be only an extract from the original, with irrelevant passages sealed or redacted. Unlike many people think, it's quite common to get some medical records into court in some way or another: As the basis of injury cases If you have a case of physical injury, the injuries themselves need to be proven in court. This is done generally by getting the medical records - thus they can be subpoenaed by a party, usually the injured party here. Then a medical expert can discuss them, be they a court-appointed one or paid by either of the parties. In this category also fall mandatory reports of certain types of wounds or situations. As such, the treating doctor has to provide a medical report with enumerated types of injuries, like bullet wounds or where child abuse might be the reason. Very necessarily in malpractice cases Malpractice is pretty much injury on steroids: the injuring party made the records and would never want to give them up to the one suing them - if they could. Alice shall remove Appendix. It goes haywire and the day after Charly needs to cut Bob open again. Now Bob sues Alice for malpractice. Bob needs medical records from both Alice, the doctor who botched it, and Charly, who was fixing Alice's error. Generally, both records are subpoena-able to the degree relevant and necessary, and indeed the opposing medical opinions on the operation and records form the very basis of the case for either side. Without the ability to subpoena the - in this case unmodified - records from the injuring doctor, proving - or defending - a case of malpractice would be impossible: the very truth of the allegation should be in the medical records. It's routine in cases around death What is the very last medical record a person can ever get? An autopsy record! That's a very sensitive medical record, but they routinely are used in homicide cases. Oftentimes, the investigators also subpoena the medical records of the victim from their doctors to corroborate the autopsy record, while the defense might subpoena them to try and disprove it. Even in civil cases, like the OJ-Simpson civil damages case, autopsy and medical records from an accompanying criminal case can and will be "pulled" (copied over) from the other trial's docket. Regularly in child protection cases Whenever child protection is on the line, be them protective orders or who a child will live with after the child protection service (whatever its name is) is in on a case, then medical records are often required to bolster one side. Those records could be medical records from quite many doctors, be they physicals or psychological evaluations... Sometimes the medical records required here are only created due to court-ordered medical or psychological evaluation by a doctor. Whenever incompetence defense is called When the lawyer claims temporary incompetence or insanity, courts generally order a psychological evaluation. These medical records are evidence, but usually don't need to be subpoenaed: they have a waiver form to be disclosed to the court almost built-in. Are they available to the public? Medical records are part of truth-finding, but they are also quite sensitive. As a result, most medical records can not be gotten from the court and enter the dockets under seal. Another option is, that they enter the docket partially or even mostly redacted, with passages blackened.
It depends. If the prosecution proves beyond reasonable doubt that noone else could use that IP address at that particular time then yes. But can it prove so? Maybe yes. Maybe not. Depends on the results of forensic examination of the device, network traffic, any other corroborating evidence etc.
It is possible that someone is convicted. Destruction of evidence an constitute circumstantial evidence that a crime was committed, and other evidence, such as testimony, could pin the crime to one of the four possible suspects. A jury has broad discretion to assess the weight of the evidence.
I'm thirding the "very plausible" on the disconnect. Something to keep in mind is that the US is big. Really big. It's one of the top things people who aren't familiar with the US just don't grasp. The time to drive from Los Angeles, California to New York City, New York is only about 25 minutes less than the drive from Lisbon, Portugal to Moscow. The time it takes you to drive through multiple countries in Europe won't even get you out of some of our states. You could dedicate an entire day to your cross country trip just getting between El Paso, Texas and Houston, Texas. While there are a few small states, the end result is that most states are disconnected, in the sense that you mean, just by virtue of distance alone. The reasons mentioned in the other answers--fiercely independent states with all of these records administered locally, and lack of substantive computer database technology for several more decades--reinforces this. But physical disconnection is itself a powerful force here, and has long contributed to significant differences in culture and law between states. Not quite the cultural and legal disparity between, say, Spain and Russia, but enough to be noticeable. For example, Ted Bundy went on a seven state killing spree in the mid 1970's, racking up 20 confirmed and 30 confessed murders, assisted by his knowledge that states rarely ever communicated information about murders and missing persons to each other. When he was at last arrested for good in Florida, it took a lot of time for authorities to even know who they had on their hands and the severity of his crimes, due to this lack of sharing (and his using a false name; which they figured out was false fairly quickly, but that still didn't tell them his real name). These killings helped to spur states to create better information sharing agreements and cooperation with Federal authorities, but point being: even murder wasn't something states felt was worth keeping other states informed of as late as the 70's.
I live in MD near DC, and have been ticketed by the cameras in both DC and MD. At least for speeding and red-light violations (and I think for all camera detected violations) these are just fines, not true moving violations in that no license points are assessed, and there is no impact on insurance, provided the ticket is paid, unlike what would have happened had an officer written the ticket in person. One can contest the ticket, but it is not likely to be worth the time and trouble. This policy of not assessing points is precisely because there is no assured way of determining who the driver is with current technology, although cameras that can see the driver through the windshield and match him or her against a database by facial recognition may be coming. Currently a human reviews the images in an effort to rule out false positives and certify that an actual violation is shown. The name and title of this person is shown on the notice I get, at least from MD. What one can do "proactively": do not speed or go through red lights pay all camera tickets promptly (or file the paperwork to contest them). If unpaid beyond the deadline they turn into more serious violations that do carry points, just like failing to attend a court date.
How can employer and union agree to tax-free payments? The German news reports that the employer and employee representatives have reached a new collective labour agreement covering metal and electricity industries. I was surprised by on aspect of the agreement: Hinzu kommen steuerfreie Einmalzahlungen von insgesamt 3000 Euro. Translation: Additionally there are tax-free one-off payments of in total 3000 Euro. I can see why both parties appreciate the tax-free aspect, but how can they decide that? Normally all income is subject to income tax and only the government could make exceptions. Is the government involved or is there some other way in which an employer can decide that an employee needs to pay no income tax for a particular special payment?
certain kinds of payments just are tax-free There are several kinds of tax-free special payments in germany, such as certain types of additional payments (for example "Vermögenswirksame Leistungen" and "Steuerfreibeträge"), or gifts within a certain value (e.g. goods/services up to 50 € a month). In this case, they most likely fully use the "Inflationsausgleichsprämie", which is tax-free up to 3000 €.
Yes. The European Enforcement Order is an explicit procedure for uncontested claims like this. That means no German court is involved (unlike Dale M's answer suggests). The Greek Court files an EEO, and this can be enforced directly in Germany without going through German courts again. That means you can face wage garrisons, bank account freezes etcetera.
First, Texas law requires the employer to give a written earnings statement to any employee which reports the rate of pay, the total amount of pay, deductions, and hours worked if the job is paid at an hourly rate. The law also says that an earnings statement may be in any form determined by the employer. Second, there is no law requiring there to be a single earnings statement or a combined statement, in case a person is paid at different rates, the requirement is simply that the information must be provided. It is legal to hire a person to work at different rates, as long as they have some mechanism for tracking what a person is doing. It is required that they pay you a different rate for working more than a certain number of hours, which will therefore be reflected in the earnings statement.
Not as such. As the contract author, you must clearly and specifically identify risks that you want to other party to accept. Your whims i.e. "our own discretion" are not a clearly identified risk. The trivial solution is to state that there are two payments, €150 up front and €850 afterwards. Then, you claim the right to waive (at your sole discretion) part or whole of the second payment. It should be noted that the tax implications of such a contract could be non-obvious. You probably have to claim the whole €1000 as income when the contract is signed, and any waived payment as a discretionary expense. You're unlikely to get a VAT refund on that €850, I suspect. So given that you'd have paid €187 to the Irish government, refunding €850 would be hard.
Law (regardless of its type) supersedes contract, provided it has jurisdiction over the persons bound by that contract. Contract provisions that are counter to law are generally held to be void. State law has authority over an employer's policies or hand book. However, there may be exceptions in state law (so I would double check). A frequent exception (at least in California law, which I am most familiar with) is for very small businesses. Another exception, from C.R.S. § 8-4-101(5), is if you are considered a "contractor" rather than an employee, per the government's determination. It is possibly worth your time to let you employer know of this conflict before termination if possible, so that they can adjust their policies, rather than in an adversarial position after termination, if only to avoid the headache.
What kind of contract would that be? One about... arbitration? One about "I hereby relinquish my claim for payment of X?" --- children cannot be taken away from their father, no matter what. - OP That contract is void in germany because this contract not only violates public policy, it tries to modify something that is regulated by law into a way that does offer less than the law demands as a minimum. That's not allowed in Germany. Further, a clause that gives custody to the father by default is also Sittenwidrig in Germany, and thus void under §138 BGB. So would be a clause that gives it to the mother by default by the way. In a case of controversy, only a court order can assign guardianship. And only the court can take guardianship away. When the kid is born its guardianship gets assigned to the parents as guardians by §1626 BGB. While it is possible to give your partner guardianship if you're not married under 1626a BGB it is explicitly impossible to assign guardianship for any compensation to either party (e.g. the mother or the new guardian may not receive anything other than the guardianship in the specific paper) under 1626b BGB. Thus a contract that does anything else in addition to guardianship, like a prenup, voids at least the guardianship clauses. And you have to tell the court about that assignment of guardianship under ($1626d BGB). Now comes the kicker: §1628 BGB forces the parents to apply to the court to solve any problems of huge impact, such as guardianship: So technically, mediation results are fully non-binding and you can not mandate it. Also, since all marriages are through the state, it needs a formal instrument of the state to be dissolved. The only three ways that the state ever allowed this to be done after WW2 were a) annulment through a court, which only was possible till 1998, or b) divorce through a court, c) death of one of the marriage partners. Yes, it takes a judge to divorce a marriage under $1313 BGB or one of the two married to die. Because you can't divorce without a filing in court, a clause that demands to divorce in some way that is not including §1313 BGB, that clause would be void. It might be legal to have a clause that demands to try to solve issues in arbitration before filing for divorce or sorting the belongings in such a way, but it can't supplant the court requirement.
Basically, "in the course of your employment" means "while you are working, or should be working, for the employer". If you're not using company resources or time to create or acquire the works in question, and the works are unrelated to company business, they're quite unlikely to become the company's property. (Particularly since the company almost certainly doesn't have an interest in controlling the distribution of your vacation photos.) When you let your personal side projects and the company's stuff get intertwined, that's where the troubles begin. Works made on company time, or using company resources, or to do company-related things, may be claimed by the company, and this agreement basically says you'll cede ownership of the works to them, patents and all, for whatever amount of money they decide it's worth paying you.
The English version of the taxman's web page does not indicate any specific exemption or reduction of taxation due to being under 18, however provision 102.3 says that The monthly taxable income of disabled people of I and II groups (except for veterans of war), persons under age of 18 with limited levels of health from any type employment shall be reduced by the amount of 200 manats. Provision 106.2, about exempt income says that Income tax rate for production enterprises owned by public organizations of disabled people, or children with limited levels of health shall be reduced by 50 percent if not less than 50 percent of employees at such enterprises are disabled people, or persons under age of 18 with limited levels of health. These provisions imply that it is legal for people under 18 to work. The Azerbaijan Labor Code section 42(3) says A person who has reached the age of fifteen may be a party to an employment contract. and 58(6) says that Employees under age of 18 may be allowed to hold multiple jobs if their total daily working hours do not exceed the reduced work hours provided for them in Section 91 hereof. which again implies that those under 18 may work for money. There are a number of other provisions that address employees under age 18. A freelancer is not an employee, so the labor code is technically not applicable to you, but it suggests that it is legal to freelance if you are under 18. Usually, restrictions are placed on people working for others and it is assumed that people can be self-employed relatively freely. One would have to hire a lawyer to be sure, though.
Is ignorance of facts an excuse? Suppose there is a law saying it is illegal to XYZ between 10 PM and 6 AM. If Alice XYZs at 11 PM, she cannot use "I didn't know about the law" as a defense. What if she does know about the law, but her watch (due to something she could not have known about or prevented) incorrectly shows that it is 9 PM, and she has no reason to doubt it's accuracy and has no other way to determine the time? Is the fact that she knew about the law and could not have reasonably known she was violating it a defense?
canada It depends on what the mens rea requirement is. Mens rea if not specified in a criminal offence In Canada, if this is a criminal offence, and a mens rea is not specified in the Criminal Code, the presumption is that the mens rea would be satisfied by recklessness, knowledge, willful blindness, or intention (Pappajohn v. The Queen, [1980] 2 SCR 120; R. v. Briscoe, 2010 SCC 13). The prosecution would have to show that Alice was at least subjectively aware of the risk that she was doing XYZ during the prohibited hours and proceeded nonetheless (this is recklessness; Sansregret v. The Queen, [1985] 1 SCR 570 ). Based on the facts as you've presented in the hypothetical, you may have ruled out the possibility that Alice was reckless. Although, depending on the time of year, it may be that the sun sets around 9pm, which may present some awareness of the risk that you have not accounted for in your hypothetical. Mens rea if specified If the text of the statute does specify a mens rea then that is what the prosecution needs to show. For example, if one is prohibited from doing XYZ while "knowing" that it is after 9pm, then the prosecution will have to demonstrate actual subjective knowledge of the time, or wilful blindness (which Canadian law takes to impute knowledge: Briscoe). Additional burdens to make use of some mistakes of fact Some offences put an even higher burden on the accused in order to rely on a mistake of fact. In sexual offences where the age of the complainant is relevant (e.g. that they 14 or younger, or 16 or younger, or 18 or younger), the accused cannot make out a mistake-of-age defence without showing they took reasonable steps to ascertain the age (see Criminal Code, s. 150.1).1 Presumptive mens rea for regulatory offences is much lower: strict liability, subject to a due-diligence defence However, if this were a public-welfare/regulatory offence, like a provincial traffic law, or a licensing restriction on an aviation licence, or municipal by-law, there is no mens rea presumption. Rather, public-welfare/regulatory offences prima facie fall into the category of strict liability offences, subject only to a due-diligence defence (R. v. Sault Ste. Marie, [1978] 2 SCR 1299). Alice would have to show that she had a "reasonable belief in facts which, if true, would have rendered the act innocent". What it means to have a "reasonable belief in facts" is very fact-specific.2 Alice has to hold the belief herself, and the trier of fact must accept that a reasonable person would also have held that belief. Just as in the case for recklessness, I can imagine that the timing of sunset might pose a problem for a due-diligence defence in your particular example. Absolute liability If the penalties for the offence do not include the risk of imprisonment, the offence can even be declared to be an absolute liability offence, in which due diligence is not even a defence (Re B.C. Motor Vehicle Act, [1985] 2 SCR 486). 1. For example, simply relying on a complainant's "language and statements indicating that she could be 14 years of age or older did not constitute taking reasonable steps or all reasonable steps to ascertain her true age in all the circumstances, especially after being warned by her mother to stop all contact or she would call the police and stating that the complainant was way too young for him" (R. v. Dragos, 2012 ONCA 538). 2. For example, for the sale of alcohol, "when the individual clearly appears to be underage, ... a duly diligent permittee would require at least two more pieces of ID confirming that the person was not a minor, question the individual about the ID, then decide if it is reasonable to serve the individual alcohol versus the youthful appearance of the individual" (Citynski Hotels Ltd. v. Saskatchewan, 2003 SKQB 314).
There are two common defenses to defamation (there are others): That what you said is true. That what you said cannot be reasonably interpreted as a factual claim. If after examining the totality of the circumstances, a fact-finder (judge or jury) sees your statement to be an expression of opinion rather than a factual claim about the subject, you would not be found to have defamed the subject. The opinion defence doesn't have a bright line rule. In your example, I think it is clearly on the side of opinion. However, if you were to say something like "Douglas Dunce, Apple's Chief Engineer, has an IQ of 76", that would be almost certainly be deemed a factual claim. The leading case here is Milkovich v. Lorain Journal Co. The court held that "statements that cannot reasonably be interpreted as stating actual facts about an individual are protected". Other summaries of this defence: http://www.defamationlawblog.com/2009/01/fact-vs-opinion-setting-the-record-straight/ http://www.rcfp.org/browse-media-law-resources/news-media-law/news-media-and-law-summer-2011/opinion-defense-remains-str
The defence in a criminal case has no obligation to inform the prosecution of anything. The onus is on the prosecution to provide the evidence to convict and the defence doesn't have to and indeed shouldn't help them do it. The defence can and probably would use conflicting statements by a prosecution witness to discredit that witness in the eyes of the jury. These do not have to be material to the case: just showing the witness is inconsistent in general is helpful.
Laws criminalizing perjury are not about being mistaken or less believable in your testimony. The crime is, very narrowly, stating something which you do not believe to be true, while under oath. If you make a statement that happens to be untrue but you believe it is true (you are mistaken), that is not perjury. In the US, moreover, you have to assert something literally untrue, not simply say something that could be interpreted as being untrue. Rental arbitration hearings are nothing special, except that witnesses may or may not be sworn under the particular state's laws. If a witness is sworn and unambiguously asserts "Jones gave Smith $1,000 at that time", and another sworn witness asserts "Jones did not give Smith any money at that time", that might suggest that one witness testified as to something that they did not believe to be true. It might also show that they were standing in different places. Even if the circumstances show that the two witnesses observed the same facts, you would have to prove beyond a reasonable doubt that one party knew at the time that their statement was false. It is also possible that one witness made mis-remembered or misinterpreted what they saw. They might say or write something else (under oath, or elsewhere) that establishes that they knew better. An example is US v. DeZarn, which clearly established that the defendant could not have believed the statement that he testified to. With no official record of what a party testified to, it may not possible to establish beyond a reasonable doubt that a party committed perjury, since it can be reasonable to doubt claims of what he actually testified to. The defendant's attorney may, however, have to create such a doubt. Some answers could be perjurous if the question and answer are short enough, for example "Did you cash the check?" "No", if witnesses to the hearing testify convincingly that this exchange took place.
The law is really bad at protecting whistleblowers From my understanding of US law, this is not unauthorised access to a computer: the reporter made a legitimate request to a remote computer, that computer provided data,the reporter accessed the supplied data on their own computer. However, pointing out the failures of people in power is fraught even if it is not illegal. It is certainly within the Governor’s power to authorise an investigation of the reporter. On the face of the law, it seems reasonable to suspect that what was done might be a violation so there is nothing legally wrong with initiating an investigation. I suspect that such a broad interpretation of the law would fall foul of the First Amendment which may partly explain why it wasn’t prosecuted: the government doesn’t want to find out. Similarly they can issue press releases, which, due to the First Amendment, don’t have to be true, just not defamatory. Saying it’s a possible violation is true and not defamatory. Saying the reporter was an evil person who is only doing this for political purposes is a statement of opinion and not defamatory. It’s a fact of the world that people with power can use that power in ways that are malicious, unethical, and unfair but not necessarily illegal.
No. The law would be void for vagueness. Connally v. General Construction Co., 269 U.S. 385, 391 (1926): [T]he terms of a penal statute [...] must be sufficiently explicit to inform those who are subject to it what conduct on their part will render them liable to its penalties… and a statute which either forbids or requires the doing of an act in terms so vague that men of common intelligence must necessarily guess at its meaning and differ as to its application violates the first essential of due process of law. The example of the "well known but hidden stop sign" appears to allow for arbitrary prosecution and should also be void.
The general rule is, anything is allowed unless it is forbidden (and not that you can only do things that are expressly permitted). The logical structure of law may be a bit more challenging than procedural programming logic, since it may require a global knowledge and evaluation of the entire code (typically but not absolutely, the scope of the search for "unless otherwise" conditions is restricted to "in this chapter"). In other words, the law is a set of propositions which must all be true, and unlike actual execution of instructions in a sequence, law is to be interpreted simultaneously but hierarchically (that is: the order in which clauses are written is not significant). The appearance that the law is self-contradictory is largely illusory, though the resolution of the conflict may require a careful reading of the law and knowledge of jurisdictional hierarchy (federal law is superior to state law, which entails a particular resolution of the apparent conflict). Sometimes there are real conflicts, which usually result from using words in conflicting ways (note the practice of re-defining words "in this chapter/section/title"). The reason why law is not a science is that law is normative, not descriptive: it dictates what is allowed (a determination made through the political process), and does not attempt to discover what independently is. The reason why the legal process cannot be implemented in software is that software does not yet correctly interpret natural language, and law is written in natural language following interpretations based on judgments of what choices a reasonable would make. Perhaps if you propose a piece of law that you think is contradictory, it would be possible to show how the contradiction is illusory.
As far as I know, every jurisdiction in America limits perjury to cases of lying under oath. Because it seems unlikely that the driver would be under oath at this point, you would probably lack probable cause to make an arrest. At the same time, many states have separate laws addressing the making of false reports, lying to an officer, etc. I'd imagine most jurisdictions would have a law supporting an arrest for lying at the scene, even if not for perjury.
How common are laws targeting holders of specific citizenships to disadvantage them? I have been under the strong impression that, globally, laws that disadvantage people on the basis of their citizenship — barring immigration/visa laws — are extremely rare. In fact, I can't recall coming across any such law before I saw this question (which states that Norway has passed a law banning Russian citizens from flying drones). So, how are such laws common (except for immigration/visa laws)? Are there many examples? I am primarily interested in jurisdictions where citizenship (national origin) is a protected group for the purposes of illegal discrimination (admittedly, this doesn't preclude enacting laws that make such discrimination legal under certain circumstances, like exampled by the Norwegian law). Update based on comments and answers: This question primarily concerns laws that target holders of specific citizenships — as opposed to foreigners in general. Countries that advantage its own citizens and thus disadvantage everyone who is not (e.g. for land ownership) are pretty common and not interesting. Conversely, countries that target specific citizenships seem to be rare, and that's what the question is focused on.
Many countries have such restrictions on land ownership. Vietnam does not allow foreigners to own land, likewise Laos, Cambodia (part of their constitution), and Myanmar. Thailand has numerous restrictions on foreigners owning land. Tanzania allows limited land ownership by foreigners (investment purposes only), though technically only the President owns land. Kenya does not allow foreign land ownership, just long-term leasing. Mexico has a no-foreigners zone of 100 km at its borders and the sea, and there is a similar restriction in Honduras. Australia requires government permission for foreigners to buy land. Greece imposes bureaucratic barriers on EU-relative citizenship for land owning. Sri Lanka imposes a 100% title-transfer tax on foreigners. There are enough examples that it might be the usual situation, though less common in Western countries.
Yes Companies can own companies - that’s what subsidiaries are. On a practical level, you know this is true because you actually have an example. Companies House would not have allowed its registration (barring error) if it was illegal. Why can’t it open a bank account? Banks (or any other business) can choose who they will and won’t do business with. Unless it’s discrimination on the basis of a protected characteristic, it’s not illegal. Since juridical persons don’t have protected characteristics (apart from nationality) it’s virtually impossible to illegally discriminate against them.
It is well known and often repeated that China does not tolerate dual citizenship, except in the case of its citizens who have right of abode in Hong Kong or Macau. The Chinese Nationality Law is clear about this: Article 3. This is not true and you misunderstand what Article 3 says. Article 3 says (depending on your translation): The People's Republic of China does not recognize dual nationality for any Chinese national. The only way I think this can be interpreted is that, if a person were to statutorily have both Chinese nationality and foreign nationality under each country's respective laws, then the PRC would only recognize their Chinese nationality, and not recognize their foreign nationality. This article does NOT mean that nobody can have dual nationality under the law. In order to "recognize" or "not recognize" something, it presupposes that the thing exists. If nobody had dual nationality under the law, then this article would be meaningless, as there would be no point to "not recognize" something that nobody has anyway. This article only matters to someone who truthfully has dual nationality under PRC and foreign law. Given someone who truthfully has dual nationality under PRC and foreign law, since dual nationality is not recognized, which nationality is recognized and which is not? Since Article 3 says "Chinese national", it implicitly recognizes the person's Chinese nationality, which means it's the foreign nationality that is not recognized. (This, by the way, is essentially identical to the US position -- the US only recognizes the US nationality of a dual national.) It is true that true dual nationality of the PRC and a foreign country is uncommon, but that is mainly due to Articles 9 (which says a Chinese national naturalizing abroad automatically loses Chinese nationality) and 8 (which says that a foreign national who naturalizes to get Chinese nationality shall not retain foreign nationality). It is not because of Article 3. By the way, when I say someone who has dual nationality of the PRC and a foreign country, it does not include a Chinese national who has naturalized abroad, who is subject to Article 9 but continues to use/obtain PRC passports and/or continue to exercise the rights of a Chinese citizen. De jure, this person no longer has Chinese nationality, even if the PRC government is not aware of it yet. When discovered, they will be treated as only a foreign national, and that is consistent with my explanation, since this person does not de jure have Chinese nationality. Any documents issued to them reflecting Chinese nationality after their foreign naturalization, were issued in error. Article 3 is irrelevant for such a person since there is no question of "recognizing" dual nationality for a person who does not legally have dual nationality. So who are the people who truthfully have both PRC and foreign nationality? There are several cases. First, as you noted, this is possible for many people in Hong Kong and Macau, due to explanations of the PRC nationality law for those territories. For example, in the one for Hong Kong, items 2-4 say that Chinese of Hong Kong are Chinese nationals despite holding foreign passports. They do not have foreign consular protection while in Hong Kong and the rest of China, (unless they choose to apply for change of nationality to foreign nationality, effectively renouncing Chinese nationality). It says their foreign passports can be used for traveling to "other countries and territories" (implying that they cannot be used to enter Hong Kong or the rest of China). This supports my explanation of Article 3 above, that the PRC only recognizes the Chinese nationality of a dual national, and does not recognize their foreign nationality. Another case is a child born in China to one Chinese citizen parent and one foreign national parent who meets the conditions to automatically pass on foreign nationality to the child at birth according to that foreign country's law. According to Article 4, a child born in China to at least one Chinese citizen parent is automatically a Chinese citizen, without regards to whether the child also has foreign nationality at birth, or anything else. Any person born in China whose parents are both Chinese nationals or one of whose parents is a Chinese national shall have Chinese nationality. And finally, we get to the case you mentioned, for children born abroad. Article 5 deals with children born abroad, and it says that a child born abroad to at least one Chinese citizen parent automatically has Chinese nationality, except when at least one parent is a Chinese citizen who has settled abroad, AND the child has foreign nationality at birth, in which case the child will not have Chinese nationality. Any person born abroad whose parents are both Chinese nationals or one of whose parents is a Chinese national shall have Chinese nationality. But a person whose parents are both Chinese nationals and have both settled abroad, or one of whose parents is a Chinese national and has settled abroad, and who has acquired foreign nationality at birth shall not have Chinese nationality. Because they wrote it with an "and", it means that children who had foreign nationality at birth but where neither parent was a Chinese citizen who has settled abroad, will have Chinese nationality at birth. If they had wanted to make it so that children born abroad could not have both Chinese nationality and foreign nationality at birth, they could have written it with an "or", but they didn't. Unlike some other countries, the PRC nationality law does not require that children born abroad be registered at a PRC consulate with a declaration that the child does not have a foreign passport in order to get Chinese citizenship. Nor does the PRC nationality law provide that dual national children lose their Chinese nationality if they don't renounce foreign nationality at a certain age. Since you specifically ask about children born in the US, they will all have foreign nationality (US citizenship) at birth (ignoring cases of children born to diplomats). So it only depends on the other condition (whether at least one parent was a Chinese citizen who has settled abroad). The PRC government interprets "settled abroad" as having foreign permanent residency (e.g. US green card). So assuming the only relevant foreign permanent residency is the US green card, here is a table summarizing whether a child born in the US has Chinese nationality at birth, based on the status of the parents: Chinese citizen without green card Chinese citizen with green card non-Chinese citizen Chinese citizen without green card Yes No Yes Chinese citizen with green card No No No non-Chinese citizen Yes No No The current procedure at PRC consulates (both in US and in other countries) is that they issue PRC Travel Documents (旅行证) instead of PRC passports to children born abroad, who have both Chinese nationality (as determined by Article 5) and foreign nationality at birth, who wish to travel to China. These Travel Documents are passport-like booklets, are valid for 2 years (can be re-applied for again after expiration), and contain a Chinese and an English info page, both of which say, among other things, The bearer of this Travel Document is a citizen of the People's Republic of China. [...] Having a US passport does not preclude the issuance of the Travel Document. In fact, the consulate expects the child in this case to have a US passport and requests the US passport information as well as the physical US passport during the application process, if the child already has one. The consulate clearly has no problem recognizing the child as a Chinese citizen even if they know that the child has US citizenship and a US passport. This Travel Document can be used to enter and exit China. When exiting China, the child would present both the PRC Travel Document and the US passport at PRC exit controls. The border control officer will recognize, upon seeing the Travel Document, that this is the routine procedure for a dual national child, and it will not lead to problems like when both PRC and US passports are presented (even though both the PRC passport and PRC Travel Document say inside them that the bearer is a citizen of the PRC). As you can see, having a US passport is not incompatible with the PRC's recognition of the child's Chinese nationality. If the PRC Travel Document is lost or expires while in China, the child can get a PRC Entry/Exit Permit (通行证), which again can be used with the US passport when exiting China with no problems. When back abroad, the child can again apply for a PRC Travel Document at a PRC consulate the next time they need to travel to China. Although it is possible for the child to be added to hukou while in China, the child should not apply for a PRC passport, as it seems this will cause problems when exiting China, as you mentioned. The child should stick to Chinese Travel Documents and Entry/Exit Permits. I have heard rumors that the consulate might no longer issue PRC Travel Documents to such a dual national child after turning 18 (perhaps forcing the child to renounce either PRC or foreign nationality), but I haven't seen any official source on this, and the PRC nationality itself does not mention any need to do anything at any particular age. As for renouncing US citizenship, US law requires that loss of US citizenship can only occur when the person intends to relinquish US citizenship, and young children are considered to lack sufficient maturity and understanding of the meaning of renunciation of citizenship, and be too much under the influence of parents, to have the necessary voluntary intent. The Foreign Affairs Manual presumes that an age of at least 16 is generally necessary to renounce US citizenship. See 7 FAM 1292(i)(2): Voluntariness and intent: Minors who seek to renounce citizenship often do so at the behest of or under pressure from one or more parent. If such pressure is so overwhelming as to negate the free will of the minor, it cannot be said that the statutory act of expatriation was committed voluntarily. The younger the minor is at the time of renunciation, the more influence the parent is assumed to have. Even in the absence of any evidence of parental inducements or pressure, you and CA must make a judgment whether the individual minor manifested the requisite maturity to appreciate the irrevocable nature of expatriation. Absent that maturity, it cannot be said that the individual acted voluntarily. Moreover, it must be determined if the minor lacked intent, because he or she did fully understand what he or she was doing. Children under 16 are presumed not to have the requisite maturity and knowing intent;
The basic legal principles are as follows. First, a government may pass a law criminalizing an act, for example this Ugandan law which penalizes homosexual acts, their attempt, and aiding and abetting same. Second, a government has the subpoena power to compel a party to provide evidence to be used in a criminal prosecution, unless there is some specific restriction enacted in the country – I find no applicable restrictions in Uganda. In principle, the government could subpoena records of an internet service, in order to find violations of the law. Enforcement of the subpoena is relatively simple within the country, but enforcement against a website in Norway, for example, would be virtually impossible, in that Ugandan courts do not have authority in Norway and Norwegian courts will not recognize such an order. Uganda is not a party to the Hague Service Convention, so the Norwegian courts will simply not consider the subpoena.
Anti-discrimination laws only apply to people, see here – "No person in the United States shall, on the ground of race, color, or national origin be excluded from participation in, be denied the benefits of, or be otherwise subjected to discrimination under any program to which this part applies". Genetic information anti-discrimination laws are limited to employment and insurance, see here. In addition, I'm betting that your dog cannot meet the university admission standards (lack of a transcript is fatal to the plan).
Any country is free to decide what actions are considered to be crimes, and what crimes are prosecuted depending on whether you perform the action in the country, outside the country, and depending on whether you are a citizen, a resident, both, or neither. They can also decide what are accepted defences in court and which are not. Any other country is free to decide under which circumstances they will ever extradite someone to that first country. Now you have to check the laws of the individual countries.
The law applies equally to everyone The fact that the person misunderstood the law is irrelevant irrespective of the reason for it. That said, in both cases the person would have access to a lawyer and consular assistance who could explain the law to them.
Constitutionally, a person is only required to be granted U.S. citizenship if they are born in the United States. Any other form of citizenship is as provided by statute. So, 8 U.S.C. § 1409 makes some people citizens who would not otherwise be citizens in its absence. In that sense, it grants citizenship. Meanwhile, 8 U.S.C. § 1409(g) supports the proposition, which is a legal fiction in some cases, that someone is a "natural born citizen" of the United States, and hence eligible to run for President someday, and is retroactively considered to have been a citizen in the meantime for myriad other purposes, despite the fact that in the case of an unmarried non-citizen mother and a citizen father, this right is not vested and could never come into being if the required actions aren't taken after the fact. Incidentally, this statute has been upheld against constitutional challenges. Miller v. Albright, 520 U.S. 420 (1997). So, while you would like to clearly distinguish between someone having citizenship granted and having citizenship revoked, Congress, in its wisdom, has not been so accommodating and has declined to clearly distinguish between the two interpretations. This statute is a bit like the question of Schrödinger's cat, who is indeterminately alive and dead at the same time until there is a measurement of its state, in quantum physics. A person with an unmarried non-citizen mother and a citizen father is both a U.S. citizen from birth and always has been, and has never been a citizen of the U.S., until the situation is resolved with an actual determination of the question in accordance with the requirements of the statute.
How literally do courts in USA interpret face to face confrontation right of defendant under sixth amendment? I will soon be a major witness in a criminal trial of another in the USA. I was present at the scene and was asked by state to testify at criminal trial. The defendant is facing felony charges against the person and property (burglary) In meeting with prosecutors, I was briefed on importance of my role as an witness present on site and one of the victims. As I understand, absence of important witness testimony due to witness unavailability is a common reason for jury acquittal or nolle prosequi, refusal of state to prosecute any further. During the trial days scheduled, I have important commitments at work and family commitments during upcoming holidays. It will be difficult to find a work replacement where I work on short notice and due to hiring freeze. I am planning on seeing if a video taped testimony to be played at trial would suffice in lieu of actual face to face confrontation with defendant. I know defendants have right to have face to face confrontation with opposing witnesses under the Sixth Amendment. I have reviewed SCOTUS precedent in Confrontation Clause cases such as Maryland v. Craig, Crawford v. Washington etc., but the circumstances in my case differs. (Victims are adults with the crime being of a non sexual nature, and 911 calls are not involved.) How strict are state courts with criminal jurisdiction with enforcing an actual face to face opportunity for defendants to cross examine opposing witnesses? How are courts likely to interpret video recorded testimony?
I am planning on seeing if a video taped testimony to be played at trial would suffice in lieu of actual face to face confrontation with defendant. This does not satisfy the confrontation clause. At a minimum, a testifying witness must be subject to being cross-examined by defense counsel. The Confrontation Clause guarantees an opportunity for effective cross-examination. Delaware v. Fensterer, 474 U.S. 15, 20 (1985) (per curiam). For example, in Melendez-Diaz v. Massachusetts, 557 U.S. 305 (2009), and Bullcoming v. New Mexico, 564 U.S. 647 (2011), the Court ruled that admitting a lab chemist's report of his analysis into evidence, without having him testify, violated the Confrontation Clause. This would have been true even if the chemist had read the report aloud on videotape in response to a prosecutor's questions, rather than putting it in writing and signing it. There are rare cases where an exception is made to allow child abuse victims to testify live via closed circuit television, rather than in the physical presence of the defendant and the defendant's lawyer. Remote live testimony is rarely allowed in the case of adults. But technically feasible videoconferencing is a new technological development, so the constitutionality of live videoconference testimony subject to cross-examination remains a largely open issue in constitutional law. This is a particularly close question in Alaska, where there is a state constitutional right to participate in court proceedings and legislative hearings remotely (Alaska is the only jurisdiction in the U.S. to have such a right.) Still, in the vast majority of cases, in person, live testimony in the courtroom is required as a matter of court rules that apply in criminal cases, whether or not this is constitutionally required. There are also rare cases where video of an unavailable witness (e.g. a murder victim, or a witness who died before the trial was held) might be admitted in lieu of live testimony, either taken in a non-testimonial fashion, see Crawford v. Washington, 541 U.S. 36 (2004), or as a "preservation deposition" in which defense counsel had a right to cross-examine the witness and the defendant has a right to be present to assist the defendant's counsel, taken when an elderly or infirm or deportable witness is likely to be unavailable at trial. Most states prohibit the use of preservation depositions in criminal trials when the witness is available to testify, but this requirement isn't necessarily a constitutional confrontation clause issue. Also, again, neither of these exceptions would apply in the circumstances found in the question. Footnote Re Hearsay v. Confrontation Clause The video statement suggested in the question would also violate the non-constitutional court rule of evidence that prohibits hearsay testimony, subject to many exceptions, in most civil and criminal trials. In a nutshell, the hearsay rule prohibits courts and juries from considering evidence of statements made by someone who is not a party to a case or their co-conspirator or affiliate, that was not subject to cross-examination, offered into evidence to prove the truth of the statement made by that person, unless one of about two dozen exceptions to the rule apply (none of which would be likely to apply under the facts set forth in question). In the United States, the hearsay rule, and the confrontation clause that applies in criminal cases but not civil ones, heavily overlap. But the two rules excluding certain kinds of evidence from criminal trials are independent of each other and are not identical. There is some testimony which is not excluded from evidence by the hearsay rule that is still subject to the confrontation clause. For example, the lab reports that were held to be inadmissible without supporting live testimony from their authors subject to cross-examination in Melendez-Diaz v. Massachusetts, 557 U.S. 305 (2009), and Bullcoming v. New Mexico, 564 U.S. 647 (2011), would often be admissible under the hearsay rule of evidence in a civil case as business records. Likewise, there is some testimony which is not excluded from evidence by the confrontation clause which is still barred by the hearsay rule. For example, a statement made in a letter or email or text message by someone who was not a criminal defendant or co-conspirator who is available to testify that was not a business record, that was not intended at the time it was written to be used in a court case or a report to public officials, would still be barred from evidence under the hearsay rule in most cases. But it would not be excluded from evidence by the confrontation clause under Crawford v. Washington, 541 U.S. 36 (2004) because it was not testimonial in nature. Of course, in a real world criminal case, both the hearsay rule objection and the confrontation clause objection must be satisfied for evidence to be admitted if the defendant's lawyer objects to the admission of the evidence.
The government must have reasonable suspicion to stop you and ask you questions. The government must have probable cause to arrest you. The government cannot question you if you have invoked your 5th Amendment rights The government must release you if you post bail which is set by a magistrate in some cases but can be posted without conferring with a magistrate for many minor offenses for which the amount is set in advance. Also, you can only be constitutionally held for a certain period of time without appearing before a court for an initial appearance at which you are charged and typically you have an attorney assigned for you if you cannot afford one. Generally speaking a lawyer for a defendant will either post bail on behalf of the client, or will seek to invoke the client's 5th Amendment right to silence and 6th Amendment right to counsel (including the right of a lawyer to visit his client in jail) making further detention much less useful, while challenging law enforcement to articulate probable cause for the arrest with the implication that a civil lawsuit and suppression of evidence and loss of credibility with the local judge could follow if they fail to do so. If the client is not brought before a court by the constitutional deadline (unusual, but not unheard of), the lawyer can bring this to the attention of the court and have the court demand that his client be brought before the court. Of course, strictly speaking the defense lawyer can't force the police to do anything. Instead, the defense lawyer persuades the police to do something based upon what a court is likely to do, or has already done, as a result of their conduct so far. Also, of course, it isn't always possible for a lawyer to get his client out of jail. If the police do have probable cause and the offense is not one for which bail is set in advance, it is not possible for the client to be released until bail is set by a judicial officer such as a magistrate and bail (if granted at all) is posted, which may be beyond the client's means in the case of a serious offense, particularly if the client is considered by the magistrate to be a flight risk. On TV and books, the person that the police have arrested is usually someone that the police had no probable cause to arrest but suspect of a crime anyway, and the police usually fold when called on the fact that they lack probable cause by the lawyer. Less commonly, on TV and in books, the lawyer facilitates the payment of bail on behalf of his client.
The situation you describe is extremely unlikely First, you will have been required to give a statement to the police who would have asked you most or all of the questions that you suggest before anyone gets anywhere near a courtroom and likely before any arrest has been made. That statement will be part of your evidence in chief. As in "Is this your statement?" "Yes". "Is this your video recording?" "Yes". After that, your evidence in chief is pretty much done. A witness of fact (rules for expert witnesses are different) can only testify as to what they personally sensed and what their state of mind was. So questions about what you saw, heard, tasted etc. are all perfectly legitimate as are questions about what you thought or felt. You are required to answer these questions honestly - if that means "I don't know" then say "I don't know". All of the hypothetical questions look fine but as I said, they will all have answers in your police statement. The only one that's off-limits is ""Do you feel that a crime has been committed?" - nobody knows if a crime has been committed; that's why we're having a trial.
This is not possible, simply as a matter of definitions and legal terminology. Someone who is "represented by one or more attorneys" is by definition not pro se which means representing yourself without an attorney. There are very rare instances in criminal trials involving serious consequences in which a pro se defendant is allowed to have an attorney advisor who does not represent them in court in an agency capacity, but, first, people who do that almost always lose and are almost always mentally ill (although not necessarily eligible for an insanity defense), and second, because courts generally don't allow this in any other circumstance (at least in court). The concept of getting advice from an attorney without having full fledged representation is called a "limited representation" and the law regarding limited representations more generally varies greatly from jurisdiction to jurisdiction and even between different courts in the same place. For example, Colorado's state courts and Colorado's federal courts have different rules for limited representations.
If the question asks, "did you do X" where X is or includes a crime that you could be criminally prosecuted for, you can invoke the 5th amendment in refusing to answer that. I have seen that done and seen that objection to the question sustained in court. However, if admitting to X would provide only civil liability, then the 5th would not apply. At trial, you may also have to take care not to give direct testimony on things that are so closely related that you "open the door" to being required to answer that question. For example, you can't say "I don't owe because I did X" and then expect to not have to answer "So just to be clear, did you do X?" Also, depending on context, invoking the 5th might cause a jury to view your testimony more skeptically (cpast points out that "For civil cases, adverse inferences based on pleading the fifth are totally okay"), and if that's going to come up you should ask your attorney about whether or not it'd be a good idea strategically.
In every U.S. jurisdiction this is controlled by Rule of Professional Conduct 3.7 which is modeled on the American Bar Association's Model Rules of Professional Conduct, although the exact language is not perfectly uniform. It says: Advocate (a) A lawyer shall not act as advocate at a trial in which the lawyer is likely to be a necessary witness unless: (1) the testimony relates to an uncontested issue; (2) the testimony relates to the nature and value of legal services rendered in the case; or (3) disqualification of the lawyer would work substantial hardship on the client. (b) A lawyer may act as advocate in a trial in which another lawyer in the lawyer's firm is likely to be called as a witness unless precluded from doing so by Rule 1.7 or Rule 1.9. In a criminal prosecution, exceptions (a)(2) and (a)(3) almost never apply. A prosecutor's fees are generally paid by the government without reimbursement from criminal defendants making (2) inapplicable, and there are almost always multiple prosecutors in the same prosecutor's office making (3) unlikely as well. In rare instances where every prosecutor could be disqualified as a witness (e.g. a crime taking place physically within an all office meeting of the prosecutors office where no one was absent), a prosecutor from another jurisdiction in the same state would be appointed as a special prosecutor to handle the case due to the de facto conflict of interest. Rules 1.7 and 1.9 are conflict of interest rules, which rarely apply unless a crime is directed at the prosecutor's office itself, or perhaps was allegedly committed by a prosecutor (in which case a special prosecutor is appointed to address the conflict). Otherwise, another lawyer in the same office can handle the case that the lawyer who was a witness cannot. So, in practice, in criminal cases, prosecutor testimony only concerns uncontested issues pursuant to (a)(1) (e.g. testimony that venue is proper because the city of Evergreen is located in Jefferson County, Colorado, or that the defendant was arrested on the date shown in the police report). Note also, that the lawyer-witness rule applies only to advocacy at trial. A lawyer who is trial witness can still participate, for example, in motion practice, in directing colleagues in trial preparation, in interviewing witnesses prior to trial, in making plea bargaining decisions, in scheduling conferences, and in appellate work in the case. Official comment number 2 explains the justification for the rule: The tribunal has proper objection when the trier of fact may be confused or misled by a lawyer serving as both advocate and witness. The opposing party has proper objection where the combination of roles may prejudice that party's rights in the litigation. A witness is required to testify on the basis of personal knowledge, while an advocate is expected to explain and comment on evidence given by others. It may not be clear whether a statement by an advocate-witness should be taken as proof or as an analysis of the proof.
There is no requirement to interview the victim and/or the suspect prior to filing charges. Often statements are taken from the parties involved/witnesses by police and presented to the District Attorney's office as evidence. However charges can be filed without either party being interviewed, especially by the DA. This can often be the case in things like domestic violence cases, where the victim refuses to cooperate and the perpetrator refuses to talk ("lawyer up" or invoke 5th amendment rights). Charges can be filed based on circumstantial evidence of the crime (in the example, marks on the fist of the perpetrator and injuries to the victim, along with proximity). The police will try to interview the suspect and/or victim, but usually the prosecutor does not get involved at this point until charges are filed and the defendant has retained a lawyer (or declined one).
From a US perspective, in a word, "no". Firstly, "presumption of innocence" is in a trial, not in police interactions. Being arrested does not violate the presumption of innocence. Police do not need any reason to interact with you or ask you questions. Police can arrest you if they have probable cause to suspect you have committed a crime, but this is not always necessary. More on this later(in the fourth section). Secondly, I wouldn't describe requesting to see your ticket, or any document as a "violent communication", in general. It may be rude or insulting, but not violent. (Also "violent communication" is not a legal term. The closest legal terms, verbal assault and threatening communication, are also not this.) More over, there is no indication of am implication of lying in this request. Thirdly, there are many situations in which possessing a document or credential is not sufficient; one must legally display or present them upon request. For example, multiple occupational licenses such as liquor licenses and barber/cosmetology licenses require that the licenses be prominently displayed; whereas, in California at least, a vehicle driver on a public road must not only possess their driver's license and proof of insurance, they must produce them upon the request of any law enforcement officer (Source: https://www.dmv.ca.gov/portal/dmv/detail/pubs/brochures/fast_facts/ffvr18). Fourthly, there are situations in which you can be legally searched and questioned without reasonable suspicion. Examples of this include boarder searches and sobriety checkpoints. Sources: (US Supreme Court rulings): https://en.wikipedia.org/wiki/United_States_v._Martinez-Fuerte; https://en.wikipedia.org/wiki/Michigan_Department_of_State_Police_v._Sitz A note on sources: bdb484 and I have opposing court case sources. My sources have binding precedent over all courts in the US, save the US Supreme Court, whereas theirs don't have any binding precedent, but are more directly on-topic.
What is the definition of "narrowest grounds" with respect to a US Supreme Court plurality? I am of the understanding that in Marks v. United States, 430 U.S. 188 (1977), the Supreme Court has the following procedure in place: When a fragmented Court decides a case and no single rationale explaining the result enjoys the assent of five Justices, the holding of the Court may be viewed as that position taken by those Members who concurred in the judgments on the narrowest grounds. What does the "narrowest grounds" mean in this case? Who is responsible for making this decision? What if there is disagreement among the Justices as to which interpretation is, in fact, the "narrowest" interpretation?
When Marks is relevant The Marks rule is direction from the Supreme Court to lower court judges as to how to deduce the controlling position when the Court itself can't come to a majority position. When a majority of justices agree in the outcome of a case, but not on the law that gets them there, the Marks rule comes into play to determine what reasoning should be followed by lower courts. An example I'll explain with an example that was at the center of the appeal in Hughes v. United States (2018). The issue arose in Hughes because lower courts did not know how to deal with the 4-1-4 split in Freeman (2013). The Marks rule says to look at the positions of the members that concurred in the outcome. In Freeman, there were two positions that together accounted for the outcome: that of four justices (written by Justice Kennedy) and that of Justice Sotomayor, in a solo concurrence. Her position was arguably decided on a "narrower" ground. However, neither the Kennedy plurality nor the Sotomayor concurrence was a logical subset of the other. Justice Sotomayor was not merely agreeing with some but not all of the plurality's reasoning. She came to the same conclusion, but based on a different understanding of the law. Yet some circuits were treating Justice Sotomayor's concurrence in Freeman (with which no other justice had agreed) as the controlling opinion. This is apparently what Marks required. Marks has always been confusing The Marks rule has been a source of confusion in the jurisprudence and academia ever since it was announced. It was not reasoned nor explained by the Court when it was announced. It hasn't been reasoned or explained by the Court since. To the extent that the Marks rule has arguably clear application, it is in cases where the various reasons for judgment of the Court form a "logical subset" or "common denominator" structure. But many times, the reasons don't relate to each other that way (e.g. Freeman). There is sometimes no identifiable "narrowest ground" in that sense, and even where there is, it reflects a minority position of the court: one that none of the other justices agreed with. The Re brief in Hughes Professor Richard M. Re filed an amicus brief in Hughes v. United States (2018) on the topic of the Marks rule arguing that the Marks rule should be abandoned and replaced with the following: A precedent of this Court should form only when most Justices expressly agree on a rule of decision. Re notes that the Marks rule "applies precisely when this Court issues a decision that lacks any majority agreement on a rationale." He argues that "there is no persuasive reason to treat views that lack majority support as binding, nationwide precedents." The Court itself has said the Marks rule is "easier stated than applied." And the Court has never attempted to explain the rule since. Re cites his own paper, "Beyond the Marks Rule" which he says further shows the rule has "defined consistent application by lower courts." At page 16 of the brief, he describes circuit splits that have developed over an attempt to apply the Marks rule to the reasons of the Court. Hughes gave us no answer Both parties in Hughes presented alternatives to the Marks rule. It was discussed extensively at oral argument. Counsel for the petitioner acknowledged that, "Whatever guidance Marks may have provided, it's probably caused more confusion than -- than guidance." The arguments contained analogies to Venn diagrams and Russian nesting dolls. Ultimately, the Court in Hughes found it unnecessary to resolve the "proper application of Marks." Despite granting certiori to address those questions, they were able to resolve the case by skipping directly to the the merits of the substantive question about sentencing. Ramos did not clarify things In Ramos v. Louisiana, 590 U.S. ___ (2020) some members of the Court commented on what Marks might mean. Ironically, the Court in Ramos itself was split without a majority on the meaning of Marks. Justice Gorsuch, writing for three on this issue, said that Marks in fact does not ever result in a single justice's opinion becoming the controlling position. He presented this example: Suppose we face a question of first impression under the Fourth Amendment: whether a State must obtain a warrant before reading a citizen's email in the hands of an Internet provider and using that email as evidence in a criminal trial. Imagine this question splits the Court, with four Justices finding the Fourth Amendment requires a warrant and four Justices finding no such requirement. The ninth Justice agrees that the Fourth Amendment requires a warrant, but takes an idiosyncratic view of the consequences of violating that right. In her view, the exclusionary rule has gone too far, and should only apply when the defendant is prosecuted for a felony. Because the case before her happens to involve only a misdemeanor, she provides the ninth vote to affirm a conviction based on evidence secured by a warrantless search. This is a 4-1-4 split, in which the solo Justice holds the arguably narrowest grounds of decision, one which would be overruling precedent in this hypothetical. Justice Gorsuch says though that Marks "never sought to offer or defend" a rule that "a single Justice's opinion can overrule prior precedents." Justice Kavanaugh, writing in concurrence, but not agreeing with Justice Gorsuch on his Marks point, said that the Marks rule is "ordinarily commonsensical to apply and usually means that courts in essence heed the opinion that occupies the middle-ground position between (i) the broadest opinion among the Justices in the majority and (ii) the dissenting opinion." He noted that the members of the Court in Ramos had notably differing opinions about how to apply Marks to Apodaca: "six Justices treat the result in Apodaca as precedent for purposes of stare decisis analysis. A different group of six Justices concludes that Apodaca should be and is overruled." The dissent in Ramos, written by Justice Alito, was of the view the Marks applied to the ruling in Apodaca and that it produced precedential value that the Justice Gorsuch majority was ignoring. The dissent said that Marks clearly stands for the proposition that "the position taken by a single Justice in the majority can constitute the binding rule for which the decision stands." Further reading If you're really interested in this, I suggest reading Richard Re's brief and his article, read the parties' briefs in Hughes (petitioner's, respondent's, petitioner's reply), and listen to the oral argument.
if necessary it is possible to simplify it to USA vs EU The European Union is by no means a homogeneous area of law. I will assume france because it is the one I am most familiar with, but bear in mind that much of what follows might not apply to Spain/Germany/etc. The USA is a federal state. In particular, Louisiana law is heavily influenced by civil law for historical reasons. Other states and federal law do, however, follow more or less the same general principles. in common law there is the idea of a precedent, while in civil law not The first part is true. Common law usually hold the principle of stare decisis according to which precedents are binding. That means that the holding of a court binds the same court to rule the same way on similar matters raised later. I would note, however, that courts can be... let’s say "creative"... in finding ways to differentiate the case at hand from the previous one, when the judge is motivated to do so. The latter part is false, or at least, exaggerated. It is true that courts in civil law are not bound by previous holdings; an appeal that raises as its only argument "the court’s decision in my case was different from that in another case without offering any differentiation" would be rejected. However, there is the concept of jurisprudence constante where repeated precedent is highly persuasive. In practice, even simple precedent is persuasive. Furthermore, lower courts are bound by the holdings of higher courts, both in civil law and common law jurisdictions. (That’s more or less the meaning of "higher court".) in common law a judge plays a role of a person evidence at a court is provided to, while in civil law a judge tries to investigate too in addition That is a distinction between the inquisitorial and adversarial systems. The distinction does not exactly map to the civil/common law systems, but in practice the criminal part of civil law systems is often inquisitorial whereas common law systems are often adversarial. I will first note that the "inquisitorial" part where the judge conducts investigations is vastly overblown. That only occurs in complex cases that require extended investigations with more coercitive powers (for instance seizing documents etc.) Wikipedia says: In 2005, there were 1.1 million criminal rulings in France, while only 33,000 new cases were investigated by judges.[5] The vast majority of cases are therefore investigated directly by law enforcement agencies under the supervision of [the equivalent of district attorneys]. The numbers sound plausible to me, but here’s the ref it gives if you want to check (which I did not bother to do). The most visible part of the distinction is the way witnesses at trial are handled. In an adversarial system, the parties will ask to cite certain witnesses. There are pre-trial motions to exclude certain witnesses for certain reasons, but parties have a wide latitude of which witnesses they want to call. Each witness will come labelled as to which party asked for its appearance. At trial, the witness will be asked questions by the party who called them (direct examination), which will usually take a long time and include nondisputed background information (who are you, for how long have you worked with the defendant, etc.). Then, the opposing party will ask questions (cross-examination), emphasizing points that cast doubt on the witness’s reliability (because they are lying, because they do not remember well, etc.) or on the other parties’ narrative (highlighting details that were conveniently "missed" in direct examination). In an inquisitorial system, witnesses are chosen by the judge. Parties can ask to have witnesses added to the list, but the list does not come with labels that X is coming from the prosecution, Y from the defense. When a witness is called, the judge will ask most of the questions at the start, before giving the floor to the parties. Roughly speaking, the judge does the direct examination, and parties do a cross-examination afterwards. Note that in many cases the parties will ask few or no questions - high-profile cases that you read about in the media are abnormal in that respect. In particular, an inquisitorial-system court maintains a list of expert witnesses, which are called when technical points are required. That expert is paid by the court, not by the parties (however, when one party requests an expertise and the other party opposes it, the requesting party has to pay the cost upfront - they will shift it to the other party if they win the case). That is very different to the adversarial system of having each party introduce testimony by an expert they commissioned and paid. distance between public law and private law is smaller in common law legal system I am not sure I understand that question. It is true that "private" (tort) law operates in an adversarial system both in civil-law and common-law. Therefore, one could argue that the distance between civil-law’s criminal system (inquisitorial) and tort system (adversarial) is higher than between common-law’s criminal and tort systems (both adversarial). However, that is in my view a highly artificial distinction. The distance between practice areas within a single (common law or civil law) jurisdiction is large in any case. You would not want a lawyer specialized in drug-dealing cases to take your case about sexual harassment or unlawful dismissal, and vice-versa, in any jurisdiction.
The phrase "reasonable doubt" was formed hundreds of years ago, and does not hold any mathematical or probabilistic meaning. It is for each individual juror to decide for themselves what constitutes "reasonable doubt", and whether the evidence presented to them has crossed that threshold. EDIT for extra clarity: As stated above, the definition of "reasonable doubt" is intentionally vague*, and left to be decided by each juror for themselves on a case by case basis; as such there is no single rule that can be applied to jurors (also note barring accepting a bribe, a juror cannot be legally sanctioned for their conduct as a juror, nor their vote, regardless of the evidence before them). So one juror might judge by P(A|B), another might judge by the defendant's appearance, another might judge by the majority of their peers (so that they can go to a ball game that evening, such as in the film 12 Angry Men), another might disagree with the law (see: jury nullification) and so vote not guilty on that basis, and another might bow to social pressure and convict despite overwhelming evidence that the defendant is not guilty (for example, at the end of To Kill A Mockingbird). A prosecutor cares about convincing the entire jury that the defendant is guilty(outside of Oregon and Louisiana, where only 10/12 vote is needed to convict, so the prosecutor only cares convincing 10 jurors). The defense only cares about convincing a single juror (or three in LA or OR), although more can be useful to prevent a mistrial. The defense (in theory) should not care whether or not the defendant is guilty. *The origin of reasonable doubt was in Britain, where certain jurors would refuse to convict, despite any evidence, due to religious prohibitions of "Judge not, less ye be judged".
This is an opinion question, even if it doesn't seem like one. The life work of many professors is trying to explain the current system of review. One theory that is fairly well accepted relates to the concept of deference to other political actors. To understand this theory, we need to begin by recognizes that the Court is not unilaterally adjudicating political rights; it is one of many actors that all have some stake in making Constitutional decisions. The Court recognizes this, even if it also demands that it get last word on whether or not it gets last word. In footnote four of Caroline Products the Court laid the foundation for the modern equal protection doctrine. That text embraced a constitutional scheme whereby rights are given judicial protection primarily if they are unlikely to be given political protection by the other branches of government. Under this scheme, we care about groups that are politically weak or political distant from those with power. This equal protection jurisprudence is an example of deferential thinking; we trust the political branches generally unless there is reason to doubt the effectiveness of the political process. The deferential thinking approach to constitutional law holds that we do the same for many other area of Constitutional law. A given enumerated right is only Scrutinized strictly by the courts if the courts don't trust the other political actors (States, Legislature and Executive), to adequately protect that right. As I said, that is a theory. Not everyone agrees that this is what is going on or that this is what should be going on. Moreover, many enumerated rights are protected under a very strict level of review. Strict review and "strict scrutiny" are similar ideas, with the latter being a term of art and the former being a reasonable description of how much attention courts will pay to protecting a given right.
Does the Supreme Court simply rubberstamp the prevailing social consensus? No. Structurally, The Supreme Court Is Designed To Lag Behind Social Consensus U.S. Supreme Court justices are political appointees with discretion over how laws are interpreted and enforced in the U.S. that cannot be reviewed by any other body, in the case of constitutional law, and can only be second guess by Congress and the President acting together, in the case of statutory law. Since U.S. Supreme Court justices serve for life, they tend to be lagging indicators of the political preferences of past Presidents. Plessy v. Ferguson was influenced by post-Reconstruction judicial appointments trying to salvage what it could from the end of the slavery regime for former slave states, although Congress could have overruled it with new legislation if Senators from Southern states hadn't filibustered that kind of legislation in the U.S. Senate. Still, while the law changes slowly, and the U.S. Supreme Court is often a lagging indicator of the prevailing social consensus, it is not frozen in time either, both because legal norms change over time, however slowly, because statutes and constitutional amendments change the environment in which the U.S. Supreme Court operates, and because sometimes the law commands them to do so. For example, in 8th Amendment jurisprudence (the prohibition against cruel and unusual punishments), the "unusual" part of "cruel and unusual" has always incorporated prevailing social consensus, by design and by virtue of the express constitutional text. Precedent Still Matter Precedents also matter, however. U.S. Supreme Court Justices, while they may be influenced by a political ideology that had a lot to do with why they were nominated in the first place, are not simply legislators in robes. While the U.S. Supreme Court is well known for its partisan split votes on close political issues, there are many areas of law where the U.S. Supreme Court is still far less partisan than elected officials, and often, split decisions in the U.S. Supreme Court on less politically charged issues are not along partisan lines. U.S. Supreme Court Justices cross partisan lines far more often than elected officials do, and the amount of partisan line crossing that takes place in courts below the Supreme Court that have a legal duty to follow the precedents of courts superior to them is even greater. At the time of Dred Scott and until the 13th Amendment was passed in the wake of the U.S. Civil War, slavery was legal and its legality had never been seriously doubted in U.S. legal precedents. Precedents at the time, including a series of highly sensitive legislative and constitutional compromises already agreed to by other parts of the government, supported this ruling, whether or not it was good policy. Obergefell v. Hodges, followed a nearly unanimous groundswell of support for the position that the U.S. Supreme Court ultimately took from state courts and lower federal courts, applying a variety of precedents already in place going back to Griswold v. Connecticut, 381 U.S. 479 (1965), which affirmed that the fundamental rights found in the Fourteenth Amendment's Due Process Clause "extend to certain personal choices central to individual dignity and autonomy, including intimate choices that define personal identity and beliefs," but the "identification and protection" of these fundamental rights "has not been reduced to any formula," and Loving v. Virginia, 388 U.S. 1 (1967), invalidating laws prohibiting interracial marriage. The lesser known cases of Zablocki v. Redhail, 434 U.S. 374 (1978) (invalidating a Wisconsin law limiting the right of non-custodial parents to remarry), and Turner v. Safley, 482 U.S. 78 (1987) (allowing prison inmates to marry without state permission) had also established a constitutional right to marry. In Romer v. Evans, 517 U.S. 620 (1996), the Supreme Court struck down a Colorado law that barred local governments from protecting gay rights. In 2003, the Supreme Court in Lawrence v. Texas struck down Texas’ sodomy law - and in turn invalidated sodomy laws in 13 other states - making private, consensual, adult sexual activity between same-sex couples legal across the U.S. In United States v. Windsor (2013), the Supreme Court held that a same sex couple legally married in Canada could not be denied the federal estate tax spousal deduction invalidating Section 3 of the Defense of Marriage Act as unconstitutional. The same day, in Hollingsworth v. Perry (2013), the Supreme Court held that California Proposition 8 (note that a majority of voters in this very liberal state passed this measure in 2012 suggesting that allowing same sex marriage was not the prevailing social consensus) which prohibited California from recognizing same sex marriages lawfully entered into after a couple prevailed in a 2009 court fight to secure same sex marriage rights under prior California law was unconstitutional. In 2015, SCOTUS responded not to a public opinion social consensus, but to a legal consensus among U.S. appellate judges driven by its own precedents. Many states in which judges struck down same sex marriage bans before the U.S. Supreme Court took up the issue did so in states where same sex marriage was not popular, because fifty years of accumulated precedents from 1965 to the present strongly pointed in that direction. As a result, on the eve of the Obergefell decision, 37 states and the District of Columbia already recognized same-sex marriage, and only 13 states had bans. Those bans were mostly struck down as a result of lower courts interpreting existing U.S. Supreme Court precedents like the ones mentioned above, and as a result of legislators seeing the writing on the wall and wanting to take credit for the inevitable. The act of nationalizing the right to same-sex marriage also reflected the reality that even though the constitution allocated regulation of marriage to the states rather than the federal government, as a general matter, that allowing a particular couple's marriage to be recognized in some U.S. states and not others, was basically unworkable in a country with freedom of travel between states. SCOTUS Often Establishes The Prevailing Social Consensus Also, while sometimes the U.S. Supreme Court does give official recognition to the prevailing social consensus (which is closely related to what becomes law by one means or another anyway), perhaps more often, a U.S. Supreme Court ruling establishes and changes the prevailing social consensus. Support for interracial marriage in opinion polls, which wasn't terribly high when Loving v. Virginia was decided in 1967, soared after the U.S. Supreme Court declared it to be a matter of constitutional law. A question from a 1968 international Gallup poll underscores the extent of U.S. opposition to interracial marriage during this period. This question, which asked Americans and those in 12 other nations whether they personally approved or disapproved of marriage between whites and nonwhites, found even broader U.S. opposition than the 1965 question. More than seven in 10 Americans (72%) disapproved of white-nonwhite marriages, in contrast with only 21% of residents in Sweden, 23% in the Netherlands, 25% in France, 34% in Finland, 35% in Switzerland and 36% in Greece. Opposition outweighed support in Austria, Canada, West Germany, Norway, Uruguay and Great Britain, but to a far lesser extent than in the U.S. The 1965 and 1968 U.S. reactions to interracial marriage appear contradictory, but this is because each question measures a different dimension of public opinion. The 1965 question asks for people's views on the legality of interracial marriage -- whether it should be a crime -- whereas the 1968 question merely asks Americans whether they personally approve. Americans' personal views on interracial marriage eventually changed, but it took decades for majority support to emerge. In 1978, more than a decade after the Loving case, only 36% of Americans approved, while 54% still disapproved. Not until the 1990s did public approval cross the 50% threshold, registering 64% in 1997. Gallup's latest update, in 2013, shows 87% approving. (Source) Support for same sex marriage has followed a similar pattern after Obergefell v. Hodges was decided. Roe v. Wade (creating a constitutional right to medical abortion) and Griswold before it (creating a constitutional right to contraception and clearly establishing the concept of substantive due process rights to privacy), likewise dramatically changed public opinion on these issues. So, while the U.S. Supreme Court is sometimes a lagging indicator of a social consensus that is already prevailing, its moral authority and the inability of any other political actors to overcome the legal force of its rulings has also caused it to be a major driver of social consensus going forward. For example, until Brown v. Board of Education (1954), Plessy v. Ferguson was widely accepted as a legally fair standard and the support really only entirely collapsed when the U.S. Supreme Court said otherwise. Indeed, Brown v. Board of Education probably was pivotal in shifting public opinion in a manner that led to the adoption of the Civil Rights Acts of 1964 that finally put teeth into the political resolve to end racial discrimination that had begun in earnest in the Reconstruction era.
No. It means the existence of reasonable doubt is in doubt... One cannot conclude the question of guilt in either direction, so one must try again to see if a different jury can answer the meta-question, to then answer the legal question of guilt. ... or is not being addressed If only one person is voting against the consensus, or as many as are allowed by the jurisdiction, they are overruled. That's the allowance made for bias that has somehow reached the jury despite the filtering done beforehand. If more people are voting against the majority so that consensus is not possible, it is potentially because someone has made up their mind on the question of guilt regardless of what (some significant part or the weight of) the evidence indicates, defeating the purpose of the trial and providing all the evidence. A person not accounting for all the evidence can't be said to have reasonable doubt of guilt, since the doubt may be excluded by the remaining evidence. Similarly, guilt beyond reasonable doubt cannot be supported by only partial evidence, as exculpatory evidence may be among the part not accounted for. ... or cannot be addressed by that jury at all. Finally, a jury split on the decision of how to weigh the evidence cannot claim either to have or to have dismissed reasonable doubt, because they cannot agree on what a reasonable doubt is, in the first place.
What are the legal consequences of substantive factual errors in an opinion? None. I assume that this specific ruling is not affected in any way by the text of the opinion? Correct. I assume that even an opinion of the form "We got high and decided to rule wrongly for fun" wouldn't actually negate the ruling? Probably not, but it might precipitate a constitutional crisis or lead to an impeachment. How does this affect the precedent? It doesn't. Will courts in the future consider the true facts of the case (whatever they perceive them to be), No. will they accept as legal fiction that the facts were as the Court describes them? Yes. Could it be legal for the district to repeat exactly the same set of actions in exactly the same set of true circumstances as before, since those won't be the same circumstances that the Court claimed to rule on? In such a case, is the lower court bound by the Supreme Court's characterization of the facts of the case, Generally speaking the lower courts are bound by characterizations of the facts made by the appellate court. But, it depends to some extent on the procedural posture of the case. In most cases, the findings of fact made by the trial court following an evidentiary hearing are binding on appellate courts in the U.S. unless they are not supported by any admissible evidence presented at trial, but there are some exceptions to this rule and there is considerable art as well as science that goes into properly characterizing the evidence presented at trial. But, for example, many appellate cases are appeals from a dismissal of a case on a motion to dismiss at the outset of a case, in which all allegations of the Plaintiff's complaint in a civil matter are taken as true for sake of argument, and the legal issue presented is whether the Plaintiff can prevail if all of those facts are true. In a case in that procedural posture, assuming that the appellate court reversed the trial court and found that the facts alleged state a claim upon which relief can be granted, then the remand would be to move forward with discovery and other pre-trial procedures in the case and ultimately a trial, if necessary, to determine the actual facts of the case as opposed to the facts as alleged by the Plaintiff in the complaint or petition. Not infrequently, when appellate courts are divided over what happened in the trial court, one side of the debate, looking at the raw testimony and exhibits presented at trial, will conclude that the admissible evidence presented at trial did not support the findings of fact in a mixed question of fact and law made by a trial court judge, while another side of the debate will accept the trial court judge's findings of fact uncritically. It often isn't easy to know, from reading an appellate court opinion alone, which side is which in this regard. can it use the true facts of the case as long as it obeys the ruling itself? Usually not. Usually, facts relied upon by an appellate court are by definition the correct facts (apart from clerical errors - e.g., an appellate court once misspelled my name in a court opinion, and the lower court wasn't bound by that mistake). This said, as noted above, the precise procedural posture of the case, nature of the court's opinion, and scope of the remand order is highly relevant to what a court can do on remand.
In any court, there will be situations where a judge has discretion to make some decision. The judge might have to decide "did X meet the burden of proof", and due to the situation two reasonable and competent judges could come to different conclusions. You couldn't blame either for the decision, even though they would make opposite decisions. On the other hand, a judge might make gross mistakes. The judge might decide "X met the burden of proof" when this is clearly a mistake. That's what the appellate court is interested in. An appellate court checks whether the judge made mistakes that a judge shouldn't make. So in this situation, the appellate court doesn't decide whether X met the burden of proof. The appellate judge decides "did the trial judge make a decision that a trial judge shouldn't have made". An appellate judge might think to himself or herself: "well, I would have decided differently, but this trial judge’s decision was one that a reasonable judge could have made", and if that is what he or she thinks, the original decision will stay intact.
Can someone sell an e-book with an open copyright? The book "Nuclear War Survival Skills" has this text in the copyright section: "The copyrighted material may be reproduced without obtaining permission from anyone". Does this mean that Amazon can't charge for the ebook? Or just that anyone is able to make copies once they have a copy? And if they can make copies, are they then allowed to distribute them for free and/or for profit? The book also contains the text "To assure that this new material also can be made widely available to the public at low cost, without getting permission from or paying anyone, I have copyrighted my new material in the unusual way specified by this 1987 edition's copyright notice", which is why this question came up in the first place
This appears to mean that the author, while retaining copyright, is allowing anyone to make copies without asking permission from the author. This would seem to be similar to a CC-BY license, or perhaps more exactly a CC-BY-ND license, as the author has apparently not granted the right to create modified versions or other derivative works. This does not require one who makes such copies to distribute them free of charge, unless there is another provision not mentioned in the question. Amazon, or anyone else, would be free to sell copies at any price they cared to ask. If the author wanted to limit the sales price, that would take another provision, and might not be enforceable.
Ideas (methods of playing, game mechanics, strategy, goals) cannot be protected by copyright. But any part of a creative work can. So, no copying of drawings, patterns, images, sounds, or the element. I suppose copying the software code is not an issue here, but it can, obviously, also not be copied. And nothing in your game can look like someone's else trademark.
That means that a person cannot put a new cover or binding on a book, and then resell it or lend it, unless permission is obtained from the publisher. This has the effect of prohibiting libraries, which need to rebind most books, from carrying the book without the publisher's permission. This condition did not apply in the US, because under the US Law's First Sale Doctrine, the seller cannot impose such conditions on the buyer. The very standardize wording was, I think, once part of the Net book Agreement (NBA) used by Penguin and other UK-based publishers on sales in the UK and the Commonwealth. You will find it on many used books from such publishers. I believe the main aim was to prohibit discount resellers of used books, and to prohibit sale of "stripped books" (reported to the publisher as "unsold and destroyed"). I believe that this is no longer in effect, but I am not sure. The NBA was dissolved in 1995.
Their code, their rules A copyright holder is free to offer their work under none, one or many licences. They can, at the same time, use their own work however they see fit without regard to the licences they have given/sold to others (except, they can only give one person an exclusive licence). As an analogy, let’s say I own a fleet of cars. I can drive my cars anytime I want. I can let Jim drive my cars anytime he wants for free. I can let Mary drive a specific car on Thursdays and only within 10km of the depot. I can let Joe drive my cars providing he pays me $50 a day. And I’m not going to let Fred drive them at all because Fred’s a jerk. Each of those is a different licence.
Whoever "derived" the illegal derivative work most likely has copyright in his derivations, unless they are not worth copyright protections. Say I take the Harry Potter books and add a few chapters and try to sell it - that's copyright infringement of course, but I have the copyright on these additional chapters. However, I don't have the right to allow you to copy the derived work. And even if you have the right to copy the original work, you don't have the right to copy the derived work because it is a different work. I could extract my changes, and allow you to take them and do with them what you like. You could then create an illegally derived work yourself. I couldn't sue you, but the original copyright holder could. To the comments: One, a work and a derivative of the work are not the same, so even if you have the right to make a copy of a work, that doesn’t give you any right whatsoever to copy a derivative work - they are not the same work. Two, the copyright holder has the exclusive right to control copying and the creation of derivative works. If the copyright holder doesn’t want derivatives to exist, then creating them, copying them etc. is always copyright infringement.
In the United States, making a copy without permission is generally going to be a copyright violation, unless the copying is a fair use. Fair-use defenses look at four questions, and the answers to the questions can tip the scales in favor of or against a finding of fair use: Does your kind of copying affect the market for the original? To what extent can your copy fulfill the demand for the original? What if there were widespread copying of the kind you're considering? The more potential there is for the copies to replace the original, the less likely it is to be fair use. (This is the most important factor in the analysis.) Why did you make the copy? If you made the copy for purposes of news reporting, criticism, or commentary, it's more likely to be fair use. If you made a copy just so you could emjoy the work again whenever you felt like it, that may still be fair use, but it is somewhat less likely. If you made a copy just so you could sell it for profit, that's almost certainly not fair use. How much did you copy? Did you copy the whole thing, or did you copy only as much as you needed to achieve your purpose under Question 2? If you copy "too much" – either in the raw amount or as a fraction of the whole work – it's less likely to be fair use. What did you copy? Highly creative works, such as poems, music, and movies, are at the "core" of copyright principles. A fair use analysis will be more stringent in these cases than when dealing with a copy of a purely factual work, such as a phone book, biography, or list of statistics. Such works are still protected by copyright, but that protection is not as strong. So take all of those and imagine the answer to each on a spectrum. If you see things generally tipping in the direction of fair use, that's a good indication that you're going to be safe. If you see things tipping in the other direction, you may want to reconsider. These questions can be trickier than you might think. If you're dealing with a real situation, you should consult an attorney to get an answer specific to your situation. But what if I don't make any money? This fact tips the scales in your favor, but only on Question 2; you still need to consider the other factors. Whether you make money is less important than whether your copying deprives the copyright owner of the opportunity to make money, but then you have to balance that consideration against the First Amendment principles embedded in fair-use analysis. So if you're ripping Star Wars DVDs to hand them out as Christmas presents, your lack of a profit motive will not save you. But a freelance broadcast journalist who includes short snippets of "Kick Out The Jams" and "Whip It" in a piece on this year's Rock & Roll Hall of Fame nominations would probably be fine, even though she's planning to make some money off her piece.
Ask As an employee, anything you create in the course of your employment belongs to your employer. Now, writing textbooks is probably not in the course of a schoolteacher's employment. Note that I said "probably" - it's possible that if you publish and it becomes wildly successful your employer might just want to go to court to check how "probably" actually falls out in practice. So, the simplest thing is to tell your employer that you are thinking of writing a textbook for your subject in your spare time and would they please disclaim any copyright claim they might have. If they won't, find another employer (or don't write the book).
What SE can do is controlled primarily by the Terms of Service. What most matters is the section on Subscriber Content, which says: You agree that any and all content, including without limitation any and all text, graphics, logos, tools, photographs, images, illustrations, software or source code, audio and video, animations, and product feedback (collectively, “Content”) that you provide to the public Network (collectively, “Subscriber Content”), is perpetually and irrevocably licensed to Stack Overflow on a worldwide, royalty-free, non-exclusive basis pursuant to Creative Commons licensing terms (CC-BY-SA), and you grant Stack Overflow the perpetual and irrevocable right and license to access, use, process, copy, distribute, export, display and to commercially exploit such Subscriber Content, even if such Subscriber Content has been contributed and subsequently removed by you... This means that you cannot revoke permission for Stack Overflow to publish, distribute, store and use such content and to allow others to have derivative rights to publish, distribute, store and use such content. The CC-BY-SA Creative Commons license terms are explained in further detail by Creative Commons, but you should be aware that all Public Content you contribute is available for public copy and redistribution, and all such Public Content must have appropriate attribution. This part has not changed: the purported license is still "CC-BY-SA", and the TOS does not explicitly specify a version. What apparently has changed in the relevant section is one "helpful information" link, which now points to https://creativecommons.org/licenses/by-sa/4.0/. So the interesting question arises whether that would constitute an unpermitted post-hoc change in the terms by which SE has license to my older stuff. This matter came up in a reviled Meta question; as I pointed out, the TOS also included a merger clause that This Agreement (including the Privacy Policy), as modified from time to time, constitutes the entire agreement between You, the Network and Stack Exchange with respect to the subject matter hereof. This Agreement replaces all prior or contemporaneous understandings or agreements, written or oral, regarding the subject matter hereof. Because of that, the TOS is self-contained and stuff found on other web pages are not part of the agreement. This in itself is a bit of a problem because you can't both say "we're not bound by stuff outside of this page" and say "the specific terms of the license are outside this page". That particular clause is gone, but there is an analog in the current TOS: These Public Network Terms represent the entire agreement between you and Stack Overflow and supersede all prior or contemporaneous oral or written communications, proposals, and representations with respect to the public Network or Services or Products contemplated hereunder. Furthermore, the TOS contains the following "we can change it" clause: Stack Overflow reserves the right, in its sole discretion, to modify or replace these Public Network Terms, as our business evolves over time and to better provide Services and Products to the Stack Overflow community, or to change, suspend, or discontinue the public Network and/or any Services or Products at any time by posting a notice on the public Network or by sending you notice via e-mail or by another appropriate means of electronic communication. I assume but do not know for a fact that a similar clause existed in prior versions of the TOS. So I conclude that the change is legal.
Will a Muslim with multiple wives who travels to the U.S. be charged with polygamy? If you are a Muslim with multiple wives, and you travel to the U.S., will you be charged with polygamy? What if you are also a U.S. citizen? (I'm just curious how this works for people from Saudi Arabia, etc.)
No However, only the first wife is recognised as a wife under US law. Please note that it is not illegal to live in a polyamorous relationship in the US: only to marry in the US while still married to another person.
Bir Tawil has no settled population, but members of the Ababda and Bishari tribes pass through the region. Both are nomadic Sunni Muslim people with very traditional worldviews. Their de facto control of the region makes them the arbiters of justice there. Rather than pursuing this murder through the courts of a nearby country (each of which is likely to ignore the murder), as a practical matter, the people present in Bir Tawil are very likely to treat the matter as one governed by Sunni Islamic law (which they view as universal in application) and to take justice into their own hands in accordance with the means prescribed by Islamic law (i.e. tribal leaders are likely to capture and behead him after a summary Islamic law proceeding). In the alternative, to the extent that our stateless person's victim has come within the protection of a local clan, that clan may seek vengeance upon the murderer in order to protect the clan's honor.
So each government has jurisdiction of the crime if and only if it occurs within their borders. In addition, the Federal Government can take a crack at any crime any where in the United States, though typically they only do so if the crime involves crossing state lines (kidnapping over state lines, ect). At the maximum, suppose for arguments sake Alice fatally shoots Bob while Bob is standing at dead center of the Four Corners Monument (the only place in the United States where four states meet). This means that one act of Murder has been committed in four seperate states, so Colorado, Utah, New Mexico, and Arizona can all claim jurisdiction over the case and each prosecute Alice for First Degree Murder. Additionally, the Federal Government may step in and also prosecute Alice for First Degree Murder (though they are more likely not too. The Feds rarely prosecute crimes after the State UNLESS the State did something horribly wrong... I.E. Utah let her go because Utah is crazy). Additionally, the monument marks the dividing line between the Navajo Nation and the Ute Tribe, both semi-autonomous Native American Tribes that have their own recognized court systems, so they could conceivably charge Alice with First Degree Murder. So in total, the most amount of times someone can be charged for the same crime due to cross-jurisdiction is 7 times (Four States, 2 Tribal Governments, and one Federal Government). In likely hood, a few of these guys will pass because it's a waste of effort. If Alice gets the death penalty in Arizona, Colorado can't kill her a second time. It's important to note that each government gets exactly one trial so Alice can't be convicted twice in Arizona. A more realistic example occurred in the D.C. Beltway Sniper Case, where the perpetrators were tried in both Virginia and Maryland but only for the crimes committed within those states. VA got first crack because they had (and eventually carried out) the Death Penalty. Maryland tried both for insurance in case the VA cases got thrown out for reasons. The Feds found this satisfying and decided not to press their charges.
The governing law would be the Vienna Convention on Diplomatic Relations (1961). The relevant part is Article 29. Diplomats must not be liable to any form of arrest or detention. Diplomats are also immune from civil and criminal prosecution. Technically, it wasn't a US diplomat but a family member, but by Article 37 they have the same protection. The linked article suggests that her diplomatic immunity ended, but that's a bit of a non-issue. The host nation (the UK in this case) can declare anyone, diplomats or family to be persona non grata which indeed ends diplomatic immunity, but only after the person is allowed to leave the host nation. And when the act happened, the immunity was in place. Immunity cannot retroactively be withdrawn by the host nation.
She never said that She said: When I joined that family, that was the last time, until we came here, that I saw my passport, my driver's licence, my keys. All that gets turned over With respect to my adult children and their passports, the same is true in my house. I ask them for their passports when they aren’t needed, they give them to me, I store them in a safe place and I give them back to them when they need them. That’s just a sensible precaution against them being lost and in no way illegal. Now if I took their passports without permission and withheld them when they wanted them, that would be illegal as it would for anyone else including the Queen (who, I’m sure, had absolutely nothing to do with it - that’s the job of the Keeper of the Royal Passports or some such). Similarly, if you came to my house and I offered to take your coat and you gave it to me and I gave it back when you left, that would be perfectly legal. When I pull up in my car, I put my keys in a bowl in the laundry (unless I forget and then I can’t find them and it’s really annoying). I would prefer instead to have an employee jump into the car, park it and put the keys in their bowl so that when I want the car latter, it’s their job to remember where they left the keys. But I can’t afford that.
These charges aren't the same offense. They are three different offenses, all of which arise from the same conduct. Imagine throwing a grenade in a building because you saw a police officer about to discover evidence connecting you to a crime. I think most people would agree that there's no reason you could not be charged with murder, arson, and tampering with evidence under those circumstances. Likewise, Chauvin committed multiple distinct offenses when he kneeled on George Floyd's neck -- for instance, murder charges are based on the act of causing a death, while manslaughter charges are based on the act of creating a risk of death -- and the state is free to seek punishment for all of those offenses. Double jeopardy doesn't have any application to the case at this point. The Double Jeopardy Clause doesn't say you can't face multiple charges for the same conduct; it says you can't face multiple trials for the same charges.
(assuming United States law here, though I'd be surprised if it were significantly different in other jurisdictions with such restrictions) Your friend is incorrect: that would be a new offense, for which Person A could be prosecuted anew. If your friend's logic were correct, once a person is convicted of robbing a store, they'd be free to rob that store without repercussions for life. It's worth noting that the conviction isn't relevant: the prohibition of double jeopardy in the United States prevents even multiple prosecutions (except, in some cases, for separate state and federal prosecutions or foreign prosecutions).
Probably not. There is an unenumerated constitutional "right to travel" (which has been recognized in case law, and has not yet been judicially overruled) and there is also a concept called the "dormant commerce clause" which prohibits legislation by a state that interferes with the ability of people to engage in interstate commerce even if Congress has passed no relevant legislation. There could also be a privileges and immunities clause argument arising under the original 1789 constitution and not the 14th Amendment to that document privileges and immunities clause, which affords people from outside a state the same rights as people in a state. Also, citizens of a state are defined as its residents, so a state only has jurisdiction over someone as a citizen for so long as they reside there. I was born in Georgia, for example, but haven't lived there since I was six years old, so I am not a citizen of Georgia. The proposed Texas law bears some similarity to the Mann Act of 1910 which prohibits transporting people across state lines for the purposes of prostitution (to slightly oversimplify). But the Mann Act is a federal law, not a state law. The proposed Texas law also bears some similarity to the infamous Fugitive Slave Act of 1850 which required free states to respect the slave status of people treated as slaves in a slave state under the slave state's law by returning fugitive slaves to their out of state masters, when the slave escaped across state lines. But, this was also a federal law and reflect the greater extraterritorial force of contracts and property rights created under state law compared to the extraterritorial force of the police powers of a state government. There are constitutional provisions requiring states to honor each other's rulings as well, most notably the requirement to extradite felons, and the full faith and credit clause that requires states to honor the court judgments and government determinations of status (e.g. marriage certificates) of other states in most circumstances. But, I don't think that you get there in a case regulating the conduct of a state resident outside the state, or in a case where you want to criminalize assisting someone in the state to leave the state for a particular purpose. Neither of these examples, however, involve state laws. Generally, penalties for doing something across state lines need to be established by federal, rather than state, laws. This said, the issue has not been litigated in this particular context yet, and the legal theories implicated and structure of those lines in fine particulars could matter. States have only rarely tried to regulate the conduct of their residents outside their own states and have even less frequently been successful in doing so.
Is an LLC with no assets effectively impervious to lawsuits? For example, a millionaire forms an LLC to sell lemonade on the sidewalk and they put a job posting in the local newspaper where they specified that only a person of a particular ethnicity, marital status, and gender would be hired. He then rejected applicants accordingly. The LLC has only a few planks of wood and a bag of lemons as its assets. Is there anything that anyone could do legally to this millionaire?
The corporate veil can be pierced if the millionaire failed to sink in sufficient assets for the business to meet reasonably expected liabilities. In particular, the millionaire should have funded the LLC sufficient to hire qualified people and secure business liability insurance. Further, anytime a corporate structure is set up specifically to be a liability shield and not with other reasonable reasons, it will generally be vacated by the courts. See Asset Protection by Atkisson & Riser, a must-read in this field. I know you are trying to create a "straw man" example for simplicity, but unfortunately the character and obvious purpose of the LLC does have a bearing on its survivability. Hardly anyone creates an LLC for a lemonade stand, which begs the question of "why do it". It may be a defense against discrimination if the job listing was so particularly specific that the millionaire's child or ward was the only possible candidate, and then it could be defended as an educational exercise to show the ward how businesses are set up. Rather than an attempt to discriminate in any disallowed way.
"Could Maine pass a law making New Mexico corporations and LLCs legally nonexistent in Maine (and removing the corporate veil in cases where Maine courts have jurisdiction)?" No. The full faith and credit clause of the U.S. Constitution, and the dormant commerce clause doctrine of U.S. Constitutional law would both invalidate a Maine law to that effect. One might think that the privileges and immunities clause of Article IV, Section 2 of the U.S. Constitution (as opposed to the privileges and immunities clause of the 14th Amendment) might also invalidate this law (e.g., it also prohibits residents of another state from obtaining occupational licenses in a state). But, this is not the case, because the U.S. Supreme Court held in Paul v. Virginia, 75 U.S. 168, 180 (1868), that corporations are not protected by the privileges and immunities clause. See generally, here. This doesn't mean that Maine couldn't regulate foreign corporations in some manner that doesn't unduly discriminate against out of state corporations. For example, most states require out of state corporations that do business in that state to pay a small fee and make a simple filing with the Secretary of State of that state authorizing them to do business in that state as a precondition to filing lawsuits or counterclaims seeking relief in their state's courts. But, this is far from a denial of the very existence of the out of state corporation and doesn't, for example, prohibit the out of state corporation from defending itself against suits brought against it in that state's courts. Likewise, it does not prohibit an out of state corporation from owning property or from affording limited liability protections to its owners.
This overstates the case. A company must pursue infringements, arguably even when it isn't economically sensible in isolation to do so, to prevent its trademark from being diluted. But, that isn't the case "when it's blatantly obvious that there is no infringement." There is no benefit from pursuing cases that aren't even colorable infringements. The notion is similar to adverse possession. If you let someone openly use your real property without your permission, eventually, the squatter becomes its legal owner. Also, as in the case of adverse possession, an alternative to suing someone for infringing is to make their permission non-infringing by writing them a letter expressly authorizing them to use your mark. Permissive, licensed use does not dilute a trademark.
Most criminals aren't rich... Suing someone who has nothing, won't get you anything... Sure they can be held liable for millions of dollars. But that doesn't make the money magically appear. A million dollars from someone who has no money and a dollar will get you a soda. TLDR: Suing the perpetrator of a crime is a waste of time/money if they don't have any.
Its just free enterprise, right? Well ... except when there is a law that says its not allowed. I am unfamiliar with Indian law but the relevant law in Australia is the Trade Practices Act which deals with this under the category of Misuse of Market Power. In a nutshell: A business with a substantial degree of power in a market is not allowed to use this power for the purpose of eliminating or substantially damaging a competitor or to prevent a business from entering into a market. By preferring their products over a competitor's in their search engine they are "... eliminating or substantially damaging a competitor ...".
When a company stops existing for whatever reason, then its assets (physical, financial, intellectual or otherwise) don't stop existing. When the company dissolves voluntarily, those assets usually go to the owner(s) of the company. When the company got bought up and integrated into another company, the buying company will usually own them. When the company went bankrupt and got liquidated, then they will often get sold off to the highest bidder. And then there is the question of who actually owns the IP rights to a specific game asset. Often there is not just one legal person which worked on a game. In addition to the developer, there might also have been a separate publisher who might or might not own IP rights. There might have been investors in the background who financed the project and now own some copyrights. Sometimes there was more than one publisher. And sub-contractors might have been involved in the development who only licensed their assets but retained copyright. So unfortunately it is often not really clear what happened to IP assets of a defunct company. People who might have the rights will often not care much about them until something happens which gives new commercial value to those assets. So even if you are unable to determine who owns the assets to a game, as soon as you start using them, someone might show up with a plausible claim to the IP rights and demand money from you. Such lawsuits can get really messy and really expensive. For a good example for just how much of a goose chase you might be in for when you want to legally obtain the rights to a game from a defunct company, check out the story of the re-release of No One Lives Forever. tl;dr: multiple game companies said "Maybe we have the rights to the game according to some contract buried in some file cabinet, but we don't care enough to find out. But if you try to release it, we will find out and if we do we will sue you!"
You can hire someone to locate the defendant with the information that you have, or you can apply to a court for permission to serve them with process via "substituted service" because their physical address can't be determined. But, in general, better business practice is to not enter into contracts with people with whom you have more than a name that might be false, and an email address, unless you have some means of non-judicial enforcement of your agreement (like the practical ability to shut down access to an internet subscription). If you don't even know if someone's name is real and have done nothing to confirm that then you also have no assurances that they have any assets from which you could collect if you won a breach of contract lawsuit. If you deal with large numbers of people in low value contracts, it may be worth treating the fact that some contracts are effectively unenforceable as a cost of doing business. But, if a contract is important, it was foolish from a business perspective to rely on a contract on that basis alone, even if it is legal to do so.
Very briefly in terms of contract law, by hiring this person to haul away your trash, you're entering into a contract with him/her for the disposal of the trash. The fact that he says he has a legal place to dispose of the trash is part of your contract. That fact - either verbal (or in writing) in that contract - should really absolve you of any responsibility of what happens to the trash. You don't need to actually know all the details of his legal dumping place, but you can hold him/her to the agreement if it happens that they do illegally dispose of the property they have been hired to remove. In reality, this person is advertising this service as a business (on Facebook) and has been operating for some time, so they are probably legally disposing of refuse in a landfill while making some money from whatever might be valuable. The trash hauler probably depends on some of your trash being valuable, in terms of recycling or repairing or selling collectables ("old toys"), and not all of that will be disposed of in a landfill. I suppose it's possible a municipality could accuse you of illegally disposing of the trash if it was somehow tracked back to you, i.e. personally identifiable items or papers in the trash that was found illegally dumped. But you have the contract with the trash hauler to show you acted in good faith. Ask in the Facebook group if indeed this person disposes of trash in a legal manner, or ask others who have hired him/her. Clearly outline your stipulations for legal disposal with them. You can even ask to see their business license from the city/county.
Can a trans man get an abortion in Texas where a woman can't? Texas has an anti-abortion law, Health and Safety Code 245 which states: the act of using or prescribing an instrument, a drug, a medicine, or any other substance, device, or means with the intent to cause the death of an unborn child of a woman known to be pregnant. The term does not include birth control devices or oral contraceptives. An act is not an abortion if the act is done with the intent to: (A) save the life or preserve the health of an unborn child; (B) remove a dead, unborn child whose death was caused by spontaneous abortion; or (C) remove an ectopic pregnancy. (emphasis added). It explicitly references a woman who is known to be pregnant. Can a trans man therefore get an abortion in Texas by reason that he is not within the definition of 'woman' as it would be understood in this statute?
Ever changing ordinary definitions do not change what the law makers meant The cited piece of law dates back to 1989. At that time, it was virtually inconceivable that "woman" could ordinarily mean anything other than a biological female person potentially capable of becoming pregnant and giving birth. Times change, so do ordinary definitions. But these do not automatically make their way into the laws that were written before the change occurred. he is not within the definition of 'woman' as it would be understood in this statute? So, the definition as it will be applied is the one from 1989.
There is no parallelism between the Texas decision and the proposed lawsuit. In the anti-mifepristone lawsuit, there exists a statute granting the FDA authority to regulate and review new drugs, and a petition procedure whereby citizens can state ground for the Commissioner of Food and Drugs to consider a regulatory action. There is no statutory basis on which a ban of meat-eating could be created by executive action. Congress cannot be sued for not passing a law (failure or refusal of Congress to pass a particular law is not justiciable). If, for example someone were to submit a petition to the FDA urging such a regulation, the petition would have to be denied because the FDA does not have statutory authority to issue such a regulation. As argued here, the anti-mifepristone plaintiffs lack standing in that case, so one can expect that to be a substantial issue in the subsequent appeal.
Murder Which is the unlawful taking of a life with intent to do so. However, the doctrine of self-defence can make killing lawful: A person may use such force as is reasonable in the circumstances in the prevention of crime, or in effecting or assisting in the lawful arrest of offenders or suspected offenders or of persons unlawfully at large. if the prosecutor is of the opinion that the force used "is reasonable in the circumstances" they may not lay charges. If they do lay charges the judge may decide that there is no case to answer before going to trial if self-defence applies. If there is a trial this will probably be the strategy the defence employs and they may or may not be successful. If convicted the penalty is life imprisonment. Also, there is no UK law: there is the law of England and Wales, the law of Scotland and the law of Northern Ireland.
In the US, only a few states allow conjugal visits by prisoners: California, Connecticut, New York and Washington. Details of implementation for Washington are here (it is called "Extended Family Visiting"). There are various limitations, for example you can't have committed homocide within the last 5 years, you can't be on death row, and so on. Although they don't explicitly say you can have sex, you can, and they have (a small sample of) contraceptive and STD-preventing technology for prisoners to avail themselves of. If you fail to take advantage of contraceptives, then yes it is possible. There is no provision pertaining specifically to mass murder.
In Texas, as in most of the US, the law is "Employment at Will". This means that an employer is free to fire people at any time, for any reason, or none, as long as it is not for one of the few reason forbidden by law, such as racial or age discrimination. Hourly employees are entitled to overtime pay in such cases, but "exempt" employees are not. Nor are they entitled to comp-time as a matter of law, that is at the option of the employer. (The question seems to imply that the employee in question was "exempt" but does not actually say so.) The only really effective recourse against that sort of "death march" is to quit and find a better job, or to threaten to do so while they still need you, unless the conditions return to acceptable ones. I have heard of people in such a situation who "get sick" every day at 5:30pm, because local law forbid requiring ill employees to work. But that is pretty much inviting an arduous and possibly expensive administrative and/or legal battle, and will depend on the specifics of the state/local law. In any case, it is too late for the person in question to try that. On the facts as stated, there might be a valid claim of age discrimination. But additional facts would be needed to establish this, and it would be in my view unwise to try it without consulting a good employment lawyer. Such a lawyer could advise exactly what must be proved and how, and what the probable chances of any recovery would be.
This is interesting because things get extremely different on state and federal levels. Quoting this, Under modern U.S. law, suicide is no longer a crime. Some states, however, classify attempted suicide as a criminal act, but prosecutions are rare, especially when the offender is terminally ill. The "some states" part is much more important than was emphasized there, however. A case that reached the Virginia Supreme Court, Wackwitz v. Roy (referred to in Wikipedia) pivoted about the legality of suicide. From the decision: We are aware of only one legislative enactment that addresses suicide as a crime. Code § 55-4 provides that "[n]o suicide ... shall work a corruption of blood or forfeiture of estate." Thus, although the General Assembly has rescinded the punishment for suicide, it has not decriminalized the act. Suicide, therefore, remains a common law crime in Virginia as it does in a number of other common-law states. See, e.g., Southern Life & Health Ins. Co. v. Wynn, 29 Ala.App. 207, 194 So. 421 (1940); Commonwealth v. Mink, 123 Mass. 422 (1877); State v. Willis, 255 N.C. 473, 121 S.E.2d 854 (1961); State v. Carney, 69 N.J.L. 478, 55 A. 44 (1903); State v. Levelle, 34 S.C. 120, 13 S.E. 319 (1891), overruled on other grounds by State v. Torrence, 406 S.E.2d 315 (S.C.1991). To constitute suicide at common law, however, a person who takes his own life "must be of years of discretion, and in his *865 senses." 5 William Blackstone, Commentaries *189; accord Plunkett v. Supreme Conclave, 105 Va. 643, 646, 55 S.E. 9, 10 (1906) ("`To constitute suicide at common law the person must be of years of discretion and of sound mind.'"). This common law rule comports with a contemporary definition of suicide. Suicide is defined as "the deliberate and intentional destruction of his own life by a person of years of discretion and of sound mind." Webster's Third New International Dictionary 2286 (1981). I believe that the "only one legislative enactment" refers merely to Virginia state law, not nation-wide law. Thus, in Virginia, and other states, suicide could be treated as a common-law crime. However, in United States v. Hudson, it was ruled that such common-law convictions are not allowed at the federal level. I'm not always a fan of Google Answers, but the last one here provides a fairly well-documented section on common-law rulings about suicide. Note that in many states, this is not enforced, as common-law rulings are increasingly rare.
If that person becomes incapacitated or is deemed unfit to make their own decisions, will I be required to be physically present (for example, to sign something) to make those decisions if called upon? While it is customary for someone making decisions as weighty as removal of life support, to come to the hospital or care facility in person and discuss the issues with treating physicians, it isn't required. When you are physically there it is easier for you to personally assess the patient's condition rather than just taking someone else's word for it, and you have more informal access to everything that is going on in terms of people coming in and out of the patient's room, providers you wouldn't have known to speak to initiating conversations with you (e.g. there is typically an ER nurse for each shift, several residents doing rounds checking on a patient, and often also an outside specialist doctor involved in the treatment team). It is also usually easy when you are physically in a hospital to locate someone knowledgable and familiar with the kinds of issues you are facing at the moment to provide spiritual and religious guidance if you feel this would help you make your decision, while your neighborhood clergy person may not have a good understanding of these issues since they don't come up as often for someone is doesn't frequently spend time around people being treated in hospitals or hospices. And, this kind of pastoral counseling requires not just religious knowledge but an understanding of the options that are being presented through the lens of what is religiously and morally important about the differences between the different options. When I was an attorney for a hospital handling these issues for the hospital, we would have been willing to work with an out of state medical power of attorney agent without their physical presence. But, the fact that this was deep in the Rocky Mountains far from other urban areas (i.e. Grand Junction, Colorado) may have influenced a willingness to be flexible since it would often take a lot of time and money for someone to arrive in person. Also, while the medical power of attorney gives a specific person authority to act, an advanced medical directive is simply a document that goes into a patient's medical record that advises treating providers of the patient's intent and doesn't actually need next of kin approval or a medical power of attorney agent's say so to implement, although better practice is to seek that consent first in case there are any reasons why that advanced medical directive might have been procured improperly from someone lacking capacity or subsequently revoked. There usually will be forms for a medical power of attorney agent to sign, not authorizing a particular medical procedure, but authorizing treatment in general and providing personal and financial information about the patient in connection with admitting that person. But, these days, hospitals are relatively comfortable with handling that paperwork via fax or scanned copies sent via email, and some of the more flexible hospitals will even accept photos of signed documents sent via text message.
The answer isn't clear, but Justice Kavanaugh's concurrence in Dobbs suggests that such a prosecution would be unconstitutional: May a State retroactively impose liability or punishment for an abortion that occurred before today’s decision takes effect? In my view, the answer is no based on the Due Process Clause or the Ex Post Facto Clause. Dobbs. v. Jackson Women's Health Org., 597 U. S. ____ (2022). Kavanaguh relied largely on the Supreme Court's decision in Bouie v. City of Columbia, 378 U. S. 347 (1964). There, black protesters were charged for trespass because they staged a sit-in at a diner and refused to leave when police told them to. They argued they couldn't be convicted because the state's trespass statute only prohibited entering land after being told not to, but the courts convicted them anyway, holding that the statute also outlawed remaining on land after being asked to leave, even though the statute said nothing like that. The Supreme Court reversed the convictions, holding that "an unforeseeable judicial enlargement of a criminal statute, applied retroactively, operates precisely like an ex post facto law, such as Art. I, § 10, of the Constitution forbids." By applying such a construction of the statute to affirm their convictions in this case, the State has punished them for conduct that was not criminal at the time they committed it, and hence has violated the requirement of the Due Process Clause that a criminal statute give fair warning of the conduct which it prohibits. Bouie v. City of Columbia, 378 U.S. 347, 350 (1964). But Kavanaugh's opinion isn't controlling, and Bouie isn't exactly on point, so the question remains open. The defendant probably has the more straightforward argument -- the abortion was legal up until Dobbs was decided -- but there's a pretty good argument for the state, as well: When Roe was still good law, abortion law was quite fuzzy, so it was never entirely clear whether new restrictions on abortion were or were not unconstitutional. Given those conditions, the state laws outlawing abortions were clear enough to provide fair warining, even if there were legitimate questions as to the constitutionality of those laws; if a woman wanted to do something contrary to the law, she should have petitioned the courts to invalidate it, rather than simply breaking it. So there's no real way to say what the answer is at this point, but I suspect we'll get a real answer before too long.
How is polygamy legally practiced in the United States of America Let's say in this hypothetical scenario a man wanted to be married to multiple different women in the United States in the State of Tennessee. Would it be legal for the man to have a marriage license with his first wife and then have private religious wedding ceremonies for the other women but not have a marriage licenses with them? How is this situation handled when they all file taxes?
A person A who knows that he or she is lawfully married (to B), but conceals this and deceives a third person (C) into thinking that A is not married, and thus induces C to go through the form of marriage with A commits bigamy and in most states, fraud. C would be classed as a "putative spouse", that is as a person who believed in good faith that s/he was lawfully married. A putative spouse gets some of the rights of marriage until the facts become known. The rest of this answer assumes that all parties know what is happening, and that no deception is involved. No US state currently allows a person to be legally married to more than one other person at the same time. States do not normally restrict what private religious ceremonies people may choose to have. Indeed under the First Amendment's "Free Exercise" clause the possible scope of any such regulation is very limited. However, as far as the government (state or federal) is concerned, a person has only one legal spouse at a time. A person should not describe himself or herself as being currently married to more than one other person to any government official or agency. No private religious ceremony will give the third person involved any of the legal rights of marriage. A person attempting to obtain a marriage license or go through a public marriage ceremony while already married to another person my be committing the crime of bigamy. Bigamy is not often prosecuted as a matter of policy, unless a deceived spouse complains. But that is a matter of prosecutorial discretion, not of law. Under § 39-15-301 of the Tennessee Code subsection (a)(1) or (a)(2), a person who "purports to marry or be married to" another person knowing that at least one of the parties is already lawfully married commits bigamy. This applies if the purported marriage would have been lawful had neither party been in an existing marriage. Going though a marriage to a second spouse with a (falsely obtained) license would violate 39-15-301. A private religious ceremony that did not claim to be a legal secular marriage probably would not, but I cannot be sure of that. For federal income tax purposes, two people who are legally married should choose either "married, filing jointly" or "married, filing separately" There is no option to file as a three-person marriage, and an attempt to so file will probably cause the return to be rejected, and may cause other problems. (Filing a "frivolous return" is subject to a significant monetary penalty.) A third person who is part of the same household would presumably file as "single". Other tax filings will be handled similarly.
As cited by @xuhdev, discrimination on the basis of marital status is prohibited in Colorado. And, even though age is not on the list, the couple could claim that you discriminate them based on their marital status, whether current or would-be, and whether related to their age or not. Note that the reason why you discriminate is irrelevant: whether you do it by calling on your religious freedom or without giving any reasons at all does not make any difference. Holding religious beliefs is by no means a lawful excuse for discrimination, no matter how deeply they are held.
In many countries (for instance, the US), churches and mosques are private property. In general, the owner of private property can throw anyone off their property; claiming you're doing an extensive period of praying doesn't matter, because they are under no obligation to let people stay as long as needed to pray (they can kick someone off the property for just about any reason). If there's a contract in play things are different, but contracts aren't in play in this situation. That said, nothing stops the church or mosque from letting the homeless stay there; this is actually not that uncommon (charity being a fairly common religious virtue).
As someone with ties to the "foreign" community in the United States, I see these "marriages of convenience" from time to time. In their most "legitimate" form, the couple will move to the same address and "technically" live together, but without consummating the marriage so that it can later be legally annulled. American immigration authorities counter this by asking each spouse about the other's underwear (literally!). Some "marriages of convenience" are legal, insofar as they technically conform to the marriage documents, e.g. regarding "co habitation," even while violating the spirit of the law. Others don't. Your best chance of attacking such "marriages" is not regarding the marriage itself (basically only the couple can decide what constitutes a valid marriage), but rather "compliance" with the marriage documents. That's something any law enforcement officer can understand.
Let's look at what they say: Pennsylvania does not have any statutory laws governing assisted reproductive technology. True Pennsylvania’s laws regarding sperm donors come only from case law that are specific to the facts of the case being considered by the court. True and trivial given the previous sentence. Pennsylvania courts have found sperm donor contracts to be legally enforceable. True, that's what Ferguson v McKiernan says in the first paragraph of the decision. Your statement that "PA case law falls strongly on the side of not respecting donor contracts" is, at least as far as the case you cite, flatly wrong. In other cases, the contract may or may not be enforcable indeed the court agrees with this specifically: Although locating future cases on this spectrum may call upon courts to draw very fine lines, courts are no strangers to such tasks, and the instant case, which we must resolve, is not nearly so difficult. This also directly supports the previous sentence. Therefore, even if you go through a fertility clinic, a contract between the donor and the intended parents would need to be in place before the conception. True, this is exactly what Ferguson v McKiernan says. You assert that Ferguson v McKiernan says "donation through a clinic does not make a sperm donor the legal father", however, it doesn't say that at all. The status of the doner as the father was never an issue - both parties agreed that he was the biological father and the court accepted that. What was at issue is if he had the rights and obligations of a father that had been removed by the contract. The lower courts held that the contract was unenforcable as being contrary to public policy because it removed rights from the children who were not parties to the contract. However, the State Supreme Court held that the contract was enforcable. TL;DR What they say on their website is not misleading.
Civil registration of births, marriages and deaths in the United Kingdom is a nineteenth-century innovation, based on the previous practice of keeping parish records of baptisms, marriages, and burials. The history is different but parallel in England (and Wales) and Scotland. What the churches were originally trying to do was to record information about their own ceremonies, because there are religious consequences to being baptized, married, etc. Civil law follows: you might have to prove in court that you were validly married to such-and-such a person, now deceased, and therefore had the right to live in his home as his widow. The parish system, because of its general utility, was regulated by legislation. In England, it was made mandatory in all parishes in the middle of the sixteenth century (although in practice, this happened at different rates in different places). Legislation in the following centuries covered the manner of keeping records, penalties for non-compliance, and fees for registration. For example, by the late seventeenth century you would have to pay sixpence to register the birth of each child, and a massive 40 shillings if you failed to do so within five days of the event. Registration also served as a device to give nonconformists an incentive to join the established churches, as there was no secular way to prove age, and few ways to marry. With liberalisation of religious strictures in the nineteenth century, the civil system began in England and Wales in 1837, and in Scotland in 1855. Under the Acts (6 Will 4 c.33, 17&18 Vict c.80), records were kept by governmental authority, with no religious qualification required. This was helpful for non-Anglicans or non-Presbyterians wanting to live their lives, and helpful for the government for having a more complete set of records for the population in general. Currently, registration of births is free, but there are various penalties for not doing it in time, and it costs money to get copies of birth certificates. The fees are not based on any estimate of lifelong earning power or anything of the kind. There was a very brief period (1695 to 1706) where in order to fund a war with France, the government levied a variable rate tax on parish register entries. The rates depended on the degree of the person registered. It was abolished due to its considerable unpopularity, also resulting in low rates of compliance and therefore revenue gained. The law, An Act for granting to his Majesty certaine rates and duties upon Marriages Births and Burials and upon Batchelors and Widowers for the terme of Five yeares for carrying on the Warr against France with Vigour, 6&7 Wm&Mary c.6, now called the "Duties on Marriages, etc. Act 1694", set out the following for births: Paupers: Free Most people: Two shillings Aristocrats: Between twelve and thirty pounds depending on rank, and with a surcharge for the eldest son, in addition to the two shillings. Baronets, knights, lawyers, academics, gentlemen and senior clergy: Between one and five pounds, plus the two shillings. Anyone not included in the above but who is rich: Twelve shillings. Similar fees were charged for marriages and so on. I believe this is the only time in UK law when there were differential fees for registration depending on the status of the parents. The scale was presumably based on the idea that wealthier people could afford to pay more. There were no legal consequences for the child as a result of the different fee paid, except insofar as they would be disadvantaged later in life if they were not properly registered. The law was repealed and the "Warr against France" has also been over for a long time. As usual, the "sovereign citizen" conception is completely bogus. There is not, and has never been, any notion of a birth certificate being a financial instrument. The confusion may be due to the word instrument being used for lots of different kinds of official documents, as well as a general boneheadedness about how the law works. A birth certificate is a convenient way to prove the circumstances of your birth, and for the government to collect statistics. Indeed, a paper copy of a certificate is just a way to make the management simpler - you can get many copies or none, at your option - since it saves effort compared to inspecting the centralised registers themselves.
There's nothing that makes it illegal to ask others to give you money to donate to a third party. But if you want to say you're fundraising on behalf of another organization, obviously you need its permission. And if you want contributions to be considered charitable for tax purposes, and you want to make sure you don't wind up paying taxes on contributions "sent to" you but then passed on, then you may need to start worrying about a separate entity. It would be more straightforward to offer to create, host and administer the website for the church, with it receiving the contributions directly.
If you cannot legally purchase a gun in Utah due to any restriction, such as residency, and you engage someone else to knowingly buy or gift you a gun (such as a "straw man" purchase from a dealer or private sale), that is illegal. From the same link you posted (my emphasis): Can I buy a firearm as a gift for someone? Yes, as long as the receiver is not a prohibited person and the gifting is not being used to circumvent a background check or other laws. Calling a purchase intended in place of another is a straw purchase.
What is the source for calling the panel in the JCPC 'the Board'? For a long continuous line of case law, the panel deciding a case (or rendering advice to Her Majesty as to how to dispose of the case, technically) in the Judicial Committee of the Privy Council has referred to itself as 'the Board'. Yet, this word does not appear anywhere in the 1833 Act, or, so far as I know, in subsequent legislation. What is the source for this term for the deciding judges of the JCPC?
The justices of the JCPC are mostly the same people as for the UK Supreme Court (formerly the Judicial Committee of the House of Lords) but legislation directs certain appeals to the JCPC rather than the UKSC where there are constitutional sensitivities which mean that the court needs to be seen as separate from the UK - most obviously appeals from courts outside the UK. There are a number of ways in which the JCPC tries to be different so as to bring home to people that it is not a UK court pure and simple but something else with a close connection to Her Majesty the Queen. These include: The fact that JCPC is part of the Privy Council. The fact that the JCPC does not technically make "judgments" but rather reports its opinion to the Queen - legal effect the same but it has a different constitutional "feel" for a territory over which the Queen rules but which is not part of the UK. keeping the UKPC out of the Parliamentary buildings. The UKPC and UKSC now now share a newly refurbishing building on the other side of the green from Parliament but before the UKSC was created hearings of the Judicial Committee of the House of Lords were held in a committee room in Parliament but UKPC hearings were never held there - they were held in Downing Street outside the UK Parliamentary buildings. I suspect - and this is just a guess on my part - that referring to the JCPC panel of justices as the "board" rather than as the panel is just another one of the things done to give it a different feel fromr UKSC.
I'll be referencing the "Minutes of proceedings of the Colonial Conference, 1907" throughout (600+ pg. PDF). The page numbers refer to the ones printed on the page instead of any software page number. It seems that @owjburnham's comment is essentially correct, it is mainly a shift in terminology. It came from a desire to further distinguish self-governing from non-self-governing colonies (or "Crown Colonies" as the official term seems to have been). As such, "Dominion" came to be (re)defined as "self-governing colony." During the 1907 Colonial Conference, Prime Minister Sir Joseph Ward of New Zealand opined the following [pg. 30-31]: I think the term "Colony," so far as our countries are concerned, ought to cease, and that that term ought to apply to the Crown Colonies purely, and that those of us who are not at present known as Dominions or Commonwealths, should be known as States of the Empire, or some other expressive word, so as to make a distinction as between the Crown Colonies and the self-governing Dependencies. He also stated the following [pg. 48]: I assume that in this resolution New Zealand, now known by the term "Colony," will be included in the expression "Dominion," which I think it ought to be. Awkwardly, this was right at the end of the day and no one reacted to this statement as the conference adjourned. As the participants were deciding upon the structure and participants of subsequent conferences, there is a lengthy discussion of the exact term to be used to refer to the self-governing colonies [pg. 78-90]. Near its conclusion, the chairman states the following [pg. 89]: We agreed [...] that instead of the word "Colonies" we should use the word "Dominions;" but is it sufficiently defined if we use the word "Dominions" alone throughout? [...] I would suggest that we might take what is really the official term "the Dominions beyond the seas" in the first place where it occurs [...] and any other reference to it in the course of the Resolution might very well be "Dominions." That would make it absolutely clear what we mean by the expression in the first place. Thus, the conference opted for an implicit rather than explicit definition of "Dominion". The designation of Newfoundland as a Dominion in 1907 is just a reconciliation of the fact it was a self-governing colony and the new understanding that the word "Dominion" was to mean roughly that. There was no effective change of status. An explicit definition of "Dominion" would not come until the Balfour Declaration of 1926. Ironically, Newfoundland played no role in deciding the term to be used for itself as its Prime Minister only arrived on Day 4 of the conference [pg. 87].
The Howard League for Penal Reform, who I presume are well informed about the subject, issued a press release including the following: “There remains the problem of people who have had the criminal courts charge imposed on them, many of whom will simply not be able to pay. We call on magistrates to exercise compassion and common sense when these unfortunate people are returned to court.” So the answer is yes, unless they can convince a magistrate that the charge is unaffordable when they get hauled back to court for non-payment. As the abolition of the charge was done by secondary legislation, I doubt there would be powers to act retroactively, even if this was thought desirable.
The President can nominate whomever he wants; the "advice" is formally post-nomination advice (the motion to confirm appointments is a motion "to advise and consent to" the nomination). In any event, "advice" is by definition non-binding; that's why it's not a command. However, the Senate must consent to the appointment before the officer assumes the office, so pre-nomination advice is relevant. For some nominations (like district judges), the Senators from that state can effectively sink a nomination if they're from the same party as the President and don't like the nominee; that can result in the Senators picking a short list of candidates and the President just picking someone on the list (or asking for a new list, but if he just nominates someone not on the list there's a fair chance they don't get confirmed). The Senate could decide that they will only confirm one particular person for the post. The President can nominate someone different. That's a political fight to be solved by gamesmanship and negotiation, not something that has a legal resolution.
There is a firm difference between giving advice on "what the best decision is likely to be" and "what decision to make". The former is what lawyers must do, which comes from: Conduct and Client Care Rules: Whatever legal services your lawyer is providing, he or she must— discuss with you your objectives and how they should best be achieved: give you clear information and advice: Lawyers and Conveyancers Act 2006: legal work includes— advice in relation to any legal or equitable rights or obligations: So, there is nothing in the law that requires lawyers to advise you on "what decision to make". Instead, they explain to you the range of possible decisions and what ramifications / implications / consequences they have. They won't make the choice for you — it's always yours. Is it legally correct that a lawyer is not permitted to provide advice on what decision to make It is not strictly true that a lawyer "is not permitted". Rather, they are not obliged to do so. And they have a damn good reason not to: there is a huge difference between being responsible for legal facts based on which you make decisions, and being responsible for decisions themselves.
When a judge decides a case there will be An order - e.g. "Smith shall pay Jones £100,000" Reasons for the decision - i.e. a description of the evidence, and the judge's findings of fact and legal reasoning. Sometimes a party, even though they have completely won, is nevertheless aggrieved by some things the judge has said in the Reasons (or in the way the judge has handled the trial - e.g. the judge's interventions). For example the judge may have said that the winning party was not a credible witness but they nevertheless won because of the evidence of other witnesses who were found to be credible. The rule in England and Wales is that you can only appeal orders. So if the order is completely in your favour you cannot appeal just because you don't like the reasons.
How to refer to Supreme Court cases by just one name In general, subsequent references to a decision can be the first name in the caption of that case. As an example, you will notice that in the decision Rucho v. Common Cause, 139 S.Ct. 2484 (2019) the court makes an initial reference to Gill v. Whitford (at 2492), and thereafter most of the references to that decision are simply Gill (see, for instance, at 2498, 2501, 2507). Nate Elredge makes a good point in that there are exceptions. Where the general rule may result ambiguous, another main party in the caption would be mentioned. Using Nate's example of United States v. Nixon, the court's subsequent references to that case in Calley v. Callaway, 382 F.Supp. 650 (1974) is Nixon. There might be other, harder to find, instances where ambiguity persists. For instance, several unrelated decisions issued by the same court might involve the exact same parties. In those scenarios only the suffix (that is, the numbers following the caption) would distinguish among decisions.
Basically: what Flup said in his last paragraph (and so upvoted accordingly). Every one of the practitioners you named has an undergraduate degree from the UK, and an undergraduate degree from Canada. This, presumably, is because you're not permitted to practise law in most jurisdictions unless you have some kind of qualification in the law of that particular jurisdiction. The laws of each country, and moreover, the way in which cases are decided and in which each country's legal system works, varies so tremendously that you need to study the particulars for each jurisdiction before you can practice there. Regarding Canada: from this site: You must complete a Bachelor of Laws (L.L.B.) program or Juris Doctor (J.D.) program in order to qualify for bar membership in any Canadian province or territory. This generally takes three years to complete. In England and Wales, you can now take a law conversion course in place of an undergraduate law degree as a first stage towards being qualified. I suspect, however, looking at the dates of the judges you list, that the law conversion course wasn't an option at the time they got their qualifications, so their only option was a full undergraduate course. So the answer is: they each have two undergraduate qualifications, one from each jurisdiction, so that they could qualify to practise law in both jurisdictions.
Where can I go to find data on how many people were charged / convicted under a particular statute? If I have a specific Federal Code and I want to find a rough estimate of (1) how many people were charged with breaking that specific law, and (2) how many people were convicted under that specific law, where can I go to find those figures? Any help is appreciated.
The administrative arm of the judicial branch of the federal government publishes regular reports on criminal case loads here. For example, the statistics on criminal cases filed by offenses through December 31, 2021 can be found here. And the statistics on criminal cases terminated by offense and type of disposition can be found here. These tables break the offenses handled in the federal court system down into about 100 categories and are available for geographic subregions of the U.S. (particular district courts and particular court of appeals circuits). This is reasonably specific in a system than handles about 57,000 criminal defendants in a typical year. The federal bureau of prisons likewise published regular statistics on who is detained for which offenses. The U.S. Sentencing Commission also issues some relevant and useful reports with information not available elsewhere. For example, there is a report summarizing sentencing data in the 10th Circuit of the U.S. Courts of Appeals for 2021 that breaks offenses down into 30 categories with data on the number of offenders charged, the number of plea or go to trial for each of these 30 categories, the type of sentence imposed (e.g. probation, fine, prison), mean and median sentence lengths, and other data. Many state court systems likewise published annual reports regarding their case loads, and many state corrections departments likewise publish regular reports regarding inmates serving sentences for crimes. The information that is available is not generally as granular as a specific criminal statute. At the federal court level, offenses charged and tried are broken down into about 100 categories, with selective more finely detailed break out detail in some reports, and the federal bureau of prisons data is less fine grained than that. Some U.S. Sentencing Commission data is more specific, some is less specific. Every once and while, usually for purposes of estimating the budget impact of proposed legislation, researchers, especially in the Congressional Research Service, the House and Senate Judiciary Committees, the relevant appropriations committees of each house of Congress, the Congressional Budget Office, or the Office of Management and Budget in the White House office, will contact administrators in the relevant federal agencies and get more fine grained data which is necessary for more accurate estimates for legislative purposes and is released in reports that they issue related to that legislation. But that is piecemeal and is not available comprehensively. Sometimes academics and journalists and political action oriented interest groups and think tanks also estimate these numbers in academic journal articles, either with this kind of insider data or with a representative sample of cases (sometimes obtained with a Freedom of Information Act request). Every once and a while, you will see some relevant statistics in a U.S. Supreme Court amicus brief.
Considering that the US legal system is more or less similar in practice to the English Courts, yes it is possible to plea bargian a deal. I'm linking to the wikipedia article on the matter with a specific link to the England and Wales for guidence. Normally, I'd explain, but I'm an American and the differences between Magistrate and Crown courts are big enough differences that I can't tell you what the differences in the case is. I should point out this is a legal area where America differences with much of the world. 90% of the United States criminal cases (and a good number of civil cases, which are settled privately before discovery phase) are plea bargained to lesser sentences. Additionally remorse has nothing to do with the plea bargain. You might only be sorry that you got caught breaking the law and can still plea. The lighter sentence is sort of a "thank you" for saving the state money in not having to build their case against you. It is also used to coerce cooperation with the police, as they may have the accused dead to rights and can prosecute him successfully, but he's a little fish who can give intel to a big fish (this usually comes with the caveat of it being a sworn statement, so they can still prosecute you for something if you're lying... OR that the deal holds on condition that everything is factually true. If evidence contradicts you, you're charged as if you never made a deal). It's also important to note that the police will not honor their deals made for your confession... but they will offer you deals (In the United States, police are allowed to lie to you and do it all the time). However, the prosecutor will honor their deals. Another thing to be aware of is that a prosecutor who offers a plea could be doing so because they have a weak case. If you are absolutely sure the prosecutor has the wrong guy, it may be to your benefit to go to trial and have them prove it. Innocent people do go to jail all the time because they think there is something worse on them than the plea deal and its hard to fight off as you cannot appeal a plea deal as easily as a court conviction. Finally, most jurisdictions allow the judge final say at sentencing, so if the prosecutor does honor the deal and advises the sentence, don't get upset if the judge is tougher and gives you a harsher sentence on the crime, or rejects your plea outright (expect him to scold the prosecutor for wasting his time with a horrible deal, too. Watch the Law and Order SVU episode Raw for a particularly wonderful instance of this rare event occurring). As a part of US federalism, the rules about this change from jurisdiction to jurisdiction, so make sure you understand this. Another thing to be aware of is that a prosecutor who offers a plea could be doing so because they have a weak case. If you are absolutely sure the prosecutor has the wrong guy, it may be to your benefit to go to trial and have them prove it. Innocent people do go to jail all the time because they think there is something worse on them than the plea deal and its hard to fight off as you cannot appeal a plea deal as easily as a court conviction. I would definitely do some leg work into the English Legal system's opinions on plea bargains. Just because they have it does not mean the state lawyers like employing it and many jurisdictions see it as full on corruption in other parts of the world, even the Common Law jurisdictions.
In the US, it depends on the jurisdiction because each state has its own homicide statutes: but, the defining elements don't differ a lot. Drawing on Washington state law, the first question is whether you intended to kill a person (it doesn't have to be a specific person). If you did, you have committed first-degree murder. It is first-degree murder, because it requires a certain amount of advance planning to kill with a drone. It does not matter that the drone houses the gun that killed the person and a program determines when the gun fires (the "it was the drone, not me" defense gets you nowhere: otherwise, you could always claim "It wasn't me, it was my gun / knife / fist".) If instead this is a badly-designed pig-slaughtering drone, then it could be manslaughter in the first degree, if the act was reckless, or manslaughter in the second degree, if the act was with criminal negligence. To determine which it is, you look at the definitions: A person is reckless or acts recklessly when he or she knows of and disregards a substantial risk that a wrongful act may occur and his or her disregard of such substantial risk is a gross deviation from conduct that a reasonable person would exercise in the same situation. versus A person is criminally negligent or acts with criminal negligence when he or she fails to be aware of a substantial risk that a wrongful act may occur and his or her failure to be aware of such substantial risk constitutes a gross deviation from the standard of care that a reasonable person would exercise in the same situation. So it would depend on whether you decided that safeguards which would prevent shooting people were too much bother (you know there is a risk and set aside that concern), or it didn't occur to you that a flying gun might hurt a person.
I see lots of possible issues here, including: Will the Apprendi decision be given retroactive effect? Were the constitutional issues raised at the time of trial, and if not will a court permit them to be raised later? Will a court agree with the law review publication? Will the facts in your case be sufficiently similar to the cited case? Beyond those, in a section 1983 suit many public employees have qualified immunity unless the legal point was already "well established" when the violation occurred. To pursue this you will need to work with a lawyer skilled in this area. No one on this forum can possibly given you a reliable answer as to whether you have a reasonable case.
You have asked about "United Kingdom", but I can only answer about England and Wales; the law in Scotland is very different (rather more different in some respects than the difference between E&W and the State of New York). There is no time limit per se on manslaughter charges; if the police find evidence for a manslaughter charge after 80 years, there is no difficulty (in principle) in bringing a charge against the now-centenarian (provided they are competent to stand trial, and they can get a fair trial, and so on). However, in the case you mentioned I would have thought the major problem would be a defence of autrefois convict - in other words, the defendant can (usually) only be charged once with charges arising from a particular set of facts. It is just possible that the subsequent death constitutes a new fact which allows a new prosecution. On the other hand, the rule for murder used to be that if the victim survived a year and a day then it wasn't murder (even if they then died of their injuries). Finally, the case certainly would not be reopened with a charge of manslaughter. It would be "causing death by dangerous driving", which is a very different offence. Edit My thanks to ohwilleke whose comment about the "year and a day" rule prompted me to do a little research, and discover the Law Reform (Year and a Day Rule) Act 1996. Section 2(2) clearly covers the present case (in both legs), and says that the perpetrator can be re-prosecuted, but only with the permission of the Attorney General. The act is very brief, and I encourage you to read it all. (And incidentally, does not apply to Scotland.)
The Constitution does not define any crimes (except for an explicit limit on what can be considered 'treason.') It places limits on what penalties the government may apply for crimes and how crimes are tried in court, but it does not itself actually create any criminal offenses. Rather, state and federal law do that. Having said that, if a state government creates a crime of murder (which, obviously, they all do,) the Equal Protection Clause of the 14th Amendment does require that that law protect all people within the jurisdiction of that state. That is, a state cannot make a law criminalizing the murder of a white person, but not of a black person, for example. States can't just pick and choose who is protected by their laws. It would not violate the U.S. Constitution if a state completely decriminalized murder, though. It's exceptionally unlikely to happen, but it would not be a violation of the Constitution. Depending on exactly what you mean by 'murder,' it could be argued that murder by the government is unconstitutional, though. The 14th Amendment bans states from depriving anyone of life without due process of law: No state shall make or enforce any law which shall abridge the privileges or immunities of citizens of the United States; nor shall any state deprive any person of life, liberty, or property, without due process of law; nor deny to any person within its jurisdiction the equal protection of the laws. Similarly, the 5th Amendment provides an equivalent protection from the federal government: No person... shall be compelled in any criminal case to be a witness against himself, nor be deprived of life, liberty, or property, without due process of law
The officers could incur liability under 28 U.S.C. 2680 (h) with jurisdiction under 28 U.S.C. 1346 (b). This would probably be considered "loss of property" or a "wrongful act". It is very rare for cases to go forward for this because of the costs of litigation against an officer. "[I]t is well recognized that ‘officers executing search warrants on occasion must damage property in order to perform their duty.’" Cody v. Mello, 59 F.3d 13, 16 (2d Cir. 1995) (quoting Dalia v. United States, 441 U.S. 238, 258 (1979)). “Before any due process liability can be imposed for property damage occurring in a lawful search, it must be established that the police acted unreasonably or maliciously in bringing about the damage.” Cody, 59 F.3d at 16. That actually means that the burden of proof is on the victim to show unreasonableness / maliciousness. It would probably be easier if the thing destroyed could not possibly have contained the item looked for. For instance, if they are looking for a 65" LED TV, they can't even look in a 64" dresser (or something smaller than the object that could not physically hold the object). This issue becomes moot when dealing with drugs.
If I did punch him , would that be okay? No, that would be Assault and Battery. If you did him serious injury you could face a charge of Grievous Bodily Harm. If you killed him, that would be murder. If you are in the UK, Canada or Australia and you were charged with murder you could claim provocation in an attempt to have the charge reduced to Voluntary Manslaughter. If you were in the US you could attempt to argue "extreme emotional or mental distress" if you are in a state that has adopted the Model Penal Code for any of the charges; if successful your sentence would be reduced. I saw people punch one another over this in movies. And I saw aliens invading the Earth in the movies - what happens in the movies if not necessarily true. Kissing my wife is adultery right? No, extramarital sex is adultery. Notwithstanding, adultery is not illegal in common-law countries. I'm pissed and don't know what to do? I sympathise with you but this is not a legal question. Whatever is going on between you, your wife and your neighbour is a social situation; not a legal one.
Why, in the JIT's opinion, was it murder to mistakingly shoot down the Malaysian plane over Ukraine in 2014? If the court adjudicated that they didn't shoot the MH17 plane on purpose (they thought, mistakenly, that it was a Ukrainian military aircraft), why did it find the defendants guilty of murder as opposed to something else (negligent homicide or whatever)?
Because they were reckless, not negligent They didn’t make a mistake about the identity of the plane; they shot it down when they didn’t know what it was. That’s murder.
Probably moot considering how much time has passed but here goes. California 22349(a) states that no person may drive upon a highway at speeds of greater than 65 mph. So if you're going to be convicted under 22349(a), it doesn't matter if you're going 80 or 90. The charge is that you were doing greater than 65. The judge found you were going 90. 90 > 65. Conviction secured. The only sticky part is if the judge charged you the extra $150 because he alleges you went 90 instead of 80. You could appeal that, since even the officer argues you went 80, but since the officer testified that his radar clocked you at 90, you'd probably lose, especially since the officer's rationale for writing 80 was, by his testimony, your alleged admission at the scene, and you at the scene would have reason to downplay your speed. TL;DR: Yes, the judge, as the trier of fact, can do that. Something came out during the trial (radar at 90) that contradicted the ticket (80) so the trier of fact (the judge) resolved this by going with the radar. You might have been able to get out of it, if you asked the officer why he didn't write 90 when that's what the radar read. There was a reason the officer didn't trust that radar, and if he articulated it, then the judge would likely have stuck with 80.
In the USA, you must be found guilty "beyond reasonable doubt". As you describe it, I'd say there is an unreasonable suspicion of guilt, not guilt beyond reasonable doubt. If the magician killed three people that way, then three unexplainable deaths following three spells might get him convicted. A jury might say that even though there is no way to explain how the killing worked, the correlation might be enough to prove guilt beyond reasonable doubt.
The state argued, and the jury was convinced, that Mr. Holle turned over his keys specifically intending to facilitate the robbery. They necessarily found that Mr. Holle was not telling the truth when he said he thought it was all a joke. I don't know what evidence they had to demonstrate that, but I could imagine that there was testimony indicating Mr. Holle knew that these people had engaged in similar acts before, that the group spoke of the plan with a level of specificity that made him aware they were not joking, or that he saw them taking other steps to prepare that let him know they were planning a crime. It doesn't matter if he wasn't renting the vehicle or didn't have an agreement to divide the spoils. The question of "why" he facilitated the crime is technically irrelevant to the legal question of whether he facilitated the crime. Nonetheless, I could imagine several reasons why he would have lent his car: he wanted to ingratiate himself with this group, he was bullied into doing it, he believed he would get some of the pot they stole, he didn't like the target, and so on. The fact that he was risking prison time is a uniquely poor argument that he didn't know what he was doing. The risk of punishment is always present for committing a crime, and yet we know that people commit crimes all day, every day. Why do they do it? Probably a good question for psychology.SE.
The most important rule for an extradition from Germany is this: If the role of the countries were reversed, would the person be convicted in Germany according to German law? You say the link claims that he couldn't be convicted now, because he would have been convicted twice for the same crime. So he wouldn't be convicted in Germany if the roles of the countries were reversed, therefore no extradition. (The next important rule is this: There must be enough evidence that the person would be prosecuted in Germany, not necessarily convicted. You also need to convince the court that the accused will get a fair trial when extradited, that there will be no cruel or unusual punishment, including death sentence, and lastly there is no extradition for small crimes when the extradition plus having to appear in a foreign court can be considered worse punishment than the actual punishment for the crime. All these irrelevant in this case, I think). "Auslieferung unstatthaft" just means "extradition inadmissible" or "extradition illegal". PS. Ludl asked "shouldn't there be some law that if someone cannot be extradited from Germany because of extradition law, they can still be prosecuted in Germany". That would be completely unnecessary. Let's say one US citizen murders another one in Germany, the USA asks for extradition (they wouldn't, because it is a German matter, but they could ask of course), and Germany rightfully refuses. Then since it is a murder on German ground, it will be prosecuted in Germany. It would be absurd to think that a failed extradition request could protect a murderer.
Like this Let's assume that the perpetrator is a California based company. The Brazilian government initiates a prosecution in Brazil. It follows its proper course and the company is convicted and the judge orders a fine of, say 5 million Real. The Brazilian government takes this judgment to a Californian court who determines that the case was conducted correctly under Brazilian law. This would be a judicial review and not a retrial on the issues. Further, they would check that the matter was not in conflict with ant treaty between the US & Brazil about such matters. If the Californian court is satisfied that this was done correctly, it issues a judgment for the same amount in USD. The Brazillian government then collects against that debt using all the normal methods in California. Refusal by the company to pay will now be contempt of court in California. Virtually every country in the world reciprocally enforces judgements for other nations. By the way, there is no extraterritoriality in the offence: the offence was committed in Brazil and prosecuted in Brazil, the enforcement is under US law in California.
Point three should include "to the best of my knowledge and belief", or be modified to state that none of those "house or the adjacent shop" have informed the affiant of any such delivery, or delivered any such package to the affiant. It might add that the affiant had questioned such persons and they denied receiving such a delivery. The point here, of course, is to prove that the package was never properly delivered, no doubt in support of a claim on the delivery service. The ordinary assumption is that if a person in the "house or the adjacent shop" had accepted a package, it would normally have been given to the addressee at an early opportunity.
There is a potentially infinite regress of questions regarding the constitutionality of restrictions imposed under these "emergency" circumstances. The basic legal principle is clearly established: laws restricting fundamental rights are subject to strict scrutiny. The specific details of a particular law and surrounding circumstances have yet to be discovered by the courts. If it is necessary to the purpose of saving lives that meetings of more than 10 people be prohibited, then the "compelling interest" test probably has been satisfied. That is basically a medical question, and the courts have a limited interest in scientific controversies, instead they are interested in whether people who make legal decisions do so rationally (is it reasonable to think that such limits would accomplish that compelling government end). Is it reasonable to think that restrictions lasting two months are necessary? The Black Death lasted at least 4 years. In the current circumstances (very limited hard knowledge this disease), it's hard to say what government actions could not be excused based on necessity. Summary execution is, at least in the current knowledge context, probably not going to pass strict scrutiny. As already explained in other thread on the topic, there is no "churches are above the law" constitutional provision. The appropriate question in the Florida case is not about the First Amendment, it is about the Due Process clauses – is the arrest lawful? We will, no doubt, see. On the face of it, he violated the law, so he can be arrested. I understand that there is a team poking holes in the order.
How to discover/be aware of changes in law that might affect oneself personally? I just stumbled upon this article, where it talks about a recent law change: Norway banned Russian citizens or companies from flying drones or other aircraft in the country on 28 February I can easily imagine that, while vacationing in Norway, I could hand off the remote control for a small DJI drone to my wife (who is a Russian citizen) unaware that this would be against the law. Similarly, I discovered one month ago (while using an ATM in an European airport, which was displaying a notice) about EU regulation No 833/2014, Article 5 i (amendment of 15th March 2022) It shall be prohibited to sell, supply, transfer or export banknotes denominated in any official currency of a Member State to Russia or to any natural or legal person, entity or body in Russia, including the government and the Central Bank of Russia, or for use in Russia. The prohibition in paragraph 1 shall not apply to the sale, supply, transfer or export of banknotes denominated in any official currency of a Member State provided that such sale, supply, transfer or export is necessary for: (a) the personal use of natural persons travelling to Russia or members of their immediate families travelling with them Similarly, when I travelled to Russia recently (after 15th March, but before I discovered the above regulation) to meet my in-laws, I of course brought a little bit of cash with me. It was not the currency of an EU member state, and even if it was it would've been permitted for personal use... but I feel uncomfortable having inadvertently brushed so close to the boundary between what's permitted and what's outlawed. With the flurry of new regulations introduced since the Russian invasion, I suspect that there might be a lot more that I'm not aware of. The concerns of (new) laws that affect us personally without us knowing about them it's a generic one, and I know that "Ignorance of the Law is No Excuse". Usually the concern is about new emergency regulations which affect large swaths of the population, but here I think that the issue is for laws (or interpretation thereof) that affects some obscure circumstances. Due to the relatively small population of Russian citizens in the European Union (EU), and due to the extremely small amount of travellers visiting Russia from the EU, I understand that regulations that affects only those in these circumstances are not be advertised as much as for other laws, but this does not answer the question... how to mitigate risks in accidentally breaching recently introduced new regulations? How to be aware of all of them? I'm interested in answers relevant for any place in the world, but especially EU/EEA and neighboring countries (UK, Switzerland, etc.)
The short answer is that, as a practical matter, you can't be aware of every change in the law that could conceivably affect you. Even lawyers don't have enough time to keep up with every change in the law until after a specific legal issue presents itself. Firms selling legal research products have scores and hundreds of employees working full time every day to keep track of every change in the law, to the exclusion of all other working time in their lives. You can read the mainstream media and trade publications in fields in which you are engaged which often address these questions. You can take continuing education courses in your occupation or profession. You can confer with a lawyer before taking action in areas where you aren't familiar with the law. You can proceed with caution when you do something that everyone else you know of who is similarly situated is not doing. You can pay special attention to the news and government provided information during periods of major emergencies. But, the rule that ignorance of the law is no excuse is sometimes simply harsh and unfair. Nonetheless, this rule is the law with respect to most kinds of laws in most legal systems. As a practical matter, law enforcement authorities and courts will often show leniency towards someone who innocently violates a new law of which they were unaware, at least the first time, sometimes letting them off with a warning or a minimal penalty. But you have no legal right to that kind of treatment.
According to the information I was able to find, every zone, country, or even states, have their own taxation rules for sales made there. Correct. Well, in no way it's possible that small companies or individuals that sell products internationally deal with tax rules for each buyer, that would be a non-sense, and paying such taxes worldwide would be a nightmare not worth having a small business at all. You are required to comply with the law. If it is complicated, or difficult or expensive to do so then, it's complicated, difficult and expensive and you still have to do it. The answer is obvious: if it's not worth having a small business, don't have a small business. The main question, if someone buys a license from my web-site, is it considered a sale in the buyer's country/state which requires me to collect and pay some remote tax, or it's a purchase in my country/state which requires me to collect HST from that buyer? It depends on the law in both Canada and the destination country. In most cases, the sale will be an export sale from Canada (GST/HST exempt) and an import sale in the destination country - requiring you to comply with GST/HST obligations there. Another question is regarding invoices, I know that Canada requires certain information to be included into an invoice for sales in Canada. If my sales will be considered sales in a buyer's Country with some other rules, does it mean I have to manage tons of invoice templates? Yes. Let's say if my sales in UE exceed 30K EUR it looks like I need to register and pay VAT there. But what if I have less? Then you don't need to register and remit tax. Nor are you allowed to collect it from your customers. By the way, I have no idea what country in the Eurozone goes by the initials UE. In most jurisdictions, you need to register either when you reach the threshold in fact or reasonably expect to reach the threshold. Also in most, you can usually register even if you are below the threshold. For example, these are the rules for Australia. Anyone, please advice. Hire an accountant versed in international digital services. They will be able to give you the advice you need. They will also be able to recommend sales/payment platforms that can handle most of this for you (for a fee, of course).
The EULA is in most jurisdictions a legally binding contract; there is plenty of case law that supports this. You can only be liable under a contract for breaching its terms and only to the extent that the other party suffers harm from that breach. Clearly, if you haven't read the terms then you are greatly increasing the chance that you will inadvertently breach them but not reading them would not, of itself, be a breach and I can't see what harm could flow anyway.
However, if a website is based in the US and the terms of service say that the law governing the terms is US law, how can GDPR have any affect? It is unlikely that the EU will be able to enforce financial penalties against a company with no presence in the EU. But they could for example block your website in the EU, depriving you of your EU user base. The actual measures that they could or would take against such a company are still unclear, since the GDPR is quite new, and there has been no action under the GDPR against foreign companies. I'm not a lawyer, but I've signed many contracts in my life and nearly all of them have some form of "governing law" clause. The governing law clause in a contract identifies the law that will be used to interpret the contract and to resolve any disputes arising from the contract. The law identified in the clause does not become the sole law governing every aspect of the relationship between the parties, however. For example, a business in New Jersey could have a contract with a client in New York with a clause specifying New Jersey law as the governing law of the contract. But that does not mean that New York's consumer protection law doesn't apply to the transaction.
Under US regulations pertaining to Iran sanctions, §560.201, Except as otherwise authorized pursuant to this part, and notwithstanding any contract entered into or any license or permit granted prior to May 7, 1995, the importation into the United States of any goods or services of Iranian origin or owned or controlled by the Government of Iran, other than information and informational materials within the meaning of section 203(b)(3) of the International Emergency Economic Powers Act (50 U.S.C. 1702(b)(3)), is prohibited. where that acts grants the President the authority to regulate various things but The authority granted to the President by this section does not include the authority to regulate or prohibit, directly or indirectly... the importation from any country, or the exportation to any country, whether commercial or otherwise, regardless of format or medium of transmission, of any information or informational materials, including but not limited to, publications, films, posters, phonograph records, photographs, microfilms, microfiche, tapes, compact disks, CD ROMs, artworks, and news wire feeds. The exports exempted from regulation or prohibition by this paragraph do not include those which are otherwise controlled for export under section 4604 3 of this title, or under section 4605 3 of this title to the extent that such controls promote the nonproliferation or antiterrorism policies of the United States, or with respect to which acts are prohibited by chapter 37 of title 18 So information isn't generally regulated, except potentially under section 50 USC 4604 – which was repealed. For the moment, here is what that law said (huge, not gonna copy). But that doesn't matter too much because the exception to the exception is for exports, not imports: it is legal to import technology into the US. (OTOH, how is it possible to import programs without exporting at least shred of programming technology?) Also under §560.419 The prohibitions in §560.201 make it unlawful to hire an Iranian national ordinarily resident in Iran to come to the United States solely or for the principal purpose of engaging in employment on behalf of an entity in Iran or as the employee of a U.S. person, unless authorized pursuant to §560.505. See also §560.418 with respect to the release of technology and software. You cannot bring an Iranian resident to the US for this purpose, unless you get authorization. It does not say you can't pay a guy in Iran to work remotely. And finally, §560.505 which is about the "authorized pursuant to" clause: The release of technology or software in the United States, or by a United States person wherever located, to any person violates the prohibitions of this part if made with knowledge or reason to know the technology is intended for Iran or the Government of Iran, unless that technology or software meets the definition of information and informational materials in §560.315. There are other clarificatory notes attached to this section. Finally, §560.505 explicitly allows importation of certain non-immigrant services, but what you intend doesn't seem to be covered. So it is not crystal clear, especially since your plan might involve "exporting technology". It's not safe to interpret these regulations on your own, and you need to hire an attorney who specializes in this area, where you would discuss in detail what you will be "exporting" (even if you don't think it is exporting, it could be legally deemed to be exporting). That, I think, is the main legal issue.
This is wire fraud and punishable by up to 20 years in prison. Whoever, having devised or intending to devise any scheme or artifice to defraud, or for obtaining money or property by means of false or fraudulent pretenses, representations, or promises, transmits or causes to be transmitted by means of wire, radio, or television communication in interstate or foreign commerce, any writings, signs, signals, pictures, or sounds for the purpose of executing such scheme or artifice, shall be fined under this title or imprisoned not more than 20 years, or both. It is not relevant that the victims of this fraud are people who support a cause that the US government opposes. Nor is it relevant what your friend chooses to do with the ill-gotten money. It is still just as illegal. Whether your friend would be prosecuted would be at the discretion of federal prosecutors, and political motivations could come into play. That is beyond the scope of Law.SE to address. What is certain is that he could be prosecuted. Giving information to the FBI probably won't help, as from your description, the victims of this fraud aren't doing anything illegal. "Donating money to support Russia", while vague, does not sound like it violates any of the current sanctions.
This is an interesting hypothetical. In this scenario, Country Z does not have jurisdiction to enforce such a law on foreign nationals, unless Country Z has an extradition treaty with Country A. Generally, however, these types of laws would never be enforced as they are egregious abuses of government, and could possibly be elevated to the International Court of Justice if Country Z actually charges any individuals with such a crime. In these instances, however, war is a very unlikely scenario, since this would often be expensive and any escalation would most likely be small skirmishes that would lead to an eventual ceasefire, with the encouragement of the international community, without the involvement of UN Peacekeeping troops.
Nowhere Collectively The US doesn't know the number of laws on all the federal, state, and city books. Often the lowest level of laws and ordinances are only in a city database, and sometimes not on the internet. As a result, there is already an impossibility to get all the laws in the US in one database - and there are even countries that have not taken any steps to make their laws accessible on the internet at all. For example North Korean Law. This is compounded by different entities proclaiming their laws and regulations in only their own language and on different proclamation platforms. Where available at all, the countries have country-wide laws and ordinances on their own dedicated websites. But again, federalism for the win: there will be different proclamation platforms for lower levels of legislation. For example germany has its justice department host https://www.gesetze-im-internet.de/ which hosts all federal german laws. Schleswig Holstein hosts their state-level laws in corporation with the service Juris on https://www.gesetze-rechtsprechung.sh.juris.de/jportal/portal/page/bsshoprod.psml and the town of Kiel has all of its ordinances and special orders on https://www.kiel.de/de/politik_verwaltung/ortsrecht_bekanntmachungen/index.php Why a conglomerate is a bad idea Now, making a conglomerate of all the laws is actually a bad idea for several reasons: Updates. The different entities that are in making regulations with the force of law only update their official proclamation site. Often, such changes are not announced too loudly for the lowest levels, and with the number of cities in a single federal state, it's near impossible to keep the database up to date on a complete level. This is why different databases usually only scrape the federal levels. Scraping will break quickly. Each of the websites I pointed to in Germany has a different system setup, making scraping these websites for the relevant information basically useless. Compounding that, City ordinance pages are redesigned at a somewhat elevated pace, resulting in the scraping of these pages to break quickly, even if you manage to set it up. Citability. In a court of law, only the official text is relevant. If an update is missed, then the whole text is useless - you'll have to look up the actual, currently in-force version of the law or ordinance, so the conglomerate is not helping. You want a ginormous database. In some countries, judgments also make law as precedent. So you want every judgment in your database. Which quickly runs into a different problem: The US alone generates millions per day.
Is there any law that Windows 10 "spying" might violate? Windows 10 terms of service document includes Microsoft privacy statement which contains the following excerpt (as cited on http://bgr.com/2015/07/31/windows-10-upgrade-spying-how-to-opt-out/) Finally, we will access, disclose and preserve personal data, including your content (such as the content of your emails, other private communications or files in private folders), when we have a good faith belief that doing so is necessary to: 1.comply with applicable law or respond to valid legal process, including from law enforcement or other government agencies; 2.protect our customers, for example to prevent spam or attempts to defraud users of the services, or to help prevent the loss of life or serious injury of anyone; 3.operate and maintain the security of our services, including to prevent or stop an attack on our computer systems or networks; or 4.protect the rights or property of Microsoft, including enforcing the terms governing the use of the services – however, if we receive information indicating that someone is using our services to traffic in stolen intellectual or physical property of Microsoft, we will not inspect a customer’s private content ourselves, but we may refer the matter to law enforcement. Is there nothing in US (or perhaps European) laws that makes asking for customer acceptance of such conditions simply illegal (especially if one considers the probable implications, not spelled out of course in the Orwellian piece above)? Of course MS lawyers worked hard to whitewash the text, but are there any precedents/legal line of action which may be taken?
It's hard to prove a negative, and I'm not sure which specific part of the quoted Terms you object, to, but it specifically states that content access may be done to: Comply with the law Protect its customers; and Protect the security of its business; and Protect its business interests. It's unlikely that access of information to comply with the law is illegal. At least one EU directive, Directive 95/46/EC, sets limits on the collection and use of personal information. We're concerned with the first condition for lawful data processing, and the second principle of data quality. Data processing is only lawful if the data subject has unambiguously given his consent; or processing is necessary for the performance of a contract to which the data subject is party; or processing is necessary for compliance with a legal obligation to which the controller is subject; or processing is necessary to protect the vital interests of the data subject; or processing is necessary for the performance of a task carried out in the public interest or in the exercise of official authority vested in the controller or in a third party; or processing is necessary for the purposes of the legitimate interest pursued by the controller or by the third party, except where such interests are overridden by the interests for fundamental rights and freedoms of the data subject which require protection. The principles of data quality, which must be implemented for all lawful data processing activities, are the following: personal data must be processed fairly and lawfully, and collected for specified, explicit and legitimate purposes. They must also be adequate, relevant and not excessive, accurate and, where necessary, kept up to date, must not be stored for longer than necessary and solely for the purposes for which they were collected; special categories of processing: it is forbidden to process personal data revealing racial or ethnic origin, political opinions, religious or philosophical beliefs, trade-union membership, and the processing of data concerning health or sex life. This provision comes with certain qualifications concerning, for example, cases where processing is necessary to protect the vital interests of the data subject or for the purposes of preventive medicine and medical diagnosis. So, let's say that someone has given their consent. It'd be at least a little questionable whether the inspection of private information could mean that they access personal data revealing racial or ethnic origin, political opinions, religious or philosophical beliefs, trade-union membership, and the processing of data concerning health or sex life. I'm a bit less clear on US laws, but you'd probably look for laws around Personal Identifying Information, as that's where a lot of focus has been.
A law has to be "broad" to include a lot of possible crimes and intent of criminals and account for the good faith of non-criminals. "Intentionally access without authorization/exceed" is actually fairly specific; "intent" is the keyword. Someone making a mistake may have intent to login, but no intent to commit a crime. Someone confused by "different pages of demo and live accounts" can easily defend their actions by pointing out that they were confused. It's up to the reasonableness of the pertinent law enforcement and prosecutors to take into account the evidence that reasonable mistakes were made by little old ladies and not charge them with a crime. And for the most part, 98% of the time, law enforcement and prosecutors are reasonable.
The most apparent potential offences would be under 18 U.S.C. § 1030, but these require the mens rea of "knowingly" or "intentionally" doing things without authorization, or doing so "with intent to defraud", etc. See also the Department of Justice's manual entry on this family of offences. Particularly relevant is this quote: As part of proving that the defendant acted knowingly or intentionally, the attorney for the government must be prepared to prove that the defendant was aware of the facts that made the defendant’s access unauthorized at the time of the defendant’s conduct. Given your stipulation that the person has unintentionally viewed or downloaded the material without authorization, this would not be a violation of 18 U.S.C. § 1030.
It turns out that there is no difference between the ethical answer and the legal answer, in this case. The law recognizes the property right which a person has when they create a thing, such as a font, and that right is encoded in the law of copyright. The relevant US federal code is contained in Title 17, which you can read (essentially identical laws exist in virtually or perhaps actually all countries). The important thing to understand is that there is not a distinction between "privately" trespassing on a person's property and "publicly" trespassing on a person's property. The violation of the owner's property rights comes from taking the material without consent. There is a legally-recognized exception to the owner's rights, in the form of "fair use", which is widely misunderstood to mean "if it's not for profit, the property owner has no legal protection". Simply taking and using someone else's IP non-commercially is not "fair use".
The website owner brings in an expert programmer who testifies that the user cannot have gotten to a certain part of the site (or download, etc.) without having clicked to accept the terms of service, and that this document they're holding is a true and correct copy of the terms of service as of that date. That's evidence in favor of the site, and an adverse party has to have stronger evidence in order to overcome it. If the person didn't save a copy of the terms themselves, they'll have a hard time on this. Then the other party's attorney tries to discredit the programmer by asking questions like "how do you know there are no bugs in the software which could have allowed somebody to reach this without agreeing to the terms of service" etc. Apparently, some sites don't require users to click indicating agreement. If the company has significantly changed the site, terms of service, etc. since the time the user registered, and doesn't keep any copies of old versions around, and admits this, they'll have a hard time enforcing an agreement (as they can't produce a copy of it). If the user kept a copy, the user might be able to present that. It's up to the finder of fact to decide what to believe and how much weight to give the various witnesses' testimony.
Not that I am aware of. A person who 'owns' a domain is entitled to utilize that domain including for the purposes of receiving emails. With physical mail, it is a crime in most countries to intentionally interfere with mail that is not addressed to you. For example - Australia. However, this is statute law and as such does not extend to emails - even if it did, if you own the domain then you are the person to whom it was addressed. I note that you seem to misunderstand "confidential" - this only arises in the context of a special relationship between the person transmitting the information and the person receiving it. Usually this is a contractual obligation between A and B but it can be imposed by law (e.g. doctor-patient, banker-client, lawyer-client, GDPR etc.). If A sends confidential (as between A & B) information to C, C is under no general obligation to keep it confidential if C has no relationship of confidentiality with A or B. If C discloses it and B suffers damage, B sues A for breach of confidence (or the government prosecutes A for breaking the law); B has no case against C. For your situation, where B has allowed A to send the information to an obsolete address then B has contributed to the breach to an extent that B would be extremely unlikely to succeed in a suit against A.
This sounds a bit far-fetched. There are laws against circumventing copy protection measures (DRM) but not against aimbotting (to the best of my knowledge). Thus, you cannot reasonably believe that a click-assist functionality would be used to break laws. It could definitely be used to break private contracts such as an EULA, but you are not a party to that contract and are not bound by its terms. Of course, when you use such click-assist tech in an online game, you might be breaking your contract with the game vendor or server provider. But this doesn't imply that a click-assist would be forbidden outside of that context. Note that assistive technologies sometimes have exceptions from laws, e.g. a permission to circumvent DRM if necessary for accessibility. In the US, the Librarian of Congress adopts exceptions for a duration of three years. While none of the current exceptions match your specific scenario involving video-games, it can be permissible to break DRM on e-books or videos for certain accessibility enhancements.
The conditions for lawfulness of processing are spelled out in Article 6 of the GDPR. As for it being legal for website operators to log the IP-addresses of visitors, this is covered by the following paragraph (also pointed out by phoog in a comment). The paragraph says it is legal to process personal data if processing is necessary for the purposes of the legitimate interests pursued by the controller or by a third party, except where such interests are overridden by the interests or fundamental rights and freedoms of the data subject which require protection of personal data, in particular where the data subject is a child. (my emphasis) You are not the only web site that logs IP addresses for the purpose of security. Every web site I've ever worked on - from those controlled by large corporations to tiny NGOs - do this. This security practice will not be impacted by the GDPR (if it were, I am sure we would have heard about it by now). there is the EU cookie law too If your website are going to be accessible to European citizens and not only accessible by your friends and familiy, you have to comply with the EU cookie directive of 2002 (a exemption for "personal websites" does not exist).
Is there a prohibition on asking whether someone has historically been arrested on job applications? It is common knowledge that many companies ask whether or not someone has been convicted of a felony on job applications. However, as a matter of curiosity, since someone arrested but found not guilty or having cause dismissed with prejudice is considered - well - not guilty, but nonetheless still carries a degree of stigma, I am wondering whether it is lawful to ask someone if they've been arrested or indicted, and specifically, what the law would be. Ditto to whether it is unlawful to discriminate on this basis.
This may be allowed, or prohibited, it all depends. At the federal level, there is no specific prohibition against asking this question, however it may be found to violate Title VII of the Civil Rights Act if the result discriminates in employment based on race. At the state level (in Washington), WAC 162-12-140 gives examples of fair and unfair pre-employment inquiries. W.r.t. arrests, it deems such questions as fair under limited circumstances: Because statistical studies regarding arrests have shown a disparate impact on some racial and ethnic minorities, and an arrest by itself is not a reliable indication of criminal behavior, inquiries concerning arrests must include whether charges are still pending, have been dismissed, or led to conviction of a crime involving behavior that would adversely affect job performance, and the arrest occurred within the last ten years. Exempt from this rule are law enforcement agencies and state agencies, school districts, businesses and other organizations that have a direct responsibility for the supervision, care, or treatment of children, mentally ill persons, developmentally disabled persons, or other vulnerable adults. See RCW 43.20A.710; 43.43.830 through 43.43.842; and RCW 72.23.035. In other words, asking just about arrests is unfair and illegal. You can look up the law of other states here. In California, you can't ask about an arrest until late in the process as part of an individualized investigation, and can't be an automatic "arrest? No job!" rule. In contrast, Arkansas has no prohibition against arrest as job disqualifier.
What do I do? Contact the police, and henceforth make sure that all your interactions with the business owner are in writing. That evidence will facilitate the police investigation in this fact-intensive matter. Can I actually be arrested? Yes, you are at risk of getting arrested regardless of whether you eventually prove the business owner is the one who broke the law. Hence the importance of contacting the police before it proceeds on the basis of his fraudulent accusations. The business owner has committed crimes including --but not limited to-- forgery, larceny, and attempted extortion (People v. Ramos, 34 Misc.3d 914, 920 (2012) and Matter of Spargo, 68 A.D.3d 1242 (2009) reflect that also the attempt of extortion leads to being charges and convicted, respectively). The timing of events could be indicative of the extent to which the business owner's criminal conduct was premeditated. For instance, it is unclear whose idea was keep the vehicle in his company's name notwithstanding that you had not acquired the company yet. If it was his idea, this will tend to weaken his denials of mens rea (given his subsequent course of action). Likewise, it is unclear what dissuaded you from purchasing the business. You need to assess whether he lured you in order to get your money for the car, and thereafter cause you to change your mind about the business.
Not all illegal things are crimes. Lack of evidence. They are asked to testify, and they say "what I said in my book was a lie". There is no general law against lying, except when under oath. Statute of limitations. Saying "10 years ago I did smoke drugs" means that any offence is no longer prosecutable. Lack of details. Which jurisdiction were they in? When did they commit the act, how many acts? You cannot be arrested for being a "bank robber" or a "murderer". You are charged with "robbing Bank X on 123 Fake Street the Thursday 25 April 2018" or "murdering Jim Thio in January 2017". Otherwise the defendant would have a hard time defending himself (how to prove that you have not killed anyone at any time?) All of the above combined with prosecutorial discretion in the form that any possible prosecutor will most likely determine that bringing charges would be just a waste of time and resources. UPDATE February 2018: Just for the sake of completeness, a reference to the situation of Jacques Cassandri, who did boast about a serious crime(a robbery in a Societe Generale vault in 1976) in a book. Unfortunately for him, he made some kind of mistake/miscalculation and the crime had not yet expired, so he has become an example of someone being prosecuted by confessing a crime in a book.
Unless the Youtube Video shows them committing a crime, then no, they couldn't be arrested and tried for a crime. Them saying it, not under oath, is just hearsay that has no evidentiary value unless there is already other evidence they have committed a crime. In that case, its an admission. But there must be other, either circumstantial, or actual physical evidence of a crime. Past intoxication is not a crime, either. Possession of drugs, if caught with them is. But saying you got high is not. People have walked into police stations and confessed to murders. But with no evidence, no body, no name of a missing person, they can't even be held after the holding period for investigatory purposes expires. If the video shows them committing assault, or breaking and entering (there actually are idiots who post this stuff), the video is actual evidence of a crime and it is often used against them. The statements can be used to begin an investigation, but people don't usually confess to anything worth pursuing even an investigation. The fact that someone says they used to do something criminal is not enough. For all you ( meaning anyone ) knows, the statute of limitations has expired because they "pirated games" 10 years ago. Your comment is right on.
It ultimately depends on what Congress said when the relevant law was passed pertaining to that form of discrimination, how the enforcing agency has written the regulations, orders that have been issued, and how the courts have interpreted the law and regulations. EEOC Notice 915.002 states that Under the Americans with Disabilities Act of 1990 (the "ADA"), an employer may ask disability-related questions and require medical examinations of an applicant only after the applicant has been given a conditional job offer. Such questions must be "job-related and consistent with business necessity". There is a statutory underpinning to this declaration, 42 USC 12112(d) that The prohibition against discrimination as referred to in subsection (a) shall include medical examinations and inquiries and Except as provided in paragraph (3), a covered entity shall not conduct a medical examination or make inquiries of a job applicant as to whether such applicant is an individual with a disability or as to the nature or severity of such disability. except that A covered entity may make preemployment inquiries into the ability of an applicant to perform job-related functions. EEOC also says that In general, it is assumed that pre-employment requests for information will form the basis for hiring decisions. Therefore, employers should not request information that discloses or tends to disclose an applicant's race unless it has a legitimate business need for such information. Such inquiries are illegal in the sense that the EEOC "prohibits" it, and in the case of disability there is a direct statutory mandate to prohibit it. There is a legal principle, "Chevron deference", that says that the courts should defer to an agency's interpretation as long as Congress hasn't directly addressed the question and the interpretation is not unreasonable. Title 29(A)(35)(B) states the standards for detecting age discrimination for entities receiving federal funds, and while age discrimination is illegal, asking a person's age is not prohibited by specific regulation. The EEOC provides this manual regarding general race and color discrimination, and the section on "Evaluating employment decisions", where they say determining whether race played a role in the decisionmaking requires examination of all of the surrounding facts and circumstances. The presence or absence of any one piece of evidence often will not be determinative. So asking a person's race is not per se a violation of the law, but it is an act interpreted by the EEOC to be evidence of race discrimination. On the other hand, asking about disability is totally illegal so there's no "totality of evidence" to the process. The footnotes in the manual point to relevant case law: there is no case law that says "asking a questions about a protected category is per se proof of discrimination", but it can be used as part of a pattern of evidence.
So for your first question, yelling "Stop Thief" loudly at the thief is perfectly legal (Like Yelling "Fire" in a crowded theater, it's legal if the theater is infact, on fire... the quote implied that it was a prankster who drew amusement from the reaction of the people who took him seriously). This may alert store employees, who have a specific kind of Citizens Arrest Power known as "Shopkeeper's Privilege" and is a reduced liability compared to Citizens Arrest. This is also pretty basic self defense agains people who are not engaged in any physical action against you but are starting to scare you. Suddenly shouting draws attention to you and discourages them from their behavior "I SAID DON'T TOUCH ME" being suddenly shouted in a Wal Mart is going to get notices from the immediate crowd drawn to you, and by poximate location, the person who is making you uneasy. For your second question, maybe, it depends... since the cop is clearly chasing the guy, you meet the qualification to use non-deadly force in stopping the criminal (i.e. you are witnessing a person committing a crime, in this case, resisting arrest or persuit) and it would certainly be reasonably non-deadly force if you were to trip, grab, or push the fleeing suspect. Citizens Arrest doesn't specify a minimum time to qualify, so if the officer is seconds behind, and you detain the criminal in this action until the gap is closed, it still counts.
So I'm fascinated with the OJ trial and I've read a ton about it. I'll try to answer your question both accepting your premise as true, and then also going into what actually happened. First of all, jury nullification cannot be overturned in the US. The double jeopardy clause forbids it. This is such a powerful tool, in fact, that there are strict rules that prevent defense lawyers from mentioning or even hinting at jury nullification, in front of the jury, in almost all circumstances. It doesn't mean D is safe from all legal liability. OJ, obviously, was found liable in the civil trial. Sometimes other jurisdictions can prosecute. For example, after the officers in the Rodney King beating were acquitted in state court, the federal government got them for violating federal hate crime statutes. Second, looking at your premise. If jurors think D is guilty, but also being framed, that's not necessarily jury nullification. Remember, a criminal defendant must be proved guilty beyond a reasonable doubt. That means that 'probably guilty' means 'not guilty.' That said, there may be times when a jury is convinced beyond a reasonable doubt of a defendant's guilt, but is so disgusted by the police tactics used in the case that they acquit. This would be jury nullification. What actually happened in the OJ case: Mark Fuhrman perjured himself on the stand. He lied and said he'd never said the N word, and the defense produced tapes of him saying it a ton. The defense recalled him to the stand. Because perjury is a serious crime, this time he came in with his own defense lawyer, and did nothing but take the fifth on the stand. In a genius move, OJ's defense team asked him whether he planted any evidence in the OJ case. He didn't deny it, instead he took the fifth (again, as he was doing to every question). This was enough to sow reasonable doubt about OJ's guilt based on the evidence in that trial (there's obviously no actual doubt, in real life, that he's guilty). So, what actually happened wasn't jury nullification.
Not necessarily. It depends on the type of dismissal. The term prejudice helps better describe your question. You have described a dismissal with prejudice: the case can not be re-litigated. But it's just as likely the case could have been dismissed without prejudice. Meaning, the plaintiff could restart the case at any time. Or, alternatively, file a new case on the same facts. (You might be thinking about double jeopardy which is prohibited and applies to criminal cases involving an acquittal.) The with prejudice vs. without prejudice decision is often left to the discretion of the judge (or adjudicator) depending on the type of proceeding. And sometimes the decision is determined by procedural rule. You must read the notice or order of dismissal to determine what type of dismissal it was.
What is the effect of lost and recovered prior art on patent validity? Normally, the existence of prior art containing matters for which a United States utility patent makes claims to patent rights prevents a patent from being issued for those claims, and if a patent somehow issues anyway, it provides a defense to a defendant in a patent infringement action. But suppose that there exists prior art that is not know to anyone alive at the time that the patent is applied for and issued, but ten years later when the patent holder brings a timely patent infringement lawsuit, the prior art which had been unknown to anyone alive at the time is rediscovered. Does that invalidate the patent? Example For example, suppose that Sharp Co. develops a process of making steel for knives that is superior in some way (e.g., it makes it much cheaper and quicker to manufacture the knives than an alternative status quo process that produces exactly the same end result), by incorporating flax oil into the process of forging its knives. It is impossible to discern that the flax process was used by physically inspecting a knife made with it after the fact. Assume that this patent easily qualifies as valid by every relevant legal test evaluated as of 2012-2014 and under all changes to patent law since then that do not pertain to prior art. This process was something that no published work available to living people was aware of at the time that Sharp Co. applied for its patent in 2012, and the patent was issued in 2014. In time, Sharp Co. discovers that Dull Co., a company next door to it, is using the same flax oil process to forge its knives and brings suit in 2022 for patent infringement, having copied the Sharp Co. process from its patent application, and Dull Co. gains 50% of the market share of knives made with this process costing Sharp Co. US $50 million a year in lost profits. But after filing an answer in the patent infringement lawsuit in U.S. District Court, the patent infringement defense lawyer for Dull Co. who reads archaeology and linguistics texts in his spare time happens to learn that in 2016, archaeologists discovered an inscription in Old Persian from 1100 BCE in a newly unearthed tomb and translated it and published their findings in the journal Nature, describing precisely the same lost art of using flax oil to forge knives that Sharp Co. reinvented independently in 2012 and for which it secured its patent. No one affiliated of Sharp Co. learned about the newly discovered Old Persian texts until after they brought their infringement lawsuit and the lawyer for Dull Co. brought it to their attention. Dull Co.'s lawyer had raised the defense of invalidity based upon prior art in the answer that Dull Co. filed even though he didn't know about this particular prior art at the time. Evidence from the ancient Old Persian text and some related authentic texts written by Old Persian priests from a few centuries later indicates that there were hundreds of copies of the description of this process which were included in every prayer book of the predominant religion of the region now called Iran in 1100 BCE that was freely available in each of hundreds of temples in the region to anyone interested, but it was not preserved by later scribes who decided that it was considered an obvious piece of knowledge among metal workers that wasn't worth recopying at some point in the early Iron Age, even though they were wrong and the process was later entirely forgotten. Question Does the previously lost prior art, that is rediscovered before the patent of the lost prior art process expires, provide Dull Co. with a meritorious prior art invalidity defense to the validity of Sharp Co.'s patent infringement lawsuit against Dull Co.? I can imagine this question functionally hinging on when prior art has to exist, and I could also imagine it hinging on the definition of what has to happen for something to constitute prior art. But, I'm not really sure exactly what the proper analysis would be. Differences from prior similar questions This differs from the similar question "What impact does prior art discovered after (US) patent awarding have on enforceability and even validity of that patent?", because in this question, by design, there was nothing that would have operationally counted as prior art available at the time the patent was applied for and at the time that it was issued, while that question implicitly assumes that the only reason that prior art wasn't discovered was due to an inadequate prior art search when the patent was issued, and that a sufficiently thorough search for prior art at the time the patent was applied for and issued could have possibly found it. This also differs from the fact pattern where someone already uses the patented process in a secret manner protected as a trade secret that is not disclosed until after the patent is issued, because, as I understand it, to be prior art, something must be knowable to people in the general public at some prior time (usually in a publication that is not confidential). The example is loosely inspired by Rahil Alipour, Thilo Rehren, Marcos Martinón-Torres. "Chromium crucible steel was first made in Persia." Journal of Archaeological Science (2020); 105224 DOI: 10.1016/j.jas.2020.105224 (recounting their discovery that there was widespread manufacturing of chromium steel in Southern Persia around 1000 CE, a metallurgy technique that was subsequently lost and then only rediscovered about nine centuries later).
The patent is invalid From 35 U.S.C. 102 A person shall be entitled to a patent unless — (a) the invention was known or used by others in this country, or patented or described in a printed publication in this or a foreign country, before the invention thereof by the applicant for patent There is no doubt that the Persion "printed publication" in c.1100 BCE predates the invention of the technique by Sharp Co. in 2012 CE. If follows that Sharp Co. is not entitled to patent protection. This is merely a refinement of 35 U.S.C. 101 which says (my emphasis): Whoever invents or discovers any new and useful process, machine, manufacture, or composition of matter, or any new and useful improvement thereof, may obtain a patent therefor, subject to the conditions and requirements of this title. The process Sharp Co. invented was not "new" - patent rights only accrue to the first inventor, in this case, some unnamed ancient Persian. The prior art exclusion is merely one means of ensuring that the patent holder is the first inventor.
The laws are - in the US you can’t make, sell, offer for sale etc. anything that infringes a claim in an issued valid, un-expired US patent. There is no special case for replacement battery packs like there is for medical procedures. One of their battery pack patents in the suit. US7999510B2, is very broad. The first claim, below, only requires a housing, lithium ion chemistry and a particular range of current at 18 volts. It would seem to apply to batteries compatible with other brands of tools. From google patents it seems that the examiner considered 155 previous patents before deciding this was novel and not obvious. Reading the judgement the issue at court was not the inventiveness but wether or not a Canadian company who brought the concept to them initially should be considered the inventor. It was ruled that the Canadian one did not reliably put out the needed current. It expires in 2023. Claim 1 A battery pack for powering a hand held power tool, the battery pack comprising: a housing connectable to and supportable by the hand held power tool; and a plurality of battery cells supported by the housing, the battery cells being capable of producing an average discharge current greater than or equal to approximately 20 amps, the battery cells having a lithium-based chemistry, the battery cells having a combined nominal voltage of at least approximately 18 volts.
A basic rule of trademark law is that a trademark is protected only for use in the same industry, or in regard to the same general sort of thing. "Maxwell House" for example, is the name of a brand of Coffee, and no doubt a trademark. If A business used it as the name of a brand of mobile home, it would not infringe the mark of the coffee brand. "Java" as a term for coffee , has been slang for any and all coffee at least as far back as WWII. I doubt that it is a currently active trademark in any case. It is, however, the name of a currently active programming language. Calling a new computer technology "Java" would probably infringe that (although the makers of javascript, a quite different computer language, seem to have gotten away with it). But it is hard to see how a realty company would so infringe. Of course there might be details which would cause this name to be infringing in fact, that I have no way of knowing. You could play safe with Sumatra Realty instead. Evin a quickly dismissed suit for trademark infringement could cost a startup time and money that might be a fatal handicap.
Publication after the author's death is still publication. As you can see in this excellent chart this work is copyrighted for 95 years after the publication date under US law. If it had never been published, it would be protected by copyright for 70 years after the death of Lovecraft, the author (a term which has now expired). However, statements of genealogy would be facts, and as such are not protected by copyright. limited quotes to support those facts would be appropriate in a work of non-fiction, and would normally be permitted as fair use under US law. Such quotes would probably not be appropriate in fiction in any case. The exact wording of the genealogy would probably be protected, but not the relationships (who is the parent of whom, etc).
united-states Theories Of Product Liability In Tort There are three basic theories of product liability in tort (setting aside breach of warranty claims) under state law in most U.S. states. Defective manufacturing. In this theory, there was a flaw in making the product that caused it not to conform to an otherwise good design, causing harm to the claimant. For example, if a fire alarm is designed to have a trigger that actives at a certain temperature, but the noise maker in the alarm melts and becomes inoperative at a temperature below the trigger temperature because the manufacturer uses plastic instead of the design requirement of metal for a part because of a temporary shortage of that metal, the manufacturer is liable for harm that results from the fire alarm's failure to activate at the trigger temperature. Defective design. In this theory, there was a flaw in the design of the product and that flaw caused harm to the claim and would have done so even if the product was perfectly manufactured consistently with the design. What constitutes a defective design? A company's liability for a design defect occurs when there was a foreseeable risk posed by the product when the product was manufactured as intended and used for its intended purposes. In many states, plaintiffs also have to show that the risk could have been reduced or avoided by the adoption of a reasonable alternative design, which was: Feasible, in other words, the manufacturer had the ability to produce it; Economically feasible, in other words, it would not cost too much to make the product with the modification; and Not in opposition to the product's intended purpose, in other words, the product would still perform the function for which it was created. (Source) For example, if a whiskey distilling vat generates high internal pressures that could cause it to explode if not alleviated, and the manufacturer does not include a pressure release valve in the design to prevent that explosion, the manufacturer would be liable for the harm caused by an explosion that occurs because there is not a pressure release valve in the design making it defective. Also, failure to comply with a regulatory standard intended to enhance safety in a design when that non-compliance causes harm (e.g. designing a car without seat belts), may be a design defect as a matter of law. Likewise, failure to comply with widely recognized non-legally adopted design standards in an industry intended to enhance safety in designs of particular kinds of products, when that non-compliance causes harm, will usually constitute open and shut proof of a design defect without further proof or analysis. Failure to warn. In this theory, the design of the product presents risks of harm to the user that are not obvious, which would be mitigated or eliminated if the user was given an adequate warming of the risk and followed that warning. For example, while the risk of harm from a knife is obvious and does not trigger a duty to warn, if a knife is made from a material that creates a toxic cloud of chlorine gas when exposed to bleach, the maker of a knife with this non-obvious risk needs to adequately warn potential users of the knife of the importance of not exposing it to bleach or the maker of the knife will have liability for bleach related harms to users that occur. Observations Product liability in tort is "strict" in the sense that there can be liability even if the manufacturer was not negligent. For example, in a defective manufacturing case, even if the manufacturer had the best quality control system in the world, if one item in a billion is defectively manufactured and causes harm as a result, the manufacturer is still liable. Similarly, in a defective design case, it is not a defense that a reasonable product designer took reasonable care to identify defects (e.g. holding brain storming sessions and reading any relevant studies) that didn't actually reveal the potential problem, if the design defect was foreseeable but the designer just didn't think of it anyway. And, in a failure to warn case, there can be liability even if the manufacturer was "reasonable" in the sense of providing the warnings customarily used by others in the industry but still fails to warn of a non-obvious risk that causes harm. Application Are they only liable if the product malfunctions in an unexpected and unpredictable way (e.g., the board breaks)? Not exactly. But if the product is causes harm while carrying out its intended purpose, that isn't a malfunction or defect. A gun isn't defective because it can be used to intentionally kill someone or commit suicide. Does liability only apply when a product injures a user, but not when the users injures themselves using a product where harm cannot be excluded? There is not liability if the user is not injured. If the user injures themselves using the product for the intended purpose this is also not a product liability issue unless the harm could have been avoided with a design change or warning of a non-obvious risk. Can they absolve themselves of liability by simply warning the user about risks? If a product has a design defect, merely warning a user of the design defect will usually not relieve the manufacturer from liability. For example, stating that the whiskey vat doesn't have a pressure relief valve and could explode, when it could have been designed with them with a $2 manufacturing cost change, won't relieve the manufacturer from liability if someone is harmed by the vat exploding because it doesn't have a pressure relief valve. In reality, there are gray areas where an alleged design defect that can be fully mitigated with a warning is really a design defect, but that's why we have judges, juries, and expert witnesses to resolve close cases where there are arguments to be made either way. A skateboard does have risks even when used for its intended purpose, most of which are obvious, but some of which (e.g. getting clothing entangled in a wheel) might not be. When there is no feasible way to eliminate the risks that are present, and warnings are provided when there are non-obvious risks, then there is no liability on the part of the manufacturer of the skateboard.
Generally, this question is not a singular inquiry as its wording may suggest on its face. What typically tends to come up as the subject of dispute is rooted in the urban legend that one cannot obtain a patent (utility) on software. This is substantially incorrect, and any patent attorney asserting to the veracity of this makes a substantially false conclusory statement of law knowingly and willfully controverting the actual state of law in, at least, all Western jurisdictions as it omits to assert to the fact that one is not barred to obtain a patent on any system that comprises of non-obvious software, and hardware to run on is entitled to a patent — except in the U.S. where one must also comply with the Alice decision requiring that at least one hardware component in addition to the hardware of a generic computer be necessary for the utility of the system. However, in the U.S., one may obtain a software-centered patent through a (i) method or (ii) a computer program product in addition to (iii) systems or apparatuses which are available avenues for patents everywhere else. When disputes around IP and software come up, this is typically at the crux of the debate: May one obtain a software patent? The answer is: One is not barred merely because the non-obvious aspect of an invention is software. For example, if one uses hardware that are prior art, in fact, patented to someone else, but by the use of software a system, method and/or computer program product achieves a different objective (since utility patents, axiomatically, must have a utility objective) one may obtain a patent, and a layman may very well consider their invention of the system as that particular component that appears to them as having required any inventive steps, encompasses the inventive novelty (understandably) which, in many cases may be software. So the advice from a patent attorney that “you can’t patent software” is simply malicious (or wide and far disbarringly incompetent). One may patent software so long as it is an invention, and the administrative (or at times judicial) process requirements are complied with. Nevertheless, since the question inquired about “IP”, below is the answer to other avenues of intellectual property. Copyrights The software code written to make this operable could be the subject of copyright as long as it is not substantially identical with another solution (or such to give reasons to believe it to be a derivative thereof) that also put buttons in the four corners. The visual design may possibly also enjoy copyright protection, but that is less plausible to imagine since not only the copyrighted work of art is protected, but anything that may objectively be deemed a derivative work (regardless of whether the “re-author” actually knew about the copyrighted material that it may be deemed the derivate of). Design patents It is possible that one could get design patents for the actual graphical design of the layout provided there isn’t something substantially similar already out there protected by a design patent. Utility patents This would most certainly not overcome obviousness, that is, the requirement for one to obtain a patent which needs that a presented invention not be obvious for anyone “with ordinary skill in the art” (an ordinarily knowledgable person in the field of the specific area of tech). Trademark I have a hard time stretching my imagination to see how this could be applicable.
You are correct that you are inviting a lawsuit if you file a counter-notice. You are also correct that it might be a clerical error. Your attorney is the guy who recommends a best course of action for you. Part of the ensuing trouble would be the bill from your attorney. If the copyright holder wins in court, they could recover from you based on actual damages, statutory damages, and profits under 17 U.S.C. §504. The first is how much they lost (e.g. via sales or licensing fees) from your infringement. The second is a fixed amount ranging from $200 to $150,000, depending, provided that the work is registered. It is more likely that your case would fall in the $200 category, given a mistaken belief that you had permission as innocent infringement. The last is about whatever profits you made from the infringement that exceeds the copyright holder's losses. Incidentally, under the relevant provision, 17 USC 512(g)(2)(C), they will restore your material shortly after receiving the counter notification, unless its designated agent first receives notice from the person who submitted the notification under subsection (c)(1)(C) that such person has filed an action seeking a court order to restrain the subscriber from engaging in infringing activity relating to the material on the service provider’s system or network. Notice that all that YT has to have done is received notification that a lawsuit was filed. The other party does not have to prove to the provider that they filed a lawsuit.
Well, actually, fair use is maximally relevant. Copyright means, put simply, DO NOT COPY. Citing or not is irrelevant (plagiarism is a whole other non-legal kettle of fish). Technically, what you describe is violation of copyright. However, under section 107 of Title 17 (the copyright law), you could attempt to defend yourself against an infringement suit on the basis that your action was "fair use". See this LSE q&a for the essentials of fair use.
Can we prosecute a person who confesses but there is no hard evidence? If there is an individual who has acted in a gruesome manner and murdered another individual, can he be prosecuted even if he confesses to the crime but there is no evidence whatsoever, not even circumstantial? The individual provides vivid details of the crime but prosecution team fails to get any evidence to prove it in court of law. Since I am not aware of the differences in justice system across nations, my question is very general. How would each court of a nation perceives such cases when there is an ABSOLUTE lack of evidence but there is confession!
united-states This is not a question that is controlled by a federal statute or by U.S. Constitutional criminal procedure (arising mostly under the 4th, 5th and 6th Amendments to the Bill of Rights, most provisions of which other than the grand jury requirement, are also applicable to state court proceedings). No Contest And Alford Pleas In The U.S. In U.S. district court federal criminal prosecutions (with court permission) and in some U.S. states, there is a special process by which one can, in substance, plead guilty, without admitting the facts of the case against you, sometimes called a "no contest plea." (The Latin phrase used to describe such a plea is a nolo contendere plea). Many states reserve this option for relatively minor offense like traffic misdemeanors. For example: In Michigan, "A nolo contendere plea does not admit guilt, it merely communicates to the court that the criminal defendant does not wish to contest the state's accusations and will acquiesce in the imposition of punishment." A nolo contendere plea may be appropriate "where the defendant would not be able to supply a sufficient factual basis for a guilty plea because he or she was intoxicated on the night of the incident, where there is the possibility of future civil litigation resulting from the offense, or where a defendant cannot remember the events which led to his or her being charged with a crime" 1A Gillespie Michigan Criminal Law & Procedure, § 16:15. Closely related to a "no contest" plea is an Alford plea: In United States law, an Alford plea, also called a Kennedy plea in West Virginia, an Alford guilty plea, and the Alford doctrine, is a guilty plea in criminal court, whereby a defendant in a criminal case does not admit to the criminal act and asserts innocence, but admits that the evidence presented by the prosecution would be likely to persuade a judge or jury to find the defendant guilty beyond a reasonable doubt. . . . Alford pleas are legally permissible in nearly all U.S. federal and state courts, except in the state courts of Indiana, Michigan, and New Jersey, or in the courts of the United States Armed Forces. In some Alford plea cases, the evidence that makes a conviction likely is a confession. Of course, when there is a "no contest" or "guilty" plea in a case, no trial is ever held, ands the plea amounts to a confession. In Cases Where There Is A Not Guilty Or No Contest Plea In The U.S. The requirements are likewise not uniform across the United States when there is a not guilty plea and the defendant disputes the sufficiency of the confession alone. Of course, in practice, it doesn't come up very often, because it is rare for prosecutors to prosecute a case in which there is a not guilty plea in the absence of evidence other than a confession that a crime was committed, or that it was committed by the person who allegedly confessed. Usually, a confession is obtained in an investigation of a reported crime, and uncorroborated confessions of inmates in prison with no prospects of release ever or until there are very old are often not taken very seriously by law enforcement. This is a question of state law in state criminal cases, it is a question of federal law in cases arising under Title 18 of the United States Code (the federal criminal code), it is a question of different federal laws in military justice courts-marital prosecutions which are quasi-criminal in nature, and it is a case of district or territorial law in most areas of the U.S. that are outside a U.S. state that are not prosecuted under Title 18 of the United States Code. In U.S. military court-martial cases, corroboration of a confession is required to convict. In U.S. law, in many state and in federal court civilian criminal prosecutions, a validly obtained confession alone is sufficient evidence to convict. A criminal defendant who does not plead guilty may offer evidence at trial to rebut the validity of a confession at trial. And, if the evidence is sufficient to create a reasonable doubt, an appellate court could overturn a conviction based upon the sufficiently rebutted confession alone. But, a confession alone that is not adequately rebutted at trial with other evidence can support a criminal conviction in most civilian U.S. criminal justice systems. Also, frequently, a confession made prior to trial is challenged on the ground that it was obtained in violation of a defendant's Miranda rights or was not a voluntary confession that was obtained in violation of more general constitutional due process rights of a defendant (mostly under the 5th Amendment). In those cases, if the challenge is successful, the confession never comes into evidence at all, and thus, can't be used to support a conviction. In other cases where there is doubt that a confession is to a crime that was actually committed, the matter is often resolved for practical purposes with a forensic psychiatrist's determination affirmed by a judge, that the defendant is not mentally competent to stand trial. Post-Conviction Relief In The U.S. In U.S. law, another way that a case can present itself is when a guilty plea is entered, or a conviction is reached following a trial, and someone subsequently comes to the court after the conviction alleging that the conviction should be set aside because the crime in question was not committed. In practice, if it is clear that the crime in question didn't happen (e.g. a murder conviction of someone who shows up in court alive who pranked the confessing defendant into thinking he was killed), courts usually vacate the conviction without objection from the prosecutor's office. This is a form of a "collateral attack" on a conviction, and it is sometimes successful. But it is not always successful, even if the evidence that the crime was not committed is overwhelming. There is dispute in the case law and jurisprudence, in particular, in a federal collateral attack on a conviction, called a habeas corpus petition, if "actual innocence" is available as a defense to a conviction in the absence of any procedural violations of a defendant's rights in the court process. Very few convictions are set aside on that ground, but it is very frequently raised in habeas corpus petitions. united-kingdom In the United Kingdom, corroboration of a confession where there is not a guilty plea is required to convict (but this is not required in all cases Canada and in some other Commonwealth countries). In the Commonwealth countries — such as England and Wales, Scotland, Canada, and Australia — the plea of nolo contendere is not permitted. The defendant must enter a plea of "guilty" or "not guilty". If a defendant refuses to enter a plea, the court will record a plea of "not guilty". (Source) These shorthand descriptions only roughly state the situation in English law. For a more nuanced, but somewhat dated, analysis of the situation under the law of England and Wales that also traces the history of the relevant law there, see Raymond K. Berg, "Criminal Procedure: France, England, and the United States" 8(2) DePaul Law Review pages 256, 325-330 (1959). As noted there prior to 1660, confessions in or out of court were considered guilty pleas in English law, but major reforms were adopted in the 1800s. The departures of American law from English law in this area, in part, flows from the fact that the reforms of English law post-dated the American Revolution. france Most civil law legal systems are based on the legal codes of France, Germany, or Spain. France's legal system is examined in this post as representative of this type of system, as it was the original civil code legal system. France does not have a legal system rooted in the English common law, although it did heavily imitate English criminal procedure from 1791 to 1808. The structure and most of the principal doctrines of French criminal procedure are traceable to a legal code called the Code d'Instruction Criminelle adopted there in 1808, and then significantly overhauled and reformed in multiple installments the first of which was adopted in 1958, which is the event that prompted Professor Berg to write Raymond K. Berg, "Criminal Procedure: France, England, and the United States" 8(2) DePaul Law Review pages 256, 283-295 (1959). As of 1959, in France, the investigatory phase of a criminal investigation was more formalized than under English or American law and more cleanly separates investigative and deliberative parts of the criminal justice process with different personnel assigned to each function (all quotations below are from Berg, some spellings may be incorrect due to incorrect OCR translations): The first stage is the preliminary investigation wherein the offence is verified, the circumstances under which it occurred are determined and evidence is gathered. In the second stage all the evidence is weighed in order to decide whether or not the accused should be held for trial. The third stage is the trial itself. The investigation of offences preliminary to trial is carried on by a group known as the police judiciare and by the juge d'instruction who, until the new code, was considered a member of the police judiciaire. The police judiciaire is operated under the direction of the procureur de la Republique and is under the supervision of the procureur general in each Cour d'Appel district. The police judiciaire is, with certain exceptions, in charge of investigating violations of penal law, gathering evidence and finding suspected parties until investigation is begun. When the investigation is begun, it performs tasks assigned to it by investigating officials. This formal body can interview suspects and witnesses: If it is necessary to hold a person more than 24 hours, he must be taken before the procureur de la RWpublique who can authorize a further 24 hour period. During this period of detention, the suspect may be interrogated, though the length and details of the interrogation must be noted by the officer of the police judiciaire in a written report. A medical examination of the suspect can be ordered by the procureur de la Republique or by the suspect if he demands it after 24 hours. It is provided that the procureur general can instruct the police judiciaire to gather any information which he thinks will help him to administer justice. The procureur de la Republique also has the power to direct their investigations. The juge d'instruction as well, may delegate his duties to the police judiciaire so that they have all the powers of the juge d'instruction when acting within the limits of that investigation. They are not allowed however, when acting in this capacity, to interrogate or confront the accused. If it is necessary to detain a suspect, they must bring him before the judge d'instruction within 24 hours. . . .If the offence is a "flagrant" crime, the procureur de la Republique may examine the suspect at once. If the suspect brings counsel he cannot be questioned except in the presence of that counsel. If the offence is a "flagrant" d6lit, the procureur may place the suspect in custody after interrogation. If the juge d'instruction is present, the procureur de la Ripublique and the officers of the police judiciaire hand the case over to him and he proceeds with the investigation. Thus, the police judiciaire can make investigations and interrogate the suspect upon delegation or instructions from the procureur general, the procureur de la R6publique, the juge d'instruction, the prefet, or by virtue of their own office. They also have additional powers in the case of a "flagrant" crime or delit . . . It is the duty of the juge d'instruction to conduct an investigation known as the preliminary examination (instruction priparatoire). The judge may make such an investigation in three cases only: when directed by the procureur; when the person injured by a crime or delit complains to the judge and constitutes himself a partie civile; when the offense is considered a "flagrant" delit, in which case the judge on his own initiative may conduct an investigation. It must be emphasized that the purpose of this investigation is to determine whether there is enough evidence to hold the suspect for trial. . . The most ancient feature of this investigation is the interrogation (interrogatoire) of the suspect. It is also the most characteristic and probably the most important part of the investigation since it may lead to a confession and because the judge cannot order the committal for trial until he has heard the suspect. The theoretical purpose of the interrogatoire is the ascertainment of truth. It is necessary to consider it (the interrogatoire) as being at the same time a means of defense and a means of investigation; its object is to hear the explanations of the suspect for the purpose of verifying them, to record his denials or his admissions, to search for the truth of the facts in his convincing or contradictory statements. The interrogatoire is conducted secretly in either the cabinet of the judge or in the jail. The number of the interrogatoires is left entirely to the discretion of the judge. All that occurs during the proceedings is noted though the suspect is not under oath. The suspect cannot be questioned by anyone except the judge. The Code provides for at least two appearances of the suspect before the judge d'instruction. At his first appearance, the judge will verify the identity of the suspect, tell him expressly each charge against him and warn him that he is free not to make a declaration. If the suspect wishes to make a declaration the judge takes it at once. If the judge is of the opinion that the accused should be examined, he must inform the suspect of his right to counsel. If the suspect wishes, he will have one officially chosen for him. The judge may carry out an immediate interrogation if the matter is urgent," but other than this, the first appearance is regarded as a preliminary proceeding in order to inform the suspect of his rights and give him an opportunity to explain away the charge. Thus, as a general rule, the judge may not question the suspect at his first appearance. At least two days before the interrogation, counsel for the suspect is summoned by a registered letter. The proceedings must also be placed at the disposition of the counsel for the suspect at least 24 hours before each interrogation. The procureur may also be present at the interrogatoire."I During the interrogatoire, the procureur and counsel for the suspect can only ask questions after receiving the permission of the judge. Counsel for the suspect listens to the interrogatoire and makes notes. His role is to keep a check on the judge. If the suspect refuses to answer, the judge is provided with no means of compulsion. If the suspect persists, mention of this must be made in the proces verbal and if the suspect is brought to trial, the court may draw an unfavourable inference from the fact of such refusal. As soon as the judge d'instruction considers the investigation completed he sends the dossier to the procureur de la Republique, who must return his order within 3 days. If the judge feels the facts do not constitute a crime, delit or contravention, he declares a non-suit by decree. If he thinks the facts constitute a contravention, he decrees that the case be remitted to the Tribunal de Simple Police. If he thinks the facts constitute a delit, he decrees that the case be remitted to the Tribunal Correctionnel. If he thinks the facts constitute a crime, he decrees that the dossier and statement of evidence be sent by the procureur de la Republique to the procureur giniral at the Cour d'Appel so that the Chambre d'Accusation can decide whether the suspect should be held for trial."" Thus, if the offence charged is a crime, there has probably been an investigation by the police judiciaire under the procureur de la Republique and an independent examination by the judge d'instruction. The suspect has probably been interrogated by the police judiciaire and by the judge d'instruction. The result of these investigations is all contained in one dossier which is now sent up to the Chambre d'Accusation which will decide if the suspect should be tried in the Cour d'Assise. The bottom line is that in France and most other civil law legal systems, while there is not a category prohibition on conviction of someone for a crime when there is a confession but no corroborating evidence that the crime was committed by the defendant, the task of the investigative stage judicial officials in the preliminary investigation phase of the process is to determine whether a crime was committed and what it was from a pro-active review of all of the evidence available or that can be obtained including a statement from a defendant with a right to counsel. The investigative judicial officials must be convinced from all of the evidence that is available to them that a crime was committed by the defendant. A confession might be critical in that evaluation, but the official's duties are to not accept that blindly and instead evaluate the defendant's statements in light of the totality of the evidence. It also bears noting that in the civil law system, following a first trial, an appeal on issues of both fact and law, including the issue of whether a crime was committed, is allowed, unlike in common law systems, where the findings of fact made at trial are final and binding on all appellate courts reviewing the case.
No. As the defendant's lawyer, they will have been privy to privileged communications. As such, it would be unfair to the defendant if they now started prosecuting. Also note that a victim very rarely has their own lawyer in a criminal case. The prosecution lawyer is acting for "the Crown" (essentially, "society as a whole"). (There are exceptions, if the victim is bringing a private prosecution - but this is very rare for serious cases such as rape).
The concept is known as lesser included offense. The prosecution believed that they have a chance to prove murder, so they charged murder, but they understood that the judge and jury might not convict on murder. So they said in effect, "and if you won't find him guilty of murder, at least convict for manslaughter."
Murder is one of the few cases where the intention and not just the act is relevant. The act – killing a person – is the same for Mord and Totschlag, whereas fahrlässige Tötung covers acts that have caused the death of a person. The language of the Stgb labels the perpetrator who killed someone as a murderer or manslaughterer depending on their intention. That a person and not an act is punished is often criticized, but it has no practical consequence. Clearly, the intention isn't that the second one is free. Courts are able to interpret the law reasonably. However, the distinction between two kinds of killings seems to have no basis in reality and robs courts from flexibility to find a just sentence. There are occasional attempts at reform, but none will be successful while CDU/CSU is part of the government.
No. It means the existence of reasonable doubt is in doubt... One cannot conclude the question of guilt in either direction, so one must try again to see if a different jury can answer the meta-question, to then answer the legal question of guilt. ... or is not being addressed If only one person is voting against the consensus, or as many as are allowed by the jurisdiction, they are overruled. That's the allowance made for bias that has somehow reached the jury despite the filtering done beforehand. If more people are voting against the majority so that consensus is not possible, it is potentially because someone has made up their mind on the question of guilt regardless of what (some significant part or the weight of) the evidence indicates, defeating the purpose of the trial and providing all the evidence. A person not accounting for all the evidence can't be said to have reasonable doubt of guilt, since the doubt may be excluded by the remaining evidence. Similarly, guilt beyond reasonable doubt cannot be supported by only partial evidence, as exculpatory evidence may be among the part not accounted for. ... or cannot be addressed by that jury at all. Finally, a jury split on the decision of how to weigh the evidence cannot claim either to have or to have dismissed reasonable doubt, because they cannot agree on what a reasonable doubt is, in the first place.
I'd imagine that testimony from the defendant is rare enough that in the majority of cases, prosecutors do not meaningfully prepare for a cross examination. To the extent they do, I'd expect the preparation is similar to that for basically any other witness. So I wouldn't expect complicated flowcharts, because the general rule at trial is that you only ask questions whose answers are both known and helpful. So if I need to place the defendant at the OK Corral at 3 p.m., I'm only going to ask him where he was at 3 p.m. if I have evidence showing that fact is true -- maybe he gave a written statement to the sheriff, maybe he posed for a daguerrotype, whatever. I expect him to deny it, so I don't ask the question unless I have evidence more convincing than his denial. In this way, a defendant -- like any hostile witness -- is used less to provide any facts of their own, but rather as an involuntary narrator of my own story, authenticating evidence and validating the facts consistent with my theory of the case.
united-states I am answering this in the case of a criminal jury trial (given the context of the previous question). It is my understanding that the judge must accept (almost?) all evidence admitted into court. So, this leaves me with three questions: What happens if an official shows evidence that the judge hadn't agreed to feature in the trial? . . . What happens if the evidence happens to be inadmissible? A trial in a criminal case takes place in a courtroom at a predetermined date and time, with the prosecutor physically sitting at one table in front of a judge and the defendant and the defendant's lawyer physically sitting at another table in front of the judge, and a jury physically sitting in a seating area to the side of the judge, and a witness (usually) physically sitting in a chair on the other side of the judge (in rare circumstances, for minor witnesses, testimony is provided by telephone with the phone put on speaker in the courtroom for all to hear), and a court reporter or tape recorder keeping track of what happens verbatim. In a trial, essentially all evidence comes in through witnesses sitting on a special the chair in front of the judge designated for witnesses (called the witness stand) at the request of either the prosecuting attorney, or the defense attorney. This is the only way the evidence is introduced (other than by stipulations of both side's lawyers). Prosecutors and defense attorneys don't testify or provide evidence themselves. The judge is usually not told what evidence will be offered at trial in advance, although sometimes a pre-trial hearing is held to consider a particularly important piece of evidence's admissibility prior to trial, in a hearing on what is called a "motion in limine" or a "motion to suppress". If that happens, the judge's decision made in advance will be honored by the judge when anyone tries to introduce the evidence at trial. But those are the exception and not the rule. Usually, any witnesses can be asked any questions at trial and the judge does not consider the admissibility of the answer to the question until it is asked and objected to by the other side's lawyer at trial. A defendant can choose to be, but is not required to be, a witness in his or her own case. In a trial, when it is their turn, the prosecution and defense, respectively, ask witnesses to sit at the witness stand one by one and ask them questions, which the witness answers under oath, absent an evidence objection from the other side's attorney. While a witness is on the stand, exhibits such as documents or physical objects can also be introduced into evidence in connection with the authenticating testimony of the witness (except in cases where both sides stipulate to the admission of the documents or other non-testimonial evidence). As the lawyers try to introduce evidence by asking a question to a witness on the stand, or by asking the judge for permission to introduce non-testimonial evidence, the other side's attorney can say, "I object". If that happens, the witness on the stand is not allowed to answer the question and the non-testimonial evidence (e.g. documents, or a knife allegedly used in a crime) is not made available to the jury until the judge rules on whether it is admissible or not in accordance with the rules of evidence. Usually, the judge rules on the evidence objection immediately in the moment, although in rare cases, the judge will let the jury have a break for a few minutes while hearing arguments from the lawyers for both sides on about the relevant evidence rules and/or researching the legal issue, before ruling on the evidence issue. Once the judge rules on the evidence issue, the trial continues immediately. If the judge "sustains" the objection to the evidence, then the question doesn't get asked and/or the jury doesn't get to see the non-testimonial evidence. The lawyer whose question or offer to introduce evidence was successfully objected to moves on to their next question (if any) for the witness instead. If the judge "overrules" the objection to the evidence, then the witness answer the question and/or the jury gets to see the non-testimonial evidence which is "received" into evidence by the judge. This process continues continuously, for as many business days as it takes, until all witness testimony and all non-testimonial evidence has been presented to the court and both sides have told the court that they have presented all of their evidence. Then each side makes closing arguments to the jury, the judge reads the jury instructions of law on how to resolve the case, and the jury is sent to closed room to discuss the case and decide whether to say "guilty" or "not guilty" with respect to each charge brought by the prosecution in the trial. This decision is called a "verdict" and when the jury has made up its mind on all charges present to it, the jury lets the judge know that it has made up its mind, and the judge calls everyone back to the courtroom, and the jury tells the judge what they decided in open court. If the verdict is "not guilty" on all criminal charges in the case, then the case is over, with no post-trial motions and no appeals. If the verdict is "guilty" the defendant is convicted, subject to post-trial motions to declare a mistrial and appeals by the convicted defendant. If the convicted defendant appeals the case, and the judge abused his discretion in overruling an objection to the evidence that is made by the lawyer for the defendant (or the defendant personally if the defendant is not represented by a lawyer), because no reasonable judge could have found that the evidence was admissible under the circumstances, then the appellate court rules that the judge has made an "error". The appellate court will not find that the judge's ruling is an "error" if the judge made the correct decision for the wrong reason. If it is reasonably possible that "error" possibly in combination with other errors made by the trial court judge could have caused a convicted criminal defendant to have been acquitted by the jury if the errors weren't made by the judge, then the defendant gets a new trial. The new trial usually before the same judge with a new jury. But the new trial is before a different judge and a new jury if the judge is no longer a judge on the court for any reason, or if the judge has been so defiant of the appellate court (typically ignoring its instructions in a retrial after a first appeal) that the appellate court decides it must remove the judge from the case. A criminal defendant is only acquitted by an appellate court if the appellate court finds that it would be impossible under any circumstances for the defendant to be convicted in a new trial, possibly with different evidence presented by the prosecution. What happens if a private citizen does the above? This doesn't make sense. Private citizens don't rule on the admissibility of evidence in a criminal trial, and can't introduce evidence in a criminal trial except at the request of a prosecuting attorney or defendant's attorney by being called as a witness and asking the questions that the lawyers (and sometimes the judge as well) asks the witness. Witnesses are not allowed to volunteer testimony or provide documents to a jury unless asked to do so by a lawyer in the case. What happens if someone provides evidence in court without the knowledge of the judge? As the process described above should make clear, this is basically impossible absent some extremely irregular event on the same level of irregularity as someone bribing a jury or threatening a jury with harm if he votes the wrong way.
Even before the police have any idea who did it, Bob is guilty of whatever wrong he did. However, if you want this to be a legal question and not a moral one, we should assume that you really want to know "Can Bob be convicted of murder, if the evidence proves that he did do it?". Yes, he can. See Morris v. State, 214 S.W.3d 159. The critical question was whether the defendant understood the charges (he did) and whether he could assist in his defense (he could). The desideratum of being able to assist in your own defense only goes so far. On the other hand, maybe no, per Wilson v. US. A government expert witness "testified that appellant had permanent retrograde amnesia and would not be able to aid in his own defense in terms of remembering any of the acts alleged in the indictment". The crucial difference seems to be whether one just has loss of memory, vs. loss of memory connected with some other mental disorder. [Addendum] Per Dusky v. United States 362 U.S. 402, competence to stand trial depends on whether the accused has sufficient present ability to consult with his lawyer with a reasonable degree of rational understanding -- and whether he has a rational as well as factual understanding of the proceedings against him. I am not aware of any exceptions e.g. whether this is not the case with strict liability crimes like statutory rape, and since it is generally held that "competency" is a requirement mandated by the due process clause, I don't think there could be an exception.
What happens when there is a typo in a law? Specifically when it is not clear what the law refers to due to the typo In Austria we have a law that forbids having 'dangerous animals' as pets. To be more clear the law then gives us a list of what is considered a 'dangerous animal' using latin names. In this list we have the latin name 'Scolopendra gigantica' which refers to a giant centipede. Now, a little google search reveals that in fact 'Scolopendra gigantica' does not exist and they most likely meant 'Scolopendra gigantea'. Now the thing is when it comes to latin names (and the pet trade that this law tries to regulate uses almost exclusively latin names) it is important to get it correct as similar sounding latin names can still mean different animals. For example a 'Grammostola pulchra' is an entirely different species of tarantula than a 'Grammostola pulchripes'. So one could argue that I could go to a pet shop, see something named 'Scolopendra gigantea', check real quick if it is on the list of illegal animals and since it is not on the list buy it without second thought. Now my questions are: Could this mean legal consequences or would I be safe as I "bought nothing illegal"? If a scientist discovers a new type of centipede and names it 'Scolopendra gigantica', would it be illegal immediately? If it was illegal to own a 'Scolopendra gigantea' due to that law and a scientist now names a new centipede 'Scolopendra gigantica' would that immediately legalize the 'Scolopendra gigantea'? Sidenote: I don't plan on getting one, it just intrigues me how this would be ruled because honestly, I have not even the slightest clue.
In the vast majority of countries (both common law and civil law), statutes are interpreted in a manner that reflects the intend of the drafters of the statute a.k.a. legislative intent, when it is possible to reasonably determine what was intended. There is a canon of statutory interpretation in almost all legal systems that provides that absurd or nonsensical interpretations of legislative language are to be disregarded in favor of those that reflect the likely intent of the body passing the law, even if the literal and technical reading of the words does not state precisely what was intended. Thus, if there is a clear grammatical, punctuation, or spelling error and the intend meaning can be discerned from the language of the law, the larger context of the law, or extrinsic evidence such a legislative history and public discussion of the reasons for enacting the law in the first place, those clues will be used to interpret the legal effect of a law. Could this mean legal consequences or would I be safe as I "bought nothing illegal"? No. Ignorance of the law is no excuse even in cases where the interpretation of the law calls for the courts to ignore minor errors in legislative drafting. You would have an argument, but where you can state "in fact 'Scolopendra gigantica' does not exist and they most likely meant 'Scolopendra gigantea'." The likelihood that you will face legal consequences is great. Also, in this particular example, keep in mind that biological species sometimes have more than one accepted Latin name, or once had a different name than the currently accepted name. For example, in this case, "gigantica" and "gigantea" are different grammatical inflections of the same Latin root word, and really are the same word in the same way that "geese" and "goose" are different tenses of the same word in English that refer to the same genus of birds. If a scientist discovers a new type of centipede and names it 'Scolopendra gigantica', would it be illegal immediately? The judges would look at all of the facts and circumstances and decide if the new species was within the scope of what the law intended to ban. But, the mere fact that the word is the same would not make the law apply to it. In the same way, suppose that a law had an exemption and didn't apply to animals in the town of Zootopia where many exotic pets are naturally common in the wild because a failed zoo released them into the area. But, given that context, the town of Euclid could not make itself exempt from the law by renaming itself Zootopia after the former town of Zootopia was disincorporated after its residents were all eaten by lions. If it was illegal to own a 'Scolopendra gigantea' due to that law and a scientist now names a new centipede 'Scolopendra gigantica' would that immediately legalize the 'Scolopendra gigantea'? No. For the same reasons discussed above. Footnote Re Similar Issues With Controlled Substances Laws This said, the issue you discuss does come up, and sometimes wins and sometimes loses, in the case of laws regulating controlled substances (i.e. illegal drugs). One of the reasons that this comes up is that the proper names of chemical substances in organic chemistry is not, as it is in biology, arbitrary. The name of an organic chemical is determined from looking at which atomic elements in which combinations with what kinds of bonds to each other are present. Given a chemical diagram of an organic chemical, every organic chemist would give it the same name, even if they've never discussed it, and likewise, you could ban an organic chemical that has never been observed or synthesized in real life and it would be illegal if it ever was synthesized. These statutes have usually been interpreted strictly to apply only to the named chemicals, but usually include an additional statutory section that either ban "analog" chemicals that are intended to or do have the same biochemical effect as the banned chemical, or allow an administrative agency to add new chemicals to the list without legislative action. Still, complications do come up even then because many lawyers and legislators become lawyers or politicians because they couldn't become doctors or engineers, because they flunked organic chemistry. (Joking aside, almost 50% of college students in the United States taking organic chemistry for the first time fail the course. This and first semester calculus are the most frequently failed college courses in the United States.) The Florida Cheese Ban For example, Florida recently classified a chemical present in many kinds of ordinary cheese as a controlled substance, which would in theory make every grocery store owner and millions of Floridians felons. Florida probably meant to ban high concentration synthetic extracts of that chemical administered as a drug, but didn't do anything to say so. But interpreting the statute to have that meaning was harder in that case since the same statute applies to many, many different drugs and the interpretation of the statute would make the ban on the chemical found in cheese make sense, would not make sense for the other drugs on the list. But, Florida courts may ultimately end up ignoring the addition of that chemical to the list based upon the canon against absurd interpretations, at least on an "as applied" case by case basis where the literal meaning of the statute would make millions of Floridian felons for violating this law. The Grand Junction Conviction For Possession Of A Legal Drug Another case came up in Grand Junction, Colorado where a woman was prosecuted by a government lawyer for possession of a controlled substance for possession of a chemical named in the indictment, and her government provided public defender had his client plead guilty to the crime. The woman tried to explain that this made no sense since its was an ordinary prescription drug, but the prosecutor, her own lawyer and the judge didn't believe her, and her public defender told her she was certain to be convicted anyway. (It isn't clear if she actually had a prescription for the drug, but even if she didn't, it wouldn't have been a crime.) So, she took a plea deal and was sent to prison to serve a medium length incarceration with work release sentence, instead of the medium length prison sentence she could have received if she went to trial, was convicted, and received a typical sentence for that conviction. The problem was that the chemical she was indicted for possessing in violation of the controlled substances act wasn't actually on the controlled substances list and wasn't an analog version of a controlled substance. There was also no reason to think that the drug he was convicted of possessing which had no pleasurable psychoactive effect was ever intended by the legislature to be banned or regulated. About a year later, in the year 2005, when this issue was ultimately discovered, a different criminal defense lawyer brought a post-conviction challenge to the conviction on the convicted woman's behalf, and the convicted woman was released with the conviction vacated, because the crime she was indicted for committing and convicted of didn't exist. Allysan Isaac, 24, was held nearly a year in work release for something that a judge said Tuesday was not even illegal. "You were incarcerated for a case that was not a crime," said Mesa County District Judge Brian Flynn, who presided over the case. Flynn, the prosecutor and Isaac's defense attorney were unaware last year that the offense she was charged with was not a violation of the law. No one had noticed that a prescription drug found in Isaac's possession, an anti-anxiety medication called Buspirone, is not a controlled substance. ... District Attorney Pete Hautzinger said he had "no idea" why Isaac had been charged with and convicted of something that wasn't a crime. The defense attorney who represented Isaac in the first case was also baffled. "I don't have an answer," assistant public defender John Burkey said. "Nobody caught it. The police were saying it was a controlled substance." (Source quoting from and citing an article I read and confirmed the story from in the Rocky Mountain News, a now defunct newspaper. Corroborated here.) Incidentally, even though this woman was horribly wronged because of this wrongful conviction, the prosecutor and judge had absolute immunity from civil liability for the wrongful conviction, and criminal liability requires knowledge that you are committing a crime. The government likewise had no duty to compensate her for her wrongful incarceration because her rights weren't intentionally violated by anyone as required by civil rights statutes. She may have had a claim for legal malpractice against her own lawyer, for which negligence can be a basis of liability. Even that would have been a difficult case to win, however. This is because she would have to show that the public defender violated the standard of care of a reasonable lawyer by relying upon law enforcement's claim that a substance was a chemical banned by the controlled substances act which is a question of fact upon which expert witnesses could reasonably disagree. There is nothing in the public record to show that she pursued such a claim, but a private settlement reached before the case was filed wouldn't be revealed in that way. So, it is possible that a private settlement was reached in a legal malpractice case against her public defender that never actually resulted in a case being filed in court.
You should probably look up the Open Gaming Liscense (OGL) and what you can or cannot do with respect to it. Generally, classic fantasy monsters (Dragons, Manticores, Sasquatch, Vampires). Are fair use. OGL also allows for creatures that are similar to D&D exclusive monsters to exist so long as the name is changed sufficently. Most "monsters" are in what's called Public Domain and are free to use and modify. Additionally "powers" of a monster (or superhero) aren't generally copyrighted but the totatllity of their use in a work can be (does your superhero fly? Is super-strong? Is invulerable? Can be fine. Is he named Clark Kent? That's a problem). Fair Use also allows for some parody but again, it's a defense to copyright infringment and not a liscenses to take someone elses work wholesale. It also doesn't stop them from suing you, as you have to claim fair use as your defense if and when each suit arises. I'd recomend looking at National Comics Publications, Inc. v. Fawcett Publications, Inc. for an example of an intellectual property dispute that is close to yours. Note that Fawcett won at trial but lost on appeal and rather than take the matter before SCOTUS decided to settle out of court.
My gut response without really analyzing it (which is honestly what a lot of these cases boil down to in the end) is that the proposed name would imply an affiliation with the company that does not exist. A case challenging that name could be expensive and come out either way. Instead, "The [Wife's Name] Toy Museum" with descriptive material in brochures and on a website saying that the exhibits were manufactured by "Toy Company", which is a nominative use that does not imply an affiliation with the Company would be a wiser move.
The "Crabs" game can be legal if it is seen as a form of parody. That is one of the forms of "fair use" that allows copying (within limits). This is to allow the use of limited amounts of copying for critical or "mocking" pieces, which are considered a form of free speech. Two other issues come into play under "fair use." The first is whether or not this is "commercial" (yes) or non-commercial (e.g educational) use. That is mildly negative for "Crabs" but by no means dispositive. The second is the likely market impact, whether the new use tends to compete with the old use in its "home" market, or whether it is likely to open a new market of a very different, perhaps "opposite" audience that might later buy the original as a "crossover." The "Crabs" game seems to address the "green" or at least "pro animal" (PETA) market. If the defendant can show that the "Cards" market addresses e..g., your "inner Nazi," making it "opposite," that would be ideal. It would be less convincing if "Cards" were addressing e.g. human rights, because that might be seen to overlap with the green market in terms of social conscience.
Normally, initial identification is conducted by a police Dog Legislation Officer: ...or an officer trained in dog-related legislation with a good knowledge of the identification of the prohibited types of dogs. Who will normally: provide an expedited streamlined forensic report on the dog type and will almost certainly be the prosecution expert witness. Where the police are not the prosecution’s expert witness, they will identify an expert witness from a suitable organisation... One such organisation is the British Veterinary Association, but other expert witnesses with the requisite knowledge and understanding are available. Where the defence challenge the identification / type of dog: the court may direct the experts to serve a statement on what they agree and what they do not agree Although DNA testing is possible, in my experience the identification is based around the dog's appearance and physical characteristics. For example, Annex 2 of this Guide(pdf) gives a starting point for identifying Pit Bull Terrier (PBT) types.
european-union united-kingdom There are laws about consumer product safety that are not specific to umbrellas. In the EU, and including the UK for the time being unless its laws diverge, the framework is given in the General Product Safety Directive of 3 December 2001. Its preamble notes that It is very difficult to adopt Community legislation for every product which exists or which may be developed and so the Directive exists as a catch-all for products that aren't specifically covered elsewhere. As there is no Umbrella Tips Directive, here we are. The UK implementation was the General Product Safety Regulations 2005. Some children's umbrellas will be covered by the Toy Safety Directive of 2009 instead, and in the UK that is the Toys (Safety) Regulations 2011. The GPSD regime is quite general and its definition of a "safe product" is to be interpreted in the context of its marketing, likely uses, accompanying instructions, likelihood of degradation over time, and so forth. The TSD does have some more specific rules, such as that protruding points and edges of toys should be designed so as to reduce the likelihood of injury as much as possible. But this too is subject to contextual interpretation, and there is no direct rule saying how spiky the spikes can be, for example. Note that regarding umbrella safety, it's not just about the pointy bits. Ribs may be sharp, and catch fingers when the umbrella is being folded Spring-loaded mechanisms may cause the umbrella to unfold violently The fabric may be toxic If the handle is hard to grip, then it might blow out of my hands and injure somebody etc. If there are your proposed safety balls on the end of the ribs: They could fall off to leave an even sharper fixture than in conventional umbrellas They could be unscrewed and swallowed by a child They could shatter into little pieces when I accidentally whack the umbrella against a wall, and the little pieces might get in my eye etc What I mean to say is that it's not just about requiring a particular mechanism, but there are all sorts of things to think about in how the requirement is phrased. All of these are already implicitly dealt with by the current safety regime. Moreover, it can be adapted to changing technology and circumstances more easily than if it were fixed in primary legislation. So it is, with respect, not completely obvious that a law about umbrella tips would do the job better than the existing regulatory situation.
A typo in a contract does not ever void the contract. If the typo changes the meaning of the contract from what was actually intended, then it is up to a judge to interpret the contract and whether it is reasonable that a person would assume its intended meaning. In your example, it is obvious that the word "least" was meant to be there and not "lease" - as the alternate word makes no sense in context - so a judge would not void the contract or release you from your 30 day obligation (which is probably even granted to the landlord by local laws regardless of whether it was stated in the contract). Even misspellings of people's names or addresses on a lease do not void a contract if you have already paid or taken up residence. If any of these situations were brought to court, the judge would just amend the contract to a corrected version that would then serve as the contract between the two parties, replacing the version with the typo. This is known as contract reformation.
A person who uses a name similar to an existing protected trademark may have committed trademark infringement. The trademark owner can sue, and possibly collect significant damages, and possibly also get an injunction against further infringement. Note that this is not a matter of a crime, but of a lawsuit by one person or business against another. (A point of terminology: A trademark, like a copyright, is said to be "infringed" when someone uses it without permission in ways that the law does not allow. The word "broken" is not used for this.) In many countries, only marks properly registered with the appropriate national registry are protected. In the US simply using the mark can lead to its being protected, although registration can give greater rights to the mark owner. Protection in one country does not give protection in another. In general, protection only applies in the same or a similar market area as that in which the mark is already being used. An electronic game may well be similar enough to a card or board game for protection to apply. A key question is how similar a mark can be and avoid infringement. The basic test is if a reasonable person could be confused into thinking that the products were from the same maker, or were affiliated, or that the maker of the original product or service endorsed the new one. This is always something of a judgement call. If a mark is similar enough that a judge or jury might think that some reasonable consumers would be confused or mislead, then there is risk of an adverse judgement. Note that even an unfounded suit may be costly to defend. If there is any question, consulting an experienced trademark lawyer may well be a good idea. I will not express an opinion of the similarity of "2oobbllee" and "Dobble". That would be legal advice. But if the OP were to change the name of the app, the whole matter would seem to be finished with no risk of court action. Note that the concept of a game, unlike the name, cannot be protected, neither by trademark law nor by copyright law,
Are there states other than Israel where judges appoint each other? In the state of Israel, new judges (at all levels) are appointed by a committee of 9 people, including 2 members of parliament, 2 representatives from the ministry of justice, and 2 representatives from the bar association, in addition to 3 supreme court justices. In order for a new judge to be approved, a majority of 7 members have to vote for them, effectively giving the 3 judges (who consistently vote as a bloc) the ability to veto any appointment they disagree with, thus the statement that the judges appoint each other. Are there any other countries where this is also true, even if it's using some other system?
Judicial appointments in England and Wales (plus courts that cover the whole of the UK) are made by the Judicial Appointments Commission. This was set up in 2006 to improve the separation of powers in the UK, removing the ability of a government to select sympathetic judges. The committee comprises ...the judiciary, the legal profession, non-legally qualified judicial office holders and the public. So it could be said that judges in the UK are to some extent self-selecting, but the commission responsible also has members who are not judges.
No. Indonesia Law uses Civil Law structures which use an Inquisitorial Trial. The chief difference is that in the United States (which has a Common Law Structure) the judge usually does not decide the case, but interprets the law (Trier of Law) and with a few exceptions, will determine the sentence once guilt is found. The Jury decides the case (Trier of Fact) and pronounces guilt (It is the right of the defense to request a Bench Trial, which gives the Judge both roles. The prosecution cannot object to this request). In a Civil Court, the big difference is that their is no Jury and the Judge has both roles (Trier of Law, and Trier of Fact). As the name suggests, rather than two sides fighting each other (adversarial), the two sides are answering questions posed to them by the Judge or usually a panel of Judges are used and the Judge may initiate further investigation in the evidence. The United States does use Inquisitional Trials from time to time, but they are often seen in misdemeanors, traffic courts, and small claims courts. The latter is a popular daytime TV genre (think Judge Judy) while misdemeanors and traffic court decisions are often time funny and make great Youtube videos. There are not many great Adversarial media as many throw out rules for time sake (real U.S. trials have many long boring periods during testimony) and story/drama sake. I would recommend "My Cousin Vinny" which was written by two lawyers who were fed up with Hollywood messing up how court room drama works and is hilarious to boot. When viewing either, take them with a grain of salt.
The decisions of the U.S. Court of Appeals for the 9th Circuit are binding precedents on the lower federal courts of the 9th Circuit. The decisions of the U.S. Court of Appeals for the 7th Circuit are binding precedents on the lower federal courts of the 7th Circuit. These decisions are not binding precedents, even as to federal law, on state courts, or in any other circuits, although they are persuasive authority in all jurisdictions that don't have a contrary binding precedent. When two circuits reach contrary legal conclusions in binding precedents, this is called a circuit split. Sometimes, circuit splits are resolved by the U.S. Supreme Court (a large share of its docket is devoted to such cases). Sometimes Congress wakes up and enacts a law that resolves the dispute if it involves a non-constitutional issue. Sometimes (arguably, most of the time), circuit splits go unresolved for years or even decades, and the meaning of a federal law or a treaty in one part of the United States is different from the meaning of a federal law or a treaty in another part of the United States. In some other circuit where the legal issue that is the subject of the circuit split is question of first impression with no binding case law decided in that circuit, the U.S. Court of Appeals for the Second Circuit, for example, the parties will offer up persuasive authority from the 7th and 9th Circuits that have previously issued binding precedents on the issue and will try to argue that the one that favors them is correct, or that there is a third way to consider the issue that also favors them. Indeed, often the U.S. Supreme Court deliberately refrains from resolving circuit splits until a clear majority has emerged favoring one view or the other. Even simply counting how many circuit splits exist is a surprisingly tricky matter. For example, one database estimates that 29%-41% of U.S. Supreme Court decisions in recent years resolved circuit splits (at the same link) but that was realistically an underestimate. the question is whether geographic or the temporal instancy in opposing decisions makes one over the other binding authority. There is not. There is no procedural rule that resolves a circuit split.
The answer is going to vary from state to state and, even within a state, from jurisdiction to jurisdiction. However, in general terms, non-judicial court officers, such as clerks of court and prothonotaries, will have specific tasks delegated to them by the court; they can make decisions on matters that the legal system does not consider to require judicial discretion and judgment. These are often described as "ministerial." They may include significant decisions with significant consequences: for example, dismissing a case, or granting judgment against a party, where a party has missed a deadline. In some if not all cases, these decisions can be appealed to a judge, but are unlikely to be overruled. There are also another class of non-judges, such as magistrate judges and administrative law judges, who take on more traditional, non-ministerial judicial roles, acting and making decisions that call for the exercise of judgment; again, these are generally appealable to a regularly appointed or elected judge. The short answer, then, is: Clerks of court cannot do everything a judge can do, but they can act on their own discretion when the matter falls within their ministerial authority. This authority can include, in appropriate cases, deciding who wins and who loses a lawsuit.
In the United States, the answer depends on who is unlawfully in power. In the hypothetical you presented, the answer is probably that the law would remain valid, as Congress generally has the sole authority to pass judgment on whether to admit the elected person. A third party would not have the ability to challenge the law based on the qualifications of a lawmaker. But if we were dealing with an administrative official promulgating regulations, those rules would generally be void if that official were unlawfully appointed. That was the case in Nat'l Labor Relations Bd. v. Canning, 573 U.S. 513 (2014), where a cola distributor challenged a labor regulation, saying that the members of the NLRB who enacted it were improperly appointed. The Court agreed that the appointments were improper, so the regulations were nullified. A judicial decision coming out under these circumstances would also be nullified if one of the judges weren't really a judge. That happened just last year, in Yovino v. Rizo. In that case, ten judges from the Ninth Circuit heard a case, and the vote split 6-4. But the author of the majority opinion died before the decision was published, which is when it become effective. The Supreme Court held that because there were therefore only five votes for that decision, it was not a majority opinion, and therefore not binding on future Ninth Circuit panels.
Yes An American would spell it as “your honor,” but yes, this is how we refer to all judges. This is simply a custom that shows respect. There is no law or concrete fact I could cite that requires this; it is more of a “tradition.” But I have seen plenty of court proceedings (mostly on TV), and I can confirm that all judges, ranging from small claims court to the Supreme Court, are called “Your honor.” (The chief justice of the Supreme Court is sometimes addressed as “Chief Justice.”) Googling articles about courtroom etiquette also mostly leads to people who agree with this. Apparently, there are some countries where it is customary to say “my honor,” or even something else altogether. Sometimes people from these countries immigrate to the US and continue using their local terminology in a US court. Although every judge is different, my perception is that most judges try to be inclusive of other cultures, and if whatever term they use is intended as a sign of respect, most judges will usually just interpret it as it was intended.
First, while Law and Order should not be taken as an accurate depiction of a New York trial, it especially should not be taken as an accurate depiction of an Australian trial. Australian law, while it has some major similarities with US law (both ultimately derive from the law of England), is not US law. With procedural matters (such as "may jurors ask questions of witnesses"), it can potentially differ from court to court. In general, jurors may not simply ask a witness a question. The jury's job is not to investigate and figure out if the defendant was guilty or not; it's to evaluate the cases presented by each side. US (and Australian, as far as I know) courts use what's known as the adversarial model, where the prosecution and the defense both present the best cases they can and a neutral third party decides which case was stronger. In a US criminal trial, the state is expected to justify why someone should be in jail; the jury shouldn't be helping them justify it. This isn't how all jurisdictions around the world work, but it's how the US does. One concern with juror questions is that it has the risk that the juror will not be impartial. Jurors are not supposed to get into arguments with witnesses, or to go after them to try to prove a point. In your case, the juror might be introducing an entirely different line of reasoning from the one either side is presenting, and that's simply not their job. People have raised the concern that a juror thinking up questions might be deciding the case before they hear all the evidence, and might give too much weight to the answers to their own questions (or read a lot into it if a question is denied). There are also rules on what questions may be legally asked; lawyers know these and jurors generally don't, which is why jurors may almost never directly ask a question to a witness. Where they can ask questions, it's virtually always written questions, which the judge reviews, gives to both sides to see if anyone objects, and then reads to the witness in a neutral tone.
The law does have examples They are called “judgements” Every case decided by a court is an example, in common law jurisdictions at least. When those cases are decided by an superior court they become precedents - binding “examples” on courts in their hierarchy and persuasive “examples” on other courts. When you go to a lawyer for advice, she doesn’t just parrot back the statute, she looks at the precedents and decides whether the case decided by the House of Lords in 1848 or the High Court of Australia in 1912 more closely matches your situation. Also, statute law often has examples written into them Statues exist in hierarchies, Constitution, Acts, Regulations, Departmental Policies etc. and the lower you go the more specific the law is and the more likely it is to have examples. For example, this answer I wrote for another question quotes examples from the new-south-wales Evidence Act.
Have any countries banned helicopters? I was curious as to whether any countries had banned helicopters being flown within their air space? Whether this be people flying there for business purposes, flying domestically, or leaving the country by helicopter. For the answers, if there is an exception between civilian and military usage of helicopters then that would be interesting and a valid answer.
The Vatican City State did this between 1929 and 1984, indeed for all aircraft. The Lateran Treaty of 1929, between the Holy See and the Kingdom of Italy, said (Article 7, paragraph 3): In conformità alle norme del diritto internazionale, è vietato agli aeromobili di qualsiasi specie di trasvolare sul territorio del Vaticano. In accordance with the provisions of International Law, it is forbidden for aircraft of any kind whatsoever to fly over the territory of the Vatican. The revision of 1984 did not preserve this provision (see its Article 13(1)). The present situation is that Vatican airspace, managed by the Italian national authorities, is subject to flight restrictions preventing low-flying aircraft and drones. So you cannot legally buzz St Peter's Basilica in your helicopter, but you could fly at a higher altitude in the normal way. (The restrictions are for anything below 3500 feet, and for comparison St Peter's is about 450 feet tall.) There are obvious exceptions for papal or other official travel, and Popes have used their own helicopters to travel in and out of the Vatican since 1976. Since 2015, the helipad has also been made available for emergency use by medical helicopters from a nearby children's hospital. That demonstrates the extent to which it is not available for routine travel. Therefore, I think that "flying there for business purposes, flying domestically, or leaving the country by helicopter" are all forbidden, unless you are the Pope or have his permission. You also cannot land or take off in a fixed-wing aircraft, but that's largely a matter of geography, not law: there is no runway.
No they didn't break any British traffic regulations. As can be seen in the video, the road is closed to regular traffic. This is done by British police motorcycles according to British traffic laws. On this temporarily closed road regular traffic regulations no longer apply. Bidens motorcade can use whatever light they feel like. This is the same principle that happens in say a political demonstration. Police block the road for regular traffic. Afterwards trucks with all kinds of decorations are allowed to drive inside a crowd of walking people. This would not be legal according to British traffic regulations but it is fine in this situation because the road is blocked for regular traffic.
It is not the case that treason must be tried by a military tribunal. See for example US v. Kawakita, which was an ordinary civilian jury trial. I cannot even imagine why one would think that there is any such requirement. Here is the federal law against treason, and nothing says "offenses must be tried in a military court". Perhaps that misconception was based on the use of military tribunals during the American Revolution, which preceded the creation of a US legal system.
Say I build myself a faraday cage/wave screen around my house, potentially resulting in poor nework coverage for my neighbours. Questions about land property and constructing permits apart, can I be sued for that? By the network operator? by the neighbours? In most countries, the use of the radio spectrum is regulated (who may send what on which frequency, at which power, etc.). As part of these regulations it is usually forbidden to interfere with the reception of radio waves. So if what you do causes your neighbours to have reception problems, then yes, that will most likely be illegal. In France, the government agency responsible for these problems is ARCEP (Autorité de Régulation des Communications Électroniques et des Postes). If someone notices reception problems, they can complain to ARCEP, as explained for example on the page Le traitement des plaintes en brouillage ("Handling of complaints about jamming"). While you will probably not go to prision for jamming reception, you could have to pay a significant fine. This article on cell phone jamming mentions a penalty of "up to six months in prison or a 30,000 € fine" for "selling or installing" a cell phone jammer. In addition to that, anyone harmed by the reception problems could sue you in civil court and try to collect financial damages (how much that would be will be up to a judge to decide). That said, note that a faraday cage around your house should not hinder reception outside your house. A faraday cage only influences reception inside the cage, not outside. However, that is off-topic here :-).
Your VPN scenario is why you have to show the banner to everyone. If you somehow knew beyond any doubt that someone was not in the EU, then you would not have to show a banner, but because you can't verify that, you should always show the banner. Doing so also protects against accidentally violating a similar law in another country; the GDPR is the best-known privacy law, but it is far from the only one. It's good practice to ask for people's permission before collecting their information anyway.
Killing people is not illegal Killing people in certain circumstances (e.g. murder, manslaughter, negligent driving occasioning death) is illegal but killing people when you have a lawful reason to do so isn't. Military drone pilots acting under legitimate military authority and complying with the rules of engagement for the particular armed conflict are legally allowed to kill people. Whether they should be allowed to do so is a political and philosophical question, not a legal one. Of course, a drone pilot acting without legal authority to murder someone can be charged with murder.
Yes, and sometimes it even makes perfect sense that such an activity would be a crime. For many crimes, attempting the crime is a crime. The attempt may have no actual effect on any person or property, but is still illegal. According to 16 U.S. Code § 1538(a)(1)(C) it is illegal to kill an endangered species on the high seas. A whale in international waters cannot really be considered anyone's "property" (and since it's in international waters there can't even be some weird theory of it being the government's property) but it is still illegal. 18 U.S. Code § 700 purports to prohibit the desecration of a flag, although this was found unconstitutional. 18 U.S. Code § 708 makes it a crime to commercially use the coat of arms of the Swiss Confederation, for some reason. And 18 U.S. Code § 711a makes it a crime to use the slogan "Give a Hoot, Don’t Pollute" for profit, except as authorized. (But maybe that sort of thing counts as intellectual property.) 18 U.S. Code § 342 makes it a crime to operate a passenger train under the influence of alcohol or drugs. This really only affects people and property if the train is driven improperly as a result; if you make it safely, you'd probably never even know. But the driver would still be facing up to 15 years in prison if he was caught doing that. And finally, according to A Crime a Day on Twitter: 33 USC §1232(b), 33 CFR §401.101 & §401.94(a) make it a federal crime to violate the St. Lawrence Seaway regulations by not having a copy of the St. Lawrence Seaway regulations while you pass through the St. Lawrence Seaway.
I should have done my research properly, hopefully this will be indexed and be helpful to someone else in the future. The specific legislation is The Road Vehicles (Construction and Use) Regulations 1986 regulation 98: Stopping of engine when stationary 98.—(1) Save as provided in paragraph (2), the driver of a vehicle shall, when the vehicle is stationary, stop the action of any machinery attached to or forming part of the vehicle so far as may be necessary for the prevention of noise. (2) The provisions of paragraph (1) do not apply— (a) when the vehicle is stationary owing to the necessities of traffic; (b) so as to prevent the examination or working of the machinery where the examination is necessitated by any failure or derangement of the machinery or where the machinery is required to be worked for a purpose other than driving the vehicle; or (c) in respect of a vehicle propelled by gas produced in plant carried on the vehicle, to such plant.
How the rights of the DotA map could be transferred to Valve? Dota (Defense of the Ancients), was a Warcraft 3 custom map that got the rights transferred to Valve in 2010 when two of their developers (Eul and IceFrog) were hired by Valve. However, Warcraft 3's terms of use forbid commercial use of custom maps created for that game. Was this considered a commercial use or a breach of contract somehow?
An additional important fact is that the EULA at the time did not assign Blizzard the rights to custom maps.1 And since 2010, Blizzard and Valve have jointly registered DotA-related copyright. See e.g. U.S. Copyright Registration Nos. TX0008153084 and TX0008149056. The theory of ownership is as follows. Because the EULA did not assign Blizzard the copyright in the customization, the modders gained copyright in those, despite the restriction that they not be used commercially. It was then free to them to transfer those rights to Valve. A court has considered in passing whether this assignment to Valve was valid. See Blizzard Entm't, Inc. v. Lilith Games (Shanghai) Co., Ltd., No. 3:15-cv-04084-CRB (N.D. Cal. May. 16, 2017). The judge recognized that the EULA explicitly prevented Eul and Icefrog (the modders who assigned their rights to valve) from using their creations for commercial purposes. However, because uCool "twice failed to argue that the ban prevented Eul and Icefrog from validly assigning their rights to Valve," the judge understood uCool to have waived that argument. Thus, the status of the copyrights is still in flux. However, commentators speculate that Blizzard and Valve have an agreement/protocol for dealing with these copyright issues. It would take a third-party to argue that copyright in one or more of the DotA variants is in the public domain or actually owned by some other creator and force a court to assess the copyright and validity of the assignment.2 1. Today, the language has been updated to "assign to Blizzard all of your rights, title, and interest in and to all Custom Games." 2. For one person's theory of how this could be the case, see David Nathaniel Tan, "Owning the World's Biggest eSport: Intellectual Property and DotA" (2018) 31:2 Harv. J.L. & Tech 965 at 984 (analogizing to Sherlock Holmes). I am not suggesting that a third party with no ownership interest in the copyrights would have standing to enforce Blizzard's former ToS, ELUA, or other agreements, or its copyrights. I am proposing that the third party might raise these as an arguments in defence of their own use (as uCool did).
It’s personal data ... but why do you think you can change it for free? It’s clearly personal data because it can be demonstrably linked to you, both within and outside Blizzard’s database. Presumably, you consented Blizzard having it or they have some other legitimate basis for having it. So far, this is all GDPR compliant. You have a right to be forgotten, so you can ask Blizzard to delete your account. You have a right to confirm the information is correct. And that’s it. They can charge you a fee to change your user name just like your government can charge you a fee to change your real name.
Expression vs Idea As I understand it, copyright applies to creative expression and not for examples rules of games. That is not correct as stated. Game rule, or more exactly the fixed expression of a set of game rule (what one finds in the package of a commercial game, or in a book such as Hoyle's Rules of Games, can be and usually are protected by copyright. What is not protected is the ideas expressed in a set of rules. These are sometimes called "game mechanics". For example it is a rule of bridge that 13 cards are dealt to each of 4 players. That is a fact, and so is not protected by copyright. But the exact wording of the official Laws of Duplicate Bridge is protected. "creativity" vs "originality" Many things that might not be considered very creative are protected. US Copyright law calls not for creativity, but for an original work. The concepts of "creativity" and "originality" have a significant overlap, but are not at all the same. For example, a person might watch a baseball game and write down play-by-play account of it. That might not be very creative, but it would still be protected by copyright. But the event of the game are facts, and not protected. Someone else might describe the same game in different words, covering the same facts, and that would not be copyright infringement. Another example. A person writes a scientific paper describing in detail a series of chemical experiments and the results obtained. That is not very creative (although the design of the experiments might be). It would, however, be protected by copyright. But the facts and ideas would not be protected. Another person could desacribe the same experiments in different words, and that would not be an infringement of copyright. Merger Doctrine In extreme cases, such as a basic recipe, there is no expression temperate from the facts. In such a case the "merger doctrine" applies, and there is no copyright protection at all. Standards Standards, such as ISO standards, are normally protected by copyright. But the ideas expressed in them are not. And since standards are highly factual, the protection afforded to them is particularly narrow. But when one is testing compliance with a standard, the exact words of the standard may be important. A compliance officer is not likely to accept a paraphrase as a valid substitute. Standards in Laws The actual text of laws (and regulations), however (Federal, state, or local) is never protected by copyright. All are in the public domain. So when a law incorporated and reprints a standard, as is often done with fire and building codes, anyone may freely reproduce the codes as set down as part of law, even through the code has been copyrighted and indeed registered, as long as the source is the text of an enacted law or regulation.
may require that you obtain license rights from third-party owners or licensors of content that you include in your text inputs (Emphasis mine). Based solely on the excerpt above, yes, you have the copyright on the audio files if you created the source material, as you are the creator, using Amazon Polly as/to generate a "tangible medium". One of the central rights granted by copyright is to control translation into a different medium (in this case, from text into audio), as is the right to control distribution, which is what this excerpt is talking about. "Third party" in this case means neither you nor Amazon. Basically, Amazon is informing you that using their software on someone else's copyrighted material does not grant you copyright on the audio recording.
Recall the basic principle of copyright law, as detailed in 17 USC 106: The copyright holder has the exclusive right to make copies; prepare derivative works; or distribute copies by sale, rental, lease, or lending. Other people can legally do these things only if they are given permission by the copyright holder, typically via a license. (Remember, the literal meaning of the word license is permission.) Often, the copyright holder will require a prospective licensee to accept various terms and conditions before the license will be granted. If there is "no EULA", or if there is one but the purchaser has not agreed to its terms, then the purchaser has not been granted any such license, hence does not have permission to do any of the things listed above. If they do so anyway, it is illegal copyright infringement and they will be liable for damages. To use a firewall analogy, copyright law is "default deny". So let's take your questions one by one: Do they own the software? US law has no concept of literally owning software. The closest thing is owning the copyright, which the purchaser certainly does not. It still belongs to the vendor that wrote the software (or whoever they may have later transferred it to). Can they legally alter the code of the program they purchased? No, that would be preparing a derivative work. The copyright holder has not granted them a license to do that. (There are some exceptions for purposes such as reverse engineering and interoperability, see 17 USC 1201(f)). Can they legally redistribute it No; again, that is the exclusive right of the copyright holder, and the purchaser has not received their permission. or transfer ownership? Maybe, if the first sale doctrine applies. Its application to software is complicated. The user has a better case for being able to sell the software if it exists as some tangible object which is transferred (physical media, pre-installed on hardware, etc). Can they legally modify the code of the program for others who have also purchased the same package? No, that would be preparing a derivative work. Can they take that software and install it on a secondary machine? No, that would be making a copy.
This is going to depend on several things. First of all, do you have a lawful, licensed copy of the SDK? My understanding is that Nintendo only licensed the SDK to selected game companies. If what you have is an unauthorized copy, you do not have the legal right even to use it. If what you have is properly licensed, then you do. Or is what you have an unofficial SDK created by someone other than Nintendo? Secondly, what does the license agreement that comes with the SDK provide? Does it require developers to register with Nintendo? If it does, you will need to comply. Nintendo cannot prevent others from writing programs designed to run on their hardware. But they can control who uses their development software, if they choose to. You cannot reproduce in your game any of Nintendo's copyrighted software (or anyone else's) without permission. That applies even more strongly if you intend to sell the software. But you can use any development software for which you have a valid license in whatever ways its license permits. I would expect this includes creating games. It would include selling games that you create that do not use any of Nintendo's code, unless there is a specific provision forbidding that in the license agreement.
It's a contract violation if you're under the EULA. It may be a contract of adhesion, but such "clickwrap" contracts been found to be acceptable and enforceable in software EULAs out of necessity. However, there may be some limits. If you're not under the EULA, as you argue, then you lack a license to use the software at all and it's an outright copyright violation and/or a theft or misappropriation of the software. Whether or not you can be sued depends in part on what you do with it — if you don't release the material or otherwise cause damages then there's not much to sue for... Added for clarification: to answer the framing question, supposing neither contract or copyright applied, one could be sued in tort or in equity (i.e. for unjust enrichment).
copyright will cover the names and graphics of games The names of games are not protected by copyright, nor by patent. The names could be protected by trademark. Note that trademarks are specific to a country: what is trademarked in one country may well not be in another. Almost all countries have a way to search their trademark registries, often online. However in some countries, including the US, use of a name in commerce will confer some protection even without registration. What will be considered a "mechanic"? for example MTG have specific mana system, if someone will be creating a game with same idea but will refer to it with other names such as "Ember" instead of "Fire" will it violate the patent? Game mechanics are not protected by copyright. This includes all the procedures and rules of the game. The text used to express those rules may be protected, but often it is not if it is the most obvious way to describe the mechanics. For example, in chess there are different pieces with different moves. That could not be protected by copyright, even if chess were a new game. In bridge the winner of each trick leads to the next. That could not be protected by copyright either, even if bridge were a new game (and contact bridge is just new enough that it could in theory be under copyright still). How do i know if certain patents are applied and when they expire? Most games are not protected by patent, but some are. Patents, like trademarks, are specific to a country. Each country has a way to search its list of active patents. Note that patents have a strict tiem limit, and they normally cannot be extended or renewed. I believe that the limit of a patent is currently 20 years in most countries. (It used to be 17 years in the US.) If a game is patented in Country X and someone is printing the same game but with different art and names in country Y, will the one who print in country Y could be exposed to a lawsuit? Unless the game is also patented in country Y, there will be no grounds for an infringement lawsuit inn Y. But importing the game into X may be patent infringement, and could expose the importer to a suit.
Durability of Federal legislation protecting abortion rights in US Recently the Supreme Court of the United States, through Dobbs, has restored the right of States to prohibit abortion. Supporters of reproductive freedoms have since renewed calls upon Congress to enshrine these freedoms in federal law. Proponents of such calls on Congress seem to believe that the Supremacy Clause supports the power of Congress to limit the relevant rights of States, with the same effect as the long-standing ruling of Roe. However, such legislation, like all other, may be subjected to judicial review, unlike Roe, which was rather a product of judicial review. Given revelations through written opinion about the personal perspectives of the current justices, do States have a compelling chance of having such legislation overturned, for example by virtue of the Article 1 limitations on Congressional power or the Tenth Amendment protection of States' rights?
The Supremacy Clause makes Federal laws superior to state laws and even state constitutions, but that is only true for Constitutional federal laws. If Congress passed a law seeking to restore the effect of the now overruled Roe decision, there would be a question as to what provisions of the constitution empowered Congress to do so. Such a law might be challenged, and if no convincing source of congressional authority to pass such a law was cited, it could plausibly be overturned. One supposes that the members of the majority in Dobbs would be reluctant to see that decision superseded by a new Federal law. One hopes that they would take a principled stance, and only overturn such a law if there was good legal reason to do so. Without seeing the text of such a law, and the constitutional arguments for and against it, there is no legitimate way to judge if it would be within the power of Congress. As a political matter, I doubt that the current Congress will pass such a law.
The future prospects are negligible, and the present status of such influence is non-existent. In a few cases, you may find an appellate decision citing some statement from a reputable law review. Here is an article that addresses such influences on SCOTUS (which, the authors note, have decreased over time). However, you are describing a wingnut legal theory, and courts do not rely on wingnut legal theories, they rely on what the actual law is.
It's a bit of an oversimplification. You're correct that there is a federal law against murder, 18 USC 1111. However it applies only to a murder committed in the special maritime and territorial jurisdiction of the United States. This covers situations like crimes committed on federal lands such as national parks or federal buildings, or crimes on US-flagged ships at sea, aircraft in flight, or in space. It does not apply to "ordinary" crimes committed at most locations within the US. 18 USC Chapter 51 covers a few other situations, such as murder of a federal officer, foreign diplomat, by incarcerated or escaped federal prisoners, US nationals murdering each other while abroad, and so forth. The idea is that these restrictions keep the laws within the enumerated powers of Congress as stated in Article I Section 8 of the US Constitution. A federal statute covering all murders throughout the US would probably be unconstitutional for this reason. So while what he says is not strictly correct, it is true that in the vast majority of cases, murders are covered by state laws and not by federal laws. Even if one was to agree with Ramaswamy that medical abortions are a form of murder, even still, no federal murder law currently on the books would apply to a typical abortion, except under very unusual circumstances.
Yes, legislative bodies can pass legislation that constrains the interpretation of the rest of their legislation. In the U.S., see 1 U.S.C §1-8. In Canada, see The Interpretation Act. In British Columbia, see The Interpretation Act. As an example of a back-and-forth between the courts and congress regarding a setting a standard of review, consider the passage of the Religious Freedom Restoration Act (RFRA). Summarizing from Holt v. Hobbs 574 U. S. ____ (2015): In Employment Div., Dept. of Human Resources of Ore. v. Smith, 494 U. S. 872 (1990), the Supreme Court held that "neutral, generally applicable laws that incidentally burden the exercise of religion usually do not violate the Free Exercise Clause of the First Amendment". Congress desired a stricter test that prohibited the burdening of religion regardless of whether the laws are neutral or generally applicable. Congress passed RFRA in 1993, which required that "[g]overnment shall not substantially burden a person’s exercise of religion even if the burden results from a rule of general applicability, unless the government demonstrates that application of the burden to the person — (1) is in furtherance of a compelling governmental interest; and (2) is the least restrictive means of furthering that compelling governmental interest". RFRA was passed with the goal of setting the standard of review for all other legislation that burdens a person's exercise of religion. Without RFRA, the standard of review would have been that used in Smith, based solely on First Amendment protections. With RFRA, the standard of review became stronger, basically strict scrutiny. An example of Congress setting the factors to be used in a balancing test is the addition of fair use via the Copyright Act of 1976. Prior to 1976, courts had been applying a fair use exception based on common law rather than statute. The act encoded in statute the four factors that Congress wanted to be considered and listed several purposes for which fair use was explicitly applicable. In this case, Congress basically codified the fair use doctrine as it was being used at the time by the courts. It could be considered an expression of approval for the existing interpretation of the time and a desire to prevent drift in that analysis.
It would not prohibit Colorado from passing the law, but it could prohibit implementing the law. SCOTUS rulings (Powell v. McCormack, 395 U.S. 486; Term Limits, 514 U.S. 779) establish that neither Congress nor the States can require additional qualifications of federal candidates beyond those listed in the Constitution. The relevant question is whether a law imposes an additional "qualification" on a candidate for president. Every state imposes at least one requirement on a person seeking to be a candidate on the ballot in a state: they must somehow "register" as a candidate. So the Qualifications Clause is not interpreted to mean "anybody can run for president as long as age and natural-born". The Anderson-Burdick doctrine allows certain kinds of requirements to be imposed on candidates, namely those that relate to a state's interest on properly managing elections. A no-felon law would clearly go way beyond the accepted state interest (regarding management of elections) reflected in Anderson-Burdick, and would be found to be as unconstitutional as requiring a candidate for president to have a law degree, or prohibiting a candidate from having a law degree.
The US Constitution doesn't say one way or the other how a state's representatives are to be chosen, so until this law was passed in 1841, a state could have all of their representatives elected at-large, without districts. It is only recently that SCOTUS has gotten involved in redistricting questions: here is a summary of leading redistricting rulings. A recurring theme in these rulings has been the Equal Protection Clause, where certain redistricting plans (or non-plans) were found to violate that clause (especially ordering a state to redistrict when it refused to do so with the result being that population changes diluted the vote of those living in certain districts). Wesberry v. Sanders, 376 U.S. 1 held that The constitutional requirement in Art. I, § 2,that Representatives be chosen "by the People of the several States" means that, as nearly as is practicable, one person's vote in a congressional election is to be worth as much as another's thus redistricting is a justiciable question, answerable with respect to the federal government's need to enforce the 14th Amendment. It is not necessary to amend the Constitution further to specify a means of enforcing that clause.
The amendment restricts when a change in law takes effect. The amendment does not restrict all laws, just those "varying the compensation for the services of the Senators and Representatives". A law could be passed this session automatically increasing (or decreasing) congressional pay by 5% per annum, and could take effect after the 2022 elections have taken place in November. Like all constitutional amendments, we do not get an authoritative interpretation of the meaning of the words until someone sues someone else and SCOTUS says what it means. Shaffer v. Clinton, 54 F. Supp. 2d 1014 is a case almost on point, precisely over whether COLAs violate the 27th Amendment. The Executive branch (defendants) sought dismissal and certain Congressmen and citizens (plaintiffs) sought summary judgment, "asserting there is no genuine issue as to any material fact remaining in dispute and plaintiffs are entitled to judgment as a matter of law". The case was dismissed with prejudice without much mention of the merits the annual COLAs provided by the Ethics Reform Act of 1989 are not independent laws under the Twenty-seventh Amendment and that Adjustments to congressional salaries under the Ethics Reform Act are not discretionary acts of Congress. The adjustments are calculations performed by nonlegislative administrative staff, following a specific formula provided by Congress in the Act This provides a good basis for thinking that a future court would reach the same "failure to state a claim" dead end, but in lieu of something above the level of U.S. District Court, Colorado would be necessary to make the conclusion "a matter of settled law". What you propose does not require making more than one law, and then a bunch of administrative calculations that does not involve Congress.
It probably does, up to a point. Roe v. Wade asserts a right to privacy, discussed in §VIII. Granting that there is no explicit enumeration of a right to privacy in the Constitution, its implicit presence is discerned via a long series of constitutional rulings of a diverse nature. It is not clear what is the extent of This right of privacy, whether it be founded in the Fourteenth Amendment's concept of personal liberty and restrictions upon state action, as we feel it is, or, as the District Court determined, in the Ninth Amendment's reservation of rights to the people... However, even in the case of explicitly recognized rights, they are not absolute: you cannot commit fraud or threaten a person with death and escape punishment by citing the 1st Amendment, you cannot own a machine gun and cite the 2nd in your defense. Fundamental rights are strongly protected, but they may be limited in a fashion that survives strict scrutiny. This means that the encroachment is necessary to a "compelling state interest", it is "narrowly tailored" towards that end, and is the "least restrictive means" to achieve that end. The question arose in Jacobson v. Massachusetts, 197 U. S. 11 where Jacobson was criminally arraigned for refusing to comply with a mandatory vaccination law (applicable to all persons over 21). The court noted that the liberty secured by the Constitution of the United States to every person within its jurisdiction does not import an absolute right in each person to be, at all times and in all circumstances, wholly freed from restraint. There are manifold restraints to which every person is necessarily subject for the common good. The liberty secured by the 14th Amendment, this court has said, consists, in part, in the right of a person 'to live and work where he will'...; and yet he may be compelled, by force if need be, against his will and without regard to his personal wishes or his pecuniary interests, or even his religious or political convictions, to take his place in the ranks of the army of his country, and risk the chance of being shot down in its defense... According to settled principles, the police power of a state must be held to embrace, at least, such reasonable regulations established directly by legislative enactment as will protect the public health and the public safety. The right to compel vaccination is reaffirmed in Zucht v. King, 260 U.S. 174. There is currently no mandatory vaccination law applicable to adults; were such a law to be created (analogous to the earlier Mass. law regarding smallpox vaccination), it could easily pass judicial review as long as it is "minimalist". The question of "compelling government interest" would distinguish between mandatory Ebola or zombie-fever vaccinations vs. shingles or (ordinary) flu. School-related vaccination laws are the most minimal way to achieve the desired outcome, so a law requiring everybody to submit might not pass a strict scrutiny review.
What is the legal ramifications of refusing a polygraph? If an employer puts it in the work contract that they may require a polygraph (either to gain employment or keep it) can I refuse? The relevant statutory body regarding polygraphs in the US mentions on their website that nobody can be forced to do a polygraph. It also mentions refusing to do one is not an admission of guilt.
It depends. There is a law, 29 USC Ch. 22, which generally prohibits employers from requiring polygraph tests before or during employment. However, there are exceptions. It only limits private employers, not governments; certain private employers are allowed to require such tests. The exemptions are set out here. They broadly fall into "government security concerns" (defense subcontractors etc.), security firms, and drug companies. The penalties to be visited on violators are spelled out here.
Absolutely not. Lack of authority Law enforcement officers do not have the authority to grant immunity from prosecution. The decision to prosecute lies with the district attorney's office. Courts have sometimes held that a promise of immunity by a police officer can make resulting statements inadmissible, but that's it -- the state is not bound by the police officer's promise to not prosecute, except in exceptional cases. They can gather other evidence and prosecute anyway. Prospective immunity The contract claims to provide immunity against prosecution for future crimes. Contracts against public policy are void, and I'm having trouble thinking of something which is more against public policy than a license to commit crimes. No one can offer that immunity through contract. In a recent trial of a Boston mob boss, he attempted to claim that a federal prosecutor had given him immunity for any and all future crimes for some time period; the court did not accept that, because a license to break the law is not a valid contract. Public authority There is a situation in which certain officers can grant authority to break certain laws: to catch bigger criminals. However, for fairly obvious reasons, there are extremely strict rules on when this is valid, both on the government procedure side and the claiming-the-defense side. The defense can only work if the defendant honestly believed the government had authorized his actions, if the government actually had authorized them, or if he followed official government legal advice. In this case, the defendant has no idea if government officials have agreed to the terms; he would have approximately no chance of convincing anyone he legitimately thought that the government approved of his actions. They certainly wouldn't be actually properly authorized, and he hasn't sought advice from the government. Other issues Police aren't the only people on this site. An investigation tends to involve one or more non-government agents who provide testimony in court. No contract with a private party can stop them from testifying in a criminal trial; certain relationships mean testimony isn't allowed (e.g. a lawyer can't testify about dealings with their client without client permission), but regular users could be required to testify against the site operator (possibly on the basis of actual immunity). Sources Public authority stuff: this Justice Department page, plus some discussion in this order. Prospective immunity: that same order. Lack of authority: myriad readings.
You can probably refuse A contract cannot be changed unilaterally unless the contract provides for unilateral change - its unlikely your contract does. In any event, the person with such a power of unilateral change has to exercise it reasonably. It is an implied term of employment contracts that the employee must obey the lawful and reasonable directions of the employer. So the question is, is the requirement to use a fingerprint time clock both lawful and reasonable? Well, at first blush, without genuine consent on your part (and "do it or get fired" is not genuine consent) this would appear to breach the Personal Information Protection and Electronic Documents Act. The biometric data of your finger is personal information and, as such, it can only be collected with your consent. A similar factual case was decided in queensland (Note: the Australian law will be different in some ways from the Canadian law but they both require consent for collection) last year in that way.
The validity of the NDA is not an easy question, but a related one is more clear. A lawyer in the U.S. in most states is not permitted to threaten criminal or administrative action (e.g. reporting someone to immigration or tax officials), to gain advantage in a civil case. You can unilaterally bring criminal charges or take administrative action, but it is deemed to be unethical and against public policy to refrain from bringing criminal charges or taking administration action to gain civil advantages. An NDA of the type described arguably violated the same public policy and might be invalidated as a result. Put another way, there is a privilege to make certain reports to public officials without legal consequences and such an NDA might violate that privilege. Some of these privileges found in what are called "whistle blower" statutes specifically prohibit this kind of agreement as to some specific kinds of illegal conduct, but not others. There isn't a general rule. This said, it is not black and white. For example, a private NDA can't prevent someone from testifying under subpoena, but can prevent someone from voluntarily testifying in the absence of a legal compulsion to do so such as a subpoena. Suppose a woman is sexually assaulted at work, and is given an NDA to sign. Can the company legally require her not to disclose the conduct of an illegal activity? I can imagine this example coming out different ways in different jurisdictions. For example, some states have a legal duty (rarely enforced) that requires people to report felonies, and an NDA in this case would contradict that affirmative legal duty, while others do not. Another source of gray in the analysis is that there is a difference between not reporting a sexual assault that actually happened, and, as part of a larger settlement, executing an affidavit stating under penalty of perjury and under oath that a sexual assault didn't happen. The first is potentially an NDA that is void as a matter of public policy. The other, in principle, is a settlement that the person signing the affidavit can only enter into if it is true. There is nothing, in general, wrong, about requiring someone to confirm that certain representations are true as part of a business transaction or contract and allowing the contract to go forwards only if certain facts are true. The gray gets deeper, because whether a sexual assault happened or not is not always a subjectively black and white clear issue of pure fact. (It is subjective because an affidavit or affirmation is made to the best of the declarant or affiants' knowledge and belief, not as a matter of objective fact.) For example, someone may not have perfect memory of what happened, or there could be doubt over the question of whether the perpetrators acted recklessly (the Model Penal Code intent requirement for sexual assault) or merely with criminal negligence (which would not be sexual assault under the Model Penal Code). A statement made under oath about whether a sexual assault happened to the best of your knowledge, thus, might be a mixture of factual issues (A penetrated B at a certain date and time) and legal or not perfectly factually known ones (A acted with X intent regarding consent during that act). So, in a case where there was some room to argue either way about how to characterize what happened and about what actually did happen, there might be some room for a settling party to make a non-perjured statement consistent with the settlement and then to agree not to a true NDA, but instead to not make statements which, if the affidavit is true, would be false. In a plea bargain in a criminal case, one can plead "no contest" without agreeing that the crime factually happened, but that isn't really possibly in the context of an affidavit about what really happened, with an NDA limited to not disclosing the incident since it was already agreed as a matter of sworn fact that there is nothing to disclose that rises the level of a crime.
I did not write "confidential" on my letter, but I assumed a business proposal is automatically considered as a confidential material. An incorrect assumption unfortunately. Unless you have a confidentiality agreement (NDA) with the first company, they and their agents are not under any legal obligation to keep information you share with them confidential. How is the legal situation here? There is none on your side. You lied about a direct question asked and were caught in the lie. Company A had no obligation to keep what you sent confidential. Even if they did, that may not (depending on how the confidentiality agreement is worded) keep the employee of company A stating that they had received the same proposal. Chalk this one up to a lesson on confidentiality and honesty in business. There are no reasonable assumptions of confidentiality in business unless you specifically state that they are confidential or are provided as part of a confidentiality agreement.
Can a prospective employer require you to pay to take a test as part of an interview? That is unlawful. Section 10 of the BC Employment Standards Act prohibits a person to "request, charge or receive, directly or indirectly, from a person seeking employment a payment for (a) employing or obtaining employment for the person seeking employment". See also section 11. A prospective employer is allowed to require proof of credentials (such as certifications or a diploma) which in turn might entail a non-reimbursable cost to the candidate. However, that is permissible because the credibility inherent to renown credentialing systems facilitates ascertaining that the prospective employer has no ulterior motive (i.e., profit) for requiring candidates to consume services from a certifying agency. In other words, the employer and the certifying agency must be two separate, totally unrelated agencies, for the former's reliance on the latter to be cognizable in a context of screening candidates. The post on WorkplaceSE basically describes a scam. Although that post refers to the UK, it is most likely that many other jurisdictions contain a legislative provision similar to the aforementioned statute. As an example, see M[ichigan]CL 408.478.
Contracts can say all sorts of unenforceable things, you provided an example of one of them. A person cannot be compelled to stay and work somewhere they no longer wish to work. At the risk of getting my wrist slapped for straying too far into the land of opinion, a clause like this is likely intended to take advantage of naive teenagers who will provide free employment referrals because they think they have to.
united-states The Thirteenth Amendment forbids slavery and involuntary servitude except as punishment for a crime. This means that, outside of unique situations like the military, an employer cannot keep you as an employee against your will. Any contract that denies you the right to quit your job is illegal. A contract might require a reasonable notice period or something along those lines, but it cannot bind you to work for the company for as long as the company wants. While you can sign an employment contract without it being involuntary servitude, the Thirteenth Amendment is also generally read to mean that your employer can only sue you for money if you refuse to work. A US court cannot order you to work for an employer and threaten to hold you in contempt of court if you refuse. This doctrine predates the end of slavery, but the Thirteenth Amendment is among the reasons now cited to justify it.
Copyrightability of Third Party Technical Specifications Lately I've been writing a lot of specifications of (MIDI-ish) music formats for old commercial video games based on my own research (I have no access to anything by the games' authors). To what extent are specifications of formats you did not create copyrightable? Most of the material in the specs are my own writing, though they do include some tables from the game (e.g. track location tables, envelopes, etc.) and a bit of disassembly (to show what code needs to be modified by modders to move the tables to different locations), and I am writing about a format I did not invent and (if applicable) do not hold any copyright or patents on it. Am I able to put a "Copyright Justin Olbrantz" on these specifications, or are they in part or in whole uncopyrightable? One such spec is here.
Such a document is protected by copyright the moment it is fixed in a tangible form (which includes on paper and in a computer file). Your creative expression would be protected. But the facts of what the format consists of would not be protected -- copyright never protects facts. You may lawfully place a copyright notice on it, but such a notice will not grant you any rights to control use of the facts disclosed in the document, and would not even if you held copyright to the game or the format. Indeed in the modem era, a copyright notice has very little legal effect at any time on any document created after 1989. If the document is devoted entirely to describing the contents of the file format, there may be very little that is protected beyond the exact wording. If there is essentially only one way or a very few ways to accurately describe the facts, even the exact wording may not be protected. By the way, if you are going to use a copyright notice, the standard notice lists the year as well as the copyright holder (who is often but not always the author). Example: Copyright 2022 Chris Smith Legal Effect of a Copyright Notice In US law, 17 USC 401(a) provides that: (a) General Provisions.—Whenever a work protected under this title is published in the United States or elsewhere by authority of the copyright owner, a notice of copyright as provided by this section may be placed on publicly distributed copies from which the work can be visually perceived, either directly or with the aid of a machine or device. [emphasis added] Subsection (b) which I will not quote, specifies the form of the notice. Subsection (c) specifies how such a notice should be positioned. And subsection (d) goes to the legal effect of the notice. Subsection (d) reads: (d) Evidentiary Weight of Notice.—If a notice of copyright in the form and position specified by this section appears on the published copy or copies to which a defendant in a copyright infringement suit had access, then no weight shall be given to such a defendant’s interposition of a defense based on innocent infringement in mitigation of actual or statutory damages, except as provided in the last sentence of section 504(2). Since the 1989 effective date of the Berne Convention Implementation Act of 1988 (BCIA), the provisions of 17 USC 401(d) quoted above, are the only legal effect, in US law, of the omission of a copyright notice on a work protected by copyright. (The BCIA amended US copyright law.) Prior to that date, the omission of such a notice could cause total loss of copyright, although there were limited exceptions specified in 17 USC 405 and 406. Section 406 also indicates the legal effect of an incorrect notice on the copyright of the name and date specified in a notice on works published before the date of the BCIA. On works first published since that date, all such legal effects have ceased to operate. In countries other than the US, that have adhered to the Berne Copyright Convention, or the WTO TRIPS agreement, no notice or other formality is required to ensure copyright protection. This includes almost every country in the world, and includes all countries with a significant publishing industry.
A document can be distributed under more than one license. Just because it has been made available under a CC license for free, doesn't mean that IEEE can't negotiate a different license with different terms that allow them to sell the content. (This is similar to the way that a software library can be available for free under a license that permits non-commercial use, but also be made available for a fee for commercial use.) If you want to know whether IEEE is legally selling Aaron Swartz's manuscript, you can contact Morgan & Claypool, the publisher that owns the copyright, and ask them whether this use by IEEE has been authorized by them. For the other documents you mention, contact MIT Press. Etc.
Depending on where exactly you are in the world, there is some protection for the representation of copyright-expired material if work went into presentation. So you might be allowed to put a Bach cantata into musical notation yourself, since he died in 1750, but you cannot simply copy another publisher's sheet music to save that work. The same might apply to an old newspaper article. If you find a print and scan it, you can upload it, but you may not be able to take it from the database organized by someone else. In austria, there is §40f Urheberrecht, which defines databases (they may or may not be collected editions). §40h clarifies how the right to a private copy in §42 extends only to "private use and neither directly nor indirectly commercial purposes." In germany, there is 87a-e UrhG, which covers databases whose assembly did not represent creative work (e.g. by simply ordering things by date). They are protected if the assembly required significant investment. This "lesser protection" lasts only 15 years, not 70, and there is a "a significant part" test for copying less than the whole database.
may require that you obtain license rights from third-party owners or licensors of content that you include in your text inputs (Emphasis mine). Based solely on the excerpt above, yes, you have the copyright on the audio files if you created the source material, as you are the creator, using Amazon Polly as/to generate a "tangible medium". One of the central rights granted by copyright is to control translation into a different medium (in this case, from text into audio), as is the right to control distribution, which is what this excerpt is talking about. "Third party" in this case means neither you nor Amazon. Basically, Amazon is informing you that using their software on someone else's copyrighted material does not grant you copyright on the audio recording.
Basically, statement 3 above is correct. The owner of the copyright in a work may release that work unmder different, even incompatible, licenses, as many times as s/he chooses to do. None of these releases cancels or invalidates any other. A person who obtains a work from a site where it is listed under a particular license, may rely on that license grant. The owner may (if the site allows) modify the license or remove the posted work, but this does not invalidate the license granted to those who obtained the work before any modification or removal. An incorrect or incomplete copyright notice does not, under current law. invalidate the copyright, and to the best of my understanding will not invalidate either of the license mentioen in the question.
Since the person who posted the game component under the CC-BY license has no right to do so, no one who used it in reliance on that license had any rights either, and all such uses were at least technically infringement (unless they came under a copyright exception, which seems unlikely). The holder of the copyright on the component could sue in any country where a game using it was published. The details of the law, including the rules on damages and other remidies, will vary from country to country. In the united-states those rules are contained in Chapter 5 of title 17 USC particularly sections 502-505. Section 504 provides for possible money damages. Section 502 provides for a possible injunction (court order to stop infringing). Section 503 provides for for infringing works to be seized. Section 505 provides for possible awards of costs and legal fees to a successful plaintiff (copyright holder). Section 502 allows injunctions to "prevent or restrain infringement of a copyright" on "reasonable" terms. But when the infringement has already been stopped, no such injunction is needed and a court is not likely to impose one. Section 503 allows the court to order the impoundment of infringing copies and "plates, molds, matrices, masters, tapes, film negatives, or other articles by means of which such copies or phonorecords may be reproduced". This is largely obsolete for digital content. Section 504 is the key. It offers the plaintiff a choice between actual damages plus profits and statutory damages. The rule for the first is: The copyright owner is entitled to recover the actual damages suffered by him or her as a result of the infringement, and any profits of the infringer that are attributable to the infringement and are not taken into account in computing the actual damages. This means money made by use of the unauthorized content, plus any loss of sales or other losses suffered by the owner. Money mad by the infringing work but not made by use of the infringing content is not included, if this can be proven. Income obtained after the infringing content was removed would probably not be included in the infringer's profits. Statutory damages can be any amount between $750 and $30,000 that the count thinks is just, but id the infringement is proved to be "innocent" the lower limit is $200. The exact provision reads: In a case where the infringer sustains the burden of proving, and the court finds that such infringer was not aware and had no reason to believe that his or her acts constituted an infringement of copyright, the court in its discretion may reduce the award of statutory damages to a sum of not less than $200. An award of costs and fees under section 505 is entirely up to the discretion of the court. If the maximum possible award of infringer's profits is $10,000, and a defense of innocent infringement is plausible, a plaintiff might well find such a suit unprofitable, given the legal expenses involved in preparing an carrying through such a suit. But that is entirely up to the copyright owner. An owner may choose to file even an unprofitable suit in an effort to deter others. A person who has discovered that s/he has innocently infringed a copyright and made some money in the process would be wise to document the prompt removal of the infringing content form any publication, and efforts to notify the copyright owner. Ther is no way to be sure what actions the owner will take, if any, within those that the law allows. Often a owner in such a case will not bring suit if the infringement was apparently innocent, resulting profits were small, the infringement has been halted, and future infringement by that infringer seems unlikely. But different owners have different policies on such matters. An owner can delay in deciding whether to file suit or not.
Yes, they are protected by copyright They are literary works: According to 17 USCS § 101 "Literary works" are works, other than audiovisual works, expressed in words, numbers, or other verbal or numerical symbols or indicia, regardless of the nature of the material objects, such as books, periodicals, manuscripts, phonorecords, film, tapes, disks, or cards, in which they are embodied. The copyright owner (in this case the component manufacturer) has the sole right to make or authorize copies (among other rights). Whether the choose to enfore those rights is up to them; they are not obliged to do so.
Exactly the same way it works over all other content There are no special classes of copyright, there’s just copyright. What a user of a service may do with copyright materials will be spelled out in the licence. If there is no licence, then they are left with fair use/fair dealing.
Remedy for failure to hear Agenda Item Florida FS 718.112 requires condominium to: If 20 percent of the voting interests petition the board to address an item of business, the board, within 60 days after receipt of the petition, shall place the item on the agenda at its next regular board meeting or at a special meeting called for that purpose. Assume that the Association fails to follow the rule and fails to hear the agenda item and the business item is under Arbitration / Litigation. What is the appropriate monetary and non-monetary remedy to request? I was unable to find a remedy in the statute.
If 20 percent of the voting interests petition the board to address an item of business, the board, within 60 days after receipt of the petition, shall place the item on the agenda at its next regular board meeting or at a special meeting called for that purpose. Assume that the Association fails to follow the rule and fails to hear the agenda item and the business item is under Arbitration / Litigation. What is the appropriate monetary and non-monetary remedy to request? A Petition for a Writ of Mandamus or affirmative injunction ordering the board to consider the matter, depending upon the customs of Florida courts would be the usual remedy. But, one can imagine a fact pattern where some other relief such as also allowing money damages would be appropriate where, for example, delay impacts the cost of doing work.
In a civil action: If you are serving written discovery on a party, under the federal rules of civil procedure, or in any state whose adopted the model rules, (rules 33-37 typically), you need only send your requests for interrogatories, the production of documents, or for admissions to the party (through their counsel unless they are pro se), accompanied by the discovery notice, detailing the time frame in which they are due. It is typical that this time frame will get extended, sometimes by double or triple the original 21 day period plus 3-5 days for mailing. When the party is represented (this is 99% of the time) the attorney will just call you or email you for an extension and it is pro forma to assent to this. The court will not be happy if they need to seek permission of the court for this because you refused, as it is that common, and you will just get a reputation as a non-cooperative pain (not to mention, the time will come when you need an extension, and what comes around goes around). If they seek an unreasonable amount of time (I'm talking so close to the discovery cut off that you'd not have time for depositions after receipt), then you can limit it, but a couple of months is common. This need not go through the court. If they are not represented, they may just be late rather than calling, in which case you have a duty to contact them before involving the court. This is just because they don't know it is the norm, and it is nearly impossible to pull together everything needed from a full set of discovery in 21 days. When there is a true discovery dispute, you must show the court that you made all due diligent efforts to resolve it on your own. I don't have my rules in front of me (I will edit and add this when I do) ... but this is in the rules, it is not just practically speaking. Also, many jurisdictions require that you contact the court's clerk and get permission before filing any discovery motions. Sending a subpoena is not ever how this is dealt with. If the opposing party fails to respond, or if they are continually late and despite numerous contacts they still do not produce, then you would schedule a discovery conference with the court at which time you will seek a motion to compel. The court will typically give them even more time at this point. You are correct in that when a third-party is served with discovery request, since they have no obligation to take part in the case but for the presence of a subpoena; hence, in this situation you would use a subpoena to request whatever it is you are requesting. They may get their own lawyer who will try to limit your right to get anything from them as a non-essential party, but if it is really relevant you can do it. You would also use the subpoena for depositions, to ensure that witnesses present themselves. Otherwise, subpoenas are reserved for acquiring witnesses to appear in court or for custodians of records to bring records to court for hearings or trial.
This all depends upon where you are. I am a landlord and I am answering based upon the laws of the U.S. and the states that I operate in. First things first. You are not the property owner. While this does not limit the answer, it is a factor. You do not have the right to the property even if you have a key and the permission of the tenant. You are not the property owner, do not represent the property owner nor the tenant, and by contract do not have legal rights to the apartment. It does put you in a different situation. As a landlord, it is against the law for me to provide access to a tenants apartment to anyone without authorization. This, of course, precludes emergencies such as welfare checks. In the case of the police, a warrant is required or a form that the police fill out that allows the police to gain access. This would be used in cases such as when a spouse requires the recovery of personal property during a domestic dispute. A judges order is not always possible in these cases. These are often limited cases and the form absolves the landlord of liability even in cases where the police act incorrectly. So without a warrant or a form that certifies any lawful request, anyone including the landlord can be arrested for a crime. For your situation, a quick call to the landlord would have been appropriate. Without a warrant or certification, the police still had options including waiting for the person in question to either leave or return to the apartment or even request a warrant by phone. Often, the warrant, once signed by the judge, can be read over the phone. Any landlord should always have a paper copy provided within minutes since some cruisers will have a printer and can print the warrant. Your refusal appears to be legal. However, in the future, you can ask for a copy of the warrant that you provide the landlord. I do not wish to paint a negative image of the police who do the hard work that most people will never take on, they are after all heros, however, some do not know the law perfectly well especially tenant landlord law. As well, some will try and get away with skirting the law trying to get an important job done. It does happen. I hired a lawyer just last week for an illegal request unrelated to the question here. Addressing the OPs comment: Hello, I believe I misstated the situation a bit in that the locked door in question was for the apartment building and not a tenet's apartment itself. I have edited my question. Does this change anything? Technically, this does not change much of anything, however, the request by the police can be seen as a reasonable one. They just may want to talk to the individual which is reasonable. In this case, I might have let them in if the access I was giving them was to a common space such as a hallway. In this case, the outer door locks are only to keep Intruders from entering the building and not meant to restrict access for valid purposes. Are you in trouble? I would say no. If anyone asks, you can give reasonable arguments for your situation. However, the next time, consider what I have written here. The police have a tough enough time doing their jobs. If you can help and stay within the proper boundaries of what the law allows, that would be best.
The statute in question is section 26708 (13)(B): A vehicle equipped with a video event recorder shall have a notice posted in a visible location which states that a passenger's conversation may be recorded. It doesn't require it be visible to all passengers and doesn't make any provision for visually impaired passengers. I am not licenced to practice in California but know of no cases clarifying how "visible" the notice needs to be. I wouldn't suggest trying to hide the notice, though.
Give the contract language now included in the question, it seems that payment is not due until after the invoice is submitted. I don't see any obligation on the homeowner's part to prompt the contractor to submit the invoice, nor to pay until it is submitted. It might be well to keep a sum reserved so that a late invoice will not find the homeowner with a cash flow problem leading to a default, which could allow the contractor to claim damages or file a lien. But I don't see how a lien can be field before the invoice is delivered, because the payment is not due until 30 days after the invoice date, and no lien can be field until payment is overdue. It seems that the warranty on the work is not in effect until after final payment is made. If there is any reason to consider a warranty claim, it might be desirable to get and pay the invoice.
Yes, they seem to have broken the law. In California, notice must be given for an eviction. This can be a 30/60/90 day notice with no reason needed (typically because the landlord wants the property for something else) or a 3 day notice with cause- the most typical being not paying the rent. Note that COVID exceptions exist, though I don't believe they apply to you. Even after that time, a landlord cannot physically remove a tenant or attempt to drive them out through the destruction/removal of property, locking them out, or cutting off utilities. They are liable for damages suffered as well as penalties. There are lawful procedures in place for this. The removal and destruction of your belongings could constitute either larceny or vandalism. Either way, by unlawfully removing your possessions, they are liable for the damages caused.
To put it as nicely as possible, you're not being very smart by threatening to make the house guest's predicament the worst mistake they ever made. Drawing up a notarized contract with a financial penalty is ludicrous and likely simply illegal in terms of contracting for something that is against the law. Beyond that, any threats you make to against house guest could be grounds for them to file a civil suit against you, either for eviction or physical harm, and you'll end up in court rather than simply getting the house guest to leave. An Unlawful Detainer applies if there is verbal or written lease, and as such you would have to go through the formal eviction process. But if this is a simple house guest issue, with no lease or rental agreement in the past, and they are not a family member with some legal right to be in the house, law enforcement is the way to deal with it. It's very simple: set a move out date and say you will call the police or county sheriff if they don't move out on that date. If they don't leave and you do call the police or sheriff, simply say you have a house guest who won't leave, i.e. a trespasser. Law enforcement will come out and you will explain the story; they will likely make the determination that you are the property owner and the guest is indeed not welcome. Law enforcement will tell the guest to leave or be arrested, as per Florida Law - Chapter 810. You can call the police or county sheriff ahead of the move out date and determine the appropriate laws; and get advice on what you might need to do on the actual move out day. If the house guest has property, law enforcement will stand by at that time while they retrieve their property, or make arrangements for them get it at a later date, with or without law enforcement.
I'd take the city council's advice and realize that you could be charged with a crime. Their job is to know the local laws and put them into place, as well as know how those laws relate to state law. As for state law, the Revised Statutes of Missouri, RSMo Section 574.115 Making a terrorist threat says: 574.115. Making a terrorist threat, first degree — penalty. — 1. A person commits the offense of making a terrorist threat in the first degree if such person, with the purpose of frightening ten or more people or causing the evacuation, quarantine or closure of any portion of a building, inhabitable structure, place of assembly or facility of transportation, knowingly: (1) Communicates an express or implied threat to cause an incident or condition involving danger to life; or (2) Communicates a false report of an incident or condition involving danger to life; or (3) Causes a false belief or fear that an incident has occurred or that a condition exists involving danger to life. 2. The offense of making a terrorist threat in the first degree is a class D felony. 3. No offense is committed under this section by a person acting in good faith with the purpose to prevent harm. A fake gun turret on a porch in the public view that tracks people who walk by could be interpreted as making a terrorist threat because it (3) Causes a false belief or fear that an incident has occurred or that a condition exists involving danger to life. And, it's probably safe to assume your turret has the "the purpose of frightening ten or more people." The fact that the gun turret is on private property doesn't mean much; it is in view of the public and your intent is for it to be seen by the public and you want to invoke fear in the public members who walk by. And it's not going to be seen by the council as some sort of security; threats are not security. If you did put up such a turret, and the state didn't take action under 574.115, and there is no local law on the books that applies, the council can easy put one in place at their regular council meeting with a simple motion and vote. Since you already asked the council, they may already be considering such a law. And, depending on the county, the council could invoke a law addressing threats to the public that has more severe penalties that the state law, because Missouri is a home rule (Wikipedia) state.
Does becoming a Presidential Candidate Confer any immunity? Donald Trump announced that he will run for president in 2024. Does becoming a Presidential Candidate Confer any immunity from litigation?
A Presidential candidate has no legal immunity for litigation or prosecution different from that of any other political candidate. The First Amendment provides significant protections for expressive conduct of a candidate for political office. Presidential candidates do have a few special privileges, most notably, secret service protection and at a late stage, access to certain intelligence briefings not available to the general public. Judges and prosecutors often seek to avoid the appearance of impropriety interfering with a Presidential election campaign and this may influence, for example, the scheduling of proceeding against a candidate. But there is no actual immunity from either criminal or civil liability for a Presidential candidate that is different from anyone else.
Why has this never been interpreted by SCOTUS? It has never been interpreted by any court, because the interpretation you're advocating is nonsensical, and nobody has ever tried to advance it in any court. Therefore, no court has had an opportunity to rule on it. Congress, however, has (at least implicitly) interpreted this clause to mean that all natural-born citizens are eligible to be president if they also fulfill the other requirements, regardless of when they were born, so that is the prevailing interpretation unless someone manages to challenge the interpretation either before congress or in a court. If such a challenge is made then there will be an explicit ruling.
Only for certain parts of the constitution, and not for the parts you are asking about. Accordingly, the Supreme Court has squarely stated that neither the First Amendment nor the Fifth Amendment "acknowledges any distinction between citizens and resident aliens."13 For more than a century, the Court has recognized that the Equal Protection Clause is "universal in [its] application, to all persons within the territorial jurisdiction, without regard to differences of ... nationality."14 The Court has repeatedly stated that "the Due Process Clause applies to all 'persons' within the United States, including aliens, whether their presence here is lawful, unlawful, temporary, or permanent."15 When noncitizens, no matter what their status, are tried for crimes, they are entitled to all of the rights that attach to the criminal process, without any distinction based on their nationality.16 Are Foreign Nationals Entitled to the Same Constitutional Rights As Citizens? - David Cole, Georgetown University Law Center
The Twelfth Amendment states that "no person constitutionally ineligible to the office of President shall be eligible to that of Vice President of the United States." Thus, to serve as vice president, an individual must: Be a natural-born U.S. citizen; Be at least 35 years old. https://en.wikipedia.org/wiki/Vice_President_of_the_United_States https://en.wikipedia.org/wiki/Twelfth_Amendment_to_the_United_States_Constitution Because the age requirement for President is 35 years old, the Vice President must also meet that requirement.
The US Constitution Article II, Section 2 grants sayt that the President "shall have power to grant reprieves and pardons for offenses against the United States, except in cases of impeachment". It does not anywhere say that a pardon can be rescinded. Until a constitutional amendment is added giving the president the power to rescind a pardon (zero chance of that happening), a pardon is permanent. For reference, Ex Parte Grossman, 267 U.S. 87 addresses the question of limiting the presidential pardon power, where the losing side argued that criminal contempt is not an "offense against the United States", and the Supreme Court held that criminal contempt is such an offense. Nothing has legally changed since then.
CNBC's explanation is simply wrong. The law says that a vaccine manufacturer is immune from suit and liability under Federal and State law with respect to all claims for loss caused by, arising out of, relating to, or resulting from the administration to or the use by an individual of a covered countermeasure if a declaration under subsection (b) has been issued and there was a declaration under subsection (b). This immunity is not conditioned either way by being approved, indeed the declaration states To be a Covered Countermeasure, qualified pandemic or epidemic products or security countermeasures also must be approved or cleared under the FD&C Act; licensed under the PHS Act; or authorized for emergency use under Sections 564, 564A, or 564B of the FD&C Act The liability immunity is not perpetual, the declaration says: Liability immunity for Covered Countermeasures administered and used in accordance with the public health and medical response of the Authority Having Jurisdiction begins with a Declaration and lasts through (1) the final day the emergency Declaration is in effect, or (2) October 1, 2024, whichever occurs first. That doesn't mean that there can't be another declaration in the future. Immunity of a manufacturer to liability is not related to a patient being "covered". There are other ways in which a patient could be "covered". One of them is the Countermeasures Injury Compensation Program and the other is the National Vaccine Injury Compensation Program, which presently redirects you to CICP.
Yes The rule against prosecuting a sitting President is not a law, it is a Justice Department opinion and policy. The justification for it is that dealing with a criminal case would be severely distracting to the President, and thus harmful to the nation. Besides, the opinion goes on, any serious issue can be dealt with by impeachment. That reasoning obviously does not apply to a former President. Article I, section 3, paragraph 7 of the US constitution says: Judgment in Cases of Impeachment shall not extend further than to removal from Office, and disqualification to hold and enjoy any Office of honor, Trust or Profit under the United States: but the Party convicted shall nevertheless be liable and subject to Indictment, Trial, Judgment and Punishment, according to Law. (emphasis added) This clearly contemplates the criminal prosecution of a former office holder, after such a person was removed by an impeachment. There is no exception for a President. Therefor a President can be criminally charged and prosecuted for actions during the presidency, provided that the evidence to establish probable cause is there, and that a Grand Jury indicts said former President. So far as I know there has never been a case where such a thing was done. President Ford's pardon of President Nixon stopped any Federal prosecution of him. I think there have been cases were former US Judges, after impeachment, were criminally prosecuted. But that is not quite the same thing -- no one claims that sitting judges are immune to criminal charges. To be clear this would not apply just to issues that a President had been impeached for. A former President is no different from anyone else in this respect. Any such person can be prosecuted if there is probable cause, and convicted if there is proof beyond a reasonable doubt of criminal violation of some law, even if the violation occurred while the president was in office.
Count 1: 18 U.S.C. § 371 (Conspiracy to Defraud United States) Here the indictment's introduction alleges that Trump perpetrated: A conspiracy to to defraud the United States by using dishonesty, fraud, and deceit to impair, obstruct, and defeat the lawful federal government function by which the results of the presidential election are collected, counted, and certified by the federal government, in violation of 18 U.S.C. § 371. temporary link to indictment pdf pending finding a better version: https://d3i6fh83elv35t.cloudfront.net/static/2023/08/trump-indictment.pdf 18 U.S.C. § 371 (Cornell Law School Legal Information Institute): If two or more persons conspire either to commit any offense against the United States, or to defraud the United States, or any agency thereof in any manner or for any purpose, and one or more of such persons do any act to effect the object of the conspiracy, each shall be fined under this title or imprisoned not more than five years, or both. If, however, the offense, the commission of which is the object of the conspiracy, is a misdemeanor only, the punishment for such conspiracy shall not exceed the maximum punishment provided for such misdemeanor.
Are there penalties for withholding self-exculpatory evidence during a trial? Suppose a person is put on trial for a crime, but he has video evidence showing his innocence. Out of malice or spite of a personal nature towards his accuser, he allows the trial to proceed, and then at the last possible moment "discovers" and presents the evidence, leading to his acquittal and the accuser's extreme shock, dismay, and embarrassment. Are there any sanctions that could be applied to the defendant if the court were convinced he had withheld that evidence in order to prolong the trial?
This is a good question, although it discusses crimes. This answer generalizes the question by giving a response for civil violations. In the united-states, where federal civil-procedure is followed and provided the tape isn't solely for impeachment purposes (i.e. it also documents other elements), there are certain disclosures required at the beginning of discovery governed by Rule 26(a)(1)(A)(ii). If a party withholds one of these disclosures, under Rule 37(c)(1), the court is able to take a number of actions, including throwing the evidence out. This could, of course, result in the withholder's conviction. Yet, if the court does not go to that extreme, it may impose the sanctions in Rule 37(b). So the withholder's attorney might try to make a case that the evidence is, indeed, solely for impeachment purposes.
The burden of proof is always on the plaintiff (except for counterclaims brought by the defendant against the plaintiff). In your example, the businessman has to prove that he did not rape her.
How exactly would the court determine this to be the cause of divorce? 99.99% of the time, this would be purely a "he said she said" situation, for how can someone prove refusal to engage? You can prove the opposite if there are children born to both parents, but how can one prove a negative? Or is the statement by the divorce initiator considered sufficient for the judge? Testimony under oath is evidence. Judges resolve "he said she said" situations every day on a routine basis with witness testimony alone by judging the credibility of each witness before them. See also an answer by @Jen about the subject of how things are proved in court in general. In the appropriate case, testimony under oath with no other corroborating evidence can even support a murder conviction as proof beyond a reasonable doubt. It can certainly suffice to prove marital fault in a civil lawsuit for a divorce. If the judge finds that witness testimony under oath between more than one witness is irreconcilably different, and each witness is equally credible, and that it is impossible to tell which person is telling the truth, then the person seeking relief from the court has failed to meet their burden of proof to obtain relief from the court. But, this is rare. Usually, when witnesses are both testifying under oath and disagree about what happened, the judge will find that one witness is more credible than the other. And, in truth, while people certainly do lie in open court under oath, and probably are more likely to lie in that situation than when speaking to someone not under oath outside of a courtroom, most of the time, people don't lie and the testimony of all of the witnesses are consistent with each other subject to limitations based upon what they could perceive from their perspective and the limitations of imperfect memories. This could come down to demeanor in court, hesitation in answering, "tells", inconsistencies in their testimony, corroboration from other evidence and other witnesses (e.g. what someone said to a friend or wrote in a diary at the time), evidence that a witness has been convicted of a crime of deceit in the past, use of language that suggests coaching about their testimony, or common sense judgments about whose story seems more plausible under the circumstances of the parties in front of the judge.
There are instances when the testimony may still be admitted. For example, a deposition may be admitted at trial either for impeaching or when a witness cannot attend, which involves the circumstance of death (FRCP 32(a)(4)(a)). Additionally, regarding hearsay, there are numerous exceptions. My Evidence professor said in class "If you cannot find a way to get evidence around a hearsay objection, you are not trying hard enough." One such hearsay exception states in the committee notes: Accordingly, the committee has amended rule 803(8) to refer to the provision of [proposed] rule 804(b)(5) [deleted], which allows the admission of such reports, records or other statements where the police officer or other law enforcement officer is unavailable because of death, then existing physical or mental illness or infirmity, or not being successfully subject to legal process.
I will assume that your question pertains to the United States. In other jurisdictions, different rules could apply. Context matters. The usual penalty for spoliation of evidence (the technical term for what you describe) in a civil case is a judicial determination or jury instruction that the evidence destroyed would have established the relevant part of the other side's case had it not been destroyed. In all of these cases, your failure to take affirmative action to preserve the evidence once you knew that there was a bona fide likelihood that you would be sued could be held against you by making an adverse determination that the evidence would have been unfavorable to you and possibly also money sanctions. You could not be held in contempt of court for this if these events happened before a case was commenced. In a criminal case, where you are a defendant, you have an absolute right to not incriminate yourself and do not have to take affirmative action to preserve evidence, although this right is limited to criminal cases and your failure to preserve evidence can still be held against you in a civil case. Certainly, in situation 4 you are a potential criminal defendant, so the 5th Amendment protection would apply. In situations 1 and 2, where the precautions were not put in place to facilitate a crime, the 5th Amendment would protect you if you were a potential criminal defendant, but suppose that you are a bystander like a third party ISP representative. If you were a third party, at a minimum you would have to be put on notice of the police need for the evidence, would probably have had to have had the police ask you for the evidence, and of course, would have to be aware that the destruction was imminent and have the power to prevent that destruction. If all those conditions were present, you might be guilty of obstruction of justice (there are precedents for inaction knowing of the consequences in the fact of a police question amounting to obstruction of justice). In situation 3, this kind of action pretty much amounts to being an accessory to some crime before the fact (unless someone was successfully deceived by a very elaborate story) and would likely make anyone involved part of a conspiracy to commit the crime that the destruction of the papers would facilitate. While the papers themselves might have been evidence of a crime or civil wrong, the destruction of the papers might itself be considered part of the crime, regardless of what could be established regarding the actual content of the papers.
Not necessarily. Let's say the victim delivered photos of a harm that were alleged to be done by the defendant. That's a crime in itself. But based on this item the DA orders investigation and finds evidence of a real crime. Discovering that the photo was faked can lead to dismissal (with prejudice), but even without the fake photo, there might be a strong case against defendant. Also, the photo could not even be used as evidence in the actual trial stage. A good defense attorney might manage to convince the judge, that the doctored photo should have been discovered such early in the investigation, but I doubt, that one could manage to make everything else in a proper investigation fruit of the poisoned tree unless police screwed up.
There is a big difference between knowing something and proving it. A lawyer who knows a client is guilty can take steps to prevent the state from proving guilt. (E.g., motion to exclude evidence, cross examining witnesses.) The belief that a client has committed a crime does not necessarily mean one knows what specific crime was committed. Is a killing Murder 1, Murder 2, or manslaughter? There are defenses even when an act may be a crime. E.g., self defense, insanity, justifiable. Lawyers are not permitted to assist in perjury. E.g., allow the client to testify to something he knows is false.
what is the sequence of proceedings? See Rule 25.9: the prosecution summarizes the case the defendant has an opportunity to concisely identify what the defendant intends to put into issue the prosecution introduces all of its evidence (including all of its witnesses) (and the defence has the opportunity to cross-examine each) the defendant has an opportunity to ask for a directed verdict of acquittal the defendant has an opportunity to summarize the defence case the defendant has an opportunity to introduce evidence, including witnesses (and the Crown has the opportunity to cross-examine each) either side may introduce additional evidence if needed in rebuttal prosecution's closing submissions defendant's closing submissions
Are dual citizens usually exempt from military service? There was a recent statement by the Russian state news agency TASS that due to a new decree by Putin dual citizens can be drafted into the Russian army. This seems to imply that before this decree dual citizens were exempt. I would have thought that in order to be drafted for the army a country just checks whether someone is their citizen (and a bunch of other criteria unrelated to citizenship). Why should they care whether someone also has citizenship of some other country? Are people with dual citizenship usually exempt from military service?
The new decree of November 14, 2022 contains an amendment (bottom of p2) to the Federal Law 53-FZ originally enacted on March 28, 1998, concerning military service. The former version of the text contained separate provisions in Article 2 about different kinds of military service that could be performed depending on nationality. This allowed Russian citizens who also held another nationality, or foreign citizens, to serve in the Russian armed forces under contract, and only in non-officer ranks. Russian citizens without other allegiances were able to serve voluntarily, or be conscripted, and were additionally eligible to serve in the state intelligence apparatus and other bodies, as well as in the main armed forces. The amendment is slightly differently organised, but the key part is the text which extends service "по призыву" (on demand) to "гражданами в том чсиле имеющими гражданства (подданства) иностранного государства" (citizens, including those who have citizenship (nationality) of a foreign state). Draftees under this section are again only for the non-officer ranks of the regular armed forces. The option is retained for Russian citizens without other allegiances to volunteer, in which case they might become officers or serve in the broader military/intelligence establishment, or for non-Russians to volunteer for the regular forces. Russia's original law was fairly generous in exempting holders of other nationalities, as most countries with mandatory military service or registration do not make the distinction. For example, Israel and the USA are two countries where holding additional nationality is not a barrier. (Though in both of those cases, there are other exemptions which might be in play. The USA is also not currently operating actual conscription, just a registration system.) And there are plenty of countries without a draft at all. In the context of the overall pipeline from "you are a regular person minding your own business" to "you are in uniform pointing your weapon at your country's designated enemy", militaries also have several opportunities to discard draftees or volunteers who they genuinely don't want, for whatever reason. It may be that even a country which obliges dual citizens to register and attend an assessment, would then choose not to make them train and fight. Or they may be channeled into different roles. It might depend on the conflict in question (e.g. you are a citizen of A and B, and A is at war with C, so you have to fight; if A were at war with B then your fate would be different). Regarding Why should they care whether someone also has citizenship of some other country? they may be anxious about you having divided loyalties, or about angering the other country. These concerns would be more acute if the country is engaged in an actual conflict. There are several treaties that allow multiple citizens to avoid having to serve multiple terms of military service in each country. The details depend on the countries involved, but the general idea is that if you are (for example) both Austrian and Danish, and live in Denmark, then you do your military service there and Austria does not mind. In that case, it's helpful that neither of those countries is at war, and certainly not with one another. What you cannot generally do is use both of your nationalities to cancel each other out, and avoid military service altogether. Equally, if you are Austrian and British (the UK has no conscription) then the government of Austria still wants you to do military service on their terms.
No. Both your country of origin and your new home country will only care of your name as in the documents issued by each of them respectively. Mind though that absence of obligation to synchronize your names does not mean that you can freely use both identities within one country. For example, opening a bank account in the US using your original passport/name when you are already officially using another name there would be a very grey area bordering with identify fraud as it would effectively enable you to operate two different identities to gain any benefits not otherwise available.
There is no possibility of legally holding a country "to account" for an action. An individual could be legally tried for a crime (murder), and a country could via a political process be made to suffer the consequences if a leader performs some act (it need not be illegal). Germany, Iran and Russia have historically suffered certain consequences of actions held to be "officially sanctioned", and individuals such as Adolf Eichmann have been specifically punished; Fahad Shabib Albalawi and 4 others were sentanced to death for involvement in Khashoggi's murder. Punitive recourse against a country is always via political / military action. Khashoggi, specifically, was apparently a lawful permanent resident of the US, which is probably sufficient connection to the US for a suit based in the Alien Tort Statute. There have been various suits filed against individuals under this act, some of which succeeded, for example Filártiga v. Peña-Irala, 630 F.2d 876. An individual could be sued under the Alien Tort Statute, but a foreign government enjoys sovereign immunity (the US government has limited its liability on that grounds, but Saudi Arabia has not). His fiance might then sue some individual, but Saudi Arabia itself could not be "held to account".
Your caveat about not being a national of either country is a bit puzzling, because your question is about acquiring the countries' nationality, which implies as a matter of course that you do not presently have either nationality. After acquiring each country's nationality, of course, you will be a national of that country, so by the time you are a dual citizen of Italy and the US, it will no longer be true that you are not a national of either country. In other words, it's analogous to asking "Will I be able to get a driver's license after I learn how to drive? The problem is that I don't have a driver's license." US law does not require you to renounce Italian citizenship if you naturalize as a US citizen. I don't know Italian law on the matter very well, but the relevant section in Wikipedia says, without citations, that naturalizing elsewhere does not cause loss of Italian citizenship. Assuming that is true, and that neither country makes any relevant changes in its nationality law, then the answer to your question is yes: you can be a dual citizen of both Italy and the United States. (In fact, you may at that point hold three or more citizenships if your current country or countries of citizenship does not or do not have laws causing you to lose citizenship when you naturalize in Italy or the US.)
so it's unclear to me whether the US Executive Order 13884 (August 5, 2019) targets the Property of the Government of Venezuela only or of all Venezuelans. Neither. By its literal text, it excludes any Venezuelan who is a citizen of the US, a green card holder, or lawfully present in the US, or who holds a valid US visa. More pertinently to your question, perhaps, it also excludes any Venezuelan who has never been an agent of (or purported to be an agent of) Venezuela or any of its political subdivisions, agencies, or instrumentalities.
You can be extradited from Country A to Country B even if you are a citizen of neither. What matters is whether B can convince A to do it, which is typically on the basis of a treaty between them as well as provisions of both country's domestic criminal law. If you committed a crime in B, then fled to A, your nationality is relevant to the extent that: A might not extradite its own citizens, if you are a citizen of A A might have an agreement with C, if you are a citizen of C, that C should have the chance to proscute you instead of B. (This is the Petruhhin doctrine in the case where A and C are EU countries and B is not.) But you do not have to be a national of B in order for it to have jurisdiction over you in B's domestic criminal law - just as if you were still in B, they could arrest you in the normal way. They are thus entitled to request A's authorities to arrest you in A, and transfer you to B. If your alleged crime was not in B, then their claim over you has to be on the basis that their domestic criminal law allows prosecution extraterritorially. This was the case when B was Spain, A was the United Kingdom, and the criminal was former Chilean leader Augusto Pinochet; while his status as a former head of state was relevant, as was whether the crimes were extraterritorial offences in the UK as well, his lack of Spanish nationality was not. A more topical example is B being the United States, A the United Kingdom, and the arrestee being Julian Assange, an Australian who is alleged to have committed various crimes under U.S. law (while not necessarily having been present in the U.S. at the time). While all extradition relationships are different, a common thread of the criminal law in general is that what matters is the circumstances at the time of the alleged acts. Retroactively making you a citizen of B may not be satisfactory to A, to the extent that A's criminal law disallows making anything illegal retroactively. The supposed nationality grant by B might trigger provision's of A's domestic extradition law concerning requirements of due process, lack of political interference, and so on, and block the action. But equally, renouncing your citizenship of B does not extinguish B's claim over you for acts you did while you were a citizen of B. This is again a feature of typical criminal law.
Isn’t this discrimination since nationals do not have to apply? Yes it is discrimination. But that does not make it illegal. In fact discrimination is in general legal unless it is based on some characteristic which is specifically forbidden as a basis for discrimination (e.g. race). And in general, all of the countries in the world allow and enforce discrimination based on nationality; for example non-nationals will not be able to run for Head of State (and additional restrictions may apply). The EU members allowing similar rights to the citizens of other EU countries is the exception, not the rule, and once the UK stops being bound by EU treaties it can impose its own legal system on non-nationals. And while EU treaties give lots of rights to EU member-countries citizens, they still allow for discrimination based on nationality (for example you cannot run for Prime Minister or MP of Spain as a foreign EU resident). Isn’t the UK Government breaking the law? This could go against EU treaties, but the point is that the UK will no longer need to comply with them. is the UK Government responsible for the harm and distress caused to the individual health and mental wellbeing? No, the UK Government is not responsible if you do not like its laws to the point that it affects your health. Is there any ground for challenging this scheme legality in court? Unlikely. In any case it will not be because you are frightened by it, any challenge would be in the grounds that the government actions act against some other UK law. For example, if the decision to make such a list was made by the Executive but it contradicts some law approved by the Parliament. If this list does not contradict any law, then there are no grounds for challenging it. Would there a breach of my human rights if I was not to apply for settle status and then subsequentially got deported (taken away from my children, home, business, etc.)? How about if I was refused, re-entry or access to public services (NHS for example)? If you do not apply you will not have any evidence that you were settled, and the government could legitimately believe that you are irregularly in the country and try to expel you; you probably would have an opportunity to prove that you were settled even if you were not in the list but that could be way slower, more expensive, riskier and stressful than just registering now. Get this clear: that settled person list is to help you to show that you were a UK resident before Brexit and to give you the protections that are being negotiated between the UK and the EU for expatriates. Probably you could choose not to enlist, but it would work against you.
Indeed, it is not possible to be European "twice or more," but that doesn't prevent the possession of multiple EU nationalities. A person who possesses the nationality of an EU country is a citizen of the European Union, and a person who possesses the nationality of more than one EU country is also a citizen of the European Union. This follows from Article 20 of the Treaty on the Functioning of the European Union: 1. Citizenship of the Union is hereby established. Every person holding the nationality of a Member State shall be a citizen of the Union. Citizenship of the Union shall be additional to and not replace national citizenship. There is no unified EU nationality law; each member state determines the conditions for the acquisition and loss of its nationality. Some EU countries have ratified the 1968 Convention on the Reduction of Cases of Multiple Nationality and on Military Obligations in Cases of Multiple Nationality, and others have not. Germany ratified it and later denounced it. Among other provisions, this convention specifies that a national of one participating state who acquires the nationality of another participating state should lose the first nationality. But it does not seem to prohibit the simultaneous acquisition at birth of multiple nationalities, nor to require someone with multiple nationalities acquired at birth to renounce any nationality at any time. There is also the 1997 European Convention on Nationality, also ratified by only a subset of EU countries. This convention explicitly provides that states must allow certain cases of multiple nationality, and may allow other cases. The mandatory cases are those of a person having multiple nationalities automatically from birth and of a person acquiring another nationality automatically through marriage (Art. 14(1)). Therefore, the general answer to your question Is it permissible, under a European legal framework, to hold two EU citizenships? is yes. It is not, however, generally possible for every citizen of an EU country to acquire the nationality of another EU country without losing his or her original nationality. That is not a feature of EU law, however, but of each country's domestic law. The specific possibilities for any given person depend on the countries involved and on the manner in which each country's nationality has been acquired or will be acquired.
Diplomatic immunity in case of sexual harassment Whether diplomatic immunity is considered as a privilege or a right, I am not sure but is there any law by which we can prosecute an individual with diplomatic immunity especially in cases involving sexual harassment. Since the laws defining the nature of harassment are different in east, west and middle east nations, how are these cases resolved assuming that both the states where the case has occurred and that to which the diplomat belongs are not permanent members of Security Council of UN nor any of them have nuclear capability. They also do not share any part of their respective state boundaries.
Diplomatic immunity is a privilege granted by the host or receiving country to an ambassador of another nation recognized diplomatic agents and their families. It exists under the 1961 Vienna Convention on Diplomatic Relations, so there is a set of rules everyone has to play by. The idea is so that host countries do not legally harass people who are representing their country within that nation. Typically Diplomatic immunity comes up most often in traffic enforcement, as cars with Diplomatic plates tend to violate traffic and parking laws regularly. That said, the police of the host nation are allowed to ticket the offender. However, there's little they can do to enforce the fines against the ambassador after the ticket is written. That said, most police will still write them as some nation's foreign services offices do actually make the diplomats pay the tickets (in fact, an unofficial barometer of corruption in a nation's government is how likely diplomats are to pay their tickets.). That said, committing a serious crime while under diplomatic immunity is a major international incident. The receiving country will perceive the crime as an endorsement of the sending nation. The most immediate remedy is the sending nation waives Diplomatic immunity, at which point the receiving nation can prosecute. There are times where this doesn't happen (often the sending nation and recieving nation punish the crime differently) at which point one of three things will happen. Either the sending nation will recall the diplomat (effectively removing them from their job) and punish them based on their own laws, if any exist. If that is not done, the receiving nation can declare the diplomat as Persona non Grata (lit. Unwelcomed Person) which is effectively a person specific ban on entry into the country (the sending nation can send whoever they want to be a diplomat... but that specific person cannot enter the receiving country.). As such, the diplomat who is named PNG is given some amount of time to leave the receiving country or have their diplomatic immunity revoked. It's the international equivalent of "You don't have to go home, but you can't stay here." If neither of those work, than the receiving nation can cut off diplomatic ties, and in some cases has a good cause for war over the matter (A diplomat who Murders the citizen of a host nation and isn't recalled or has their immunity waived has just committed an assassination's sanctioned by the sending nation, which is a justification for war.).
If the FBI has reason to believe they have committed a crime under US law Being an official of a foreign (or domestic) government in a military or civilian capacity does not make a person immune from US law except in the specific case of diplomatic immunity. There are some US laws that apply even if the perpetrator is not and has never been in the US, for example, computer hacking and fraud. So, if the FBI has probable cause they can ask for and get an arrest warrant. If the US were at war with this person’s country then, barring war crimes or crimes against humanity, military action against the US is not a crime. Naturally, exactly the same circumstances apply to US citizens vis-a-vis foreign laws.
Maritime law applies in space which means jurisdiction lies with the country of registration of the vessel. So, if the crime occurs in transit then Russia has jurisdiction since, at present, all transportation is provided by Russian Soyuz capsules. The ISS itself is governed by a number of international treaties, MOU and bi-lateral agreements. In essence: The basic rule is that 'each partner shall retain jurisdiction and control over the elements it registers and over personnel in or on the Space Station who are its nationals' (Article 5 of the Intergovernmental Agreement).
It is probably illegal under Indonesian law for you to launch a cyber-attack on a website that you believe violates Indonesian law, just as it is illegal for you to shoot a person for fraud. The Indonesian government reserves the right to judge guilt or innocence, and to mete out punishment, within Indonesia. It is definitely illegal under US law, also UK law and so on, to launch a cyber-attack on a website for some reason, so you can be prosecuted under the laws of that nation. You should then be concerned with the Law on Extradition (1979), noting that there might be a treaty but also Indonesian law allows extradition on the basis of the interest of Indonesia (as judged by government officials). Indonesian nationals do not enjoy immunity from extradition (as is the case in some countries). There is no extradition treaty between Indonesia and the US; there was one between the UK and Indonesia but I cannot determine whether it is still in force.
In the US, there are no (and can be no) laws against hate speech. You also cannot sue a person for using an ethnic or similar epithet. A false accusation, however, might be grounds for a defamation lawsuit. Word connotations do not matter, what matters is the denotation, for example calling someone a "rapist" denotes a specific criminal act. Even calling someone a rapist isn't necessarily defamatory, since hyperbole abounds especially on the internet, so in order to actually be defamation, the statement would have to be understood as a particular accusation (a form of unlawful sexual assault). A defamatory statement has to be made with reckless disregard for the truth of a statement, which is not the case in the situation you describe (perhaps the person correctly said that so-and-so is a therapist, but was ineffective in their use of English).
Generally, irrespective of charge, there is no 'shield laws' in the UK legal system. Any such provisions are a matter of discretion for the judge on the same grounds as the admissibility of evidence. Though the following case relates to a murder case rather than rape, it does provide justification for the lack of 'shield laws'. In R v Davis [2008] UKHL 36; [2008] 1 A.C. 1128 (henceforth Davies), as described in para 3, per Lord Bingham, the witnesses were subject to extensive protective measures, as 'they claimed to be in fear forth their lives if it became known that they had given evidence against the defendant'. [Tom Bingham, The Rule of Law (2011 Penguin) 99]. The case addresses issues at the time of the original hearing. However, more recently, there have been statutory provisions for anonymity of witnesses, specifically section 86 of the Coroners and Justice Act 2009. This enables witness anonymity orders to be made, however there are specific requirements that can be found in subsequent provisions of the Act, but there is no common or absolute protection of victims or witnesses. A closing note regarding the 'victim' in the rape case, it should be noted that in the UK legal system, as criminal cases are brought by the CPS on behalf of the Monarch, not the victim and as such the victim is, for all intents and purposes, a witness.
I'm not going to comment on the specifics of this law; rather, I think this question shows a misconception of the way the legal system works in general. Here's the question: do you actually have "legally privileged" material on your phone? If not, what's keeping you from claiming that is that it's not true, and lying to a police officer is a bad idea. And just putting a letter from your lawyer on the phone doesn't mean you've established a legal privilege--attorney-client privilege is not a magic spell, it's a reasonable system of protection that only covers certain communications. The bottom line is: the statute in general, and that clause in particular, were included in the law to protect real, important, and substantial legal right. The courts interpret the law in light of that purpose. If the police officer finds a solution that protects your rights while still carrying out the purpose of the statute, the court will be unlikely to fault him or her. In this case, if you tell the officer that there is a letter from your attorney in a particular folder, the obvious solution is for the officer not to open that folder. Problem solved. In practice, in the United States at least, these cases are dealt with routinely; computers are seized, and attorneys and judges work together to ensure that privilege is protected while still allowing reasonable access to seized materials. I would imagine the same is true in the U.K. The bottom line is: the law is not a game, and technical "gotchas" are rarely effective. Common law systems allow judges enough leeway to avoid this sort of pointless technicality.
Yes, they can be sued civilly Or, for that matter, be prosecuted by another jurisdiction- pardons only work within the jurisdiction that issued them. In a common law jurisdiction, the pardon cannot be used as evidence Nor, for that matter, can a criminal conviction. This is partly because the elements that need to be proved for the civil wrong won’t correspond to the elements of the crime. But mostly, because it just isn’t allowed.
If Twitter were to declare bankruptcy would Elon Musk retain control/ ownership afterwards? If a company declares bankruptcy it doesn't necessarily cease operating, in the US it could continue operating under Chapter 11. Ownership would then go to the creditors of Twitter. But who are those? There are currently some news articles that banks involved in Musks Twitter take-over are trying to sell the debt at 30 to 40% below nominal value but I'm not sure whether the debtor in this case is Musk himself or the company Twitter? I thought a bankruptcy would entail Musk losing control of Twitter making this a very unattractive option to him but if he gets to keep Twitter through such a reorganisation this changes things dramatically for him.
Bankruptcy does not change the owners of a company The shareholders (owners) do not lose ownership in bankruptcy; just control. The creditors appoint a trustee to manage the company and, if and when the company returns to profitability, control is restored to the owners through the board of directors. Musk's takeover did not change Twitter's balance sheet The money paid by the Musk consortium did not go to Twitter, it went to the former owners of Twitter. The impact on Twitter of the transaction was precisely zero - any impact will come about subsequently by a change in management direction. Who owns Musk's debt does not affect Musk or Twitter So Mr Musk borrowed some money from Bank A and has contractual obligations on when and how much he has to repay. So long as he meets those obligations, nothing changes from his perspective. If Bank A seels that debt to Bank B (at a profit or a loss), that does not affect Mr Musk. It certainly doesn't affect Twitter.
The second inferred question is "How does Twitter conform to GDPR?" See the Twitter GDPR FAQ for details on if Twitter is a data controller or a data processor, how Twitter complies with the legal requirements for transferring data, etc. Re: the original question regarding scraping and distributing Twitter data: Read Twitter's Twitter Terms of Service, which is a legally binding contract for use of their service. By using Twitter (or accessing Twitter without an account), you agree to that contract. Twitter very clearly states what they allow as legal uses of their service; pertaining to scraping and selling and/or sharing data: You also agree not to misuse our Services, for example, by... (iii) access or search or attempt to access or search the Services by any means (automated or otherwise) other than through our currently available, published interfaces that are provided by Twitter (and only pursuant to the applicable terms and conditions), unless you have been specifically allowed to do so in a separate agreement with Twitter (NOTE: crawling the Services is permissible if done in accordance with the provisions of the robots.txt file, however, scraping the Services without the prior consent of Twitter is expressly prohibited); ... If you want to reproduce, modify, create derivative works, distribute, sell, transfer, publicly display, publicly perform, transmit, or otherwise use the Services or Content on the Services, you must use the interfaces and instructions we provide, except as permitted through the Twitter Services, these Terms, or the terms provided for (developers) So you can scrape Twitter with prior consent, or scrape according to the robots.txt file, which shows Twitter's limits on what you can scrape. If you don't follow the TOS, you risk Twitter taking legal (civil, possibly criminal, according to jurisdiction) action against you.
I'm pretty sure the bank could go after the owner for any difference between the unpaid loan balance and what they're able to sell it for. Incorrect. The news report states "it ceased making payments toward the $725 million non-recourse CMBS loan". The term "non-recourse" means that the bank can't go after the owner and is limited to recovering its debt from the collateral. The term "recourse" means that the bank can go after the owner in a lawsuit for amounts still owed after the collateral is applied to the debt. The question is, would something like this force them to write down on their GAAP financials the value of any other loans they've extended. The bank extended the loan, so if the real property is worth less than the amount of the debt, the bank has to write off the balance of the debt on this secured loan. If the bank writes off the loan, it gets a tax deduction in the amount of the write off, however. The written off debt is also taxable income to Park Hotels & Resorts Inc. to the extent that the company as a whole is not insolvent. In California, the "default rule" is that the owner occupied residential mortgages are non-recourse loans, but that loans secured by personal property and other mortgages are recourse loans. Unlike California and about four other states, owner occupied residential mortgages in other U.S. states are also recourse by default. A non-recourse loan on a mortgage of a hotel is not the default rule (even in California) and is contrary to usual commercial practice. Park Hotels & Resorts Inc., in this case, obtained an extraordinarily favorable deal with CMBS (normally it would be a recourse loan with personal guarantees from all related companies and from multiple top executives and investors of the borrower), perhaps in exchange for a higher interest rate than it might otherwise have secured. answers relating to all jurisdictions would be fascinating, especially those of England. The way that real estate in financed in England is so profoundly different from U.S. practice that it isn't really possible to even analogize to this situation in California. For reasons related to tax laws, the structure of English mortgage laws, English insolvency laws, and the way that customary commercial real estate financial deals have evolved over time in England, the kind of deal that was struck between Park Hotels & Resorts Inc. and CMBS in this case would have been structured completely differently if it had been done in England. It might be legal to do the same deal in England, but that isn't what firms trying to achieve the same objectives would actually have done. I know only enough about how real estate finance in handled in England in deals like this to know that it is completely different from how it is handled in the U.S. I am not familiar enough with real estate finance practices there to know how it would actually be done there.
I suspect what has happened is the court has set aside, or refused to enter, a Final Charging Order because you were made bankrupt before the Final Charging Order could be issued. In Nationwide Building Society v Wright [2009] EWCA Civ 811 the Court of Appeal held that bankruptcy was a barrier to a Final Charging Order being issued if the bankruptcy commenced before the Final Charging Order could be issued. On the facts in your question, it is clear that no such Final Charging Order was issued before the bankruptcy commenced. An Interim Charging Order will by necessity end unless a Final Charging Order is made. Since no such Order was made, it would seem that the Interim Charging Order has ended: the interim order is designed to stop someone from disposing of assets until the court can decide whether a final order is necessary. If no final order is made, the interim order dies with it. A check on the Land Registry against the property would be needed to ensure that any notices or restrictions have been removed. If they are still present against the property's entry, an application to have them removed will have to be filed. Furthermore, the Limitation Act 1980 provides a time limit of six or twelve years (cause of action dependent) for the creditor to take action to enforce their rights. In relation to enforcing judgments, the creditor has six years from the date of judgment to enforce it (Section 24 of the Limitation Act 1980) In relation to recovering money secured by a charge or to recover the proceeds relating to a sale of land, the creditor has twelve years from the date that their right to receive the money started (Section 20 of the Limitation Act 1980) In either case, even if a Final Charging Order were able to be made in these circumstances, it is possible to argue that the relevant sections of the Limitation Act 1980 prevent the creditor from pursuing any right of action and so the debt (and any enforcement action) is statute-barred.
Every lot on the subdivision is and always will be acquired “through the Developer” Unless the developer still owns it. Somebody is the heir or assignee of the Developer - that’s who you need to seek approval from. Even if the Developer was at some point a company that got liquidated, the right of being the Developer would transfer to the creditors of that company.
There is certainly precedent. This list of the 10 biggest class action lawsuits in the world indicates that 8 of the 10 were by investors against their own company. In any event your analysis is flawed. The people who initiate the class action may (probably are) no longer be investors because they sold their shares and realised their losses. Further a legacy investor who didn't buy on the basis of the company's wrongdoing would not be entitled to damages. Finally, an investor who bought at say $100 on the basis of false information (like the cars were legal when the company knew they weren't) and now hold shares worth $40 will wait many years (if ever) to make good their losses: a lawsuit will be quicker and more certain.
It is possible that a court would hold Comapny X's agreement with Bob to be unconscionable for overbredth and therefore void. This would depend on the state having jurisdiction, and on the specific facts of the case and the language of the contract between X and Bob. Some states do not favor such broad agreements on automatic assignment of IP rights. If the Contract between X and Bob was held to be void, then Sam would own the rights. Otherwise X would own the rights, as their contract came first. As the answer by Dale M says, Bob entered into the contract with Sam fraudulently, by concealing a materiel fact (Bob's existing employment with X). Bob would potentially be liable to Sam for damages. One possible measure of damages would be what it would cost Sam to buy the rights from X.
Of course it doesn't work. You haven't discovered an end-around to property ownership I gave someone a car and want it back (they refuse) You no longer own this car. It is now titled in their name. Your interest in the car is now exactly zero whether or not they paid for it. I use a shell company to buy my own debt Okay. This has nothing to do with the car. You're now out of the cash it took you to set up this new entity. How are you doing this? I assume it means paying off your creditors with money you already have. You will also have to come up with some type of bogus documents that explain to the future court why this was even done. If you have the money, why do you have debt? My shell company sues me for conveying the car to conceal it from creditors Um, Ok. Now you're also out filing fees. Let's assume you know how to do this without paying an attorney to do it for you. I settle Makes sense, since you're suing yourself. The shell company now gets a court order to seize the car Seize the car how? This is a stretch. A judgement would be against you for the value of the car. You can't settle a lawsuit using assets you do not own. A court won't order something repossessed because of an unrelated squirrelly lawsuit. An exception would be a bankruptcy court that rules the item was sold or disposed of outside the court's orders. I would expect an astute court to hit you with contempt or sanctions for trying to use it to further your interests with some sort of end-around to property ownership. Expect more fees for this use of the court's time. The shell seizes the car No. Now I have the car back No.
Can I sell a handshake? Can I charge someone for a hand gesture such as a high five or a handshake? How would a receipt be written for such a thing? It seems like a silly question but I am genuinely curious and want to make sure my social experiment isn't subject to any sort of weird laws that I don't know about.
The way law works is that you don't need to find a law which says you can do something. Instead, there needs to be an absence of a law which says you cannot do that thing. In other words, you can do anything you want so long as there isn't a law which says you can't. It's unlikely that you will find a law in any jurisdiction which says you cannot charge for a handshake. If you want the charge to be legally binding on the other party, then you need to ensure that the formalities of a valid contract are met. In particular, either each side needs to provide consideration (something of value) or the contract needs to be executed as a deed (england-and-wales). The party who pays the charge is clearly providing consideration. What about the handshake? Is it something of value? The rule is that consideration must be "sufficient" but does not need to be "adequate". That means that it must have some value (however small) but it doesn't need to be valuable enough to be a fair bargain for the parties. This was confirmed by the House of Lords in Chappell & Co. v Nestle Co. Ltd (1960) AC 97 (england-and-wales) which held that empty chocolate wrappers, which would be thrown away upon receipt, were sufficient consideration. A more common example of low-value but sufficient consideration is a "peppercorn" which is often used as token consideration where (in practical terms) a party is not offering anything of substance. Note that "value" doesn't need to mean something that benefits the recipient. It can also be something which detriments the person who provides it. The courts have held that a promise to do something you were not otherwise legally required to do is sufficient consideration. For example, in Hamer v Sidway (1891) 27 NE 256 (new-york-state), the court held that a promise to quit smoking was sufficient consideration. It doesn't matter whether the recipient values the consideration or not. In Chappell (see above) the court held: It is said that when received the wrappers are of no value to Nestle’s. This I would have thought irrelevant. A contracting party can stipulate for what consideration he chooses. A peppercorn does not cease to be good consideration if it is established that the promisee does not like pepper and will throw away the corn. A handshake is almost certainly sufficient consideration because it involves doing something that you were under no legal obligation to do before you agreed the contract. How you write a receipt is a matter of personal choice and therefore off-topic.
Possibly The game company has almost certainly excluded liability under the contract you entered. There may be some consumer protection that you have that they cannot exclude - I don’t know enough about German law to meaningfully comment. Notwithstanding, if you were to initiate legal action against the, as yet, unknown wrongdoer, you could subpoena the relevant records from the game company with a court order. No matter what privacy or other protections the other person has, the game company must obey the order or be in contempt. Without such an order the game company is right that they can’t disclose details of other users. As a practical matter, it will cost several hundred € to initiate legal action and several thousand to pursue it to the end. And you might lose. A better response is to treat the lost €80 as a relatively cheap life lesson - many people lose a lot more learning to recognise scams.
Not for normal correspondence There are laws that require a specified channel of communication for specific purposes such as a physical address for the service of legal notices, but there is no general requirement. How, or if, a company communicates with its customers about complaints will either be specified in the contract or up to the company to determine and advertise. For example, this site specifies “ will be deemed to have been duly given when received, if personally delivered or sent by certified or registered mail, return receipt requested; when receipt is electronically confirmed, if transmitted by facsimile or e-mail; or the day after it is sent, if sent for next day delivery by recognized overnight delivery service” - any other method of delivery (Whatsapp, Facebook, even their own chatrooms etc.) is not a valid method of service, if you use those methods, then legally, you have not communicated. So, if the company requires complaints to deal with by online chat, they can safely ignore any letter or email you might send them.
In most US states, anyone can buy such lists, covering either the whole state or a specific municipality or election district. Political campaigns routinely buy such lists and use them to organize door-to-door campaigning, as well as postal appeals. Some years ago I was a (losing) candidate for local office in NJ. I bought such a list covering the township I was running in. It showed each voter's name, address, age, party of registration, if any, and which of the last several elections the person had voted in. I think the lists were available from the board of elections, and local lists from municipal clerks. Exact procedures no doubt differ from state to state, as will costs. At that time lists were available in electronic and paper formats. Purchasers had to sign an agreement not to use the information for commercial marketing, as I recall. Updated lists including data from the latest election are not usually available at once, but are available long before the next general election.
If I understand your question correctly, you have some clients who have paid you for services that you have not yet provided and, indeed, they have not yet requested. Is this correct? The accounting term for this is a "prepayment". The correct accounting treatment is to increase an asset account (your bank account) and create a liability account (Prepayments or something similar). You need to talk to your accountant about how to treat these for consumption and income taxes. Legally, these people are now creditors of your business - just like all of your suppliers and employees. There is no legal requirement to escrow or otherwise treat this as trust money. Basically, if your business goes bust they will lose their money. This is something that you should have dealt with in your contract with your customers - if you are running an online business then you should get a lawyer to revise your terms of service to cover things like how they can ask for a refund (and how long you have to get it to them) and how long (or if) they forfeit the funds. As it stands the money effectively becomes yours after whatever time under a statute of limitation applies to transactions of this type and size (under whatever law applies to the contract) since after that time they cannot sue to get it back.
It is certainly possible to transfer a copyright or other IP without an explicit charge, indeed it can be a pure gift, and normally would be when it is left by will, as is common enough. From a paid consultant it might be clearer to include a statement that the transfer is part of the consulting assignment, rather than putting a price of zero in a blank. But one could instead convey a permanent non-exclusive license, granting permission to use or modify the work in any way desired, ans saying that this is provided as part of the consulting process. Then there would be no question of what rights the consultant retained, or that the same or a very similar solution could be provided to different clients. Indeed such a license would not be so very different from a CC-BY license, or any of several open source licenses, although I would not use one of those by name. But the legal effect would be much the same, and the wording could be similar. Otherwise there could be a later claim that the right transferred precluded the consultant from using the same solution for other clients. Even if such a claim was not legally sound, and was not upheld, it could be a distraction and costly of time and energy at least.
I don’t understand why you think this is a “3rd party communication” - as I read it it says it’s an email from you. You are most definitely not a third party. Notwithstanding, communication between 3rd parties is not prima facie excluded. For example, correspondence between your company and your accountant (who are both third parties) is likely to be extremely relevant to a family law case. Assuming that it is relevant (which is hard to say without context) and that it doesn’t fall foul of one of the evidentiary rules (hearsay, opinion, privilege etc.) there is no reason why it wouldn’t be admissible.
Yes, it triggers the GDPR obligations Considerations: Can you surely identify those residing in Europe? In that case you should ask them to sign up again and confirm the consent. A lot of mailing lists are doing just that. Did they previously give consent and you can document it? If so, then you can argue that you have the required consent. Do you have business in Europe? If not then I don't think they would bother to go after you. You could just walk away from the fine. What other personal informastion are you storing? If you know who reside in Europe then you already have more info than just the email. The email address itself wouldn't be much of a documentation issue, SAR or Portability task.
In 2012, why did Toronto Canada lawyers appear in London, before the Judicial Committee of the Privy Council? Michael Currie wrote that the JCPC heard its last Canadian appeal in 1959. Brooke LJ wrote In the edition of The National (the newsletter for the Canadian Bar Association) for June-July 1995, Robert (Bert) MacKinnon wrote this memory of that last Canadian case in the Privy Council. I can add information to the discussion of the last case that went from Canada to the Privy Council. I was a junior counsel for the Respondent on that case: Ponoka Calmar Oils Ltd.v. Earl F Wakefield Co [1960] A.C. 18. But in Ross v Bank of Commerce (Saint Kitts Nevis) Trust and Savings Association Ltd (St. Christopher and Nevis) [2012] UKPC 3 (15 February 2012), Charles McBryan Finlay QC and Frank E Walwyn appeared for the Appellant. But neither is called to the Bar of any United Kingdom country! Both are called to the Bar of Ontario. Bryan Finlay's website pictures him before the JCPC. Appeared in London as counsel for the appellant before the Judicial Committee of the Privy Council on an appeal from the Eastern Caribbean Court of Appeal. E. Anthony Ross v Bank of Commerce (Saint Kitts Nevis) Trust and Savings Association Limited [2012] UKPC3. How commonly do Canadian lawyers appear before the JCPC nowadays? Why not instruct English barristers for representation before the JCPC? What advantages can Canadian lawyers have over English barristers in JCPC cases?
The cited case (Ross [2012] UKPC 3) is not a Canadian case. It is from St Kitts and Nevis, an appeal from the Court of Appeal of that small Caribbean country to the Privy Council. The two barristers are from the same firm based in Canada (WeirFoulds LLP), a firm which also has a cross-jurisdictional practice encompassing several countries in the eastern Caribbean who share their appellate court system. Those nations also have a common pathway for onward appeals to the Privy Council, for essentially historical reasons dating from the era of the British Empire. Thus, counsels' appearance in this case is not because they are Canadian, but because of their separate entitlement to appear in Caribbean appeals. Frank Walwyn's biography (linked in the question) says he is "He is licensed to practise law in Canada, and is also a member of the bars of Anguilla, Antigua and Barbuda, Barbados, Belize, the British Virgin Islands (BVI), Dominica, Grenada and St. Kitts and Nevis." (my emphasis). Membership in the St Kitts bar was enough for him to be able to also appear before the Court of Appeal of the Eastern Caribbean Supreme Court, and therefore the JCPC as well. Bryan Finlay's biography does not specify, but as senior partner in the same firm he may well have the same status. In any case, since "duly qualified members of the Bar in countries from which appeals to the Queen in Council lie have a right of audience before the Judicial Committee of the Privy Council" (Halsbury's Laws of England, vol. 66, para 795, 2020 ed.) he could appear before the JCPC whether or not he was allowed to do so in lower courts. Regarding your Q2 (Why Canadians?): In this case, the appeal was from St Kitts, which is a very small country of about 50k people. This would give a small talent pool from which to draw, if only barristers from St Kitts were eligible to practise in appeals. That is why the shared Eastern Caribbean court system exists and why there is some added generosity about qualifications between the participating countries. While the appellant Ross might have had many choices, he himself is "a Canadian lawyer who was at the time [= 1983] practising in Halifax, Nova Scotia", and could therefore have been drawn to a Canadian firm with a Caribbean practice. The appeal, moreover, does not appear to have turned on any local peculiarity of St Kitts' law. It was mainly about how certain commercial documents should be interpreted. The issues arising would be accessible to practitioners from many common-law countries. Canada is not especially at an advantage or disadvantage, and neither is England. There are several barristers in London who have Caribbean experience and qualifications and who are more commonly instructed to appear on Caribbean-related cases (London is a nexus for commercial litigation, and several Caribbean jurisdictions are commercially important in this way, such as the Cayman Islands). I have no data on your Q1 (How many Canadians?). I expect that there are not many, because the natural choice of counsel might be either a London-based barrister, or one from the jurisdiction of origin who has been handling the case so far, rather than from a third country with no recent history of JCPC appeals. You could gather your own data from case reports if you are so inclined; as far as I know there isn't a systematic pre-existing study available.
The court receives petitions for something like 8,000 cases annually, but it only hears something like 75 to 100 cases. There is not enough time or manpower to address each case that comes up, so the vast majority of the cases are simply rejected without comment. There are some notable exceptions, but a review of the order list from the day before Trump's order might give you a better feel for the caseload the court is dealing with and how unremarkable it is for an order to be brief, unsigned, and with no noted dissents. The only significance of the Court disposing of Trump's case this way is that it indicates none of the justices considered the issues he was raising to be serious enough to merit their attention.
The reference to "most junior counsel present" does literally mean the most recently qualified barrister who happens to be in the court. That is confirmed by Polter's response: "I was only called last term!" The story takes place in 1860. By this time, it was common for the court to assign a barrister who happened to be in court to conduct the defence of an accused person. According to Bentley, English Criminal Justice in the 19th Century (1998), p 110–111: Assignment was a practice developed by the judges as a means of ensuring that prisoners facing grave charges did not go undefended for want of means. The judge would ask one of the counsel present in court to undertake the prisoner's defence without fee, a request never in practice refused … During the debates on the Prisoners' Counsel Bill of 1834, one of the arguments used against the assignment of counsel clause which it contained was that the judges already had power to assign counsel, and that counsel never refused to act … So far as one can judge from trial reports, assignment of counsel to poor prisoners in felony cases was, and remained, a rare occurrence during the late 1820s and 1830s, but became increasingly common during the 1840s and 1850s. But I can't find any historical analogue to Polter's virtuosic success in prosecuting a "dock brief" on behalf of the Crown. As Bentley explains, the practice of assigning counsel evolved for the benefit of the accused, not the Crown. And the barrister assigned was not invariably the "most junior counsel present" (p 114): The selection was made from amongst those in court not already engaged in the case. Sometimes the judge would call on the most senior counsel in court. Sometimes one of the barristers present in court would volunteer his services. Occasionally the accused would be invited to choose from the barristers in court. Modern practice The scenario in the story, where the advocate briefed to appear is in another court, having assumed (or hoped) that the present matter would not be reached in the judge's list, remains common in busy criminal courts throughout the common law world. Judges have various ways of dealing with this situation, where a hearing cannot proceed efficiently because of a lack of legal representation. Some matters, such as hearings at which an accused person must decide whether to plead guilty or not guilty, or make scheduling arrangements for trial, or be sentenced for a minor offence, are still routinely handled by lawyers who receive instructions on the day of the hearing. This is usually formalised through systems like the duty solicitors scheme operated by the Legal Aid Agency. When duty lawyers are unavailable, it is not unheard of for judges and magistrates to ask counsel physically in the courtroom to provide limited pro bono assistance to an unrepresented party. Such requests are limited to the kind of representation ordinarily provided by duty lawyers, and would not extend to conduct of a jury trial with zero preparation. As well as being significantly more demanding due to the greater complexity of modern criminal law practice, this would today be considered a breach of the right to a fair hearing. I have personally seen lawyers present in the courtroom, in suburban magistrates' courts around Australia, appointed to represent defendants at procedural hearings when there is no duty lawyer available. Lawyers volunteer for this as part of their professional duty to the administration of justice, or even as a way to find new clients. However, this never applies to a prosecution brief. At worst, an irritated judge might force another prosecutor in court for unrelated cases to account for their colleague's absence, or dismiss the case for want of prosecution.
I would say all the similarities and differences between approaching a barrister directly and going through a solicitor are set out in the PDF. The historical division of barristers and solicitors is discussed in the document. Traditionally, solicitors took on cases and did the 'behind the scenes' preparation before a case went to trial, and barristers represented that client in the courtroom using the prepared materials. You needed to go through a solicitor in order to be represented by a barrister; there was no way of approaching a barrister directly yourself as a lay person. While this has changed with the Public Access Barrister scheme, this way of instructing a barrister is still seen as the 'default' method. In the usual scheme of things, you, as a client, would deal with a solicitor, and they would then instruct a barrister to represent you in court. In the Public Access Barristers scheme, you, the client, effectively miss out the solicitor stage and you approach the barrister directly. But this leaves something of a gap. In the typical client-solicitor-barrister model, the solicitor's role is to prepare the case for the barrister: collating documents for court, for example. The barrister then takes the papers, reads them, prepares an argument based on those documents and puts the client's case in a courtroom. (This isn't always the case, as the document makes clear: some barristers are not qualified to conduct litigation, for example, whereas some solicitors are qualified to represent clients in court. It's more the typical and historical model.) In the Public Access Barrister scheme, there is no solicitor to prepare the case. From the PDF provided, this means that: this is cheaper, as you're not paying for two lawyers; but conversely: you will have to undertake some of the preparation yourself, e.g. collating the papers, and there are some cases which are too complex for a client to take directly to a barrister, because a solicitor would be required to prepare all of the documents necessary for the trial. In terms of similarities, you will still end up receiving the advice and/or the representation of a barrister; you simply won't be going through a third party, but will be dealing directly with that barrister.
The origin of Parliament was from the curia regis, the King's Court. In that early form, the King's Court exercised both judicial and legislative functions. In 1215, with the Magna Carta and the beginning of Parliaments, the House of Lords assumed the judicial functions of the King's Court. Prior to 1876, it was possible for any member of the House of Lords to hear appeals. Eventually, however, the judicial function tended to be exercised by those appointed specifically to judicial office in the House of Lords, although this was not a formal restriction until 1876. Since 1876 and until 2009, the judicial function of the House of Lords was formally restricted to be exercised by the Law Lords (see s. 5 of the Appellate Jurisdiction Act 1876). However, the outcome of the appeal was also still formally an action of the entire House of Lords, on the recommendation of the panel of Law Lords that heard the appeal (see Stanley Clark, "Gentlemen, Their Lordships", p. 1443-44). And custom was that only the Law Lords that heard the appeal would vote, with all other members of the House of Lords abstaining.1 Rather than lords via hereditary peerage, the Law Lords were Lords/Ladies holding special qualifications and having received specific appointment to be a "Lord of Appeal in Ordinary." Among other qualifications, they would have already served in a high court or practised as a barrister for fifteen years. As an example of the kind of background a person might have before appointment as a Law Lord, this is Lord Denning's Wikipedia introduction: He was called to the bar of England and Wales in 1923 and became a King's Counsel in 1938. Denning became a judge in 1944 when he was appointed to the Probate, Divorce and Admiralty Division of the High Court of Justice, and transferred to the King's Bench Division in 1945. He was made a Lord Justice of Appeal in 1948 after less than five years in the High Court. He became a Lord of Appeal in Ordinary in 1957 and after five years in the House of Lords returned to the Court of Appeal as Master of the Rolls in 1962, a position he held for twenty years. In 2009, the judicial function of the House of Lords was transfered to the UK Supreme Court. The Law Lords at the time became the first justices of the UK Supreme Court. 1. Citation practice is to indicate that a judgment is from the House of Lords by using parentheses after identifying the reporter. E.g.: "Livingstone v. Rawyards Coal Co. (1880), 5 App. Cas. 25 (H.L.)." Starting in 2001, the House of Lords used vendor-neutral citations managed by the British and Irish Legal Information Institute. The vendor-neutral citations for judgments from the House of Lords use "UKHL" as the abbreviation. BAILII has also provided many older judgments from the House of Lords with unofficial neutral citations following the same convention.
Can the subject actually sue me in England, or is it possible to sue only in the EU country I posted the article from, or in the US where the article is actually hosted? Yes. If the online encyclopedia is available in the UK, then you have libelled them in the UK and, indeed, in every country where it is available. They can choose to sue in and under the laws of any country where they were libelled. If the subject can and does sue in England, what happens exactly? This is laid out in the Civil Procedure Rules Am I correct in presuming that I will be notified of this by mail and asked to enter a defence? You will definitely need to be served with the Particulars of Claim, however, this may come by other methods than snail mail. If so, what happens if I ignore the matter? Will a default judgment against me necessarily be entered, or will the court duly consider the plaintiff's case, perform the bare minimum investigation/reasoning necessary to determine which arguments of theirs are (un)sound, and so possibly rule in my favour? A default judgement will be entered providing the Particulars of Claim show a cause of action on its face. The court will not examine any evidence or enquire into the veracity of the statements made on the Particulars of Claim. In short, unless the plaintiff has ballsed something up - you lose. If I do choose to respond, can I hire an England-based lawyer to handle everything remotely, or can I be compelled to physically attend the court in England? You are generally not required to attend court in a civil matter unless you need to testify. Even then, arrangements can be made for remote testimony. If the court rules for the plaintiff and awards damages, can this judgment be enforced in the EU, or would it apply only in the UK? It can be enforced in the EU. As a courtesy or by treaty, domestic jurisdictions will enforce foreign judgements in most cases. If the court rules in my favour, would I recoup my legal fees? You will probably recoup some but not all of your legal fees, say 50-60%. Costs orders are complicated - talk to your lawyer.
Extradition is a special procedure that is tightly governed by statute - currently the Extradition Act 2003. That Act provides that, for extradition from England (as opposed to Scotland, etc.) to the United States (an example of a Category 2 Territory), an initial hearing is to take place before "the appropriate judge". This is, per s.139(1)(a), a designated "District Judge (Magistrates' Courts)". A DJMC sits in a magistrates' court, and is a professional judge as opposed to a layperson like an ordinary Justice of the Peace. The hearing is meant to resemble summary proceedings in the magistrates' court, but it has its own special rules. Those include a special appeals procedure which is different from the ordinary way that criminal cases can be appealed. Some things that could normally happen in a magistrates' court cannot happen here, such as varying an order at a later date (see R (Mann) v Westminster Magistrates Court [2010] EWHC 48 (Admin)). The way that this is phrased means that the jurisdiction is not conferred on the magistrates' court (which happens to have a DJ sitting in it), but on the DJMC themselves. The Criminal Procedure Rules 2014, Rule 17.2(a) are careful to say that when they say "magistrates' court" in this context, they are talking about the court that the judge has convened for the purposes of the Extradition Act. These rules are only applicable because the Act specifically provides for them in its s.210; they don't come in automatically as they would for criminal proceedings in a magistrates' court, because this is a special process with its own law, as expounded in the Explanatory Notes to the rules. In the Assange case, the DJMC was Vanessa Baraitser, including at Woolwich and the Old Bailey. The proceedings were under the Extradition Act as explained above. The court chose to sit in various buildings, other than Westminster Magistrates Court, for practical reasons due to the high level of public interest in the case, and related security considerations. The hearing was booked to last four weeks, which is very unusually long. Proceedings were live-streamed to other court buildings to allow members of the public and media to follow along. All of that does not mean that the proceedings were in a Crown Court or County Court. They were in buildings used by those courts, but took place before the designated DJMC according to the special procedure of the Extradition Act. That procedure, among other things, means that the extradition hearing cannot take place as a hearing of some other court, and there is no jury no matter how much the defendant wants one.
Generally speaking, British courts, when making judgments on constitutional matters regard themselves as interpreting existing law, rather than creating new law. But technically speaking, any legal precedent established by a court can be interpreted as "creation of new law". For the avoidance of doubt, the sources of law in the law of England and Wales include: statute law, constitutional convention, prerogative powers, common law, and legal commentary. I may have missed some out and may edit those in later. Common law refers to the judgments of courts. So here we come to your question: Several legal principles and precedents were established by this judgment, and you may consider this new "law": The court held that prerogative powers are justiciable - courts can limit the scope of these powers The prerogative power in question had limits. It can be limited when its use has an extreme detrimental effect on the democracy of the UK and parliamentary sovereignty. What is important with point one is that the court recognised that this power has always existed, stemming as far back as the bill of rights in the 17th century. As such, the court is implying that it is creating nothing new, but recognising a law that has always existed. You will see a LOT of this when studying constitutional law.
What laws would prevent the creation of an international telemedicine service? Clearly, every country has its own medical system. I do not know what the single source of legality tends to be, but I assume the government appoints a minister of health, and the minister of health somehow oversees who is allowed to practice medicine, how, and where, and who will be in charge of important topics like drug legality and medical ethics. Apparently, the World Health Organization has an international health standard that is “legally binding in 196 countries”. (here) Does that mean it is legally possible to create an international telemedicine product (as in, as much of health services as possible, like talking to a doctor, or getting medicine delivered, fast through an app)? The company would provide the same service but adapt it to any medical regulations of each country. In fact, the company would mainly be a vendor of a medium between doctors and patients already existing and practicing, in each country. However, I guess my point was precisely that - internationalizing health care. In theory, in the global, digital times, it does not make that much sense that an American living in Germany could not get telemedicine from America with the same level of convenience - for example, German insurance covering it, and the American prescription being somewhat valid. Maybe that is how things already are. People do sometimes have to travel for medical treatment and country’s medical systems do have to permit a degree of interoperability. I guess the bottom line is that medicine is like any other sector, every country is its own authority and creates its own system, including law, business, education, etc. What I’m trying to figure out is if that means it is already totally possible for an international telemedicine service which can connect you with a doctor in any country and give a prescription; but you would just need to figure out how to use that diagnosis in your country. My conclusion is I think this is legal. Is there some aspect of this I don’t know about?
The WHO regulations (according to that page; I haven't seen them) "provide an overarching legal framework that defines countries’ rights and obligations in handling public health events and emergencies that have the potential to cross borders." They don't dictate the conditions for practicing medicine. it does not make that much sense that an American living in Germany could not get telemedicine from America with the same level of convenience - for example, German insurance covering it, and the American prescription being somewhat valid. This would result in a geometric increase in the administrative burden. You need a system for the American prescriber to know what medicines are approved in both countries (and in every other covered country). You need some way for the German health authorities and the insurers to trust that prescribers in the United States are not endangering the health of people in Germany, which means that they need to evaluate the education and certification systems in place in the US (and every other covered country). You need to consider the legal recourse in cases of malpractice: if the prescriber makes a mistake, does the case go to the US courts or German? If German, will the US state that licensed the prescriber honor a judgment revoking the prescriber's medical license? And more. There are simply too many elements that need to be coordinated. With two countries, you have to reconcile one pair of systems. With three countries, three pairs. With four countries, six pairs. With N countries, it's N(N-1)/2, so even with a modest number of countries such as 20, you have 190 pairs of systems to consider. With 196, the number is 19,110.
Your basic regulatory umbrella for anything that stores, transmits or interacts with any private health information or health IT systems is Health Information Privacy | HHS.gov, as well as state authorities. There are severe penalties at the federal and state level for non-compliance and privacy breaches, and many other agencies - such as the DEA, state health departments, insurance companies - would have to be involved in testing and certification of such a App. You will simply not be able to distribute the App on Google or iTunes without their approval, and those distributors will not approve a App that has not been strictly vetted for privacy and HIPAA compliance. In order to distribute such as App - with a TOS that assures personal privacy and shields you from liability (if possible) - you will need to spend hundreds of thousands of dollars on legal representation for compliance. As an example, see ohwilleke's answer to What kind of lawyer should I seek to understand compliance requirements for processing credit cards?
47 USC 227 forbids anyone to make any call (other than a call made for emergency purposes or made with the prior express consent of the called party) using any automatic telephone dialing system or an artificial or prerecorded voice...to any telephone number assigned to a paging service, cellular telephone service, specialized mobile radio service, or other radio common carrier service, or any service for which the called party is charged for the call, unless such call is made solely to collect a debt owed to or guaranteed by the United States where an automatic dialing system is equipment which has the capacity— (A) to store or produce telephone numbers to be called, using a random or sequential number generator; and (B) to dial such numbers. This prohibition covers voice calls, SMS and MMS, see Satterfield v. Simon & Schuster, Van Patten v. Vertical Fitness and Facebook v. Duguid. I assume that the messages are send automatically, not by hiring hundreds of people to enter numbers and send individual texts. Since businesses have been sued for doing this, a lawsuit is one of the consequences.
A doctor can choose their patients A doctor has a professional duty to render aid in an emergency. However, apart from this and assuming the decision is not made for a prohibited or unlawfully discriminatory reason, they can refuse to see whoever they want. What you have here is poor customer relations, not illegally. Find a better doctor.
Hardly ever While all doctors in private practice has a contract with each of their patients: For most practical purposes clinical negligence lawyers can forget about these. It is not that contractual duties do not exist – all private medicine and surgery is performed pursuant to such duties – but that they rarely add anything to the parallel duty owed in tort. The courts have been very reluctant to imply a duty in contract which goes beyond the duty imposed by the common law of negligence. While tort damages aim to restore the plaintiff to the position they were in before the tort and contractural damages aim to place them in the position they would have been in had there been no breach, for medical malpractice there is no practical difference.
The vaccine card doesn't have a specific legal status under US law. There are federal laws against fraud which would encompass vaccine card fraud, but tidying up disparate notices into a single notice is not fraudulent (there is no attempt to deceive), as long as you don't falsify signatures, seals, or specific information. From a practical perspective, though, the official vaccination record from your state is a better and more official way to have a single proof of vaccination. There is probably no practical way to transport vaccinations from a foreign country into the US system, but that is a question best asked on Travel, since it's not about the law, it's about quasi-legal mandates authorized under broad laws that say "in an emergency, the government can stipulate necessary rules".
There is a potentially infinite regress of questions regarding the constitutionality of restrictions imposed under these "emergency" circumstances. The basic legal principle is clearly established: laws restricting fundamental rights are subject to strict scrutiny. The specific details of a particular law and surrounding circumstances have yet to be discovered by the courts. If it is necessary to the purpose of saving lives that meetings of more than 10 people be prohibited, then the "compelling interest" test probably has been satisfied. That is basically a medical question, and the courts have a limited interest in scientific controversies, instead they are interested in whether people who make legal decisions do so rationally (is it reasonable to think that such limits would accomplish that compelling government end). Is it reasonable to think that restrictions lasting two months are necessary? The Black Death lasted at least 4 years. In the current circumstances (very limited hard knowledge this disease), it's hard to say what government actions could not be excused based on necessity. Summary execution is, at least in the current knowledge context, probably not going to pass strict scrutiny. As already explained in other thread on the topic, there is no "churches are above the law" constitutional provision. The appropriate question in the Florida case is not about the First Amendment, it is about the Due Process clauses – is the arrest lawful? We will, no doubt, see. On the face of it, he violated the law, so he can be arrested. I understand that there is a team poking holes in the order.
As a preface, while the best course of action isn't always clear and the reality of implementing some solution is often rocky, the bipolar diagnosis situation you describe is probably the single most common situation in which legal arrangements must be made for an adult child, and is almost as common as the need for children to make legal arrangements for the care of their declining parents. You aren't the only one going through situations like these. Probably 0.5%-2% of people in any given area experience bipolar, usually starting in adolescence or young adulthood, and difficulties managing it of the kind that you describe are the rule and not the exception. Also, just ignoring the problems you describe is a very bad idea. Premature death either from suicide or bad judgment related to the bipolar diagnosis is all too common in these situations. It is serious business, not something that should be thought of as bad character, or futile to do anything about, or blameworthy. It just is, and if someone doesn't do something when the plan gets off course, serious consequences often follow. There are really several intertwined issues present here. Realistically, given the nature of the concerns expressed, a limited guardianship may be necessary to accomplish the goals expressed. What Are Medical Powers Of Attorney? A healthcare or medical power of attorney gives the person who holds it (who is called an "agent" or "proxy") the authority to make medical decisions for someone called the principal (i.e. John Smith) when the principal lacks the capacity to give informed consent at that very moment to do so. This is because a power of attorney is an inherently revocable document expressing the wishes of the person writing it. You generally can't bind yourself in the future without court approval or a contractual relationship with a third party which a power of attorney is not. It isn't uncommon for medical personnel to decide on the spot when to and not to listen to someone with a medical power of attorney based upon how mentally competent the patient seems at the time on a decision-by-decision basis. For example, they might defer to the medical power of attorney agent when the patient is unconscious or heavily drugged, and listen to the patient when the patient is conscious, not drugged, and not acting erratically. Parents, incidentally, do not automatically have this authority, nor do spouses. A medical POA is a document that allows the agent to say "yes" when the patient (i.e. John Smith) cannot. Another name for a document that is very similar and sometimes used is a "health care proxy." It would typically cost a few hundred dollars to $1,000 to have a medical power of attorney drawn up after discussing the situation and the principal's needs in a meeting with a lawyer and might take an initial meeting and then a second one at which the document is signed after it is prepared following the initial meeting. Other lawyers might manage this in a single meeting and draft it while you wait. If all you need is a power of attorney, don't be penny wise and pound foolish by doing it yourself, unless the form is provided to you by the health care provider you will spend most of your time dealing with and they prefer their own form. Otherwise, the likelihood that you will have to pay more to a lawyer later cleaning up your own mistakes probably exceeds any money that you will save. Other Kinds Of Authorizations Many medical providers will allow someone to act on behalf of a patient in matters other than matters that call for the kind of medical decision that would normally require the informed consent of the patient, even when the patient is not manifestly incapable of making medical decisions at that very moment. This could simply be a note in the file that the patient has given that person authority to do so, it could be a written authorization to access HIPAA protected personal health information of the patient, and it could be a variety of other things (e.g., authority to make financial arrangements). Some of this is often incorporated in the same document as a medical POA. Picking Up Controlled Substances A Medical POA may, or may not, necessarily be sufficient to authorize someone to pick up a controlled substance on behalf of a patient if the patient is physically able to do so, without the presence of the patient. I don't know what the true rule of law under the controlled substances acts and pharmacy regulation is, but I do know that practice in real life varies quite a bit. The best practical solution to the issue of picking up controlled substances would be to ask the usual pharmacist what they require and to comply. (A legal guardian would generally have the power to pick up controlled substances for a ward.) Guardianships and Limited Guardianships What Is a Guardianship? A guardian of the person is someone appointed by a court who has the authority to make medical decisions and other personal life decisions for their ward (i.e. John Smith), even contrary to their apparent stated wishes. A guardian has the authority to say "yes" and also to say "no" to the expressed wishes of the ward, overruling the ward. A guardianship of an adult can be general, or can be limited on a customized basis. A guardian must be appointed by a court with jurisdiction over these cases, usually in the county where the ward resides. But, a guardianship can be requested by the ward as opposed to contested. Realistically, a court would be unlikely to grant a full guardianship or a contested guardianship in these circumstances, but might grant a limited guardianship with the consent of the ward in these circumstances. The parents and possibly any siblings, would have a right to notice of the proceedings and to object or to seek to be appointed instead. What Process Is Involved In Having a Guardian Appointed? This would realistically be a proceeding that should ideally involve a specialist lawyer (with experience in mental health or elder law and guardianships) and at least one medical professional's statement (probably a treating psychiatrist or psychologist). There would also probably be a court investigator or guardian ad litem appointed at the ward's expense, to confirm that the facts represented in the petition to have a guardian appointed really reflect the ward's intent. Usually, a proposed guardian selected by the adult ward during a lucid interval would have priority for appointment. The medical professional and lawyer should be able to provide good suggestions regarding what the scope of the limited guardianship needs to be, although don't ignore or fail to give full credit to your own layperson's practical understanding of the situation either. The guardian would have to provide information to the court in connection with the petition showing eligibility to serve (e.g. criminal record check, credit check, CV, nomination by ward). Often the guardian would have to demonstrate good intentions towards the ward in some way, especially if the guardian is a third party and not someone who serves as a guardian as a livelihood. Some courts would require the guardian to have insurance for liability in connection with the task or a surety bond up to some dollar amount. The final decision would usually be made in an in-person hearing at which the ward, the proposed guardian, the proposed guardian's lawyer, the medical professional, the guardian ad litem or investigator, the judge, a court clerk, a court reporter, and any family members who chose to appear (with their lawyers, if any), were present. If the guardianship was granted, perhaps with modifications requested by the judge to the terms of the guardianship, then the Court would issue what are called "Letters" that formally appoint the guardian to the post. Once appointed, the guardian would have to file periodic status reports with the court and would also be subject to the court's jurisdiction in the event of any future dispute regarding the guardianship, or any allegations of misconduct by the guardian, or any circumstance that requires court approval such as a change in the terms of the guardianship or in the person serving as guardian. The procedural details I am describing are approximate and aren't necessarily up-to-the minute correct, and might vary somewhat even from court to court within California under local rules and customs of practice; but they give you a gist of what the process would be like if it is working properly and with best practices. Typically, this might cost $3,000 to $10,000 all in for an uncontested proceeding, and many times that much in the event of a contested attempt to have a guardian appointed. Health Insurance Eligibility I'll defer to someone else's answer regarding health insurance eligibility, as I don't have time to look into that at the moment. My instinct is that this wouldn't be a problem in any case except a guardianship and probably wouldn't be a problem even in a case with a third party guardian, but I can't confirm that without doing research.
Having Guardianship over a parent and medical care Imagine an adult child is given guardianship over his/her senile parent. Can the adult child force the parent to see a doctor against the parent's will?
Imagine an adult child is given guardianship over his/her senile parent. Can the adult child force the parent to see a doctor against the parent's will? Yes. A court appointed guardian can almost always force a parent-ward to see a doctor against the parent's will. (The term "ward" means a person over whom a guardian has authority.) A court has the authority to enter a guardianship order that specifically deprives a guardian of that power, but grants other powers over the person of the ward but this almost never, if ever, happens. Also, keep in mind that courts can appoint "conservators" for people who are incapacitated to some extent, which gives the conservator authority over the protected person's property but not over their person. The unqualified term "guardian" however, in contrast, for example, to a "guardian ad litem" who only looks after a person's interests in connection with a particular court case, has authority over the person and physical well begin of the ward. Finally, it is worth noting that a medical power of attorney agent of a person is not a guardian of a person and does not have this authority without being appointed as a guardian of the person by a court.
Normally, an employer can decide whether someone is allowed to go on leave or not. If someone has a covered disability, that must be accommodated, except to the extent that the disability makes the person unable to perform a bona fide job qualification that cannot be accommodated by any practical means. Employers have some latitude and discretion in evaluating this question and a doctor's opinion, while it is relevant evidence that an employer should consider, isn't binding on the employer. This is because physicians can differ in their opinions on a particular case, and because physicians don't necessarily know exactly what is and isn't necessary to perform a job satisfactorily. Business owners are entitled to decide what duties go with a job, and within reason, what kind of performance of those duties meets their standards. As the case summary linked to in the comments explains: "Counseling is a medical appointment and the determination as to whether it can be required for employment is dependent on whether it is “job related” and consistent with a “business necessity” as described in the ADA." Under the circumstances described in the question, it is likely that this requirement would be found to have been met. Also, an employer could place an employee on medical leave without requiring counseling or therapy as a requirement to return, so long as some other performance standard was established for the employee. On the other hand, the employer's discretion is not unlimited. If a judge or jury finds that an employee was clearly capable of performing the job in a satisfactory manner (e.g. by noting that the disabled employee outperforms many non-disabled employees in the same position who are not put on leave), then that finder of fact could conclude that the employer had engaged in illegal discrimination based upon disability, rather than legally exercising an employer's discretion. There are, inevitably, gray areas, and no one doctor's opinion is enough to resolve that question definitively.
Would that be sufficient for a court to impose a guardian? Maybe, maybe not, it depends whether the procedures at N.J. Ct. R. 4:86 are followed and complied with, especially Rule 4:86-2(b)(2) which includes a requirement for: Affidavits or certifications of two physicians having qualifications set forth in N.J.S.A. 30:4-27.2t, or the affidavit or certification of one such physician and one licensed practicing psychologist as defined in N.J.S.A. 45:14B-2, in such form as promulgated by the Administrative Director of the Courts. Pursuant to N.J.S.A. 3B:12-24.1(d) [...] To support the complaint, each affiant shall state: [...] (F) the affiant's opinion of the extent to which the alleged incapacitated person is unfit and unable to govern himself or herself and to manage his or her affairs and shall set forth with particularity the circumstances and conduct of the alleged incapacitated person upon which this opinion is based, including a history of the alleged incapacitated person's condition [...]
Your question is about "Would it be kidnapping if I was injured and someone took me to a hospital without my consent", so I don't understand these other answers which say "it depends on the situation". The key point is what you mean by "without my consent". Good Samaritan laws are also relevant, which offer defenses to people who do things that would otherwise be unlawful when they are doing it with good intentions to help someone who they believe is injured or would become injured without their intervention. The main things to consider are the degree of injury, which is a spectrum ranging from no injury at all to being dead, and whether the injured person is conscious. Are you so injured that you are unconscious? In most jurisdictions, being unconscious is considered as you consenting to any actions which are done with the intent of giving you medical assistance, which is on a spectrum of saying "hey are you ok?" or shaking you in order to wake you up, all the way up to treatment including major surgery. So by being unconscious it is usually automatically consent, but if you are awake and are refusing help or treatment, even if you could die if you didn't receive treatment, it would be easy to argue that you were not consenting and that any treatment/assistance etc was unlawful. This situation sometimes happens, and EMTs are often trained to wait until the person goes unconscious to then give them medical assistance/transport etc, but assisting someone before they go unconscious could still be argued as permissible, if the injured person was so distressed that they were unable to give/refuse consent, or at least if the assistor believed that to be the case. This is why if someone has a major medical problem and is unconscious, hospitals can resuscitate them and even perform surgery without them signing a consent form. By being unconscious, it is considered that they are consenting to any necessary surgery to help them, even including amputation or other negative consequences. Conversely, if someone has a valid Advance healthcare directive on file which forbids measures such as resuscitation, they will be considered not to consent, and will usually be left alone without life-saving assistance. Resuscitating/performing surgery on someone in this case can be cause for damages to the injured person, because it would have been clear that they did not consent to such assistance.
In the US, there are no laws against surgical circumcision with informed consent (and I don't know of any such laws in any other country). Parents are generally allowed to grant surrogate informed consent. There is no requirement that circumcision be carried out by a licensed physician or other approved practitioner. A person can be held civilly liable for damage done by the procedure. There are no criminal prohibitions in the cases that you describe, but there could be civil interventions. In particular, the court could override parental consent – for instance, if a parent ordered circumcision of their 17 year old. If some person does the circumcision without parental consent, that could be a crime. The key distinction is parental consent. The law grants parents the power to act on behalf of the child, under the premise that children do not have the capacity to act in their own best interest, and cannot reasonably be forced to bear the full consequences of their actions. These are long-standing pre-common law premises, which even predate the promulgation of English common law. "Best interest" is not a technical term requiring definition, but it is a factual matter that is very difficult to judge. Judges use solomonic wisdom to determine whether a surgery is in the best interest of a child when it is medically advantageous but psychologically detrimental. Just as an adult can consent to a circumcision thereby negating any accusation of assault, so too can a parent consent on behalf of their child.
Children own their own stuff Legal guardians are legally responsible to preserve it and use it in the child’s best interest. If doesn’t matter if that stuff is real, personal or intellectual property.
You generally are not required to share your medical details with people you don't want to. That said, the camp would also not be required to allow people who don't comply to enroll. They can't force you to divulge your information, but you can't force them to let you come if you don't, either. HIPAA deals with the ability of healthcare providers to disclose medical information to parties who aren't the patient themselves - it would be a HIPAA violation for your doctor to disclose your information directly to the camp without your consent. HIPAA has absolutely no bearing on who you choose to disclose your own information to, however - you can disclose your own information to anyone you want.
In the United States, the main statute governing the use of health care information is HIPAA, the Health Insurance Portability and Accountability Act. HIPAA and its related statutes and regulations detail what you can and can't do with medical information. You can't always collect it; if you do, you can't always share it, and you can't always delete it. This is a complex field of law and it's easy to screw up in a way that would cause big, serious, company-destroying, job-ending problems for everyone involved. To put this another way: this is absolutely, positively, not something you want to get advice on from strangers on the internet. You don't just need a lawyer; you need a HIPAA specialist--or the equivalent in whatever other countries you plan to operate in--before you push anything out to real-life patients, especially children.
Any precedent for a foreign (non-U.S.) attorney, pro hac vice, was granted permission to represent civil litigants in any U.S. federal or state court? Question set forth above with particular interest in California. I looked for precedent of this, but this is probably rarely a matter of appeals, and are probably decided in pre-trials. I am aware of the main rule (9.40) which reads, as relevant: “ (a) Eligibility A person who is not a licensee of the State Bar of California but who is an attorney in good standing of and eligible to practice before the bar of any United States court or the highest court in any state, territory, or insular possession of the United States [may so appear].” It does not provide for foreign attorney’s, but I would imagine judges discretionary power potentially set such precedent in the not so far past. The fact that foreign education is generally acceptable for taking the Bar Exam (calbar.ca.gov/Admissions/Requirements/Education/Legal-Education/…) allows for the inference that, at least pro hac vice, courts may have allowed this on rare occasions.
For state courts, it depends on the state. Pro hac vice appearances like this are probably most common in New York, in relation to international commercial disputes. It is also common for foreign attorneys to take the New York bar exam - several thousand people do that each year - in which case they have a springboard to appear pro hac vice in other states. The NY exam is well-understood in this way, in terms of training and support that might be offered in the country of origin. But one-off appearances, particularly by in-house counsel, also take place routinely. Many states, including California, also have a category of "foreign legal consultant", someone who is retained to advise on the law of the specific foreign jurisdiction in question, but who isn't allowed to appear in court. In the current version of the California Rules of Court, pro hac vice is covered in Rule 9.40. On its face, this rule only applies to attorneys who are "eligible to practice before the bar of any United States court or the highest court in any state, territory, or insular possession of the United States". There is a broad exception in 9.40(h), This rule does not preclude the Supreme Court or a Court of Appeal from permitting argument in a particular case from a person who is not a licensee of the State Bar, but who is licensed to practice in another jurisdiction and who possesses special expertise in the particular field affected by the proceeding. "Another jurisdiction" is not facially limited to U.S jurisdictions, so it may be that the higher state courts could admit a foreign attorney. I do not know of an example either way. In general, California's licensing requirements for lawyers have often been strictly interpreted. The State Bar Act (Business and Professions Code, 6000-6243) says that: No person shall practice law in California unless the person is an active licensee of the State Bar. An attorney appearing pro hac vice is temporarily registered with the State Bar once their application has been approved by the court. This general licensing regime, which aims to protect the public against dishonest or incompetent practitioners, has been held (e.g. in Birbrower v. Superior Court 17 Cal. 4th 119 (1998)) to imply a strong public policy favoring the practice of law in California by licensed State Bar members. Occasional admission pro hac vice does not extend to doing regular legal work of other kinds, including giving legal advice, preparing documents, and so on - and certainly not to maintaining a permanent physical office in California, or advertising to the public. If you would like to do those things then the state would like you to take their own bar exam, in which case (if you pass!) you are in the same situation as any other California lawyer. There is a fairly recent exception for international commercial arbitration (not applicable to normal arbitration about things like disputes over personal property). The Code of Civil Procedure, 1297.185, now says that if you are a member of a recognized legal profession in a foreign jurisdiction, the members of which are admitted or otherwise authorized to practice as attorneys or counselors at law or the equivalent, and meet various other conditions, then you can participate in arbitration work on a "fly in, fly out" (FIFO) basis. You don't need to register or pay a fee. (But, per 1297.187, you still need pro hac vice permission to appear as counsel in an actual court.) Additionally, if you FIFO, the Federal government will have visa requirements at the point you try to FI.
The precedent is very clear and was accurately applied by the judge A treaty does not create domestic law and is only applicable to the extent that it is incorporated into domestic law. She extensively quotes the relevant precedents in the judgement at [42-49].
The broader question is a bit tricky and has many dimensions. It is probably easiest to go over some of the ground rules. There are probably other particular issues that could come up, but those are the only ones that occurred to me at the moment. Caveats and Disclaimers Also, it is worth noting that the considerations that apply are different in criminal v. non-criminal trials, in the U.S. v. other countries, U.S. state courts v. federal courts, in jury trials v. bench trials, and in the civilian v. military justice systems ("A Few Good Men" is a quasi-criminal U.S. court-martial case under the military justice system without a true jury.) At least to start with, I will limit my answer to civilian criminal jury trials in the United Sates. At least in practice and interpretation, the United States has lower expectations of lawyers at trial than in many other common law countries. Prosecutors have higher duties to not be deceptive than criminal defense lawyers. There is a greater duty for defendants to disclose information that could be harmful to their case in civil cases (especially in state courts) than in criminal cases. The ethical duties of lawyers regarding candor in bench trials are more complicated because there are some facts that in a jury trial, a judge is allowed to know and consider when making rulings in the case, but a jury is not allowed to know. Military justice is its own thing with far less formal rules of procedure and deeply different basic assumptions than in trials in civilian courts. For example, in a military trial, the prosecutor, the defense lawyer, the defendants and the judges are all soldiers who owe heightened duties to the same government and the military mission, relative to participants in a trial in a civilian court, that can take priority over the duties a lawyer owes to his client, or duties of judges to respect due process. A prosecutor is not permitted to advance frivolous and groundless positions for any reason. Some Notable Rules Opening Arguments and Offers Of Proof You are not allowed in an opening argument to a jury in a civilian criminal trial, or in an offer of proof to a judge in support of the validity of questions you would like to ask, to state that you will present evidence later in the case that you do not believe in good faith that you will introduce. You are not required, however, to identify all evidence that you plan to introduce in your opening statement. But, if you say you will offer up evidence later in the case believing that you will introduce it, and then decide later on that you don't need to and want to offer up that evidence after all, you aren't required to do so. For example, in a case that I tried not so long ago, both sides had expert witnesses. The other side's expert witness testified first and we got him to say everything that we wanted our expert witness to say in cross-examination. We were also worried that our expert witness might say something that would hurt our case because he understood some complicated facts in the case better than the other side's expert witness who didn't realize that those facts were an issue. So, when it was my turn to present the expert witness (who was supposed to have bee the last witness in the case) that we'd said in opening arguments would testify for several hours, we told the court, "we planned on calling Mr. So and So as an expert witness, but have concluded that his testimony would be cumulative so we conclude our case now," after which the Court immediately moved on to closing arguments which we knew that we'd have to present right away, but the other side expected to have several more hours to think about while our last expert witness testified consistently with his previously disclosed expert witness report for a couple of hours. What the lawyer did in "A Few Good Men" (which was in substance an "offer of proof" to provide authority for him to ask certain questions) came close to the line of what is permissible in terms of saying that you will introduce evidence when you don't actually plan to do so, but probably didn't cross the line because he didn't say what they would testify to if called. This would be bad form, and it might undermine the lawyer's credibility with the judge not just in this case, but in the long run, but a lawyer could decide as this one did, that this downside was worth it. Statements About Lying Witnesses Neither the prosecution lawyer nor the defense lawyer is allowed to say that they know that a particular witness was lying. This is because this turns the lawyer into a witness and puts the lawyer's credibility at issue. This is also because a statement like that can be used to signal to the jury that the lawyer knows something based upon evidence that the jury didn't hear (perhaps because they weren't allowed to hear it) that they should consider when weighing credibility. Numerous felony convictions are overturned every year because a prosecutor told a jury that a witness was lying. These statements are prohibited without regard to whether they are true, false or debatable. Of course, a lawyer can say, "as you evaluate the credibility of the first witness you heard you should consider the fact that he will avoid a life in prison term and receive a $1,000,000 life insurance policy payout and that the first witness is blind and yet told you the exact color and texture of the sweater that the defendant was wearing even though the first witness doesn't claim to have ever touched that sweater." The lawyer simply isn't allowed to connect the dots and conclude for the jury that therefore, the first witness is lying. Arguments Based Upon False Inferences As a general rule, in a civilian criminal jury trial, a defense lawyer is allowed to ask questions in cross-examination and make arguments in closing arguments that are based upon inferences from the evidence that was presented that the defense attorney knows to be false, so long as the factual testimony presented is not known to be false. For example, the defense lawyer could argue in closing arguments, "the prosecution did not rule out the possibility that Fred Heinz was present at the murder scene, so they haven't ruled out the possibility that Fred Heinz rather than my client committed the murder," even if the defense lawyer happens to know that Fred Heinz was actually on vacation in another country at the time of the murder. Similarly, a defense lawyer could ask a witness on cross-examination, "Isn't it true that you hide the murder weapon at the requests of your boyfriend and didn't see my client at all that evening?", even if the defense lawyer knows that his client's girlfriend asked the witness to hide the murder weapon and not the witness's boyfriend. The witness of course, would simply answer "no, that isn't true.", but the defense lawyer's question would put the possibility into the heads of the jurors, possibly leading them astray. (The second example is a little more complicated than that, because the defense lawyer's question is only allowed if there is some foundation established in earlier evidence to show that the boyfriend asked the witness to hide the murder weapon. If not, the prosecutor could object to the question and the judge wouldn't allow the witness to answer it. Whether a defense lawyer can ethically ask a question knowing that it violates the rules of evidence hoping that the prosecution won't object to it and knowing that even if the question is overruled by the judge that it will give the jurors a hint about a possibility that is actually known by the defense lawyer to be false, is somewhat of a gray area.) Also, a lawyer is absolutely allowed to ask cross-examination questions not knowing what the answer will be, even though that is risky and usually considered to be bad trial practice, and a lawyer is allowed to ask questions that limit a witness to telling an incomplete story that sounds bad, even though the whole story, if told, would not sound so bad, and even if the lawyer knows that the other side won't get an opportunity to tell the whole story for some reason later on. For example, suppose that the lawyer asks a witness, "you just told the jury that you saw this fight happen?" to which he responds, "yes." "And, you just have normal vision don't you?" "Yes." "But, isn't it true that you were three miles away from the scene of the fight when it happened." "Yes. Now that sounds like it really discredits that witnesses testimony, even if the lawyer asking the question and the witness and the prosecutor and the judge all know that the witness saw the fight occur though binoculars from the top of the Empire State Building. Normally, this could get corrected with rebuttal testimony. But, suppose that the defense lawyer offering this cross-examination asked the questions in a dull voice like it was a tedious detail and noticed that the prosecutor had been distracted looking at texts on his phone while the defendant was cross-examining the witness and so didn't notice this line of questioning, and therefore was likely to say, "no further questions, your honor" when the judge asked him if he had any rebuttal testimony he'd like to offer from this witness. In that situation, the defense lawyer hasn't acted improperly in causing the jury to make a misleading inference from the testimony, and the defense lawyer is allowed in closing arguments to heavily emphasize that the key prosecution witness who says he saw the fight admits that he was three miles away when it happened, knowing that this argument is disingenuous. Ultimately, a defense lawyer's job is to get the best result possible for their client without violating any relevant ethical rules which are specifically and intentionally relaxed for them relative to other lawyers in some respects regarding advancing frivolous and groundless positions. A prosecutor, in contrast, has a duty to advance only claims that the prosecutor believes to be supported by probable cause, to not hide exculpatory evidence, and to seek justice rather than having a duty to try to convict and get a maximum sentence without regard to guilt or innocence (in principle even if not all prosecutors act this way). Testimony And Evidence Know To Be Intentionally False A lawyer is not permitted to let a witness or his client provide testimony to the court that he knows to be perjured. If his witness starts to commit perjury on the stand, the lawyer has to immediately stop the examination of that witness and discuss the problem with the judge. In many circumstances, the lawyer must correct a knowingly false statement that his witness has provided to the court even if he only learns that the statement was knowingly false after that witness is off the stand if the lawyer learns of this before the jury renders its verdict (or for that matter within the time allowed for post-trial motions). Gray areas come in when the lawyer doesn't know that the testimony is true or false, and knows that someone is under oath, but also knows that they aren't a very credible person and that the person sometimes lies in important situations, and indeed avoids knowing the truth. Similarly, gray areas come into play when the lawyer knows that the witness is likely to be mistaken in the testimony that is offered, but knows that the witness is sincerely doing his best to tell the truth on the stand as he understands it to be. Likewise, a lawyer is not allowed to introduce evidence that he knows to be doctored or forged (i.e. claiming that it is authentic), unless the lawyer explains in the course of introducing the evidence that it is a doctored or forged document and is offering it to show that somebody doctored or forged the document. And, if the lawyer later discovers that the document was doctored or forged before the jury renders its verdict (or within the time allowed for post-trial motions), the lawyer has to tell the court that this happened. Pre-Trial Disclosures While the prosecution has a duty to disclose all exculpatory evidence in its possession prior to a trial in a civilian criminal case (something called Brady disclosures), the defense's duty to disclose what evidence it will offer, or what evidence it knows exists, is extremely narrow. There are a couple of kinds of defense strategies (like an alibi defense or a self-defense defense or certain disputes regarding expert testimony) which the defense must disclose that it plans to use at trial, prior to the trial. But, the defense has much more latitude to call surprise witnesses and to introduce surprise evidence at trial than the prosecution does.
Yes. This is legal and it is done routinely. It is called executing a document in counterparts. To be clear, however, as the language of the question is ambiguous on this point, each signature would have to be contemporaneously notarized by the person notarizing that particular signature. In each case that a notarization took place outside the country where the Power of Attorney is to be utilized, normally, it would be necessary to also obtain an apostille for that notarization. An apostille is an official declaration of a designated official in the country of notarization that the notary of the signature in question was, in fact, a notary in good standing at the time that the notarization was done.
In practice, common law courts turn to academic writing, either law review articles or legal treatises or the "Restatements of Law", on a regular, but infrequent basis. These sources are not binding sources of legal authority but can shed persuasive light on the logic behind a legal rule or the course of action that has been taken in previous similar cases. In civil law countries (i.e. those not descended from the legal system of England), there are far fewer circumstances in which court precedents are sources of law. Much of the gap in credible sources for how ambiguities in the statutory law should be interpreted in these countries comes from academic writing. In a typical civil law country, a leading law professor has more impact on how the law is interpreted than senior appellate court judges. Again, academic writings are not binding legal authority, but in the absence of alternative sources for material interpreting statutes, they are very persuasive.
Edits added below to outline Florida's laws based on OP's comment Jurisdiction does matter but here is a general answer regarding "stand your ground" laws. States that have so-called "stand your ground laws" each have their own language concerning the law. "Stand your ground laws" are often misunderstood but, generally, just mean that a person has no duty to retreat when using deadly physical force for purposes of self-defense or the defense of others. Your examples are more akin to "castle doctrine" laws which I touch on below. Note that all of these laws vary by jurisdiction. I've provided partial examples from Arizona, New York and California. Using deadly physical force for purposes of self-defense or defense of others is complex law and even a complete example from any particular jurisdiction will not be able to cover all circumstances. Each case will be determined by a judge or jury based on the facts of that particular case. Arizona's "stand your ground" statute, as an example, states: B. A person has no duty to retreat before threatening or using deadly physical force pursuant to this section if the person is in a place where the person may legally be and is not engaged in an unlawful act. "Stand your ground" simply means that a person doesn't have to first attempt to retreat before resorting to the use of deadly force. Arizona's statute regarding justification for self-defense states (emphasis mine): A. Except as provided in subsection B of this section, a person is justified in threatening or using physical force against another when and to the extent a reasonable person would believe that physical force is immediately necessary to protect himself against the other's use or attempted use of unlawful physical force. B. The threat or use of physical force against another is not justified: In response to verbal provocation alone; or To resist an arrest that the person knows or should know is being made by a peace officer or by a person acting in a peace officer's presence and at his direction, whether the arrest is lawful or unlawful, unless the physical force used by the peace officer exceeds that allowed by law; or If the person provoked the other's use or attempted use of unlawful physical force, unless: (a) The person withdraws from the encounter or clearly communicates to the other his intent to do so reasonably believing he cannot safely withdraw from the encounter; and (b) The other nevertheless continues or attempts to use unlawful physical force against the person. Note the phrase, "extent a reasonable person." This means that the actions of a person using deadly force will be measured against what a "reasonable person" would do in similar circumstances. Some states have a duty to retreat, particularly when in a public place, before using deadly force. New York, as an example, has a "duty to retreat" before using deadly force except in specific circumstances (emphasis mine): A person may not use deadly physical force upon another person under circumstances specified in subdivision one unless: (a) The actor reasonably believes that such other person is using or about to use deadly physical force. Even in such case, however, the actor may not use deadly physical force if he or she knows that with complete personal safety, to oneself and others he or she may avoid the necessity of so doing by retreating; except that the actor is under no duty to retreat if he or she is: (i) in his or her dwelling and not the initial aggressor; or (ii) a police officer or peace officer or a person assisting a police officer or a peace officer at the latter`s direction, acting pursuant to section 35.30; or (b) He or she reasonably believes that such other person is committing or attempting to commit a kidnapping, forcible rape, forcible criminal sexual act or robbery; or (c) He or she reasonably believes that such other person is committing or attempting to commit a burglary, and the circumstances are such that the use of deadly physical force is authorized by subdivision three of section 35.20. Castle Doctrine Laws typically refer to what one may do in their own home when it comes to the use of deadly force. Some states have extended the "castle doctrine" to include personal automobiles as well. California's "castle doctrine" statute, as an example, states that if one is in their own home and someone "unlawfully and forcibly" enters the home one can presume that the person in his or her residence "held a reasonable fear of imminent peril of death or great bodily injury": Any person using force intended or likely to cause death or great bodily injury within his or her residence shall be presumed to have held a reasonable fear of imminent peril of death or great bodily injury to self, family, or a member of the household when that force is used against another person, not a member of the family or household, who unlawfully and forcibly enters or has unlawfully and forcibly entered the residence and the person using the force knew or had reason to believe that an unlawful and forcible entry occurred. As used in this section, great bodily injury means a significant or substantial physical injury. In California's statute both the resident and the person using force to gain entry have to know or have reason to believe that an unlawful and forcible entry occurred. If a person simply entered an unlocked home then the resident would have to have some other reasonable reason to believe that they were in imminent peril of death or great bodily injury. Wikipedia has a reasonable entry on the adoption of "stand your ground" and "castle doctrine" statutes and gives a state-by-state breakdown of both. Note that these laws have seen a lot of change recently and any particular entry for a state may not be accurate. Florida's self-defense laws Florida's "Use or threatened use of force in defense of person" states: 776.012 Use or threatened use of force in defense of person.— (1) A person is justified in using or threatening to use force, except deadly force, against another when and to the extent that the person reasonably believes that such conduct is necessary to defend himself or herself or another against the other’s imminent use of unlawful force. A person who uses or threatens to use force in accordance with this subsection does not have a duty to retreat before using or threatening to use such force. (2) A person is justified in using or threatening to use deadly force if he or she reasonably believes that using or threatening to use such force is necessary to prevent imminent death or great bodily harm to himself or herself or another or to prevent the imminent commission of a forcible felony. A person who uses or threatens to use deadly force in accordance with this subsection does not have a duty to retreat and has the right to stand his or her ground if the person using or threatening to use the deadly force is not engaged in a criminal activity and is in a place where he or she has a right to be. Florida outlines the cases where use, or threatened use, of force is justified. Notice that in the law Florida specifically states that the person threatened does not have a duty to retreat. Florida also specifically states that a person has a "right to stand his or her ground" if the person is in a place where he or she has a right to be and is not engaged in criminal activity. Florida statute also specifically outlines the right to use self-defense within one's home and vehicle. Florida has a "castle doctrine" similar to what was outlined above and similar in nature to New York's and California's laws: The person against whom the defensive force was used was in the process of unlawfully and forcefully entering, or had unlawfully and forcibly entered, a dwelling, residence, or occupied vehicle, or if that person had removed or was attempting to remove another against that person’s will from the dwelling, residence, or occupied vehicle; Florida has a longer list of exemptions related to who may have used force to enter a home including ownership interest in the property or vehicle, children and grandchildren, the person who engaged defensive force was involved in criminal activity and law enforcement officers. Florida's Justifiable Use Of Force is chapter 776 discusses when force can be used. There was an attempt by the Florida legislature in 2019 to change the standard by which use of force could be justified from "reasonably believes" force is necessary to "a reasonably cautious and prudent person in the same circumstances would objectively believe" force was necessary. The bill was withdrawn in May, 2019.
From a US perspective, in a word, "no". Firstly, "presumption of innocence" is in a trial, not in police interactions. Being arrested does not violate the presumption of innocence. Police do not need any reason to interact with you or ask you questions. Police can arrest you if they have probable cause to suspect you have committed a crime, but this is not always necessary. More on this later(in the fourth section). Secondly, I wouldn't describe requesting to see your ticket, or any document as a "violent communication", in general. It may be rude or insulting, but not violent. (Also "violent communication" is not a legal term. The closest legal terms, verbal assault and threatening communication, are also not this.) More over, there is no indication of am implication of lying in this request. Thirdly, there are many situations in which possessing a document or credential is not sufficient; one must legally display or present them upon request. For example, multiple occupational licenses such as liquor licenses and barber/cosmetology licenses require that the licenses be prominently displayed; whereas, in California at least, a vehicle driver on a public road must not only possess their driver's license and proof of insurance, they must produce them upon the request of any law enforcement officer (Source: https://www.dmv.ca.gov/portal/dmv/detail/pubs/brochures/fast_facts/ffvr18). Fourthly, there are situations in which you can be legally searched and questioned without reasonable suspicion. Examples of this include boarder searches and sobriety checkpoints. Sources: (US Supreme Court rulings): https://en.wikipedia.org/wiki/United_States_v._Martinez-Fuerte; https://en.wikipedia.org/wiki/Michigan_Department_of_State_Police_v._Sitz A note on sources: bdb484 and I have opposing court case sources. My sources have binding precedent over all courts in the US, save the US Supreme Court, whereas theirs don't have any binding precedent, but are more directly on-topic.
Strictly speaking, that principle isn't even true everywhere in the US. The maxim "nulla poena sine lege" (i.e. "no punishment without a prior penal statute") was historically applicable to civil law systems, such as are found in continental Europe. In common-law systems, there was never a tradition in which a crime wasn't a crime unless it violated a penal law, because crimes themselves were traditionally defined by court precedent instead of by statute. In US federal court, the only allowable common-law offense is contempt of court. This is due to a court decision (United States v. Hudson), in which the Supreme Court ruled that federal courts do not have the constitutional authority to hear a case in which someone is accused of committing a common-law crime. Even so, and even though there is a federal contempt statute, the Supreme Court has ruled that contempt is an inherent power of any court, and statutes around it only regulate the power (but the power would be there even without a statute). At the state level, some states have explicitly passed laws saying something is not a crime if it doesn't violate the penal code (although this doesn't necessarily apply to contempt); see section 6 of the California Penal Code for an example. In other states, like Florida, common-law crimes still exist; Florida has a statute saying that any common-law offense is still a crime unless a statute has explicitly covered that same subject matter (section 775.01), and specifies a generic penalty for anything which is an offense at common law and not addressed by any Florida penal statute (section 775.02). While this is sort of statutory (as it's a statute giving the penal provision), it's also basically not (as no statute has to say "X is illegal," because it's enough that English common law makes X illegal).
Is a new Idaho law purporting to ban interstate transport of minors for gender-affirming care constitutional? Idaho's House of Representatives has just passed a bill criminalizing most forms of gender-affirming treatment for minors. Most audaciously to my eye, subsection (4) of the bill purports to criminalize transporting a minor out of state (to neighboring Oregon, say) for the provision of such treatment. Should Idaho attempt such a prosecution, I would guess that Subsection (4) would be overturned by a federal court as an infringement of the right to freedom of movement among the states. Is this correct? The closest valid law I'm aware of is the federal law against interstate travel for the purpose of dodging state age of consent laws, which is of course a very different matter. In abortion law, there is a related discussion here, but this regards an Alabama law that doesn't even purport to ban residents' seeking abortions out of state, which is moot while Roe v. Wade stands in any case.
Effect of Bill First of all, if this bill (Idaho House Bill 675) is passed in the form linked in the question, section 4, which prohibits transporting a child outside the state, ONLY applies when this is done for purposes prohibited in subsection (1), that is, traditionally defined female genital mutilation. It does not, in its linked form, prohibit transport to violate the new section (2) which prohibits procedures to "change or affirm the child's perception of the child's sex". Thus the statement in the question that: subsection (4) of the bill purports to criminalize transporting a minor out of state (to neighboring Oregon, say) for the provision of such treatment. is incorrect. Notice that section 4 is not new, nor is it modified (except by changing th4e section number) by the current bill. My understanding is that the travel ban was, when it was passed, aimed at families who took female children outside the US, to African or Middle-eastern countries, for traditional rites that include FGM. This was done by a significant number of people with ethnic origins in such countries, and a number of US states passed laws banning such travel. This law, before the house bill, was one such law. The recent bill added "gender affirming care" into the law, by calling it another form of genital mutilation. However, for purposes of discussion, let us assume that subsection (4) is changed to refer to subsections (1) or (2), thus making the question correct. Right to Travel The right to travel from one state to another is a basic right under the US constitution. The LII page on "Interstate Travel" refers to it as: "a right venerable for its longevity, but still lacking a clear doctrinal basis." See the Wikipedia article Freedom of movement under United States law The right to travel was recognized early on, in the case of Corfield v. Coryell (6 Fed. Cas. 546, no. 3,230 C.C.E.D.Pa. 1823). This case was decided by Justice Bushrod Washington, a member of the US Supreme Court, but it was decided while he was acting in his role as circuit judge, not by the Supreme Court as a whole. In that decision, Justice Washington included "The right of a citizen of one state to pass through, or to reside in any other state, for purposes of trade, agriculture, professional pursuits, or otherwise;" as one of the "privileges and immunities of citizens in the several states" which are guaranteed to all citizens. This passage has been influential, although not undisputed, in interpreting the "privileges and immunities clause" of the Fourteenth Amendment. In Crandall v. Nevada, 73 U.S. 35 (1868) The Supreme Court held that the right to travel between states was fundamental, and that a state could not impede it by taxing the exit of people from one state to travel into another. Subsequent cases have deemed the right to travel protected against state restrictions both under the privileges and immunities clause, and under the commerce clause. In United States v. Guest, 383 U.S. 745 (1966) at 383 U.S. 757 the Court wrote: The constitutional right to travel from one State to another, and necessarily to use the highways and other instrumentalities of interstate commerce in doing so, occupies a position fundamental to the concept of our Federal Union. It is a right that has been firmly established and repeatedly recognized. The Guest court goes on to cite Crandall v. Nevada, 6 Wall. 35, (the case in which a tax on those leaving the state was overturned) and the Passenger Cases, 7 How. 283, 48 U. S. 492 in which Chief Justice Taney wrote: We are all citizens of the United States; and, as members of the same community, must have the right to pass and repass through every part of it without interruption, as freely as in our own States." All this would mean that a law prohibiting travel would need strong justification, and is probably subject to strict scrutiny, a standard of review requiring a "compelling governmental interest" and a "narrowly drawn" law. Medical Judgement The bill declares that procedures to "change or affirm the child's perception of the child's sex" are "never necessary", any medical opinion to the contrary notwithstanding. Such an override of qualified medical opinion might be hard to justify in a criminal law. Civil Rights In BOSTOCK v. CLAYTON COUNTY, GEORGIA 590 U. S. ____ (2020) #17–1618 the Subreme court ruled that Title VII of the Civil Rights Act of 1964. prohibits employment discrimination against homosexual or transgender individuals, writing: Because discrimination on the basis of homosexuality or transgender status requires an employer to intentionally treat individual employees differently because of their sex, an employer who intentionally penalizes an employee for being homosexual or transgender also violates Title VII. This rule may well carry over to other areas of the law. Equal Protection Clause The Equal Protection Clause of the Fourteenth Amendment reads nor [shall any state] deny to any person within its jurisdiction the equal protection of the laws. Treating members groups differently because of group membership is often, but not always, an equal protection violation. The provisions oc the bill, if enacted, might constitute such a violation.
Let's back up. It's premature to say that SB 8 "avoids the constitutional restrictions on banning abortions". The constitutionality of SB 8 has not been resolved; the Supreme Court said so explicitly (page 2). In fact there is good reason to think that is unconstitutional under existing interpretation of the Constitution per Roe v. Wade and the like. (Whether the court will actually follow existing interpretation is another question, of course.) But the courts do not determine the constitutionality of laws just because someone asks them; they only do so when it needs to be decided to resolve a particular case. For instance, if a person is charged with a crime, they can challenge the constitutionality of the law under which they are charged, and courts will address that question unless the case is resolved some other way. There are also ways that a person who wants to violate the law can pre-emptively sue the government to prevent them from enforcing the law, if they can show such enforcement is likely to affect them. The issue in SB 8 is that since it wouldn't be the government enforcing the law, it's unclear who an abortion provider can pre-emptively sue. In Whole Woman's Health v. Jackson, they tried to sue the State of Texas, its courts, and a private party who they thought might be likely to sue them. The SCOTUS majority found that none of those defendants were relevant. However, if and when an abortion provider actually does get sued, there'll be a clear case which has proper parties and is ripe, and courts then will have to consider whether SB 8 is constitutional or not. So if your hypothetical gun control statute were treated similarly, the law might avoid pre-emptive challenges, with a chilling effect on gun sales. But sooner or later, someone would probably violate the law (maybe deliberately as a test case), and the courts would consider whether it was constitutional or not. Under prevailing interpretations of the Second Amendment, they'd probably find that it wasn't. A key difference, of course, is that abortions are much more time-sensitive than gun purchases; being temporarily blocked from having an abortion is much more consequential in most cases than being temporarily blocked from buying a gun. The other subtext is that, although SCOTUS said their decision in Whole Woman's Health is not based on the constitutionality of SB 8, it's widely suspected that several of the justices are not all that keen on the constitutional right to abortion found in Roe v. Wade, and might look to overturn Roe when it comes up. As such, they may not be very motivated to look for procedural avenues to block SB 8 in the short term, since they might be inclined to uphold it in the long term. The dissenters in Whole Woman's Health certainly thought those avenues were available. But in the case of your hypothetical gun control bill, if a majority of justices were pretty convinced that the law was unconstitutional, they might try harder to come up with grounds to block it pre-emptively.
In that case, Cruise-Gulyas was subject to a second stop, and the court found that the second stop was an illegal seizure. There is no qualified immunity since this was an exercise of a clearly established First Amendment right. The authority to seize her ended when the first stop ended. The finger is not a basis for a stop, since it does not violate any law ("This ancient gesture of insult is not the basis for a reasonable suspicion of a traffic violation or impending criminal activity", Swartz v. Insogna, 704 F.3d 105.
In the specific example you have given, Florida law could not be applied. A state has jurisdiction over a crime under constitutional due process limits on the scope of a state's criminal jurisdiction if the crime is either committed within the state (regardless of where the harm occurs) or is directed at or impacts the state (the classic example is a gunshot fired from the Ohio side of the state line killing someone located in Indiana, which could be prosecuted in either state, or in both states as it doesn't violate double jeopardy to be prosecuted for the same offense by more than one sovereign). Sometimes these issues are framed not as "jurisdictional" per se, but as "conflict of law" questions limited by the constitution. The proof that a crime was committed in the territory where it is applicable is called proof of locus delecti and depends upon the nature of the crime alleged and the location of the act or acts constituting it. To determine where a crime is committed depends on what acts constitute the crime, something that leaves considerable room for flexible interpretation and a careful reading of the exact wording of the relevant criminal statute. The most important limitation on the territorial jurisdiction of a U.S. state is the Sixth Amendment to the United States Constitution. This applies directly in the case of federal criminal prosecutions in the federal courts, and applies in state courts because it is incorporated to apply in state court cases through the due process clause of the Fourteenth Amendment to the Constitution of the United States under 20th century case law applying the "Selective Incorporation doctrine." The Sixth Amendment mandates that criminal trials be conducted “by an impartial jury of the State and district wherein the crime shall have been committed.” If a suspect is not present in a state to be criminally prosecuted, then the options available to a state are (1) to toll the running of the statute of limitations while the suspect is outside the state to the extent permitted by the relevant state statute and the U.S. Constitution, (2) to bring a civil lawsuit against the suspect instead of a criminal prosecution, or (3) to seek extradition of the suspect, which must be granted under certain circumstances under the United State Constitution and reads as follows in the pertinent part: Article IV, Section 2, Clause 2: A person charged in any state with treason, felony, or other crime, who shall flee from justice, and be found in another state, shall on demand of the executive authority of the state from which he fled, be delivered up, to be removed to the state having jurisdiction of the crime. (Note that the Sixth Amendment does not apply to civil lawsuits. Civil lawsuit trials can be conducted in a state other than the state where the breach of contract or tort giving rise to the lawsuit took place for jurisdictional purposes and not infrequently is brought in another state, although constitutional choice of law rules limit the circumstances under which a particular state's laws can be applied to a particular set of circumstances in a lawsuit.) The Sixth Amendment, on its face, prohibits Florida from prosecuting a case in the example given in the question involving a crime that was committed solely in Washington State. Of course, the exact definition of the crime might determine where it was committed. In traditional "common law" "blue collar" crimes there is usually no ambiguity over where it is committed except in the most extraordinary circumstances, but in prosecutions of conspiracies and crimes involving economic activity (such as owning or mailing something), the question of where a crime is committed can grow much fuzzier. For example, one could imagine a differently defined crime prohibiting providing funds to finance a purchase of marijuana in excess of 20 grams being committed both in Washington State and Florida at the same time (e.g. perhaps a purchase of marijuana in Washington State was financed by a Florida bank by delivering cash to a courier in Florida who is bound for Washington State knowing that the cash would be used to finance a marijuana purchase). Similar ideas apply in international circumstances where the Sixth Amendment and Extradition Clause do not apply. But, in those cases, the more flexible and less well defined "law of nations" as interpreted by Congress and the U.S. Supreme Court and the President still does impose some territorial boundaries on prosecutions for actions which are not crimes in the country where they are committed under that country's domestic laws. But, those boundaries are not so hard and fast and the idea that a crime is committed in places where it has an impact allow for considerable flexibility in prosecuting crimes committed outside the United States. It has also been well settled since the earliest days of the United States that "The courts of no country execute the penal laws of another." The Antelope, 23 U.S. (10 Wheat.) 66, 123 (U.S. Supreme Court 1825) and that this applies to states applying each other's penal laws as well. So, Florida cannot enforce a violation of the criminal laws of Washington State in its courts either. If you get in a bar fight in Seattle, you can't be prosecute for assault in a court in Orlando, even if both of the parties to the bar fight were Orlando residents and U.S. citizens. Some notable cases resolving the question of whether locus delecti is present in a particular case include the following: In Hyde v. United States, 225 U.S. 347 (1912) although none of the defendants had entered the District of Columbia as part of their conspiracy to defraud the United States, they were convicted because one co-conspirator had committed overt acts in Columbia (225 U.S., at 363). So conspiracy is a continuing offense committed in all the districts where a co-conspirator acts on the agreement. Similarly, In re Palliser, 136 U.S. 257 (1890) the sending of letters from New York to postmasters in Connecticut in an attempt to gain postage on credit, made Connecticut, where the mail he addressed and dispatched was received, an appropriate venue (136 U.S., at 266—268). A typical state statute on the subject from Colorado's Revised Statutes (2016) is as follows: § 18-1-201. State jurisdiction (1) A person is subject to prosecution in this state for an offense which he commits, by his own conduct or that of another for which he is legally accountable, if: (a) The conduct constitutes an offense and is committed either wholly or partly within the state; or (b) The conduct outside the state constitutes an attempt, as defined by this code, to commit an offense within the state; or (c) The conduct outside the state constitutes a conspiracy to commit an offense within the state, and an act in furtherance of the conspiracy occurs in the state; or (d) The conduct within the state constitutes an attempt, solicitation, or conspiracy to commit in another jurisdiction an offense prohibited under the laws of this state and such other jurisdiction. (2) An offense is committed partly within this state if conduct occurs in this state which is an element of an offense or if the result of conduct in this state is such an element. In homicide, the "result" is either the physical contact which causes death or the death itself; and if the body of a criminal homicide victim is found within the state, the death is presumed to have occurred within the state. (3) Whether an offender is in or outside of the state is immaterial to the commission of an offense based on an omission to perform a duty imposed by the law of this state. Case law under this statute sometimes describes the issue presented under this statute a question of "sovereign jurisdiction." See, e.g., People v. Cullen, 695 P.2d 750 (Colo. App. 1984).
YOU NEED TO KNOW MORE FACTS The age of consent to sex in the United States, in cases not involving child pornography (which is federally regulated as well as subject to state regulation) is a matter of state law, although federal law criminalizes crossing state lines for the purposes of sex with a minor in certain cases. There is moderate variation from state to state on this issue. Many (probably most, but I haven't counted in a detailed survey) U.S. states have at least two separate components of a statutory rape law and a separate child prostitution law, to which different provisions regarding mistake of age apply. One component of a typical state statutory rape law, which usually pertains to teenagers above a certain age, is a misdemeanor and includes a good faith mistake of age after reasonable investigation exception (at least if it does not involve commercial prostitution). This component also often has an "age gap" limitation for at least part of the age range that is sometimes a crime, to make sex not a crime if the couple are close in age (typically four years apart or ten years apart). The other component of a typical state statutory rape law, which usually pertains to pre-pubescent minors, is usually a felony and does not have a mistake of age exception (this is sometimes called a strict liability statute even though you need to have an intent to do some things like an intent to voluntarily have sex). These laws have been upheld against constitutional due process challenges, at least as applied in particular cases. It is constitutional to have a statutory rape law with only a strict liability component. But it is relatively uncommon for a state to have such a law. You need to know you are having sex with the person you think you are having sex with (if you were blindfolded and someone replaced your intended and believed partner with someone else without your knowledge, expectation, or consent, you would also be a rape victim, not a perpetrator and the child would be raped by the person arranging it even though you carried out the act unwittingly), but you don't constitutionally need to know that the person you are having sex with is under the statutory age and ignorance or mistake regarding the statutory age is no excuse. In the U.S., state laws banning being a buyer of commercial prostitution by people under age eighteen, typically apply even if sex with that person would not be a crime if it was non-commercial, and typically do not have an exception for mistake of age, although statutes vary. Also, many states, in addition to a statutory rape law also have a law prohibiting certain people who are in "positions of trust" such as teachers and coaches, from having sex with people under their supervision, even if by virtue of age alone, the statutory rape law would not be violated. You can sometimes be guilty of attempting to commit a crime, or engaging in conduct believing certain facts to be true (as in the case of many child prostitution crimes), but plain vanilla statutory rape crimes are frequently not crimes for which an attempt is cognizable.
No. Only specified means of disposition of bodies are allowed by law in Kentucky and this is not one of them. The statute that applies once the body comes into the possession of a coroner is here. The statute that applies when a death appears to involve suspicious circumstances is here. Dispositions of a body that constitute the crime of "desecration of a dead body" crimes in Kentucky are described here. But, the the scenario in the question, while not within any of the clear exceptions to that particular crime, is also not clearly within the definition of that crime. Instead, it would probably be a violation of state funeral home regulations, which are mostly civil rather than criminal offenses. A subtle point is that certain transformations of a dead body such as cremation and certain kinds of treatments (such as plasticizing) that can cause a body to cease to rot also have the effect of causing the dead body to no longer count as a dead body legally for purposes of laws regulating the disposal of dead bodies. Kentucky law does not expressly authorize something quite similar to the original post which is the Tibetan Buddhist and Parsi (a.k.a. Zoroastrian) religious practice of "sky burial". But, the free exercise clause of the freedom of religion granted by the First Amendment to the U.S. Constitution and incorporated against the states via the 14th Amendment to the U.S. Constitution, and the Religious Freedom Restoration Act of 1993 (a federal statute), may either render this state prohibition unconstitutional or pre-empt it under federal law, because religious practices have greater legal protections than artistic practices. This would be a close call because sky burial can present public health risks that overcome first amendment freedom of religion rights.
The 5th amendment protects you from self-incrimination. If by possessing a firearm you are in violation of the law you cannot be compelled by law to reveal this information. If the police discover you have a gun in violation of the law you can be arrested and prosecuted for that offense. They cannot additionally prosecute you for not telling them about a gun. I thought there was a supreme court case about this specific situation, but the closest I can find for now is Haynes v. United States. The 7-1 majority held that people prohibited from possessing firearms cannot be compelled to register their firearms that they are possessing illegally. They are stopped by the police and asked this question. They answer truthfully. Then they can be arrested and prosecuted for the illegal possession of the gun. How does this square with the right not to self-incriminate? Or is asking the question considered to be a search? Police can generally ask whatever they want. If you choose to waive your 5th amendment rights, that's your mistake. Can the state prosecute this person for carrying the illegal weapon? The state can generally prosecute crimes it knows about. So yes, in this case they can. Suppose that next to the weapon a stash of illegal drugs is discovered, which was only found due to the action taken to secure the weapon. Can the state prosecute for that? The state can generally prosecute additional crimes it uncovers during investigations or other lawful actions. So yes, this can be prosecuted.
Assuming that all of these locations are in the same state, this is not an issue of federal law and is not governed by the U.S. Constitution. The geographical jurisdiction of state and local law enforcement officers is exclusively a matter of state law and has no single correct resolution. Different states handle the issue differently. Even if state law or the state constitution prohibited the arrest, this violation of state law or the state constitution, would not give rise to a federal claim for violation of civil rights under 42 U.S.C. § 1983, which may vindicate only federal rights, and could not form a basis for a collateral attack on a state court conviction in a federal court habeas corpus petition which is likewise limited to vindications of federal law rights. Any remedy would have to be secured in the state court system invoking state law rights (assuming for sake of argument that state law provides such a remedy), or in a diversity lawsuit in federal court applying state substantive law, if the defendant was from another state and the amount in controversy was in excess of $75,000.
Can a university legally enforce a policy preventing students from creating their own wireless networks? I attend a university in the United States where the school policy states that "Students are not permitted to setup or use their own wireless networks." This includes personal hotspots that come with one's phone plan, bluetooth connections, etc. I had some concerns about this policy and wrote to the administration. In the end they agreed to meet with me and said they would work with me to change the outdated policy. So for me, it looks like all good news. That being said, I'm aware that there are many other universities out there with this same policy, and that have refused to change it. Can these universities legally enforce this policy? I'm leaning towards thinking that they would not be able to (I'll link some of the sources that gave me this impression below), but I'm curious to hear what others have to say, as this is starting to become a very prevalent issue, and I wouldn't be surprised to see cases in court in the coming years. Sources/Arguments: One of the reasons for this policy provided by the school was that other wireless networks could cause unwanted interference with their network. Ignoring the fact that almost all modern devices (and all wireless devices using the 5Ghz spectrum, per regulation) automatically detect which wireless channels are being used and will select unused ones, it would seem that per FCC regulations, the university must "...accept any interference received, including interference that may cause undesired operation." Note: the type of interference - if any - caused by students self-hosting their own wireless networks would not come near to the FCC's "harmful interference" definition. Also check out the §15.5(b) explanation in this article: "For unlicensed devices, which include Wi-Fi, the FCC has consistently interpreted this to mean that interference incidental to the operation of a properly functioning device is allowable. Someone using a properly operating hotspot in your vicinity has as much a right to operate their device as you do operating your device, even if the two systems cause problems with each other." It would also appear that the university wouldn't have any more right towards use of the wireless spectrum than any student would, as consistently the FCC has shown that property rights have no relation to usage rights of the wireless spectrum. "First, under the general requirements for operation, the consumer does not receive or possess a 'vested or recognizable right to continued use of any given frequency' on the basis of device certification or use. Being the owner of the device does not guarantee the consumer exclusive, continuous, or ongoing usage of that wireless device at a specific frequency. Although a consumer may operate an unlicensed wireless device for weeks, months, or years, this operation does not confer a first-in-time 'vested' right to continue to operate the device if another licensed or unlicensed device begins to operate at that frequency." Finally, it looks like the only authority with the right to ask someone to stop a wireless transmission is the FCC itself: "The operator of a radio frequency device shall be required to cease operating the device upon notification by a Commission representative that the device is causing harmful interference." Update: After seeing this comment from gparyani, I got curious and searched through all of the official university policies I'd agreed to. As it turns out, despite the warning being plastered all over the university's website, and the website itself saying that it's the university's policy not to allow students to create their own wireless networks... it's not actually in any of the hundreds of pages of policy documents that I agreed to abide by upon enrolling here... I just figured I'd highlight this point for any future visitors to this post. Update #2 I have accepted this answer as it seems to be correct, and after waiting a few months and prompting the authors of some of the other compelling answers to respond, there has yet to be a counter argument. If, however, a strong counter argument is made, or you think I’ve selected the wrong answer, let me know with a valid explanation, and I’ll change my selection. It should also be noted that this answer was provided long after the hype died down on this question, hence why it doesn’t have nearly as many views and votes.
Yes they can You are approaching this from the wrong direction. Their right to enforce what you can and can't do doesn't come from radio-spectrum law; it comes from property and contract law. You are on their property subject to a license that they give you to be there. One of the terms of that license is that you won't set up or operate a wireless network. No doubt there are other things you are not permitted to do; for example, you may not be able to sell goods and services. If you breach the terms of the license then you are trespassing and they are within their rights to have you removed. In addition, if you are a student (or staff), this is probably one of the terms of your contract with the university. If you breach it, they can terminate your candidature (employment). Contracts can impose obligations on you that goes beyond what the law obliges you to do. Indeed, there is no contract if it only requires what is already required.
http://www.wipo.int/edocs/lexdocs/laws/en/dk/dk091en.pdf is the Copyright Law in English for Denmark. You should probably try to find a Danish version to ensure the translation is accurate. Chapter 2 lists the exemptions from the general rule that you need the copyright owner's permission to use their IP. Unfortunately, the usage you have made does not meet the requirements for private use (s12): digital copies may only be shared among the members of one household, placing them on the web extends beyond your household. It may meet the requirements of educational use (s13) providing that your school has met the requirements for Extended Collective Use (s50). For photographs, this seems unlikely, such arrangements are usually limited to songs and television works. Under Chapter 6b, you are permitted to use "orphaned works", however, this requires that you have made a diligent search for the owners and have been unable to either identify or locate them. Copyright violation is subject to both penal sanctions (fines and in egregious violations imprisonment) (s76) and damages (s83). TL;DR Yes, you could be sued. Yes, the copyright holder would probably be successful. No, it is extremely unlikely they would bother.
Laws against such actions are not stated in terms of popular and fluid concepts like "computer virus", they are stated in terms of clear concepts like "unauthorized access". There are federal and state laws against this. This web site lists and links to all of the state laws on the matter. There is also a federal law: a detailed legal analysis by DOJ is given here. There are some limits to federal jurisdiction, for example "protected computers" include "computers used in or affecting interstate or foreign commerce or communication". The term "affecting interstate or foreign commerce or communication" is widely used in federal law, and can be used to prohibit growing feed for your own animals. Anything that you "send" clearly affects interstate commerce (the internet is internationally connected). 18 USC 1030(a) says Whoever ... (2) intentionally accesses a computer without authorization or exceeds authorized access, and thereby obtains...(C) information from any protected computer Essentially, a computer connected to the outside world is protected. The key here is "without authorization". If you authorize MS to report back stuff about your computer, that is not unauthorized. It may not be possible to use their product without giving such authorization, in which case you can use a different product that doesn't require that you grant authorization. There is also the possibility that some software producer has technically violates the law because they think that it's okay for them to access the computer as long as they do no harm. Typically, people are not aware that they have granted software publishers access to their computer. The concept of "harm" is pretty much irrelevant to computer-crime criminal law. It would be relevant, though, if a plaintiff were to sue someone for sniffing around their computer: then you'd have to show that you were damaged.
No, it is not illegal in UK to use proxies. No, it is not like the tor concept. No, the ISP does not slow you down (they mostly throttle detectable p2p connections), but if you use public proxies, many of them will be unacceptably slow. Note: for things like facebook, a proxy is utterly useless. You already donated your private data to them, there's nothing to hide.
What is the legality of someone putting a virtual hot spot on your property without permission? I know we are in uncharted territory but how would this compare to setting up a contest that would require going on your property without permission? The existence of a game does not authorise entrance to private property, barring some agreement with the owner. That is - if it is trespassing without Pokemon Go (or, for that matter Ingress), then it is trespassing while playing them. That being said, the creators of the game are free to place their in-game targets anywhere they please, and it is hard to imagine a scenario where they would be liable for their users' actions, unless they have not taken reasonable steps to prevent their users from doing so - Niantic clearly instruct their users to respect the law and also, only require that their users be within a certain distance of these points, not actually be at them. Is it currently legal to say Go to person X house and touch a tree? If not, does the current law extend to augmented reality? Nope, unless it can be done without entering private property (which includes the airspace above the property, to some extent). And there are no special cases for augmented reality. Now, there is some possibility that if they create a private nuisance - by being too loud, or by otherwise interfering with the use of the property - owners of a property could bring a claim in tort against players for doing so - or charges for a public nuisance, when done in a public area.
Copyright applies to literary and artistic works from the moment of their creation: they do not need any form of registration - your question and my answer are copyrighted materials owned by you and me respectively. However, "Who is on my wifi" is probably not a literary work - short phrases do not qualify for copyright protection. That said, "Who is on my wifi" can be, and probably is a trademark belonging to the developers of the other app. A trademark is anything used to identify the goods and services of a particular person, their app in this case. You are not allowed to use this phrase if it could cause confusion between their product and yours - on the face of it, it is hard to see how your use wouldn't do that. You need to find another name. Unfortunately for you, the name belongs to whoever used it first.
I believe the relevant section is 28 CFR 35.150 - Existing facilities § 35.150 Existing facilities: (a)General. A public entity shall operate each service, program, or activity so that the service, program, or activity, when viewed in its entirety, is readily accessible to and usable by individuals with disabilities. This paragraph does not - Because of this, it seems theoretically possible that someone could complain that the youtube videos of lectures are not accessible enough to disabled persons, and therefore have them taken down. Regardless, it seems that UC Berkley decided to preemptively take down the videos in order to "reset" their online lectures catalogue and make large improvements. But yeah, nothing in the statute says they must take such videos down, but it would be a theoretical violation of the law to leave them up.
The university has a legal obligation to collect certain data from attendees, including employees an visitors. It has decided to keep these records in digital form, and offers a smartphone app as a convenience. The university has outsourced the data processing activity to a third party. This is perfectly legal under the GDPR, if that third party is contractually bound to only process the data as instructed, and not for their own purposes. Whereas the university acts as a data controller (Verantwortlicher), the third party would be a data processor (Auftragsverarbeiter). I have some doubts though whether an app or a website is indeed the solution that offers the best data protection, especially taking into account the GDPR's data minimization principle. Requiring updates when entering or leaving any room is potentially excessive. Given the sensitivity of the data, the university should have performed a data protection impact assessment to weigh the consequences of this measure. At least for employees, the measure would likely have to be approved by the union (Personalrat) as well.
Why does a defense attorney (or prosecutor) need to object? Why does a defense attorney (or prosecutor) need to object? Why does the judge, who is to most understanding attempting to create a neutral court of law, not simple stop the objectionable questioning or evidence, on their own initiative? Why does an objection need to be raised?
In the common law (The legal system used by the U.S. among many other nations), courts are "adversarial" as opposed to "Inquisitorial" like in Civil Law systems. What this means is that when in court the prosecutor and defense are pitted against each other in debating the questions of the case. All questions can be boiled down into questions of law and questions of fact. This is opposed to an inquisitorial system, where the prosecutor, defense, and judge are working to answer these questions in a fact finding forum. Because of this, in Common law, the judge takes the role of "Trier of Law", i.e. he is the arbiter of what the law says. The Jury will talk the role of "Trier of Fact". Essentially, if the prosecutor and defense attorneys are in a competition against each other, the judge will serve as the referee and decide whether something is allowed to be discussed in trial and whether the jury should count it. Because of this, the judge cannot call out objectional behavior by one side or the other as it would call into question his/her ability to be neutral in his assessment of the law. Thus it is the burden of the opposing party to object to something that is objectional. Failure to object means that the the side that should object is okay with this activity by opposing counsel, so the judge must allow it. Sometimes, objections are raised at trial for the sole reason that they will be part of the appeal of the case. Appeals can only call raise Questions of Law, which again, is the judge's domain. Thus the judge can't object, since we operate on the fact that the judge is neutral. If the judge is not neutral, than the case can be overturned easily by an appellant court. Essentially, the "Objection" is similar to a coach playing sportsball asking a ref to review a play on the sportsball field. Under this game rule, however, the judge is there to make the call if and only if he/she is asked to make it. Otherwise the objectionable action is permitted to stand.
In closing arguments, an attorney should only refer to evidence that was admitted at trial. In opening arguments, an attorney may refer to evidence that the attorney reasonably believes will be admitted at trial, and if the attorney has grounds to admit the transcript as an exhibit, could do so. If not, the attorney could still reasonable state: the evidence will show that an arresting officer described Mr. Jones as "crazy" without showing a transcript or explaining where it comes from (on the theory that the officer will either testify to that effect at trial or will be impeached at trial with the transcript for testifying in a contrary manner). Usually the transcript can usually be admitted only for impeachment, so usually it wouldn't be admissible absent contrary testimony at trial. But there are exceptions that apply to that rule which could make it admissible and hence proper to reference or show in opening arguments.
Would a U.S court honor his request, based on his prior commitment? You are not specifying the purpose of the court hearing, or whether Adam is pro se litigant (which sounds unlikely if this plaintiff is a movie star). If plaintiff Adam is represented by an attorney, Adam's presence is unnecessary in most or all court hearings. In fact, typically neither parties nor their lawyers have to show up in court, whence their absence does not constitute contempt of court. Absence merely implies that they miss the opportunity to [orally] argue their position before the court, and thus would depend on whether the judge bothers to actually read their brief. If you mean a hearing in which Adam needs to be present, his request to reschedule the hearing is most likely to be granted. His contract is strong evidence that his request is not a vexatious attempt to delay proceedings. Since the hearing would be in month 4, the particularity that his contract goes up to month 4 implies that rescheduling would not significantly delay proceedings. Regarding your comment, rescheduling can (and does) happen multiple times even in criminal cases. This post includes an excerpt of the Register of Actions of criminal case 16-870-FH in Michigan state court (Washtenaw county), highlighting several instances of rescheduling as requested by the defense counsel and despite prosecutor's objection. I believe the case got rescheduled a few more times beyond what the snapshots reflect.
The Legal Answer: An officer's job is to turn over all evidence to the State's attorney and testify at trial truthfully. It is the State's attorney's job to turn over all evidence in discovery to the defense; to only prosecute people they believe are guilty or likely guilty; and to remedy clear and convincing false prosecutions as outlined in ABA rule 3.8 which is echoed in many state laws. Rule 3.8: The prosecutor in a criminal case shall: (a) refrain from prosecuting a charge that the prosecutor knows is not supported by probable cause;... ...(d) make timely disclosure to the defense of all evidence or information known to the prosecutor that tends to negate the guilt of the accused or mitigates the offense, and, in connection with sentencing, disclose to the defense and to the tribunal all unprivileged mitigating information known to the prosecutor, except when the prosecutor is relieved of this responsibility by a protective order of the tribunal;... ..(h) When a prosecutor knows of clear and convincing evidence establishing that a defendant in the prosecutor’s jurisdiction was convicted of an offense that the defendant did not commit, the prosecutor shall seek to remedy the conviction. If this new exonerating evidence is turned over to the prosecutor they would be required to submit it to the defense and the trial would likely be postponed for both sides to evaluate the new evidence. If they suppress the evidence it would be grounds for appeal and disbarment of the prosecuting attorney. It is not the officer's job to direct the trial, just supply evidence that supports the truth. But it also wouldn't help if the State's own witness suddenly started offering testimony contrary to supporting guilt and in light of new evidence the prosecution may reevaluate to not have this happen. The Ethical Answer: Kind of sticky going into ethics and the exact right response to this situation, but it sounds like the answer you want. Assuming an ethical prosecutor the this would be the same as the legal answer. If this is not the case and the officer reasonably believes evidence will be suppressed, they could turn over evidence to both parties directly or to the prosecution and make the defense aware that he submitted evidence. He could also notify the state bar association of the suppression by the prosecution should that happen. Of course these actions may be at peril to their job as an officer despite whistle blower protections, but if ethics were easy, people wouldn't have to talk about them so much.
First we should be more specific about a person being "accused" – we should disregard lunatic rantings, and limit our attention to a person who has been officially, legally accused of a crime (which is the class of acts to which the concept "guilt" applies). In all jurisdictions, a formal accusation must be supported with some evidence. In light of that, by definition it is possible that the accused is guilty. The fact-finders will then weigh that evidence and conclude that the evidence meets the standard of proof for guilt, or does not. It is then logically incoherent to deny that guilt is a possibility, unless the intent is that all accused persons should be found innocent irrespective of the evidence. The finder of fact must allow both possible outcomes. The reason for the "innocent until proven guilty" viewpoint is that it puts a specific burden of proof on the government: the government has to not just knock down all of the accused's defenses, it has to conjure up a certain level of sufficiently-convincing evidence proving guilt. This is to avoid the situation that characterizes totalitarian regimes where the tyrant can accuse a person of a random crime, offer no evidence, then insist that the accused somehow prove their innocence.
The misunderstanding The only person who can chose to prosecute or not to prosecute a criminal case is the state: in the US this is through the office of the relevant District Attorney advised by the police. When a person makes a complaint to police (or other authorities), the police/DA commence an investigation. In an ideal world all complaints would be investigated rigorously and thoroughly, however, we live in this world. The police/DA will assess the complaint and decide if it warrants the dedication of scarce resources to investigate. One of the factors they will consider is how vigorously the complainant prods them in the ass. Ultimately, the police/DA will decide if there is enough evidence to place the matter before the courts. The complainant has no say in when or if this will happen. A complainant cannot "drop the charges"! The misconduct For a police officer to disclose to another police officer that they were the subject of a felony (or any) complaint is gross misconduct and a huge betrayal of trust. At best it shows poor judgement, at worst it is corrupt. Your friend needs professional legal advice right now!
Canada's local court systems and procedural rules vary, especially at the lowest level, by province. So, I'm just stating some general principals. General speaking legal arguments are limited to closing arguments of the parties after all of the evidence has been presented by both sides (because this limits legal arguments to those with evidentiary support rather than merely hypothetical arguments). Opening arguments are usually supposed to be limited to a recitation of what the facts in the case will show. Presentation of evidence and examination of witnesses is also not a time for this to be done. Some courts in some jurisdictions allow a defendant to make a "half-time motion" at the close of the prosecution's case, arguing that the prosecution has failed to meet their burden of proof to establish grounds for a conviction before the defense presents the defense's evidence. But, such formalities are often dispensed with in traffic court. Some courts allow post-trial motions to be made after a verdict within a certain number of days set by court rule asking the court to reconsider its decision or overturn a jury verdict, although these aren't always available in a traffic court case. Sometimes these issues are also raised in a pre-trial trial brief or in motion practice prior to trial. The amount of time allowed for closing, and discretion to consider arguments at times other than time usually allowed are in the discretion of the trial judge. Usually, courts are more lenient regarding formalities when a non-attorney is arguing a case. Usually, there is less opportunity to raise legal arguments following a trial if the traffic court is not a court of record and appeal is by trial de novo in a higher court, and there is more opportunity to do so if the trial is in a "court of record" in which a transcript is maintained and if the trial is a jury trial (although in a jury trial, the legal arguments are made out of the presence of the jury in a hearing over jury instructions, rather than before the jury). In a traffic case in a court of record, in front of a judge, five or ten minutes, at most, would be typical and trial briefs would rarely be considered, but the judge might listen longer or take the case under advisement and ask for further briefing, if the judge thinks that there is merit to a legal argument and wants to do further research (which would be extremely unusual in a traffic case).
There is a general defence to any crime called self defense. If you commit a crime, but the reason you commit it is because you are acting in self defense, or the defense of another, then you will not be found guilty of that crime. For example, if you kill someone, but the court believes you are acting in self defense, then you will not be found guilty of murder (or manslaughter). This defense extends to other crimes too, and trespassing would be included in this. Acting in the defense of another person has the same effect as acting in self defense. Just note that you would have to prove that it was reasonable for you to be acting in the way you did. Usually this means that the crime you committed was proportional or necessary to prevent the crime that would have occurred, and if self defense is involved, that it was necessary to do what you had to do to prevent harm to you or another.
Is it illegal to sign a contract deliberately under a made-up name? First off, the name will be completely made up, maybe using a random name generator, so this shouldn't be impersonation. What would happen if the person breaks the contract, or that everything went fine except that the company found out about the fake name afterwards?
Why does the name matter? Today, I entered into a contract to buy petrol and, later, beer and a Caesar salad. In neither case did I exchange names with the other party. If you entered into a contract under a false name with the intent to avoid your responsibilities then that would be fraud. But then, so would doing so under your real name.
The written document is given very high priority, so parties will be held to what is in the document. Both parties sign at the bottom, as a way of signalling their agreement with the terms specified in the document. If conditions are added or subtracted (by crossing out), especially with pre-printed forms, the "customer" (person who didn't write the contract) can initial such modifications, as a way of clearly signalling that they indeed agree to the deletion of such-and-such clause. Since both parties have a copy of the signed agreement, this is not strictly necessary. The potential issue would be that an unscrupulous person could cross out a clause after the contract was signed, and claimed that they aren't bound by that clause. A comparison of the two copies would then reveal that the unscrupulous person was attempting fraud. There is nothing special about handwriting in or crossing out conditions, except that it poses a potential evidentiary problem as to what exactly was agreed to, if for example one party threw away their copy and then maintained that the crossed-out clause had not been crossed out. (So, keep your copy). In case you are proposing a scenario where one party is unaware of a change, i.e. at the very last minute Smith crosses something out and signs it, and Jones did not see that happen, then both copies would be the same and Jones would be legally bound to what's in the paper. Smith should announce to Jones that a clause was being deleted. We might suppose that there are innocent reasons why Smith made changes without making an announcement to Jones, in which case the parties do not have an agreement. There may be amicable ways to deal with that situation, but push could come to shove, in which case the written form of the document is generally taken to be the most important piece of evidence (though not always the only admissible evidence, unless you're in Colorado, Florida or Wisconsin).
Disclaimer: I'm from the US and don't claim to know German or Turkish law. So let me discuss some general principles here, but details may well be different in Germany and Turkey. You're mixing together three very different things: trademark, copyright, and patent. Copyright protects the expression of an idea, in this case, the exact computer code, images, etc. If you didn't copy his code, the chance that you would coincidentally write identical code is remote. The fact that you both have a line of code that says x=x+1 wouldn't give him any grounds for a lawsuit. He'd have to show substantial portions of the code were identical. If you didn't deliberately copy his code, this isn't going to happen. Barring some extraordinary and unbelievable coincidence, you can't violate copyright accidentally. Trademark protects names and symbols used to identify a company or a product. If you decided to call your software company "Microsoft", then that other Microsoft could sue you for trademark infringement. Likewise if you copied somebody else's logo or other distinctive graphics. This is very different from copyright. It is quite possible to violate someone's trademark accidentally. Especially if he gave his company or product a rather generic name. Like if someone called his product, say, "Password Manager", someone else might make a product with the same name without ever having heard of the original. Ditto if he has some simple logo or other graphics. If you did accidentally duplicate a name or graphic elements, well, in the US a court would likely order you to change your name or graphics and that would be the end of it, unless you refused, in which case you'd end up in court. US Courts have ruled that very generic names have limited trademark protection. An example I saw recently was "Main Street Auto Repair". A court said that the owner of that name could prevent someone else from opening a shop in the same town with the same name, but he couldn't sue someone in another town who happened to use the same name. This is why, by the way, companies often use made-up words for their product names. In your case, this should be a trivial issue. If he is claiming trademark to the look of the main menu screen, just change the colors or move some buttons around. If it actually went to court, you should be able to argue that the similarity was accidental and when you were informed you promptly changed it, and that should be the end of it. Depending, I guess, on how hard-nosed the judge is, etc. Patents are different still. A patent gives the owner the exclusive right to use an invention or process for a specified period of time. It doesn't matter if you invented the same thing entirely independently. Whoever filed the patent first has exclusive rights. There have been cases where an inventor lost out to someone with a similar invention because he submitted his patent application one day later. If this other person has patents that you are infringing, you are pretty much out of luck.
In general, providing a false name or birthdate (DoB) is only actionable when there is a legal duty to provide the correct information, or when a provision of a contract to which the person agreed requires it. If the falsity is part of a common-law fraud, then it would be unlawful, and possibly criminal. In the cases listed in the question: Sign up for an online service with a false identity although the ToS requires an accurate identity: This would be a breech of contract. Whether there could be a successful suit for such a breech would depend on why the contract demanded an accurate ID, and what harm the lie did or might do. Use a false name at a restaurant or hotel, but with no intent to defraud or avoid payment. I don't think there is any duty to give an accurate name on a restaurant reservation. In some jurisdictions the law requires an accurate name be used on a hotel register, and valid ID presented. But such violations are rarely pursued, unless they are part of a fraud or some other criminal activity (theft, prostitution, or drug dealing, say). Giving a false name when opening a bank account or other financial account. In the US, and I think many other jurisdictions, the law requires accurate identification of all bank account holders, including a SSN, EIN, or TIN. It also requires a bank to make efforts to verify such IDs, and violation are prosecuted. There are legal ways to get an account under an alternate name such as a penname or DBA, but this must be disclosed to the bank and to the IRS. Other cases that occur to me: Giving a false name at a shop when not obtaining credit or avoiding payment: generally legal. Obtaining a credit card under a false name: Can be done legally if disclosed to the issuer. Giving a false name or DoB to a pharmacy for a prescription: unlawful if attempting to access the medical info of another, or rely on another person's history to get a prescription, but may be lawful if this is just an alias, such as a celebrity might use to avoid publicity. Unlawful if done to obtain a controlled substance, or if insurance fraud is involved. Putting a false name on a job resume: lawful, but if hired an I-9 form will require a valid name and SSN or TIN. Employers usually may not require that a DoB be provided. Giving false info as part of any credit application: usually considered fraud, even if there is no intent to avoid payment, as it can deceive the creditor as to the amount of risk involved; specifically criminal in some states. Giving a false name on a date: perfectly lawful, but may cause a problem if a long term relationship develops. Some states require a valid name on a marriage license.
In general, signing means you cannot deny the accuracy of the information in the future In general, there is no prohibition on knowingly stating falsehoods under the law. That is, it is not illegal to lie. Exceptions include when you are under penalty of perjury (e.g. on oath in court), when you are making certain declarations to government (e.g. your tax return), you are acting dishonestly to cause gain or harm others (e.g. fraud), etc. However, by signing the document, you may create a legal fact that is independent of the real-world facts. For example, if you sign a receipt for $1,000 then you create a legal presumption that you received $1,000 even if there was actually only $500 in the envelope. You would need some pretty spectacular evidence to overcome that presumption. Now, I don’t know what you are signing that has factual errors in it but, if they are material errors, don’t. Just don’t.
The contract remains valid. Most contracts don't need to be written at all. Even if yours did need to be written under the Statute of Frauds or some other law, you're saying that it was made in writing, even though you later tore it up. The fact that the contract is missing or destroyed doesn't change the fact that it exists and obligates the parties; it just makes it harder to prove what it said.
This is fine. You can use initials, shortened names, common nicknames (Bob/Robert), omit middle names, and so forth without causing yourself any problems. Things can get more complicated if you sign by a name that is different from names that you normally use elsewhere - such as if you are called Christopher Smith and you sign as Donald Jones, having not used that name before - but there's no fundamental difference of principle. One example case is Scott v Soans [1802] 102 ER 539, where the defendant John Soans objected to the suit being made against "Jonathan otherwise John Soans". The Lord Chief Justice ruled that "Jonathan otherwise John" could be his name, and that if he'd signed a contract using that name then "what objection could be made to it?" There are several other similar cases from past centuries, some of which may no longer be reliable law since they turn on points of procedure that aren't relevant today, but the general thrust is that if you sign a contract under a certain name, then you can be sued under that name. (And you can sue other people using whatever name you like.) Mistakes in names can be corrected as part of the general process of contractual interpretation, called "rectification". This more often arises when dealing with company names, say when there are a half dozen closely linked companies with related names, and the issue is which one of them is actually meant to be named; there are some recent cases of this kind, such as Liberty Mercian Ltd v Cuddy Civil Engineering Ltd [2013] EWHC 2688 (TCC). Generally speaking, as Lord Denning said in Nittan v Solent Steel [1980] EWCA Civ J1023-4, We do not allow people to take advantage of a misnomer when everyone knows what was intended. Further, the doctrine of "estoppel by convention" means that if you sign a contract under whatever name, then act as if you were bound by the contract, you can't then wriggle out of it on the grounds that the name is not really your own. In Scots law, which includes certain doctrines imported from Roman civil law, there is a distinction between error in persona and error in nomine. The former means that you were mistaken about who your counterparty really was (such that you wouldn't have made the contract had you known the truth) and the latter means that you had the intended person but made a mistake about their name. The law of error in Scotland is not quite the same as in England and Wales, but in this case it gets to the same basic result: if you agreed on who was to be bound, that's what matters, regardless of the names used.
The Facebook forum doesn't prevent a contract from being formed. But, for a contract to be formed there must be an affirmative agreement, not silence (at least in cases that aren't between merchants). If they later decide to work together without reaching an agreement on the details, the draft contact could be considered, but the Facebook forum for its delivery and that fact that it wasn't expressly assented to might reduce its weight as part of the evidence in an attempt to determine what the terms of their oral or implied agreement to work together involved. It would be very unusual for a broker not to get a signed agreement in writing to pay his fees, although an oral or unsigned agreement to pay a broker is not necessarily barred by a statute of frauds. A finder of fact would be quite skeptical of a broker's claim to have an agreement in those circumstances and often the professional regulatory provisions related to brokerages would require that fee agreement must be signed and in writing even if contract law does not require that this be done.
What happens with the ownership of land where the landowner no longer exists? When the houses in my area in England were built, a small patch of land remained unused / not build on. This was about 50 years ago. While all other land was sold off with the houses, this patch of land remained to be owned by the company that build the houses. About 30 years ago the owners dissolved the company. Land registry lists the dissolved company still as the owner, and the owners of the company can no longer be found. What happens to the ownership of this land? Will it now forever be owned by a no longer existing entity or can an official entity (like the local council) step in and take ownership?
In the general case, when a company is dissolved any assets still belonging to it becomes bona vacantia under Section 1012 of the Companies Act 2006 which means that it belongs to the Crown. The Crown can then choose to disclaim its rights to the asset under Section 1013, and typically will do this where there are risks involved (e.g. leasehold land). The effect of dislaimer, per Sections 1014 and 1015 is that the "property is deemed not to have vested in the Crown" and it terminates "the rights, interests and liabilities of the company in or in respect of the property disclaimed". In the case of freehold land that is disclaimed, it escheats (transfers) to the Crown Estate and the freehold interest is extinguished. According to Practical Law (paywall): Note, if the land is registered, the registered title will remain and the Land Registrar may enter a notice on the Land Registry title if notified (rule 173, Land Registration Rules 2003). The notice will recite the fact of the liquidator's disclaimer or Crown disclaimer but will not otherwise specify that the land has passed by escheat. The Crown Estate then becomes entitled (but not obliged) to take possession of it. The Crown Estate will not assume any liabilities as owner of the land unless it does take possession or exercises control over the property. The result of this is that the only action the Crown Estate will generally take as regards escheated land is to sell the whole of the land to a suitable buyer who approaches the Crown Estate. You can read more about how the Crown Estate subsequently deals with such property (including if and how it sells the property) in their FAQs.
Inferring from the question, it appears that: The tenancy is an Assured Shorthold Tenancy. The tenancy agreement started on 16 December 2014. The initial fixed term was for 12 months. (Please comment below if any of this is incorrect). A Section 21 order gives notice that, unless the tenant leaves by the date given in the document, the landlord will begin legal proceedings against the tenant, in order to obtain a court order forcing the tenant to leave. To answer the OP's questions: Does it mean that she wants to use her right to cancel the contract after 2 months? It looks like that to me but I am not 100% sure. Yes - but if this is before the end of the fixed term (which I'm assuming is 15 December) there must be a clause in the tenancy agreement (normally called a "break clause") allowing the fixed term to be terminated early. If there is no break clause, then you cannot be asked to leave before the end of the fixed term. What does it mean "after 16/11/2015"? After can mean anything... even end of contract in December. Yes. The landlord would like you to leave before the date shown - but if you don't, the landlord can begin legal proceedings any time after that. Is this a legal document or just something she made up? It is a legal document. Section 21 of the Housing Act 1988 allows a landlord to ask a tenant to leave without having to give a reason. The landlord must meet certain conditions in order for the notice to be valid. What happens if I want to leave the house later because I don't find alternative? You'll need to discuss that with the landlord. However, if you don't leave by the end of the fixed term, you are entitled to stay (and pay rent!) until a court (not the landlord) orders your eviction. EDIT: This website goes into a lot more detail about the whole Section 21 procedure.
If you buy a house, you can generally rent out a room in the house, unless in that jurisdiction there is some law against renting rooms in houses (that's actually a condition in my neighborhood, one widely ignored). If it's legal to rent (lease) a room, it is generally legal to sub-lease that room – as long as that's allowed under the original lease contract. I have never heard of a jurisdiction that has a blanket prohibition against subleases. So as far as the actual question goes, the answer is, "yes". The links are about something a different, namely rent control law in San Francisco, and the question of whether a tenant can be evicted from a rent-controlled unit because the owner wants to move in to the unit. Owner move-in eviction requires a specific procedure for giving notice, and the links are about these requirements. Conceivably, though, the question could be whether a person can buy a house that is being rented out, do a proper owner move-in eviction, and then lease a spare room. The SF rent laws require a good faith intent to move in and use as the primary residence for 3 years, and nothing prohibit subsequently leasing a room. Those laws pertain to evictions, not re-rentals. (It should be noted that once eviction under section 37.9(a)(8) has been carried out on a unit in a building, no other unit in the building can ever be so recovered. That could mean that the room in the house could never again be recovered, if it is considered to be a separate "unit" from the "unit" that is the whole house).
Consult a lawyer These issues are quite common and their impact depends on your jurisdiction (usually local governments handle this) and the attitude of your potential lenders/buyers. In most cases, local governments have the power, in extremis, of ordering the demolition of unpermitted work. However, this is normally done only when the work is irredeemably unsafe or adversely affects the amenity of neighbours. More common might be an order to make good any defective work, possibly to current rather than historical codes after which they will retroactively grant the permissions. Some lenders will refuse to lend if there are unpermitted works. Others will only lend against the unimproved land value less the cost of demolition. The same is true of insurers. As for buyers, well, its making you stop and think, isn't it? Common solutions are to make your offer contingent on the current owner cleaning all this up before you close or offering less to cover the risks you are assuming. This may cause you to miss the property but that's the risk you run.
Directors don’t own companies - they manage them Shareholders own companies. So, if you are a director and die, the legal upshot is you are no longer a director and the company may need to replace you in accordance with its rules. If you are a shareholder, then, subject to any other contracts like a option for the company or other shareholders to buy the shares of a deceased shareholder, the shares will be distributed in accordance with your will or the laws of intestate succession if you don’t have a will. Whoever owns the shares with have the same rights as you did.
Can the seller enter a formal agreement with the tenants in which the seller pays a sum of money and in return the tenants vacate the premises before the closing date, and would such agreement hold over the tenants legal right to remain on premises past the closing date? Maybe. It depends on tenancy law in Nova Scotia. Notwithstanding, given that the tenants are “difficult”, what are your plans if they take the cash and don’t move out? What happens if the sale goes though under the assumption that the tenants have left, and in fact the tenants are still occupying the premises? Why would the buyer settle under an “assumption”? At the time of settlement either the tenants have left (so settlement happens) or the haven’t (so the vendor is in breach, settlement doesn’t happen and the buyer decides whether to rescind the contract and claim damages or affirm the contract and claim damages). What guarantees and proofs can the buyer demand as to the vacant status of the property? They take the keys and walk into it. What other questions should the buyer be asking? They should be asking: “Will you be in a position to fulfil your obligations under the contract?”
The general rule in the sale of a "used" house is "buyer beware", but the seller of a "used" house must disclose latent defects of which the seller is aware. (Different rules apply to the first buyer of a newly built house.) While a natural spring would not always be a defect, one that causes structural or foundation problems is clearly a defect. So, the two key questions are (1) whether the defect is one that could be discovered with a reasonable inspection, or whether it was instead "latent", and (2) whether the seller had knowledge of the defect. If the defect couldn't have been discovered with a reasonable inspection, and the seller was aware of it, but didn't sufficiently disclose it, then the seller has liability to you if you bring suit within the statute of limitations, equal to the damages you have suffered from the non-disclosure of the latent defect. Under the circumstances that you describe, where the evidence of the defect was hidden by a carpet, it seems plausible that this was a latent defect. So, the big question at this point is whether the seller was aware of the natural spring causing foundation/structure damage in the basement. This would depend upon facts and circumstances which you question does not provide an answer to, so the question can't be finally resolved.
If the common law applies (i.e. there is no statute that changes it) then it depends on if the item was lost, mislaid or abandoned. The US has statute law dealing with lost money but that is not the question here. Property is generally deemed to have been lost if it is found in a place where the true owner likely did not intend to set it down, and where it is not likely to be found by the true owner. At common law, the finder of a lost item could claim the right to possess the item against any person except the true owner or any previous possessors. Property is generally deemed to have been mislaid or misplaced if it is found in a place where the true owner likely did intend to set it, but then simply forgot to pick it up again. For example, a wallet found in a shop lying on a counter near a cash register will likely be deemed misplaced rather than lost. Under common law principles, the finder of a misplaced object has a duty to turn it over to the owner of the premises, on the theory that the true owner is likely to return to that location to search for his misplaced item. If the true owner does not return within a reasonable time (which varies considerably depending on the circumstances), the property becomes that of the owner of the premises. Property is generally deemed to have been abandoned if it is found in a place where the true owner likely intended to leave it, but is in such a condition that it is apparent that he or she has no intention of returning to claim it. Abandoned property generally becomes the property of whoever should find it and take possession of it first, although some states have enacted statutes under which certain kinds of abandoned property – usually cars, wrecked ships and wrecked aircraft – escheat, meaning that they become the property of the state. For your specifics: If I purchase merchandise in a physical store, and then (accidentally or not) leave the merchandise at the store after I've paid for it, is the store allowed to resell that merchandise to another customer? This would be mislaid property and if they cannot find you and you do not return to claim it after a reasonable time (which would be different for a Mars bar and a Boeing 747) then it is theirs and they can do what they want with it: including sell it to someone else. How does this scenario differ from leaving personal items at the store that I purchased elsewhere? It doesn't.
Is it legal for Blizzard to completely shut down Overwatch 1 in order to replace it with Overwatch 2? Overwatch (1) was a multiplayer first-person shooter video game created by Blizzard. It was released in 2016 and cost around 40€. Earlier this year, Overwatch 1 was shut down: The servers are down. The game is not playable from the official Blizzard game launcher. It has been replaced by Overwatch 2, which is considered its "sequel" by Blizzard and is free to play, but with very high-priced in-game cosmetics. I do not understand how this is considered a legal action for the following reasons: I paid 30/40 bucks for the right to own Overwatch 1 (did I?) and to play it. Overwatch 1, for which I paid, is now completely unusable for me, so the service (if not the product) I have paid for is now not available It is replaced by a free to play game (what happened to my 40 bucks) While playing OW1, I earned ingame credits which allowed me to purchase cosmetics (so, basically, I got those cosmetics in exchange for my time, not for my money). Those cosmetics have been "transferred" to OW2 and they now cost an insane amount of money (something like at least 10 dollars each, and there are a lot of them (purchasable and than I unlocked in OW1)). However, as I just said, I did not purchase the cosmetics, I (think I) purchased the product and the service provided to use it. Questions Did I pay for the right to own and play Overwatch 1, or just for the right to play it? Why is it legal (I assume, as they did it and I did not hear about some legal action taken to them for that) for Blizzard to shutdown completely (more like "take away from customers"?) a product and a service for which customers have paid? PS: I used the france and united-states tags as I am French and live in France and Blizzard Entertainment is a USA company.
I believe you have just misunderstood what you paid for. Blizzard's End User License Agreement says: Your use of the Platform is licensed, not sold, to you, and you hereby acknowledge that no title or ownership with respect to the Platform or the Games is being transferred or assigned and this Agreement should not be construed as a sale of any rights. It also says: Blizzard may change, modify, suspend, or discontinue any aspect of the Platform or Accounts at any time, including removing items, or revising the effectiveness of items in an effort to balance a Game. Blizzard may also impose limits on certain features or restrict your access to parts or all of the Platform or Accounts without notice or liability.
For your example of items with Marvel characters on them for sale by people and companies not licensed by Marvel, Redbubble clearly states that We ask, rather we beg, that you remember this when you are posting work on Redbubble. If you make sure that all the works you upload consist of your very own, original ideas and are not infringing on the intellectual property or publicity rights of another... (from https://help.redbubble.com/hc/en-us/articles/201579195 ) and further, Redbubble has full contact information for the submission of Notice and Takedown Reports by each real trademark owner. There are many individuals who upload products which use unlicensed artwork in violation of trademarks, and Redbubble acknowledges this and gives recourse to the license holder to inform them so they can remove the items. It's not a perfect system, but Redbubble it seems makes every effort to help police their market. ( Teepublic has a very clear policy statement, too: https://www.teepublic.com/copyright-policy ) Many companies - such as Marvel - employ agents to regularly check such websites and issue takedown demands to the sites; the sites in turn remove the products, and in some instances, ban the individual from using the site again. In the case of Amazon, there can be two types of products sold that use trademarked artwork and characters: items sold by legitimate businesses that have license agreements with the trademark owners and who have the products sold by Amazon itself; and items sold on the Amazon marketplace by individuals who open Amazon Marketplace accounts themselves and don't have licenses. Amazon will be sure to check the products they sell; they will have a takedown notices system for their marketplace vendors. eBay is somewhat the same way; there is a mix of individuals and businesses on eBay, but eBay doesn't operate an umbrella sell/ship by eBay, like Amazon. It's kind of a whack-a-mole situation on the Interwebs. How much time/money does a company spend to chase down trademark infringement? Is it worth going to court for persistent violators? (These are, for the most part, civil cases, not criminal). Violators can always open a new account on sites such as Redbubble and eBay under a different name. And it starts all over again.
No First, gambling is not illegal - only illegal gambling is illegal. Lotteries are legal in the United States when operated by or under licence from a state (44) or territory (3). That's legal gambling. It's illegal when operated by somebody else. Clearly, Omaze isn't one of these; but they aren't running a lottery. They are running a sweepstakes. Not only is this legal, but it also isn't gambling because in a sweepstakes the players do not pay to play. If you look closely, you can see a link that says "enter without contributing". Look even deeper and you can see "NO PURCHASE, PAYMENT, OR CONTRIBUTION NECESSARY TO ENTER OR WIN. Contributing will not improve chances of winning. Void where prohibited." No stake means no gamble.
The details of this specific matter are not clear because it appears that Mane6 relented in response to a cease and desist letter, rather than be dragged through court. Since we are not privy to the letter from Hasbro, the best we can do is guess based on the degrees of freedom that exist under the law. The claim that this game was a "parody" is an affirmative defense that Mane6 would have to raise in response to a copyright infringement claim (we don't know if there were also trademark infringement claims in the letter). Then the jury would look at the arguments of the two sides to determine whether this was really "fair use", performing the "balancing act" to see how much of the original work was copied, how transformative the derived work is, what the effect on market would be. The lines drawn for making these judgments are not bright. A quick scan of a successor product Them's Fightin' Herds suggest that someone thought the artwork was too substantially similar to the Hasbro product, that is, the fighting pony version was judged to not be transformative enough. Since it didn't go to court, we'll never know.
Yes, you do. But you should not base your claim primarily on copyright, but just on the license contract you agreed to. It's typically much easier to prove that a party did not fulfill its part of a sales contract (here: Pay the agreed amount) than to prove violation of a copyright you own. Also, you then only need to sue one guy, and not care about every platform your game might be hosted on. This is particularly difficult here, since they have not done anything wrong. It's not their fault that the publisher didn't properly pay the programmer. They (very likely) got their copy of the game legally. For details, you should consult a lawyer. We can't give you detailed legal advice.
This kind of quotation, for commentary, criticism, or reference, is generally allowed without obtaining permission. In the US, this falls under fair use (see 17 USC 107. In the UK and most commonwealth countries, it falls under fair dealing. In other countries there are various exceptions to copyright that will probably cover this. Even answers that do not directly quote the rule books often use information from those rulebooks to write an answer. Facts and ideas are never protected by copyright, so this is not going to be an issue. See 17 USC 102(b), which provides: (b) In no case does copyright protection for an original work of authorship extend to any idea, procedure, process, system, method of operation, concept, principle, or discovery, regardless of the form in which it is described, explained, illustrated, or embodied in such work. As a comment by user Trish reminds, game rules are facts and are not protected, although their exact wording may be.
There are several things going on with Akinator and their use of trademarked names and characters. If you look at akinator.com Legal Notices it says: 2 – Copyright – Reproduction rights All the content of this site falls under French and international legislation on copyright and intellectual property. All rights reserved. Reproduction in whole or in part of this website, in any form or by any means is strictly prohibited without prior authorisation of the publications director. All products and trademarks mentioned are property of their respective owners. (emphasis mine) The fact that they mention that all trademarks belong to their respective owners is good, but it's a formality. What it appears the site really relies on for use of trademarked characters is what's called Nominative Use, which is a type of "trademark fair use." The product or service cannot be readily identified without using the trademark (e.g. trademark is descriptive of a person, place, or product attribute). https://en.wikipedia.org/wiki/Nominative_use Akinator has to use the names and trademarks to identify those names and trademarks. Akinator could possibly be sued to establish their type of fair use is not valid in their case, but it's probably not worth it for the companies to pursue. And, most companies would rather people use and see their trademarks in a marketing and money-making fair use sense rather than sue to stop their use. See In the US, when is fair use a defense to copyright infringement? for a full description of Fair Use. Now, when you get to the "answer" part of the game, you will see a "copyright" link. Part of that resulting page says Displayed pictures are accessible from the web. It is Elokence's policy to respond to notices of alleged copyright infringement that comply with applicable international intellectual property law and make the necessary changes. In respect of Elokence's Intellectual Property Policy, Elokence operates a complaints procedure accessible via the form below. So the company has given itself a further bit of protection by only using images on the web they can link to (at least in the web browser game; I don't know about the App), so that means the image is already "out there", uploaded by someone else, and Akinator can claim they didn't upload it. And, further, there is a contact form for trademark holders to send DMCA takedown notices for their work. It's a belt and suspenders approach to the use of trademarks in their game.
The starting point is whether you infringe copyright by downloading or using the cracked software. The licence you purchase relates to a specific copy of the software. The licence almost certainly does not say 'You can use any copy of this software.' It will usually say something like 'You may install this software', surrounded by other language that makes it clear that 'software' refers to a specific copy. E.g. the Windows 7 EULA says 'you may install one copy of the software on one computer' and, in another place, says 'By using the software, you accept these terms. If you do not accept them, do not use the software. Instead, return it to the retailer for a refund or credit.' Nothing in that licence allows you to download an infringing copy of Windows from elsewhere and apply your licence to that copy. In the case of Windows, you don't have a licence to run 'Windows', you have a licence to run a specific copy of Windows. Therefore, even though you have purchased a licence, you would not have a licence for the cracked copy. Running a computer program inherently requires you to make copies of it in memory. In the absence of a copyright licence, this is copyright infringement: MAI Systems Corp v. Peak Computer Inc (1993) 991 F.2d 511 (defendant, who was not a licensee in relation to software, ran software and in doing so created copies of the software in memory; the person was purportedly authorised by a licensee to do so, but the licensee did not have the right to so authorise the defendant). In some jurisdictions, there is legislation to permit non-licensees to run software without infringing copyright, but these provisions (at least the ones in the US and Australia) don't apply to copies of the program which are themselves infringing copies. See 17 USC 117(a) and section 47B of the Copyright Act 1968 (Cth). Now, supposing you do infringe copyright, the question of whether that is a criminal act will depend on the jurisdiction and the other facts of the case. In Australia, downloading or using software is almost never a criminal act (offences under the Copyright Act require trade in infringing copies or commercial scale, etc). In the US, infringing copyright for commercial gain (e.g. if the software is for use in a business) or of particularly expensive software might be criminal under the No Electronic Theft Act. Furthermore, downloading the 'cracked' software may make one complicit in the distributor's offending, specifically by way of 'counselling and procuring' or 'conspiracy'. The distributor's offending may include the kind of commercial copyright infringement that is criminalised.
Fraudulent bankruptcy by bad management? Bob buys a successful company for a large amount of money, on loan from a Bank. Within a year, the company is bankrupt. Assume for the sake of the question that this is due to intentional or reckless poor management. The banks, as well as any suppliers, lose their money; all employees lose their jobs and 2 months of unpaid salaries. Does Bob have any liability if they intentionally or recklessly manage the company so poorly it ends up in bankruptcy?
Not as a shareholder The entire point of limited liability companies is that the shareholders are protected from the losses of the company - they can only lose the amount they paid (or still owe) for their shares. The directors and officers of a company have various duties that they owe to the company and can be held liable if they breach those duties. Those duties are: the duty of loyalty, the duty of care, the right to rely on certain information, the business judgment rule, and fiduciary duties in the context of insolvency, corporate opportunities, and interested director transactions (or insider transactions) "[I]ntentional or reckless poor management" would, on the face of it, appear to breach the duty of care and the business judgement rule and could expose the directors to liability. However, Bob is a shareholder; not a director or officer. If he is not involved in the company beyond appointing the directors, he is not liable. If he points himself as a director or becomes an officer by telling the directors what to do, then he could be liable.
The crime of theft generally requires two elements - taking control of property, and the intent to deprive the rightful owner of it. If Bob had no intent to leave without paying, he may lack the intent often required for theft. In the scenario described, it's possible Bob has not committed theft, but his actions may indeed constitute theft depending on the jurisdiction. As pointed out in the comments, some jurisdictions codify the concealment of merchandise as prima facie presumption of an intention to steal, or may even codify the act of concealment itself as a crime. There are some shoplifting laws statues that specifically call out "willful concealment", which does not require leaving the premises of a store to have committed a crime - merely concealing the item may be a crime in itself, although perhaps not the crime of "theft". Whether a court would find Bob guilty of theft will depend on a number of factors, depending if there is leeway in inferring intent, and how that intent is inferred. If Bob's actions are found to be sufficiently inconsistent with the behavior of someone who truly intended to pay, the court may find him guilty. If a reasonable person would infer a lack of intent to pay from Bob's actions, he may be found guilty.
You can't sue for false promise per se, but it might enter into a suit for something else. It sounds like your employer offered you a choice between coming in to work (extremely difficult), termination or furlough (extremely undesirable), versus working at home (the preferable option), and the latter was contingent on you doing things that relate to being able to work at home (get a computer and so on). Relying on that promise, you purchased a computer: but then they decided that you had to come in to work. Based just on that, you could sue them for damages (maybe the computer, maybe the added cost of finding a new babysitter, possibly loss of wages). They might want to argue that they don't owe you anything, but your lawyer would (legally) prevent them from making that argument, using what is known as promissory estoppel. You took certain actions based on their promise, so you are entitled to rely on that promise. Their counter-argument would probably be that you didn't do what you were supposed to do, and your attorney would respond that the company obstructed you from doing what had to be done, or had not taken reasonable steps to say in advance what was required of you.
No Or at least not necessarily. Contract terms are legally one of three types: Conditions, Warranties, or Intermediate. Breach of any term allows the aggrieved party to sue to recover damages - monetary compensation to restore them to the position they would have been in had the breach not occurred. Breach of a condition also (or instead) allows them to terminate a contract. Breach of a warranty does not. Intermediate terms are terms that might be a condition or might be a warranty depending on how egregious the breach was. A contract can explicitly make a term a condition, the historical and still used phrase being that X is “of the essence”. If the contract is not explicit (most aren’t), then that is the concept that the court uses to decide - is the term “of the essence”, that is, absolutely fundamental to the performance of the contract. Similarly a term can be explicitly a warranty, usually by saying party Y “warrants” something. Most incidental or procedural terms are warranties - if breached, they never give rise to a right to terminate. Most terms are intermediate, particularly most terms about time. Normally, intermediate terms are warranties but if a breach is egregious enough, then this can elevate the term to a condition. Payment terms are a classic: if you are a day or a week late in making payment, the other party can’t cancel the contract. If you are a year late, they can. Somewhere in between, your breach changes the term from a warranty to a condition. For your situation, the early delivery is clearly a breach of a warranty, not a condition. If it even is a breach - the contract may say that they are obliged to deliver by 1 December: delivery on 1 November is clearly in compliance with that term. If it is a breach, you do not have the right to terminate the contract and if you tried you would be breaching the contract yourself by repudiation. By the way, repudiating the contract is definitely breaching a condition. A huge number of contract disputes turn on who validly terminated and who repudiated the contract. If it is a breach, you can sue for damages which, since they have not charged you for November, would be what it cost you or what you lost by having their bin on your premises for a month. My guess that this would be in the order of zero.
The simple answer is, get a lawyer and explain your case, and pay him to solve the problem (or tell you that it's hopeless). The two main questions would be whether the appraiser have any duty to you, and whether his action was within the scope of what he is supposed to do. If you hired the appraiser, he has a duty to you. I will assume it was you that hired the appraiser (if it was the bank, that's a different matter). Then the question is whether his action or non-action is within the scope of the job. If the place is infested with termites, that is probably irrelevant because an appraiser is not a termite inspector. On the other hand, if he failed to measure the structure, or erred substantially in the measurement, that kind of negligence could be legally actionable. The seller (not the appraiser) is required to "disclose", so it's not obvious that there is any thing that an appraiser could disclose that relates to a map.
How much does your company have in assets? When you dissolve the company, and the company has £100,000 in assets that gets distributed to the share holders, then you would most likely be liable up to those £100,000 if problems creep up. On the other hand, if you extracted £100,000 from the company as a loan, then closed down the company, you would also most likely be liable up to those £100,000. If there were no assets, no outstanding loans and so on, you should be quite safe. And of course you might know whether you have done something that you could be sued for.
Based on your answers, it sounds like this transaction was most likely structured in one of two ways: (a) your colleague bought the computer with the intention that you would use it and then return it to him when you were done borrowing it for a task he hired you for; or (b) your colleague bought the computer with the intention that you would keep it as payment for the work he hired you for. In either case, it seems you would have to return the computer. In the first case, you received the computer only on the understanding that you would return it when you were done with the work. Because you are retaining it while your colleague owns it, your colleague could puruse a replevin action to force you to return the computer, or a conversaion action to force you to pay the value of replacing it. Scaffidi v. United Nissan, 425 F. Supp. 2d 1159, 1168 (D. Nev. 2005). In the second case, you would not be entitled to keep the computer because you failed to perform your contract. Because you are not going to complete the work you agreed to, you are not entitled to the keep the computer your colleague agreed to give you in payment.
I assume that the loan was legal, in light of rule changes pertaining to non-borrowing spouses. If so, there is really no recourse other than to repay the loan. This article explains the current options / restrictions in an understandable manner, but of course it is too late to do anything about it. If there was actually fraud or coercion in the loan, or if the elder party was mentally incompetent, there might be some legal recourse, but we don't have any evidence of fraud, coercion or incompetence here.
Legality of busking a song with copyrighted melody but using different lyrics to deliver a message Are there any legal impediments to busking a song with melody and lyrics copyrighted in the United States---with the same melody but with different lyrics---on U.S. streets? Does it matter if the song is to be sung not for money, but to deliver a message; i.e., to make a statement?
A song with the same melody and different lyrics is a derivative work. It does not matter whether the song is to be sung for money, or not. The copyright owner still retains the rights to the melody, and can deny anyone permission to use it in a derivative work. Furthermore, using the derivative song to make a statement does not restrict or reduce the rights of the copyright holder. Refer to Campbell v. Acuff-Rose Music, Inc., 510 U.S. 569 (1994), below. See: Derivative work Derivative works can be created with the permission of the copyright owner or from works in the public domain. (...) The copyright for the derivative work only covers the additions or changes to the original work, not the original itself. The owner of the original work retains control over the work, and in many circumstances can withdraw the license given to someone to create derivative works. And: Why is parody considered fair use, but satire isn't? As the Supreme Court explained in Campbell v. Acuff-Rose Music, Inc., “Parody needs to mimic an original to make its point, and so has some claim to use the creation of its victim’s (or collective victims’) imagination, whereas satire can stand on its own two feet and so requires justification for the very act of borrowing.” Also: Mechanical license Within copyright law within the United states, such mechanical licenses are compulsory; any party may obtain a license without permission of the license holder by paying a set license fee, that as of 2018, was set at 9.1 cents per composition or 1.75 cents per minute of composition, whichever is more, which are to go to the composition copyright holder. (...) In American law, US Code Title 17, Chapter 1, Section 115(a)(2) states: "A compulsory license includes the privilege of making a musical arrangement of the work to the extent necessary to conform it to the style or manner of interpretation of the performance involved, but the arrangement shall not change the basic melody or fundamental character of the work ..." thus preventing mechanical licenses being used to make substantially derivative works of a piece of music. (...) For example: Puff Daddy wants to sample the opening riff from “Every Breath You Take” by The Police. (...) He is free to hire musicians to reproduce the Police's sound, but he cannot copy from any phonorecord with only a mechanical license.
17 U.S. Code § 107, which governs fair use in the US, says (emphasis mine): Notwithstanding the provisions of sections 106 and 106A, the fair use of a copyrighted work, including such use by reproduction in copies or phonorecords or by any other means specified by that section, for purposes such as criticism, comment, news reporting, teaching (including multiple copies for classroom use), scholarship, or research, is not an infringement of copyright. In determining whether the use made of a work in any particular case is a fair use the factors to be considered shall include— (1) the purpose and character of the use, including whether such use is of a commercial nature or is for nonprofit educational purposes; (2) the nature of the copyrighted work; (3) the amount and substantiality of the portion used in relation to the copyrighted work as a whole; and (4) the effect of the use upon the potential market for or value of the copyrighted work. The fact that a work is unpublished shall not itself bar a finding of fair use if such finding is made upon consideration of all the above factors. Note that commercial/educational use is part of only one factor. Even if that factor is in your favor, it may not be fair use, and even if it isn't in your favor, it might be fair use. Because fair use is determined on a case-by-case basis, we can't really say whether your use is fair use, with or without the donations. That would be the sort of thing you'd ask a lawyer about to get real legal advice on your particular case.
As for the subject matter (what can be protected), amplitude, frequency, harmonic pattern, duration etc. are all physical facts, and there is no protection for physical facts. The basic requirement is that the thing protected must be "creative". Once you have a creative composition (assuming it is a composition, where infringement is harder to establish), the question arises whether a particular other composition infringes, or is an independent creation deserving its own protection. Again, the law does not deal in technical acoustic properties, and "similarity" is dealt with in an essentially subjective manner. The find of fact, who is an ordinary observer, has to weight all of the evidence and decide whether there is substantial similarity (or striking similarity) which could be evidence of infringement (substantial similarity is not against the law, copyright infringement is). Both parties to the litigation will present testimony supporting their contention and refuting the others' contention. At some point, one side is likely to introduce expert testimony to the effect that there are only so many possible melodies, which if persuasive can overcome a feeling that two compositions are rather similar. The law only addresses the logic of that judgment, and not the scientific facts. For example, in the case of Testa v. Janssen, the legal premise is set doen that "proof of direct access is unnecessary where striking similarities between two works are present". HOw then do you know if there are striking similarities? To prove that similarities are striking, plaintiffs must demonstrate that "such similarities are of a kind that can only be explained by copying, rather than by coincidence, independent creation, or prior common source." Stratchborneo v. Arc Music Corp., 357 F. Supp. 1393, 1403 (S.D.N.Y.1973) citing a previous ruling on that point. Ultimately, the courts cannot not dictate a scientific procedure for making that determination.
As stated in the answer to What is considered "public" in the context of taking videos or audio recordings?; if either of the participants is in Australia than unless all parties have given consent then the recording is illegal. Notwithstanding its legality, property in the recording vests in the person who made it. There is no law against him keeping it. There is no law against him publishing it unless the material contained is offensive, hate speech or defamatory (see Customer feedback gathering in Australia).
No, it does not fall under fair use: It is commercial use in nature It is a copyrighted work It is hard to say what portion of the copyrighted work you'd be using based on your description, so test three is inconclusive It could be argued in your favor that the infringement would not have an impact on their potential market, but it could potentially impact the value If discovered the owner of the copyright could pursue action against the company you work for.
Basically, statement 3 above is correct. The owner of the copyright in a work may release that work unmder different, even incompatible, licenses, as many times as s/he chooses to do. None of these releases cancels or invalidates any other. A person who obtains a work from a site where it is listed under a particular license, may rely on that license grant. The owner may (if the site allows) modify the license or remove the posted work, but this does not invalidate the license granted to those who obtained the work before any modification or removal. An incorrect or incomplete copyright notice does not, under current law. invalidate the copyright, and to the best of my understanding will not invalidate either of the license mentioen in the question.
You also retain the right to license the work to others. Therefore you can sell similar rights to MusicBook and anyone else, as long as you do not grant an exclusive license (you have already licensed another party to distribute). They do not gain the right to sub-license your work. If you had executed a copyright transfer, you would have no rights to the work whatsoever (leaving out moral rights for jurisdictions that have them and where they are absolute).
The comment is incorrect; creating a derivative work without permission is still disallowed, even for private use. In US copyright law 17USC 106 defines the exclusive rights that the copyright holder has, the right "to do and to authorize". The second of these is: (2) to prepare derivative works based upon the copyrighted work; Note that the right is the right to "prepare" a derivative work, not the right to "distribute" or "sell" the work. US copyright law defines a derivative work in 17 USC 101 which reads: A “derivative work” is a work based upon one or more preexisting works, such as a translation, musical arrangement, dramatization, fictionalization, motion picture version, sound recording, art reproduction, abridgment, condensation, or any other form in which a work may be recast, transformed, or adapted. A work consisting of editorial revisions, annotations, elaborations, or other modifications, which, as a whole, represent an original work of authorship, is a “derivative work”. The laws of other countries are similar to US law on this point. Article 2, paragraph 3 of the Berne Copyright Convention provides that: (3) Translations, adaptations, arrangements of music and other alterations of a literary or artistic work shall be protected as original works without prejudice to the copyright in the original work. However, it should be noted that if a person creates a derivative work in private, and never shows it to anyone else, the copyright owner would never learn of it, and so could never sue for infringement. But if it were shown or described to anyone, and the owner did learn, then he owner could in theory sue. Whether the owner would choose to sue over a derivative work never circulated is a different matter. The real effect of this law is that when an infringing derivative work is distributed and the owner wants to sue, the owner need not prove distribution. Proving creation of the derivative work is enough. The quoted comment asks about whether such a rule is "unconstitutional or something" and says that "You should be allowed to do whatever you want with your own stuff in your own home." The US constitution does not grant any such broad right. There are lots of things one might do in own's own home that are illegal: building a bomb for example. Article I, Section 8, Clause 8 of the US Constitution, sometimes called the Copyright Clause or the IP clause, grants Congress the power: To promote the progress of science and useful arts, by securing for limited times to authors and inventors the exclusive right to their respective writings and discoveries. See the LII page "Intellectual Property Clause" and the page Nature and Scope of the Right Secured for Copyright where it is written that: Congress was within its powers in giving to authors the exclusive right to dramatize any of their works. Even as applied to pantomime dramatization by means of silent motion pictures, the act was sustained against the objection that it extended the copyright to ideas rather than to the words in which they were clothed. {Kalem Co. v. Harper Bros., 222 U.S. 55 (1911). For other problems arising because of technological and electronic advancement, see, e.g., Fortnightly Corp. v. United Artists Television, Inc., 392 U.S. 390 (1968); Sony Corp. v. Universal City Studios, 464 U.S. 417 (1984).} See also the Wikipedia article "Copyright Clause".
Are there any jurisdictions where theft is not a crime but victims can sue theives? Are there any jurisdictions where theft is not a crime, but the owner of a stolen item can sue the thief for either return of the item or monetary damages? This would be similar to how copyright law would work if criminal copyright infringement statutes were repealed.
Theft is universally a crime in virtually every jurisdiction. Insofar as a state has a criminal code and a functioning judiciary, theft will always be a crime. It is also a basic legal principle that theft is a tort as well (in other words, a civil wrong incurring damages to an individual that can be remedied in a court of law). A key part of the problem in failing to make theft a crime, is that in the absence of a substantive penalty in terms of a fine or imprisonment, theft becomes a low-risk, high-reward activity where the maximum penalty is simply the repayment of stolen goods (with relatively minimal loss). This fails to provide an effective deterrent to this socially frowned-upon activity, and rates of crime would skyrocket. It is appropriate, therefore, to make theft a crime (and all jurisdictions do so), as all pillars of criminal justice immediately apply. Edit: As @/JBentley correctly points out, penalties do in fact exist in civil law. That said, the power of incarceration, perhaps in this case the ultimate deterrent, is largely unavailable in civil cases. The ultimate point - that theft is rendered a more sound and legitimate enterprise based largely on gambling - remains the same. Additionally, not all individuals have the time or effort to file small claims and follow cases to the end. Making theft a tort-only offense would cause extraordinary difficulties in enforcement as many would consider the loss of perhaps a small article relatively insignificant compared to filing in small claims court.
The "original" owner remains the only legal one. Party A goes to jail. You get entitled to recover the money from A (unless you knew that the item was stolen — in which case the money will go to the government and you may go to jail with A).
There are three main aspects to this: Its their website, and their terms of service. They can enforce those terms, or change them (in some appropriate manner). You have no recourse if they remove you, block you, or delete your account, for example. That's the measure that you would probably have, virtually every time. To claim damages, or litigate beyond just website access control, requires a legal claim. But there's a catch there. To claim damages, they need to show actual damage, which they wish to be compensated for. If you misused their website but no actual harm can be shown, the total damage claimable is zero, whether or not you followed their rules. Merely entering dishonest information isn't by itself harm. So they would have to show they suffered damage/harm because of that, which is directly attributable to your behaviour, was foreseeably harmful etc, or similar. They also need to consider legal costs, and ability to enforce, especially if you are in a different country. If for some reason the computer use was also illegal, then a criminal act could be committed and they could notify law enforcement. For example suppose you did this in the little known country of Honestania, where the law says that to prevent trolling and online abuse, anything posted on social media under any but your own legal name is a crime. Or suppose you'd been banned from the system and ignoring/evading such a ban was criminal computer use or criminal trespass due to the forbidden/unauthorised access (which can happen in several places). But this is purely for completeness; I guess you'd know if you were taking it further, into criminal computer use.
Although I don't think there's a general principle that stealing a key is equivalent to stealing what it unlocks, some jurisdictions may certainly have laws that punish the theft of a key more severely. For instance, see the North Dakota Criminal Code, section 12.1-23-05, which grades theft offenses. Paragraph 3i provides that: Theft under this chapter is a class C felony if: [...] The property stolen consists of a key or other implement uniquely suited to provide access to property the theft of which would be a felony and it was stolen to gain such access. So if you steal $50,001 in cash, you are guilty of a class A felony, punishable by 20 years imprisonment and/or a fine of $20,000 (see Chapter 12.1-32). If you steal a key that unlocks a safe containing $50,001 in cash, and it can be shown that you stole the key in order to gain access to the cash, you are guilty of a class C felony, punishable by 5 years imprisonment and/or a fine of $10,000. If you steal a key blank that doesn't unlock anything, but has similar intrinsic value to a key (say, a couple of dollars), then you are guilty only of a class B misdemeanor, punishable by 30 days imprisonment and/or a fine of $1,500.
In California (where lost+found laws have been discussed quite a lot), this would be either "lost property" or "abandoned property". With abandoned property, you can do what you want. With lost property, it is legal to ignore it. If you take it, you have the obligation to try to return it to the owner. If you don't do that, it's theft. If you don't take it, you have no obligation whatsoever. Put it somewhere where the loser (the person who lost it) is more likely to find it, for example on the street. Don't take anything. Clarification for comments: There is a box. And the owner of the box is nowhere to be seen. That box is by definition lost or abandoned - it is abandoned if the owner got rid of it intentionally, it is lost if the owner is looking for it. We don't know. We can make guesses depending on the situation. No matter whether lost or abandoned, you are legally absolutely fine if you just ignore it. You have no reason to try to return it to its owner. If you don't make it your business, it's not your business. But if you decide you want the box, or bits of it, and it isn't abandoned (which is hard to know for sure), then you have to try to find the owner first, and if you don't find them, then you can keep it.
No Let's consider a similar scenario. If you made a beverage which poisoned a number of people, would you be absolved of liability because you gave it away for free? Of course not. As there is no contract between you, they would have to bring an action against you in the tort of negligence or negligent misstatement OR under consumer protection law. To succeed at tort they would need to prove that you owed them a duty of care; from Donoghue v Stevenson "You must take reasonable care to avoid acts or omissions which you can reasonable foresee would be likely to injure ... persons who are so closely and directly affected by my act that I ought reasonably have them in contemplation ...". Most cases will founder on your inability to foresee the use to which your software may be put. Consumer law is jurisdiction specific but they generally contain warranties that what you provide (gratis or otherwise) is fit for purpose, merchantable and that you do not make false and misleading statements. There is a chance that a case brought under this sort of law could succeed as you have not limited the purpose, specifically declared that it is not of merchantable quality and have (presumable) said what it does so that, if it doesn't do what you said, you have been misleading and deceptive.
The most minimal elements of theft are: An unauthorised taking or use of another's property; and An intent to permanently deprive that person of that property or its use You've authorised the fee as per the terms of service that you agreed to. If you didn't read the terms of service, you are deemed to have read it. As the first element is not satisifed, no, it's not theft. As to what that fee is for, it's not really a question of law, but because they're a business and they are entitled to recover the costs of providing products or services and make a profit when you use their products or services, I fairly confidently would say that they're charging you to recover the costs of providing you their products and services as well as to make a profit from your use of their products and services. But again, not a question of law.
Purchasing a lot that contained the keys does not provide any rights to access the locks that those keys would open. What someone who did this would be charged with would vary by both location and also by prosecutorial discretion. The only exception in this scenario would be if the storage locker contained the deed to the property in question.
What law is to prevent to say n-word in France This is a question I am asking because I am not in best of health and I have been bullied by some nationals which are non-european , non -african. I am african and study in a university of France. Some citizens which are non -european and non - african called me N-word in university campus. I ignored it for now, but I wanted to ask what legal actions on university level or govt. level can be taken against students who call me n-word again? Will they get any jail term or only fines? Kindly let me know!
Under French law, there are two relevant factors thus four possible charges: public vs. private, and insult vs. defamation. Bare use of the N-word is an insult and is not defamatory, but in case of defamation (article 32), the factor of racism increases the fine and introduces imprisonment for 1 year. Article R625-8-1 covers non-public insult, which will result in a fine.
Whatever crime or infraction you are charged with, it applies to you personally however they spell your name and however you spell your name. Whether or not you should go depends on the alternative that you face (large fine or jail time for failure to appear?). An argument that you didn't commit the offence because they misspelled your name would hold zero water.
Indeed, article 3.24 of the Arbeidsomstandighedenbesluit: Toiletten en wastafels In een bedrijf of inrichting zijn in de nabijheid van de ruimten waar de werknemers hun werkzaamheden verrichten een voldoende aantal toiletten aanwezig. In of in de onmiddellijke nabijheid van de ruimten waarin de toiletten zich bevinden zijn voldoende wastafels. De toiletten of het gebruik van de toiletten zijn naar seksen gescheiden. My translation (intentionally less idiomatic than it might be in order to parallel the Dutch word order): Toilets and lavatories In a business or facility there are in the vicinity of the areas where the workers perform their work a sufficient number of toilets present. In, or in the immediate vicinity of, the areas where the toilets are, there are sufficient lavatories. The toilets or the use of the toilets are segregated by sex. It's a very long law, so I haven't read it all, but it doesn't seem to impose a penalty on people who disregard the sex segregation of the toilets. I suspect that it imposes a responsibility on the employer to enforce the segregation, and presumably a penalty could be imposed on the employer for failing to do so. I do not know what mechanisms would be available to the employer to penalize an employee who uses the wrong toilet. I don't know anything about the catering industry, and I cannot infer why you ask about it specifically. If you're asking about toilets provided by such businesses for their customers, however, I suspect it's likely to be governed by another law. (I further suspect that sex-segregated toilets for customers are optional in at least some circumstances, since small bars and restaurants often have only one toilet.)
The only time that this conduct has to be prohibited in a private university is when state or federal law prohibits it in any case. In those circumstances, no separate university policy to restate the applicable law is required. Best practices are to make students and teachers aware of any applicable laws, because knowing that, the the parties are less likely to be involved in illegal conduct. But private universities aren't required to adopt policies of that type if they aren't bothered to do so. With federal grant funding, private universities are required to have a mechanism in place for addressing sex discrimination complaints, but the policy doesn't have to articulate that particular conduct is or is not prohibited, beyond what federal law provides in the absence of a formally adopted policy. Incidentally, a few private colleges, almost all religious, specifically decline federal funding in order to be free of the regulations and strings that come with accepting it. Also, while private universities are not required to have such policies legally, private universities are required, as a matter of practical reality (e.g. in order to be considered eligible to borrow money from banks and to be eligible for many charitable grants) to have liability insurance in place, and liability insurers will often insist that their insured have certain policies in place, especially if the insured private university has a history of prior claims of this type.
That’s legal The New York Human Rights Law prohibits discrimination on the basis of “age, race, creed, color, national origin, sexual orientation, military status, sex, marital status or disability”. Federal law prevents employment discrimination based on race, color, religion, sex (including pregnancy, sexual orientation, or gender identity), national origin, age (40 or older), disability and genetic information (including family medical history). What law school you went to is on neither list. If Harvard’s policies break the rules, that’s not the firm’s issue. However, AFAIK, Harvard is scrupulously fair in their admissions program - so long as you have the grades and the money, they’ll let you in. It’s not Harvard’s fault that most of the people who get the best secondary education and have the most money are predominantly white, Christian, and US born - that’s do to politico-social-historical-economic factors beyond Harvard’s control.
Being disabled has nothing to do with it. If he is harassing students then after there is a complaint and investigation, then he can be banned from campus, and arrested for trespassing if he returns. But there would have to be a formal complaint made to the authorities first.
A cease and desist letter is basically a formal way of them saying, "stop what you are doing, and please don't do it again." It is not proof of tortious conduct by you, nor is it proof of illegal conduct by you. It does not open up an avenue for the university to sue you, nor does it open up an avenue for the university to have you committed to a mental institution. Your behaviour after receiving such a letter does matter however. What is most likely their next step should you continue emailing members of the university, is to apply for an injunction. It is possible that should the injunction be granted, you may be liable to pay fees. Breaching an injunction can have serious consequences, including jail. I would recommend against writing a letter apologizing. You are doing the very thing they asked you not to do. If you do feel in inclined to apologize, you should write the letter to the general counsel and ask them to forward it along. They probably won't. Obviously you have to be quite careful with the content of the letter. You are almost certainly within your rights to continue to email their general counsel. In addition, they almost certainly cannot stop you from communicating with the state agency responsible for the university.
There is no federal prohibition against sexual discrimination in public accomodations. Colorado has an applicable state law, which covers "any place of business engaged in any sales to the public", where "It is a discriminatory practice and unlawful ...to refuse, withhold from, or deny to an individual or a group, because of ...sexual orientation...the full and equal enjoyment of the goods...". No provision exempts lemonade stands. Churches etc. are specifically exempted: "'Place of public accommodation' shall not include a church, synagogue, mosque, or other place that is principally used for religious purposes". Sex discrimination is allowed "if such restriction has a bona fide relationship to the goods, services, facilities, privileges, advantages, or accommodations of such place of public accommodation", an argument that can't reasonably be made in the described case. It is also not obvious that running a lemonade stand is a business (the courts will not admit unsubstantiated Wiki assertions as evidence). It would be relevant to wonder what constitutes a "business" under Colorado law. E.g. is a business license required? In Colorado (US) law, it has not been definitively decided whether there can be a religious exception to the anti-discrimination law. Masterpiece Cakeshop was decided without answering that (the state showed clear religious intolerance in its handling of the case). We do not know how a similar case will be decided: Arlene's Flowers was handed back to the state court with the instruction "do it again" (with nothing more than a mention of Masterpiece Cakeshop). The court cannot establish certain beliefs and practices as "valid religions" (Establishment Clause); the proxy expression that is used is "deeply held belief", which includes atheism. The relationship of the issue to the First Amendment is uncertain.
Does pulling over a vehicle by police without reasonable suspicion constitute false imprisonment in California? When a police officer pulls over a vehicle without reasonable suspicion required for this stop to be lawful is that considered false imprisonment? Or would that require the driver also to be arrested to constitute false imprisonment?
england-and-wales NO Unlike some other jurisdictions, there is no requirement for an officer to have "probable cause1" or suspect an offence as the police can stop a vehicle for any reason under section 163 Road Traffic Act 1988: (1) A person driving a mechanically propelled vehicle on a road must stop the vehicle on being required to do so by a constable in uniform or a traffic officer. (2) A person riding a cycle on a road must stop the cycle on being required to do so by a constable in uniform or a traffic officer. (3) If a person fails to comply with this section he is guilty of an offence. There is no associated power to search the vehicle or its occupants but under section 164 and section 165 the driver must produce inter alia their licence, name, date of birth, address, insurance details and other relevant documents as the case may be. Note that although vehicle stops can be random, police officers are subject to the public sector equality duty under section 149 Equality Act 2010 and not permitted to stop a vehicle solely based on the occupants' protected characteristics. 1The term "probable cause" is not used in the UK, but roughly equates to somewhere around reasonable suspicion / reasonable belief
Disclosure to police of an illegal recording is permitted by s. 193(2)(e), and in court by s. 193(2)(a). The recording could be excluded if the person who made the recording did so on behalf of police (to sidestep their obligation to obtain a warrant), but even then its importance as evidence may outweigh other Charter considerations.
I am aware of a view of the California law that if a pedestrian looks like they might want to cross the street, any car must stop, but this is not supported by the law, which is about "yielding". The law incorporates both "yield" and "stop", the former being "and allow the other person to proceed". Ignoring the photo for a moment, the requirement to yield (not stop) allows a car to continue driving when the driver is e.g. 10 ft from the crosswalk and the pedestrian is three lanes over when they enter the crosswalk, remaining in compliance with the law. The pedestrian and the driven can continue with their journey because there is no conflict. The requirement to yield states whose right to proceed is subordinated to the other person's, in case of conflict. Turning to the video which shows what is in front but not behind, it is evident that the vehicle did not actually conflict with the pedestrian, who did not slow down in order to let the vehicle pass. The violation of social conventions is clear, in that the pedestrian enters the crosswalk while the car is 5 or so car lengths back, and can safely slow down so that there would be zero chance of hitting the pedestrian (it starts to slow but only trivially one the pedestrian is visibly 'crossing the street'). As far as I can determine, California case law has not established any numbers that constitute "not yielding". While I would stop in this circumstance, I don't see that there is a conflict between the pedestrian and the vehicle.
Probably moot considering how much time has passed but here goes. California 22349(a) states that no person may drive upon a highway at speeds of greater than 65 mph. So if you're going to be convicted under 22349(a), it doesn't matter if you're going 80 or 90. The charge is that you were doing greater than 65. The judge found you were going 90. 90 > 65. Conviction secured. The only sticky part is if the judge charged you the extra $150 because he alleges you went 90 instead of 80. You could appeal that, since even the officer argues you went 80, but since the officer testified that his radar clocked you at 90, you'd probably lose, especially since the officer's rationale for writing 80 was, by his testimony, your alleged admission at the scene, and you at the scene would have reason to downplay your speed. TL;DR: Yes, the judge, as the trier of fact, can do that. Something came out during the trial (radar at 90) that contradicted the ticket (80) so the trier of fact (the judge) resolved this by going with the radar. You might have been able to get out of it, if you asked the officer why he didn't write 90 when that's what the radar read. There was a reason the officer didn't trust that radar, and if he articulated it, then the judge would likely have stuck with 80.
UK seat belt law is here. What you were doing is illegal and carries a fine of £500. As to your specific questions: How illegal is this? It is not a criminal offence in any way. What is the possibility of me getting caught? If a police officer notices you will almost certainly be booked. What is the possibility of being noticed? Depends where you are. If I'm caught what fines and / or penalties can I expect? £500 What's the absolute worst that could happen as a consequence of my actions? You could crash and your passengers could die, you would then go to jail for dangerous driving occasioning death. Having 2 people in a seat belt is extremely hazardous - it would be far safer (but still illegal) to have one person in the seat belt and the other one unrestrained. Could it be possible for me to get away with a warning? No Could I get my licence revoked? (:/) Seat belts offences do not carry a points penalty so, of itself, it would not lead to loss of your licence.
Yes, in Orange County, CA, in a residential zone or on residentially-developed property, this is a code violation. Specifically you are looking at Title 3, Division 13, Article 1, Sec 3-13-4(11): Sec. 3-13-4. - Prohibited Conduct. Except as provided in section 3-13-6, exemptions, it shall be unlawful for any responsible party having charge or possession of any real property in county territory to:... (11) Keep, store, or maintain upon any premises under his/her control any abandoned, wrecked, dismantled, or inoperative vehicle, or part thereof, except as permitted by Table 3-13-6(c). You may store/work on this vehicle from a building or location that is not visible from the street, but you cannot work on or store the vehicle on the street or driveway. You might also be able to erect a 6' tall opaque fence around the car, provided the fence meets standards. The code making this illegal is a county ordinance for Orange County, CA, which is not applicable to other counties in California (other counties/cities may have their own ordinances). Codes which cover this sort of activity are generally made at the county or city level. They vary dramatically from location to location, and are often different based on the zoning of the property within the county or city.
You are referring to Michigan State Police v. Sitz 496 U.S. 444 (1990). It does not require or suggest a requirement of advance publication of any details regarding the checkpoints. The dissent mentions that "a sobriety checkpoint is usually operated at night at an unannounced location. Surprise is crucial to its method." This point was not countered or even mentioned by the majority. In this case, a state committee had created guidelines setting forth procedures governing checkpoint operations, site selection, and publicity. The mentions this as a background fact, but does not rely on the existence of these guidelines as a requirement for the constitutionality of checkpoint stops. It does contrast checkpoints with "roving patrol stops". Quoting from Martinez-Fuerte 428 U. S. 543 (1976), the majority in Sitz said: "at traffic checkpoints, the motorist can see that other vehicles are being stopped, he can see visible signs of the officers' authority, and he is much less likely to be frightened or annoyed by the intrusion". There are state guidelines, some states have constitutions prohibiting sobriety checkpoints (lots of case law at the state level regarding this), and some state legislatures have made these illegal. In Sitz, the checkpoints were being operated subject to guidelines developed by the Sobriety Checkpoint Advisory Committee (of the State Department of Police). Federally, the NHTSA has guidelines on visibility and publicity towards the goal of effectiveness.
In general, ignorance of a law is an excuse only when the law specifically says it is. There are extreme cases where a law has been found invalid because it did not give people enough notice. Actually, only one case I know of -- Lambert v. California, 355 U.S. 225 (1957). The city of Los Angeles passed a law making it illegal for anyone who had ever been convicted of a felony to remain in the city for five days without registering as a felon. Lambert was arrested on suspicion of doing something else, but convicted for being an unregistered felon. The Supreme Court held that it was a violation of Lambert's due process rights to convict her of a crime she had no way of knowing about, or even suspecting. This is a very rare, extreme case, and does not apply to things where people might be expected to suspect that there might be a law. Otherwise, notice of a law is only required if the statute says so; for example, if a speed limit law requires the posting of signs, but the signs aren't posted, the law may not be in effect. However, ignorance still isn't an excuse--if the sign is posted, but you just didn't notice it, you're still on the hook.
Notice period in a business contract I am writing up a contract as a self-employed freelancer and I have a question about contract termination and the notice period. Lets say I have a 14 day notice period clause in my contract and either me or the client decide to terminate the contract. Am I right to assume that once the notice has been issued to the other party, me and the client still work on the project for 14 days until the notice period expires and that the client is required to pay for the work that has been done in those 14 days (assuming that I have this clause defined in my contact)?
Am I right to assume that once the notice has been issued to the other party, me and the client still work on the project for 14 days until the notice period expires and that the client is required to pay for the work that has been done in those 14 days In the absence of any other wording to the contrary, a contract continues as normal up until the day of termination. The fact that a party has given notice to terminate merely establishes the termination date, unless the notice clause says something different. Note that there is nothing to stop you drafting a clause which explicitly states this. Indeed, it is often useful to explicitly state things which are already implied as it helps to avoid any dispute from arising in the first place.
I am not knowledgeable about UK law, but since almost everywhere in the U.S. employment is at-will by default, in all three scenarios Company B is entitled to terminate the employee very easily. The assumption that the employee was accurately found guilty of harassment elsewhere precludes more interesting analyses where matters such as defamation and public policy are involved. If the contract between the employee and Company B establishes that termination will be for good cause, the employee has only a mild chance of not being terminated for what he did in Company A. However, I say "mild chance" because in most cases Company B can reasonably argue that it seeks to protect its other employees and/or customers from the possibility that the employee's misconduct may occur in the current workplace. A very detailed analysis of the factual circumstances might be required for discerning whether Company B's decision to terminate the employee is merited. Additionally, in cases where The Employee is a publicly visible figure and a figure of authority having a management role there could be a concern that the employee's misconduct elsewhere may harm the image of Company B.
Jurisdiction has not been provided, so I've written a general answer: Not necessarily; often, such provisions clauses will have their own expiration dates, for example "for five years after signing, X", with X still being valid after cancellation up to 5 years(so if you cancel after 3 years, X is still valid for 2 more years), or "for two years after cancellations, Y"(especially common with non-compete clauses) where the time-limit of Y starts when the contract is cancelled. Other clauses are meant to indeed be enforced forever, such as some non-disclosure, non-disparagement, or indemnity clauses. For example, an indemnity clause in a contract that prevents a party from suing the counter-party for work done under the contract would be pointless if it could be bypassed by a party terminating the agreement. There are lots of legal limits, based on the terms of the provision, and its nature, all governed by the contract law of the jurisdiction under which the contract was drafted under and/or is governed by (this is generally obvious, except for some cross-border contracts, which generally will have a declaration as to whose laws apply). It is not inherently abusive, but can certainly be abused. What is considered abusive often varies from jurisdiction to jurisdiction (not only on this issue, but on legal issues in general). It depends on the jurisdiction, and generally on the terms of the provision itself. If the court asked to enforce the terms of the agreement feels that the provision is illegal or abusive, they won't be enforced (and possibly the entire document declared null and void, depending on the central-ness of the illegal or abusive provision; some provisions specifically state that invaliding the provision doesn't invalidate the whole contract to try to prevent this). If they don't feel the provision is illegal or abusive, they will generally enforce it.
Let me start by saying that real estate contracts are some of the most heavily regulated contracts and details vary enormously by jurisdiction. That said ... To vary a contract, the contract must actually contain provisions that allow for it to be varied and variations must be in accordance with those. These sorts of clauses are common in long-term contracts (building, mining, logistics etc) but are less common (but not unknown) in transactional contracts like real estate sales. If the contract does not contain such provisions then it can only be varied by a collateral contract which has the same basic requirements of any contract - in this particular case, were you offered something in return for agreeing to delay settlement? If you weren't you do not have a collateral contract that varies the original contract. Notwithstanding, even though the other party delaying settlement from the 11th to the 18th is a breach of the contract by them, by agreeing to it you would be prevented from enforcing your rights under the contract by the doctrine of promissory estoppel. This presumes that they actually settle by the 18th - if they don't all bets are off and you can enforce the rights you have from their breach by failing to settle on or before the 11th - just don't agree to any more extensions. What you remedies are will be detailed in the contract. These would normally include issuing a notice for them to settle by a given date - if they don't do that you can terminate the contract and keep the deposit. You could also sue for damages. Don't do any of this (or anything else) without getting legal advice first. Edit The OP has put in a comment a rather vital piece of information: there is a clause making settlement contingent on the buyer selling their condo. If the delay is in accordance with that clause then the vendor is stuck, even if settlement takes 10 years.
You can't give your landlord a "notice to quit" A "notice to quit" is something a landlord gives to the tenant under s8 or s21. Assuming you want to end the tenancy, you would give them whatever notice is required in accordance with the lease. Why the paranoia? Ending a residential tenancy is routine and would not normally land you anywhere near a court. You give your notice, pay your rent, move out and get your deposit back. Is there something going on that you're not telling us? If so, ask about that thing in a different question. The video would be fine as evidence However, it would only be used if there was a dispute over the service of the notice. While this can happen, its pretty rare and your precautions seem ... elaborate. Your landlord's name and address (and yours) will be a public record forever Courts are public, the names and addresses of the parties are a matter of public record (unless you are children, or sex offenders, or have some other reason the court accepts as to why this shouldn't happen). These records are kept indefinitely.
Law (regardless of its type) supersedes contract, provided it has jurisdiction over the persons bound by that contract. Contract provisions that are counter to law are generally held to be void. State law has authority over an employer's policies or hand book. However, there may be exceptions in state law (so I would double check). A frequent exception (at least in California law, which I am most familiar with) is for very small businesses. Another exception, from C.R.S. § 8-4-101(5), is if you are considered a "contractor" rather than an employee, per the government's determination. It is possibly worth your time to let you employer know of this conflict before termination if possible, so that they can adjust their policies, rather than in an adversarial position after termination, if only to avoid the headache.
does the email chain above set out a legally binding contract, would it stand up to the test in a court Generally speaking, yes, unless you signed a "more formal" contract thereafter. The more formal contract would supersede the email chain. Furthermore, the subsequent conduct by both parties evidences the existence of a contract. The fact that you have been provided with the service and that you have been charged for these ~12 months evidences the formation and existence of a contract. is the breach of contract sufficient to give us grounds to terminate the contract? Yes. To substantiate a claim of breach of contract, you will need to provide evidence that the "24/7/365 support line" is missing or unacceptably subpar in that it has caused you losses (such as downtime and consequent impact on your operations), or that such pattern of service disruptions would subject your company to imminent risk of losses if you were forced to stay in the contract for the remaining ~24 months (obviously, you will need to establish that this item or feature is not just incidental to the contract).
If a contract sometimes uses the wrong name, is it still valid? Yes. It is valid as long as the contract as a whole permits identifying the parties (unequivocally) and ascertaining their role with respect to the contract. Using "Contractor" and "Consultant" interchangeably despite only the former being explicitly defined seems a bit sloppy, but it does not by itself alter or invalidate the meaning of the contract. The excerpt you reproduce is self-explanatory. Its first sentence identifies the parties, and there are only two. Thus, there is no reasonable way to dispute that the second sentence means "Contractor shall indemnify Company", since a clause of the sort "he will indemnify himself" makes no sense. Moreover, the legal definitions of Indemnitor and Indemnitee (Black's Law Dictionary) clearly make reference to "the person" (who protects or is protected, accordingly) and "the other" (that is, not to self).
GDPR: Alternatives to 3rd party cookie-based analytical systems? Cookie-based solutions became challenging to leverage due to the GDPR law. As an analyst, it's hard because my work depends on these metrics that will no longer be available with cookie-based tracking products like Google Analytics or similar ones following their Cookies policy change under this regulation. Thus I struggle to get the essential information about the product how many visitors do I have what countries there are they from what's the accurate conversion from page A to page B I'm not interested in passing the data down to Google Ads or helping Google build a better search. I don't want to track users across multiple domains as well. I don't want to use PII data, but eager instead to find a privacy-friendly way to distinguish one user from another. Third-party cookies are quickly becoming an outdated form of analytics. But what are the legal ways to track the anonymous data about the behavior of the users under the privacy regulations? My thoughts on that: Decrease the time to get 1st-party data I think that's the most obvious one and satisfies all stakeholders in the industry. In terms of a future for understanding audiences across domain, we’re seeing a big push toward leading audiences to authentication -> CDP Privacy concerns reach heightened levels (and since authenticated data never goes away, it's a lot scarier now), and web analytics is limited to domain-specific tracking. Switch to server-side tracking. Although it's aggressively promoted, the ad-block community closely follows the switch to server-side tracking. I wouldn't be surprised if Apple's next move is to audit internal network traffic for analytic/ad-related use cases and block them. Also not sure what they are the limitations on compiling with GDPR law. Self-hosted cookie-based analytics I'm not sure if it would make a difference from a legal perspective, does the first-party issued cookie, under control of and only accessible by the first party, requires visitor consent? Open-sourced products such as Plausible and Matomo have complete control of their data which allows them more insight into what people want from this service, so there might be some value in going down this route So my ultimate goal is to build a system that would answer the question about the website's and business's performance, not rely on users' consent and minimally (if any) use personal data.
There are two issues with typical analytics solutions: they rely on visitor consent they involve processing in the US Some people believe that they can sidestep GDPR problems by only collecting anonymous data, but this doesn't matter for the consent requirement, and is also impractical in my experience. These aspects are discussed in more detail below. Before I go further, I have to mention that no common analytics solution relies on third-party cookies. While analytics services are often provided by a third party, that is neither technically nor legally relevant. Technically, these analytics scripts usually set some analytics ID on a first-party cookie – a cookie scoped to the domain where the website is running, not scoped to the analytics provider's domains. Legally, analytics services often serve as a “data processor” on behalf of a website, and don't use the collected data for their own purposes. GDPR allows outsourcing processing activities (such as analytics collection) to others. In particular, this means that there is no technical or legal argument for preferring self-hosting over using some analytics services, assuming other relevant conditions are complied with (data processing agreement, international transfers). In the past, ad blockers have also blocked a large percentage of self-hosted analytics servers. Self-hosting some analytics solution is primarily valuable because it gives you more control over where the data is processed. But it doesn't give you better analytics, and doesn't let you sidestep any consent requirements. Server-side tracking is quite limited in what kind of info it can collect, but it is the only collection method that cannot be blocked. Since you're only re-interpreting data that the server has anyway, no extra network requests are caused between the client and the server. Collection session- or user-level data can be challenging though, unless the visitor is logged in. Server-side data collection is very easy on traditional websites, but more challenging e.g. with single-page applications that communicate with the backend via GraphQL. Server-side data collection is most valuable when business-level events can be tracked – an event such as “placed order” is probably closer to the user's intent than “navigated to /checkout”. You will probably find that this is not an either–or situation. You will likely want some server-side analytics as a baseline (limited data, but less problematic legally, and limited impact of blocking software), but still want to use traditional analytics for those visitors that consent to it. When consent is needed By itself, there might be a legitimate interest for collecting analytics. But for collecting session-level data, it is necessary to assign some kind of identity to visitors. This is usually done by setting a cookie with a random ID. Per the ePrivacy Directive in the version from 2009, any access or storage to information on the end user's device needs consent, unless that access/storage is strictly necessary for a service explicitly requested by the user. This is known as the “cookie law”, but is not technology-specific and will also apply to equivalent client-side approaches such as LocalStorage, tracking IDs in URLs, or fingerprinting. The consent requirement is also independent from the question whether the stored information qualifies as personal data. The GDPR didn't change anything with these rules. It only changed the definition of consent, invalidating “implied consent” approaches like “by continuing to use this site, you consent to …”. Consent means opt-in. Consent must be easy to decline and to withdraw, and users must understand what specifically they are consenting to. This has led to a decrease in percentage of people who consent to storage of analytics IDs. What you can do about it Consent is only explicitly required for client-side storage or equivalent technologies. That means you may be able to collect some analytics on an opt-out basis. You can collect some client-side data without asking for consent. And you can probably use server-side data for analytics purposes. That means you are able to get comparable page-level data, but not session-level data. For determining the country of the user, you just need the user's IP, and this is available server-side. Google's deprecation of UA and move to GA4 helps analytics customers to be more compliant, by making it easier to collect data without setting a ClientID. Why US-based services are a problem The GDPR expects that the entire data processing pipeline maintains a high level of data protection. This means that transferring personal data into non-European countries is only allowed if they offer an adequate level of data protection. Alternatively, contracts (SCCs) between the data exporter and data importer may be able to translate enough of the GDPR into an enforceable contract with the foreign importer, to ensure compliance of processing there. The US did have an adequacy decision called “Privacy Shield”, but this was invalidated due to concerns over the rule of law in relation to US mass surveillance laws. For the same reasons, contracts with US-based data importers are probably invalid. There are also increasing concerns of using EU-based services from US-controlled companies. In particular with relation to Google Analytics, there have been repeated warnings by data protection agencies that use of this service violates GDPR. GA does not guarantee that the personal data collected via the analytics platform is only processed in Europe. What you can do about it The international transfer problems can be avoided by using an analytics service hosted in Europe, or in any other country with an adequacy decision (such as Canada). Self-hosting on an European server is another popular option. Analytics data is rarely anonymous In your question, you write: I don't want to use PII data, but eager instead to find a privacy-friendly way to distinguish one user from another. It is important to mention here that the US concept of PII is substantially more narrow than the GDPR concept of personal data (PD). PD is not just directly identifying info, but any data relating to an identifiable person. A person is identifiable not only when you know their real-world identity or email address, but already when you can single them out in a data set, or otherwise distinguish them from others. Thus, per-session or per-visitor analytics data should be treated as personal data, and GDPR continues to apply (which may or may not mandate consent). Anonymization is possible but challenging. Anonymization tries to ensure that there are no reasonable means that could likely identify the data subject. The only widely used anonymization method is aggregate statistics, e.g. moving from per-user events to average values. In particular, aggregate metrics such as “pageviews per month” are anonymous. Other anonymization techniques I have seen: Tokenization: mapping the user's ID to an entirely random ID. After some time (e.g. 24 hours), the mapping is erased so that the random ID cannot be traced back to a user. Plausible uses a weaker variant of this that uses a hash function to derive a pseudo-random ID from the user's identifying info (e.g. IP address). While Plausible's approach avoids having to store a large lookup table, a malicious server operator could log the daily key and use it to recover the original data from the hashed IDs. The weakness of this approach is that it still relies on some identifying data. While it is a good compliance and security measure, it doesn't really change anything fundamental from the GDPR perspective. Differential privacy: individual records are distorted with an appropriate amount of noise, but the noise cancels out when calculating aggregate statistics. Such techniques are the state of the art, and the only class of general-purpose anonymization techniques that are likely to achieve anonymization in the sense of the GDPR. However, they are mathematically involved. I don't know of any analytics product that incorporates differential privacy techniques. From my own research into GDPR-anonymized analytics, I found it challenging to design solutions that both provide proper anonymization and are able to provide sufficiently accurate session-level statistics as expected from a typical web analytics solution.
Caution: I am not a lawyer. It depends on who is doing the collecting and storing. If it is done "by a natural person in the course of a purely personal or household activity", then it is exempt from the GDPR, as per Art. 2. Beware, however, that "purely personal activity" means that you do not share or publish them. In this court case, having the name or phone number of someone else on your "personal" website constitutes "processing of personal data wholly or partly by automatic means within the meaning of Article 3(1) of Directive 95/46".
GDPR gives you a lot of flexibility here to choose either DPA. From Art 77: Without prejudice to any other administrative or judicial remedy, every data subject shall have the right to lodge a complaint with a supervisory authority, in particular in the Member State of his or her habitual residence, place of work or place of the alleged infringement if the data subject considers that the processing of personal data relating to him or her infringes this Regulation. However, the DPA from the company's country would be designated the lead supervisory authority for this investigation. If multiple DPAs are involved, they would coordinate with each other. There is no EU body that you could contact directly. But if the different DPAs have a dispute regarding this investigation, the EDPB would provide a consistency mechanism. This mechanism has been used in the past e.g. to force the Irish DPA to correctly apply the GDPR against companies from the Meta group, like WhatsApp and Instagram. Though it might slow things down, it could be advantageous to have multiple DPAs involved, precisely so that the investigation is double-checked. If the lead supervisory authority declines the case, this would also enable the other DPA to do its own investigation. So, it would be a good idea to lodge a complaint with the DPA of your home country, and let it forward the issue to other DPAs as needed. However, contacting the DPA in the company's country would also be fine, especially if you are fluent in the relevant official language, and/or if you live in Ireland.
Well actually... I think you'll just need to wait a little more. I monitor the situation quite closely and I can tell you that it's just a matter of time. Microsoft was one of the first (if not the first) to communicate openly about the GDPR and the changes that follow. From the blog post: If your organization collects, hosts or analyzes personal data of EU residents, GDPR provisions require you to use third-party data processors who guarantee their ability to implement the technical and organizational requirements of the GDPR. To further earn your trust, we are making contractual commitments available to you that provide key GDPR-related assurances about our services. Our contractual commitments guarantee that you can: Respond to requests to correct, amend or delete personal data. Detect and report personal data breaches. Demonstrate your compliance with the GDPR. Microsoft is the first global cloud services provider to publicly offer you these contractual commitments. We believe privacy is a fundamental right. The GDPR is an important step forward to further clarify and enable individual privacy rights and look forward to sharing additional updates how we can help you comply with this new regulation and, in the process, advance personal privacy protections. Microsoft has set up an informational site on GDPR here. If your eyes are on any other provider, I think the only way to learn more is getting in touch and inquiring about their progress and process. Hope this helps.
You must get opt-in affirmative consent to process personal data, including tracking people's use of your site or providing targeted advertising. The banner on StackExchange is likely in violation of the GDPR. Do not copy it. It does not have an explicit opt-in, only an opt out which is onerous (leave the site, then manually go in and delete any cookies they set, which may be hard to identify if they are from 3rd parties). The sites you mention that have a gateway are a more correct implementation. Consent must be acquired before processing of data begins, and it must be explicit.
Maybe this changes something, maybe not. But at first glance, yes, avoiding US-based vendors does help comply with Schrems II. They need not be EU-based. Definition of an international data transfer The GDPR unfortunately does not define what an international transfer is, and just explains when they may be lawful: Art 44: Any transfer of personal data which are undergoing processing or are intended for processing after transfer to a third country […] shall take place only if, subject to the other provisions of this Regulation, the conditions laid down in this Chapter are complied with by the controller and processor, including for onward transfers of personal data from the third country […] to another third country […]. […] This has been interpreted, in particular by the official EU SCCs and by EDPB guidance, to imply two roles: the data exporter, and the data importer. Per those EDPB guidelines, a transfer occurs when three criteria are fulfilled together: The data exporter is subject to GDPR (e.g. as a controller via Art 3, or as a processor via an Art 28 data processing contract). The exporter discloses or makes available personal data to the importer. The importer is in a "third country" (for EU GDPR: anything outside the EU/EEA). Note that these importer/exporter aspects are independent from roles like "controller" or "processor". It also does not depend on where in the world the exporter is situated. Applying this to your scenario How does this apply to your scenario? I am assuming Alice Inc is subject to the GDPR (criterion #1). Now, Alice Inc can process personal data, and that's not an international transfer, even if Alice Inc is in the US (or any other third country). The general GDPR rules apply, such as the requirement to implement appropriate technical and organizational measures to ensure compliance and security of processing operations. If Alice Inc engages data processors to process personal data on Alice Inc's behalf, then this would fulfil criterion #2 (disclosure to a third party). For example, hosting providers generally act as data processors. Any other kind of data sharing (e.g. to other data processors) would also fall under this category. Tricky in an US context: while employees would be agents of Alice Inc and would not be separate recipients, contractors/freelancers would also be potential data importers. If those data importers are based in the EU/EEA, then criterion #3 is not fulfilled and there's no international transfer. For example, using an EU-based hosting providers would sidestep Chapter V of the GDPR completely. If those data importers are based outside of the EU/EEA, then criterion #3 is triggered and we have an international transfer. Lawfulness of international data transfers When there is an international transfer, it must be adequately protected. In order of decreasing priority: country has an EU adequacy decision appropriate safeguards for a group of companies: Binding Corporate Rules (BCRs) Standard Contractual Clauses (SCCs) Art 49 specific situations What SCCs and BCRs do is to translate enough of the GDPR from statutory law into a contract to ensure adequate protection. But to be effective, they must actually be enforceable, and the data importer must actually be able to comply with those rules. In Schrems II, the CJEU found that the US (at that time) did not offer an adequate level of data protection, and that SCCs are probably invalid as well since importers cannot comply with both the SCCs and with US surveillance laws. Before using SCCs, it is effectively necessary to perform a transfer impact assessment (TIA) analyzing, among other things, the legal context of the importer's country. It may be possible to defuse this, for example by using supplemental security measures like end-to-end that prevent unlawful use of the data even if it falls into the wrong hands. However, such measures also tend to prevent intended use, especially in a cloud context. In the DPC Ireland decision against Meta Ireland (PDF), the DPC finds: 7.202 In summary, therefore, I am satisfied (and I so find) that: (1) US law does not provide a level of protection that is essentially equivalent to that provided by EU law; (2) Neither the 2010 SCCs nor the 2021 SCCs can compensate for the inadequate protection provided by US law; and (3) Meta Ireland does not have in place any supplemental measures which would compensate for the inadequate protection provided by US law. 7.203 Accordingly, in making the Data Transfers, I find that, subject to the analysis contained at Section 8 below, Meta Ireland is infringing Article 46(1) GDPR. Implications of using non-US vendors As already mentioned, using EU-based data processors avoids the international transfer problem due to the way how international transfers are defined. Even if an international transfer occurs, that might not be a problem. Some countries have an EU adequacy decision, for example Canada, Israel, or South Korea. While there would nominally be an international data transfer that needs to be disclosed e.g. in a privacy notice, there is no additional bureaucracy required. In other countries, transfer tools like SCCs might work. A TIA might show that that the issues discussed in the Schrems II decision and the DPC decision wouldn't apply there. But isn't that a contradiction? You correctly point out a problem with the GDPR's approach to data transfers: This would however have little effect on the access to the data, in that if US law enforcement turned up at the offices of Alice Inc. they could be required to hand over the data and their access to the data will not be changed in any way by the location of the web hosting. Yes, this is arguably a loophole. However: If the US-based Alice Inc is a data processor in behalf of another controller, that controller would likely be violating the GDPR by transferring personal data to Alice. If Alice Inc is a data controller: while this might not be a violation of the Chapter V rules on international data transfers, such a scenario could be argued to be an Art 24 or Art 32 violation instead (requirement to ensure compliance and security). When Alice Inc transfers personal data to data importers, that is less visible to data subjects, and outside of their immediate control. However, when Alice Inc collects data on data subjects, that is more visible to data subjects, in particular through an Art 13 or Art 14 privacy notice. That notice must also contain the identity of the data controller, which would disclose that Alice is US-based, which may enable to data subjects to make more informed choices. This won't help Meta While moving to non-US data processors can be a sensible compliance approach for many companies, it is less useful for multinationals like Meta. In this context, Meta is an Irish data controller who engages platform and development services from an American company. Even if Meta Ireland tries to perform all GDPR-covered processing activities outside the US, it's actual corporate structure situates some processing activities such as administration tasks in the US and other third countries. If my above analysis is correct, it would have been easier for Meta to comply with GDPR if the US-based Meta company were the data controller.
This is a large question, so I'll only put a spotlight on some misconceptions. Why can't Google use legitimate interest instead of consent to serve ads? A data controller such as Google must choose an appropriate legal basis per Art 6(1). But if the legal basis is consent, and the data subject declines or retracts consent, you can't do the processing anyway under legitimate interest instead. It seems that the issue is not that consent was an inappropriate legal basis, but that they decided to use consent and did not collect it properly (see below). However, Google's analysis that they need consent is likely correct. There is an good argument that a website can show first-party ads under a legitimate interest. Google does so as well. But the consent in question is for ad personalization, i.e. on creating detailed profiles on users in order to show more “relevant” ads. For that purpose, Google's legitimate interest would likely not outweigh the data subject's rights and freedoms (compare Art 6(1)(f)). Why might consent be invalid? The GDPR defines consent in Art 4(11) and specifies further requirements in Art 7. The EDPB has issued guidelines 05/2020 and previously WP259 on consent. A core requirement, in addition to the general Art 5(1)(a) transparency principle, is that consent is specific and informed. The user must be informed about the specific purpose for which consent is being asked, and must be able to control consent individually for each purpose. Additionally, consent requires an affirmative action, consent is never the default. The EDPB recommends a layered information approach: in the first information layer, at the point where consent is being asked, the proposed processing activities are summarized. Full details (including all information per Art 13) are provided in a second layer that can be reached via a link. Consent will not be informed if the data subject is required to read the entire privacy policy first. How does the CNIL see Google's approach to consent and transparency? The CNIL asserts that Google failed at every step of a layered information design and failed to obtain valid consent: consent controls were hidden by default, i.e. there was no first information layer consent controls were pre-checked, thus requiring opt-out. That's not how you ask for consent (but might have been alright if Google had used legitimate interest instead). consent is all-or-nothing and not sufficiently granular Google's main information layer is its privacy policy, but it is very general and does not provide sufficiently specific information Google only provides specific information spread across further documents, often 5 or 6 levels deep Could Google rely on Art 6(1)(b) necessity for performance of a contract? If a data subject enters a contract about Google using their data for ads, yes. Otherwise, no. But in practice, necessity for a contract is very similar to consent because the data subject can freely decide whether or not to enter a contract. Even when the legal basis is a contract, the data controller still has an obligation to provide transparent information. Depending on the structure of the contract, a layered approach could be used as well. However, the purposes of processing are ultimately given by the contents of the contract. What about the Ads Data Processing Terms? These terms are not part of the terms of service or the privacy policy that end users agree to. The ads terms are instead part of their B2B offerings.
I don't think you would be responsible for whether your software is used in a GDPR-compliant manner. For GDPR compliance, it is important who the data controller is. The data controller is whoever determines the purposes and means of a personal data processing activity, i.e. the why and how. The data controller alone is responsible for their GDPR compliance. When a data controller wants to run some software, it's the data controller's responsibility to ensure that this software is used in a GDPR-compliant manner (or possibly not at all). Determining purposes and means of processing When someone other than the developer runs a software, the question is who might be a controller: you as the developer, they as the operator, or neither, or both? The operator is clearly a controller: they determine a purpose for data processing (e.g. to manage staff) and have determined means to perform that processing (e.g. to use the software). The developer may or may not be a controller. Clearly, the developer has made choices about how the processing of personal data will be performed, i.e. has determined some means of processing. E.g. the developer has developed a particular architecture, chosen a way to store personal data, and has implemented some security measures. But determining some means is not sufficient to be a data controller, see discussion below. Has the developer participated in determining the purposes of processing? I think this will depend on the specific functionality provided by the software in question. If the software just does what it says and processes the data for the operator's purposes, everything should be fine. If the software also processes data for the developer's purposes, that developer might be a controller. For example, if analytics or crash reports are collected by the developer, that would be a clear indication that the developer would be a (joint) controller. So depending on specific factors, the operator might be the sole controller, or the operator and developer might be joint controllers. Essential vs non-essential means What about the developer determining some means? When does this make the developer a joint controller? The EDPB has created a theory of essential vs non-essential means: 40. As regards the determination of means, a distinction can be made between essential and non-essential means. “Essential means” are traditionally and inherently reserved to the controller. While non-essential means can also be determined by the processor, essential means are to be determined by the controller. “Essential means” are means that are closely linked to the purpose and the scope of the processing, such as the type of personal data which are processed (“which data shall be processed?”), the duration of the processing (“for how long shall they be processed?”), the categories of recipients (“who shall have access to them?”) and the categories of data subjects (“whose personal data are being processed?”). Together with the purpose of processing, the essential means are also closely linked to the question of whether the processing is lawful, necessary and proportionate. “Non-essential means” concern more practical aspects of implementation, such as the choice for a particular type of hard- or software or the detailed security measures which may be left to the processor to decide on. – EDPB guidelines 07/2020 on the concepts of controller and processor in the GDPR, added formatting for legibility Looking through that list of essential means, some might be determined by a software's developer, but I wouldn't expect this to be the case for this kind of open source software. types of personal data: the software certainly sets a framework for processing specific kinds of personal data, e.g. by providing database fields for names, contact details, and schedules. But ultimately, the developer does not control which data is actually collected and filled into those fields – the developer does not cause specific kinds of personal data to be processed with the system. duration of processing: unless the software is programmed with a fixed retention schedule, it should be impossible to argue that the developer has determined the duration of processing. Even then, it would also be the operator who has determined this duration to be appropriate, rather than editing the open-source software to change the duration. But typically, no such retention schedule is enforced, and retention would depend solely on the operator (who can use an admin interface or a database console to erase old records). categories of recipients: typically, the developer does not determine to whom the data in the system will be given. But if the system sends data to third parties by itself, this might change. For example, if the system is pre-configured to store data in an existing cloud database instance, or to a specific analytics server, the developer might be acting as a controller. Here, good software engineering and legal risk minimization coincide. Best practices for web apps state that account credentials and connection strings shouldn't be hardcoded or committed to a repository, and should instead be provided externally (e.g. via environment variables). categories of data subjects: this depends solely on how the software is used. The developer has no way to determine whose data the operator will enter into the system. If the developer isn't a controller, might they be a data processor instead? In a GDPR context, a data processor is whoever processes personal data on behalf of a controller. The developer is clearly not a processor in this scenario because both the “processing” and “on behalf” criteria fail. The developer has no access to the data in the operator's instance, so cannot process the personal data. There is no direct relationship between the developer and the operator. The operator has not delegated authority to the developer so that the developer would be acting “on behalf” of the operator. There is a legal relationship between the two roles (the developer has licensed the software to the operator) but that is entirely irrelevant in a data protection context. The GDPR isn't directly about cookies While the GDPR does cover how personal data can be processed with cookies, the famous “cookie law” is actually separate: those cookie consent requirements stem from EU member state's implementations of the ePrivacy directive. Instead of talking about “controllers”, ePrivacy has concepts such as the “provider of an information society service”. While this role fits perfectly to an operator/provider who runs a web app in a publicly accessible manner, it does not fit a developer who merely makes some source code available. Is the developer even subject to the GDPR? The GDPR can only apply to data controllers and processor who process personal data. As discussed above, the developer is probably not processing personal data at all. Even if the developer were processing personal data, it is questionable if GDPR would apply assuming the developer has no “establishment” in the EU (e.g. an office). Then, the question would be whether those processing activities are either related to offering goods or services to data subjects in Europe, or whether the processing activities involve monitoring the behavior of people who are physically in Europe. Unless the developer is actively targeting European businesses with marketing for this software, the answer is very likely “no”. Could the operator sue the developer for providing software that isn't GDPR-compliant? The operator can sue anyone for any reason, but is probably not going to win. As discussed, the operator is a data controller. They are responsible for ensuring that their purposes and means are GDPR-compliant. That involves selecting suitable software. The data controller would be neglecting their own responsibilities if they just download some random software and start feeding personal data into it. Things might be different if the operator specifically advertises GDPR compliance features but you're not going to do that. It's also worth noting that common open source licenses like the Apache License 2.0 include a warranty and liability disclaimer. To which degree they protect the developer ultimately depends on national laws, but they make it difficult for the operator to make a legal argument that they're entitled to a GDPR-compliant product. See also the related question: Do warranty disclaimers in software licenses carry any legal weight? What can you do? First, don't worry too much. Given how much bad software there is on the internet, surprisingly few developer get into legal trouble for writing source code that's buggy or missing some features. Second, consider choosing a license for your project that includes a reasonable warranty/liability disclaimer. Third, make the state of your project clear in your README file. If someone knows that this is alpha-quality software and that no compliance features were implemented, it's their own fault if they actually use that software.
Showing to police only a copy of a document with a cross on it reading "not associable with any utility or profile of any entity" In Italy, if I am asked by police for an ID or driving license, would it be lawful to give them a copy of the document (ID or driving licence) crossed and written over with "not usable for utility opening, subscription or any kind of profile"? I'm asking because a series of events and power abuses towards me made me think to take these extra-precautions, and I fear my IDs might be taken picture of with one excuse or another and used to open any account or utility of any sort and facing the consequences afterwards.
Official identity documents have security features that would be missing from a copy. When a government agency is entitled to check your documents, they are also entitled to check the security features of your documents. Think about it -- if you could get away with handing over a copy, then someone else could hand over a photoshopped copy with your name in it.
Police can lie However, in the United States they have to read you your Miranda warning (most other democratic countries have similar warnings): You have the right to remain silent. Anything you say can be used against you in court. You have the right to talk to a lawyer for advice before we ask you any questions. You have the right to have a lawyer with you during questioning. If you cannot afford a lawyer, one will be appointed for you before any questioning if you wish. If you decide to answer questions now without a lawyer present, you have the right to stop answering at any time. They have told you everything they are required to tell you - effectively “we are not on your side.” After that, they can lie their asses off. Of course, they wouldn’t ask you for a DNA sample - they’d ask you if you’d like a glass of water. Then they’ll take the DNA from that.
Chain of custody and testimony in this regard. Say there is a murder victim, with DNA of the suspect under the fingernails and a knife with the suspect's bloody fingerprints stuck in the chest. There would be testimony what happened to the knife. If a paramedic removed it to attempt first aid, the paramedic would testify. So would the officer who bagged it, and the forensic analyst who took the fingerprints. A pathologist would testify if the knife was consistent with the stab wound (a careful pathologist could never swear that the knife was the cause of death, just that it matches). The pathologist would also testify how DNA was collected under the fingernails, and how it was sent to the lab. The defense may claim that the suspect also tried first aid, or that a corrupt cop forced the suspect to hold the knife. The court or jury then draw their conclusions from this and other testimony. Same here. A lifelike picture found on the web proves nothing. A witness who takes the stand to testify that he or she took a certain picture would be more credible. So would a forensic officer who testifies how she or he removed the data from a surveillance camera, checked for common signs of tampering, and then signed a copy of the data with a private key. (The signing shows no third-party tampering after collection, it is not evidence of integrity before that.) Years ago, in germany, there was the case of a bank robber who claimed that a fleeing suspect had handed him a bag of money in the forest and then vanished. "Prove it wasn't so," he demanded. "You can't. So there is reasonable doubt." Well, the court found that the statement merely created unreasonable doubt, and the sentence was upheld on appeal.
I cannot speak for civil law systems (Germany) but in Common Law (UK, USA) systems the law looks at substance rather than form. So: Am I allowed to undo the word-wrapping of all the texts and unindent them, as well as performing a new word-wrap on them? Yes Do I have to make sure that it is readable for everyone on every device, and do I have to make sure that accessibility interfaces are used (e.g. for blind persons, which aren't even the target group of my software)? If they are licences (rather than contracts) they must simply be available; this does not mean universally available. Do I have to make sure, that if my application wouldn't even start correctly on a device, that the user is able to start the application in an impossible, absurd, magic or religious way to ensure that he can read the legal texts or is it enough to state it on the website then? It depends if you want the licences to be enforceable by you on the users or if you are simply complying with your disclosure obligations. See What if the user disagreed with the Terms of Service, but still registered on a website?. Do I have to make sure that the rendering of the licenses/privacy policy/impressum is performant (e.g. text rendering and refresh after scrolling takes less than a second)? I already have to include two external libraries with my software to display the texts, otherwise it would not be possible to display texts at all. No - make them wait if you want.
Possibly: remember that we have 50 different states and their laws plus the federal government. Alabama criminal code §13A-9-9 define the crime of "possession of a forgery device", which is when one makes or possesses with knowledge of its character any plate, die or other device, appliance, apparatus, equipment or article specifically designed or adapted for use in forging written instruments with intent to use it himself, or to aid or permit another to use it for purposes of forgery. Selling is covered under the fact of possession. Arizona has a similar law, referring to the situation when a person Makes or possesses with knowledge of its character and with intent to commit fraud any plate, die, or other device, apparatus, equipment, software, access device, article, material, good, property or supply specifically designed or adapted for use in forging written instruments. Makes or possesses any device, apparatus, equipment, software, access device, article, material, good, property or supply adaptable for use in forging written instruments with intent to use it or to aid or permit another to use it for purposes of forgery. Federal law would be covered here: §474 covers any plate, stone, or other thing, or any part thereof, from which has been printed, or which may be prepared by direction of the Secretary of the Treasury for the purpose of printing, any obligation or other security of the United States, uses such plate, stone, or other thing, or any part thereof, or... but this could not be reasonably interpreted to include a printing press, and would not cover a gadget that forges passports (Dept. of State, not Treasury). There isn't a federal statute with the breadth of the Alabama law. Any such law would have to include an "intent to forge" element.
From a US perspective, in a word, "no". Firstly, "presumption of innocence" is in a trial, not in police interactions. Being arrested does not violate the presumption of innocence. Police do not need any reason to interact with you or ask you questions. Police can arrest you if they have probable cause to suspect you have committed a crime, but this is not always necessary. More on this later(in the fourth section). Secondly, I wouldn't describe requesting to see your ticket, or any document as a "violent communication", in general. It may be rude or insulting, but not violent. (Also "violent communication" is not a legal term. The closest legal terms, verbal assault and threatening communication, are also not this.) More over, there is no indication of am implication of lying in this request. Thirdly, there are many situations in which possessing a document or credential is not sufficient; one must legally display or present them upon request. For example, multiple occupational licenses such as liquor licenses and barber/cosmetology licenses require that the licenses be prominently displayed; whereas, in California at least, a vehicle driver on a public road must not only possess their driver's license and proof of insurance, they must produce them upon the request of any law enforcement officer (Source: https://www.dmv.ca.gov/portal/dmv/detail/pubs/brochures/fast_facts/ffvr18). Fourthly, there are situations in which you can be legally searched and questioned without reasonable suspicion. Examples of this include boarder searches and sobriety checkpoints. Sources: (US Supreme Court rulings): https://en.wikipedia.org/wiki/United_States_v._Martinez-Fuerte; https://en.wikipedia.org/wiki/Michigan_Department_of_State_Police_v._Sitz A note on sources: bdb484 and I have opposing court case sources. My sources have binding precedent over all courts in the US, save the US Supreme Court, whereas theirs don't have any binding precedent, but are more directly on-topic.
Let's break it apart: The police has an union or charity. That's legal in most jurisdictions. The union or charity accepts donations from non-police. Also legal in most jurisdictions. The union communicates who the donors are. Generally legal in most jurisdictions. Keeping it secret would be just as problematic. Police officers have some discretion if and how they charge incidents. That's just common sense. Otherwise you get cases like 8-year-olds being arrested. (You get those anyway when the police don't use their discretion, or if the laws are too rigid.) Police officers let themselves be influenced by the donor card in how they apply their discretion. That's usually illegal on the part of the police officer. The Brits use the catchphrase 'without fear or favour.' But it is difficult to prove, even if it is systematic. The union issues donor cards to facilitate the effects of the previous bullet point. That sounds at the very least unethical. Some might argue that it is organized corruption. On the other hand, you can assume that the police unions have some decent lawyers on staff, and that they made sure that the words on their cards are not blatantly illegal in the jurisdiction in question. It might take something like a whistleblower, a sting operation, or an internal affairs investigation to prove corruption.
There's a legal issue, and a practical issue. If you witness a crime, you can inform the police and something may happen. The FBI does actually investigate criminal copyright infringement, but they also don't respond to concerned-citizen complaints, only complaints of copyright holders (and not all of them). You cannot use DMCA takedown to get the service provider to remove the content (or shut down the site, or whatever would be necessary), since only the copyright holder can make the required sworn statements. So you have no legal recourse. A practical solution is to tell Google. This link could have been a way to inform them, but it seems to always resolve to identifying plausible DMCA takedown requests, and if you truthfully answer the "are you the copyright holder" question, you are told to go away. Even if you lie at the preliminary stage, the procedure ends with you making a sworn statement, and you can't lie on one of those. This information might allow you to send them a letter, which they might read. They might simply not consider it worth their time.
Dormitory Firearm Posession at Louisiana Public School I'm a student at a public university in Louisiana, and I was reading up on the state's firearm law in order to be sure I could legally keep such a weapon for defense in my apartment, which is extremely close to campus (D.C. v. Heller should theoretically have me covered, but I'm hardly in a position for a legal battle at the moment...). However, reading the statute, I was surprised to read the following in RS 14:95.2 C. The provisions of this Section shall not apply to: ... (4) The possession of a firearm occurring within one thousand feet of school property and entirely on private property, or entirely within a private residence. (5) Any constitutionally protected activity which cannot be regulated by the state, such as a firearm contained entirely within a motor vehicle... (8) A student who possesses a firearm in his dormitory room or while going to or from his vehicle or any other person with permission of the administration. The 4th exception seems to vindicate my current arrangement, and the 5th to permit my automotive transport of the firearm along the roads on campus. However, the 8th appears to be explicitly contradicted by policies I was informed of when living on campus, alongside signage posted liberally at campus entry roads and residential parking lots. The (to my mind, patently absurd) standard in the "Living On Campus Handbook" is Weapons Possession and use of firearms (including but not limited to air pistols, BB guns, and paint guns), facsimile weapons, ammunition (including but not limited to empty/spent shell casings), explosives, fireworks, knives (other than kitchen utensils), or dangerous weapons is prohibited in or around Residential Life properties. Is there some other source of legal authority legitimating the university's actions that I ought to be aware of? If not, what might the correct legal remedy be to ensure administration's compliance with the statute? I suppose I no longer have any standing, even if I were in a position to raise the issue. A perhaps more pressing meta-law question: is there a better way to see all statutes that modify a given statute, or to see the state of all regulations as they stand, i.e. can I git clone the laws I'm currently subject to rather than sifting through all the patches in the commit history?
RS 14:95.2 applies to everyone, and defines a particular kind of crime. The housing contract overlaps that law in a small way: the legislature did not make it a crime for a student to possess a firearm in his dorm room. But the university makes it a lease condition, in the same way that having a pet is not a crime, but is grounds for terminating the lease.
With respect to disciplining its students and employees, a private school can basically do whatever it wants. There's more freedom to do so with respect to students than with employees, who have greater protections derived from anti-discrimination laws, collective-bargaining agreements, and the like. If a private school wants to impose a No Burger Tuesdays and a complete ban on political activity, that's probably going to be permissible. The First Amendment will protect the school's right to associate with only those who meet its standards, as absurd as those standards may be. Again, there are exceptions to this rule, like Title IX, which requires equal educational opportunities regardless of sex, but they don't have much bearing on your question. Even for a public school, there will be quite a bit of latitude here, because these rules don't actually regulate off-campus conduct. If a student wants to attend an off-campus public gathering, the campus police aren't going to lock him in his room or arrest him for leaving campus. The rule is simply that if you attend a public gathering off campus, you may not come back on campus afterward to threaten the lives of your classmates.
Defendant's girlfriend should produce the copies of the recording to police, the prosecutor, and the defense attorney. Possession of the recording should induce the police and prosecution to at least re-evaluate the charges against Defendant, as Defendant would be able to subpoena the gun's owner to testify about the purchase and then use the recording to impeach him if he then denies owning the gun. It is unclear, though, whether the audio actually has any value because we don't know what charges Defendant is facing. If he's charged with unlawfully owning a gun, the recording would likely be quite helpful; if he's charged with unlawfully transporting a weapon, the recording's value would probably depend on whether the law in question outlaws "knowingly" transporting a weapon or "negligently" transporting a weapon, or transporting a weapon regardless of whether he knew about it.
The legal definition you are probably looking for is machinegun rather than automatic weapon. It can be found in 26 U.S. Code § 5845, which in relevant part says: The term “machinegun” means any weapon which shoots, is designed to shoot, or can be readily restored to shoot, automatically more than one shot, without manual reloading, by a single function of the trigger. The term shall also include the frame or receiver of any such weapon, any part designed and intended solely and exclusively, or combination of parts designed and intended, for use in converting a weapon into a machinegun, and any combination of parts from which a machinegun can be assembled if such parts are in the possession or under the control of a person. Historical notes; TLDR The core of this definition dates back to the 1934 National Firearms Act (NFA) . The legislative history of that act includes testimony of Karl. T. Fredrick in front of the house ways and means committee. Mr. Fredrick, then president of the National Rifle Association (NRA), had devoted years to the study of earlier firearms legislation. He criticized earlier legislative attempts to define machine guns, calling them wholly inadequate. The earlier legislative definition was: "Machine gun", as used in this Act, means any firearm which shoots automatically more than twelve shots without reloading. Mr. Fredrick expressed several concerns with this definition, particularly with regard to the phrase more than twelve shots without reloading. His propoed language was substantially broader: A machine gun or submachine gun, as used in this act, means any firearm by whatever name known, loaded or unloaded, which shoots automatically more than one shot without manually reloading, by a single function of the trigger. Note that neither of the later two quotes is current. Thus the core of the definition used today, was in fact provided by an officer of the National Rifle Association, but that definition has been changed in the process of clarifying and codifying the law.
Shapiro v. Thompson was overruled in part by Edelman v. Jordan, 415 U.S. 651 (1974). See the Wikipedia article. In Vlandis v. Kline, 412 U.S. 441 (1973), the court notes and did not object to durational residence requirements imposed by states to qualify for the benefits of lower university tuition. In Vlandis the Court wrote: Like many other States, Connecticut requires nonresidents of the State who are enrolled in the state university system to pay tuition and other fees at higher rates than residents of the State who are so enrolled. Conn. Gen.Stat.Rev. § 1329(b) (Supp. 1969), as amended by Public Act No. 5, § 122 (June Sess.1971). The constitutional validity of that requirement is not at issue in the case before us. What is at issue here is Connecticut's statutory definition of residents and nonresidents for purposes of the above provision. ... The appellees do not challenge, nor did the District Court invalidate, the option of the State to classify students as resident and nonresident students, thereby obligating nonresident students to pay higher tuition and fees than do bona fide residents. The State's right to make such a classification is unquestioned here. Rather, the appellees attack Connecticut's irreversible and irrebuttable statutory presumption that, because a student's legal address was outside the State at the time of his application for admission or at some point during the preceding year, he remains a nonresident for as long as he is a student there. This conclusive presumption, they say, is invalid in that it allows the State to classify as "out-of-state students" those who are, in fact, bona fide residents of the State. ... It may be that most applicants to Connecticut's university system who apply from outside the State or within a year of living out of State have no real intention of becoming Connecticut residents, and will never do so. But it is clear that not all of the applicants from out of State inevitably fall in this category. Indeed, in the present case, both appellees possess many of the indicia of Connecticut residency, such as year-round Connecticut homes, Connecticut drivers' licenses, car registrations, voter registrations, etc.; and both were found by the District Court to have become bona fide residents of Connecticut before the 1972 spring semester. ... In sum, since Connecticut purports to be concerned with residency in allocating the rates for tuition and fees in its university system, it is forbidden by the Due Process Clause to deny an individual the resident rates on the basis of a permanent and irrebuttable presumption of nonresidence when that presumption is not necessarily or universally true in fact, and when the State has reasonable alternative means of making the crucial determination. ... Our holding today should in no wise be taken to mean that Connecticut must classify the students in its university system as residents for purposes of tuition and fees just because they go to school there. Nor should our decision be construed to deny a State the right to impose on a student, as one element in demonstrating bona fide residence, a reasonable durational residency requirement, which can be met while in student status. We fully recognize that a State has a legitimate interest in protecting and preserving the quality of its colleges and universities and the right of its own bona fide residents to attend such institutions on a preferential tuition basis.
Only in California. The First Amendment provides a student essentially no protection from discipline by a private university. Manhattan Cmty. Access Corp. v. Halleck, 139 S. Ct. 1921, 1928 (2019) ("The text and original meaning of those Amendments, as well as this Court's longstanding precedents, establish that the Free Speech Clause prohibits only governmental abridgment of speech. The Free Speech Clause does not prohibit private abridgment of speech."); Vaynberg v. Seton Hall Univ., No. CIV.A. 09-4999 FSH, 2010 WL 4510904, at *5 (D.N.J. Oct. 26, 2010) ("In order for the First Amendment to apply, the challenged conduct must be deemed 'state action.' Seton Hall is a private, Catholic university. ... Because there is no evidence from which a reasonable fact finder could conclude that Seton Hall's conduct relevant to this lawsuit was “state action,” Seton Hall is entitled to summary judgment.") Some states, however, have passed laws requiring private schools to provide some of the protections of the First Amendment. The most robust of these is California's Leonard Law, which essentially requires private schools to adhere to the First Amendment. Other states also recognize some measure of free-speech rights for students at private institutions. For instance, both the Pennsylvania and New Jersey supreme courts have held that their state constitutions' free-speech clauses (which, unlike the First Amendment, say nothing about the government) protected peaceful protesters who distributed leaflets on the campuses of private colleges.
As far as I am aware there is no prohibition against bartering firearms in general. This would be an odd prohibition since it is legal to gift and lend firearms. However, some of your situations change this. could I legally manufacture and exchange a firearm If you manufactured a firearm with the intent to sell you would be required to have an FFL. If this was a one-off sale of a firearm you manufactured at some point in the past for personal use this can be legal without an FFL. There are some additional requirements for the transfer. No party is a known criminal It is illegal to sell or give a firearm to someone you know to be a prohibited possessor. Not all criminals are prohibited from owning firearms, but this helps keep you safe. No party inspects the ID of the other or performs a background check This is state dependent. Some states make you go through an FFL for all transfers, others are much less strict. New Hampshire does not require private sales to go through an FFL if you know the buyer personally. Each party is known to be or appears to be old enough to own a firearm legally This is required for your scheme to be legal. One party barters regularly in this manner using firearms and firearm components This person is now engaged in the business of selling firearms and must be a registered FFL and jump through all the corresponding hoops. No party is licensed to sell firearms Not typically required, unless you do this in a regular basis.
She has no legal right to your stuff, and every legal right to the apartment. The only way adjudicate such a conflict of rights is with a restraining order. A temporary order would expire in 3 weeks. Item 14 in the petition requests exclusive use, possession, and control of the property. However, that path of restraints is tailored to domestic violence, so item 27 has you describe the alleged abuse: Abuse means to intentionally or recklessly cause or attempt to cause bodily injury to you; or to place you or another person in reasonable fear of imminent serious bodily injury; or to harass, attack, strike, threaten, assault (sexually or otherwise), hit, follow, stalk, molest, keep you under surveillance, impersonate (on the Internet, electronically or otherwise), batter, telephone, or contact you; or to disturb your peace; or to destroy your personal property. Note that the description refers to destroying your personal property, not pawing through it. It's really impossible to know if the judge will exercise his discretion to include "reasonable fear of destruction (or theft) of personal property", since the ex-roommate has no further interest in the apartment. There is an alternative path of a harassment restraining order, which does not require a defined domestic relationship (such as ex-roommate), where "harassment" is violence or threats of violence against you, or a course of conduct that seriously alarmed, annoyed, or harassed you and caused you substantial emotional distress. A course of conduct is more than one act and that seems even less likely.
Inferring grammatical order of operations in US immigration forms In mathematics and programming, there exist "order of operations" standards for interpreting expressions. Does something similar exist in US government documents? In particular, I am wondering about seemingly ambiguous instructions in Form I-130 (Petition for Alien Relative) from US Citizenship and Immigration Services. It states: You have to prove that there is a family relationship between you and the beneficiary. If you are filing for a relative listed below, submit the following documentation to prove the family relationship. A. A spouse (1) A copy of your marriage certificate; (2) If either you were or your spouse was previously married, submit copies of documents showing that each of the prior marriages was legally terminated; and (3) You must submit two identical color passport-style photographs of yourself and your spouse (if he or she is in the United States) taken within 30 days of filing this petition. The photos must have a white to off-white background, be printed on thin paper with a glossy finish, and be unmounted and unretouched. The two identical color passport-style photos must be 2 by 2 inches. The photos must be in color with full face, frontal view on a white to off-white background. Head height should measure 1 to 1 3/8 inches from top of hair to bottom of chin, and eye height is between 1 1/8 to 1 3/8 inches from bottom of photo. Your head must be bare unless you are wearing headwear as required by a religious denomination of which you are a member. Using a pencil or felt pen, lightly print your name and A-Number (if any) on the back of the photo. [It goes on to list other documentation that should be provided, if available, to help "prove you have a bona fide marriage."] Does this mean "(two identical color passport-style photographs) of yourself and your spouse" or "two identical color passport-style photographs of (yourself and your spouse)"? In other words, does this describe two identical photos of each person, for a total of 4 photos? Or is this two identical photos, in which both people appear together, for a total of 2 photos? And, more generally, are such seeming ambiguities common in official documents?
Law is not science or math or solid logic. However - “The two identical color passport-style photos” makes it clear that for each person in question there are two identical photo documents. External to this passage is the background knowledge of what passport and other identification photos are like. They show an individual. And, the photos are not to prove your relationship, but are a way to connect the people on the documents with the faces of the people in question.
1: What's the correct process to get a restraining order? The police aren't involved in the formal process, although sometimes people go to the police and are told that they have to go to a judge instead. The aggrieved plaintiff presents an ex parte affidavit or makes statement in person under oath to a duty judge (who often asks clarifying questions). If this statements states a basis for a protection order one issues with a prompt return date (a week or two). At the return date the order either becomes final if the defendant doesn't show up, is vacated if the plaintiff doesn't show up, or is tried in an evidentiary hearing if both show up. Of course, a court order is ultimately just a piece of paper and there is no legal recourse against the government if they don't successfully stop the person restrained from doing something. Also enforcement of restraining orders was a lot more lax in 1987 than it is today, and men asking for restraining orders were taken less seriously then, than they are now, by most judges. 2: Can Dan keep his adultery secret during that process? Not really. In the initial ex parte hearing, Dan can probably tell the story artfully in a way that hides the adultery, but in the adversarial hearing, if there is one, the other side (or their lawyer) can ask him under oath about the affair and he has to answer truthfully in a public court hearing setting. 3: Is it plausible that Dan's family and friends don't learn about that process? Yes. Unless he's famous enough to make the newspapers (which in a decent sized city is pretty famous), and if he initiates the process, the only person who gets formal notice before the order issues is the court, and if the court issues the initial order, the only person who gets notice is the defendant. If Dan doesn't call family or friends as witnesses and don't tell his workplace why he's at court, nobody is told. It isn't a secret. It's a matter of public record that could be subsequently discovered at any time. But there is no active means of notification of friends and family in the short term. Realistically, Dan might ask a cop or a lawyer what to do, get accurate or inaccurate information, and decide not to pursue it for fear of creating sworn proof of his affair at a hearing. Cops love to provide legal advice that they aren't qualified to dispense. Dan's concern is particularly relevant because this happened in New York State in 1987 when New York State didn't have no fault divorce at the time, and the outcome of divorce proceedings on the merits for property division and alimony and custody would have been heavily influenced by marital fault in the divorce case. Revealing an affair under oath as he might have been required to do at a hearing would have crushed him in a subsequent divorce outcome if his wife found out and decided to divorce him.
The first question would be whether those papers are indeed "legit", and we don't do product reviews. Assuming the company didn't mess up and she was legally served, the next question would be whether she responded (in the legal sense) or not. If she failed to respond at all within 21 days (add 9 days if she is out of state), then your next step would be to file default divorce paperwork (presumably that's covered in the service you paid for). If she agreed to the divorce and the courts knows that, then you file some more paperwork and she doesn't have to show up to anything. If she disagreed, there will be an "answer" and possibly a counterpetition. There is an exchange of paperwork w.r.t. assets, a mandatory mediation stage, more paperwork, disclosures etc. and a pre-trial conference, followed by a trial. If you are at this stage, attendance is mandatory. As long as you have proof of service, nobody requested a postponement, and there is some evidence to support your claim, a default judgment can be issued. It's not clear what "divorce proceeding" you are referring to that involves her attendance. However, you can file divorce paperwork yourself or using an online service, and using an online service does not render the paperwork illegitimate. It's not guaranteed that the service did what would be necessary for you to get the outcome you desire, but that's beyond the scope of what we can tell you.
In a landmark document-production case, Fisher v. United States, 425 U.S. 391, it was held that The Fifth Amendment does not independently proscribe the compelled production of every sort of incriminating evidence, but applies only when the accused is compelled to make a testimonial communication that is incriminating ... A subpoena served on a taxpayer requiring him to produce an accountant's workpapers in his possession without doubt involves substantial compulsion. But it does not compel oral testimony; nor would it ordinarily compel the taxpayer to restate, repeat, or affirm the truth of the contents of the documents sought. Therefore, the Fifth Amendment would not be violated by the fact alone that the papers, on their face, might incriminate the taxpayer, for the privilege protects a person only against being incriminated by his own compelled testimonial communications...The taxpayer cannot avoid compliance with the subpoena merely by asserting that the item of evidence which he is required to produce contains incriminating writing, whether his own or that of someone else. By way of background (and as cited by the Fisher court), Schmerber v. California, 384 U.S. 757 where the accused was intoxicated and blood was drawn involuntarily, the court held that The privilege against self-incrimination is not available to an accused in a case such as this, where there is not even a shadow of compulsion to testify against himself, or otherwise provide the State with evidence of a testimonial or communicative nature. In other words, the self-incrimination clause is about actual testimony, and not other physical acts (such as fingerprints, DNA, records) which are used as evidence of guilt.
(Assuming the jurisdiction is the US.) Your question I was wondering whether there are any limitations on using photos of private individuals on websites. is the least of your potential problems. Photos of the public taken in public are mostly legal to use and publish, and you own the copyright on the photo, and generally don't need a model release. But your plan of posting the photo with accompanying information about (alleged) fraud: There's a fraud conducting business in my state and I want to create a website that warns others of his fraudulent practices. is potentially legally problematic. As phoog indicates in his comment, you need to be aware of defamation, both at the federal level and among states, as some have criminalized defamation (Wikipedia). Libel is the publication of provably false facts by one person about another person. For a full outline of defamation (libel and slander, and including private and public figures), see Libel and Slander | Nolo.com. What you want to do is publish "facts" about this alleged fraud on the website with a photo of the individual, linking the fraud allegations to them. That is potentially libelous. The facts of the fraud may be provably true, or they may be provably false; that remains to be seen. But the facts don't matter when considering what actions the person can take against you if you publish such information on your website. If this business and the individual(s) feel they are not committing fraud, they can sue you for libel in civil court, alleging that you have damaged their reputation and impacted their business by publishing those facts on your website with the photo identifying the person and their business. If they take legal action, and you can prove the business and the individual(s) are committing fraud with provable facts - hard evidence of fraud, such as legal documents and court judgments - than you should (no guarantees) be able to successfully defend yourself in a libel suit brought against you by that person. Even if the business and the individual(s) are aware of facts that prove their fraud, and know they will probably not prevail in court, they can still take you to court, and it will cost you whatever time and money it takes to defend yourself. My responses above concern what legal actions the alleged could take against you if you published the website with the photo and information about the alleged fraud. No one here is advising you to put up the website with the photo and the "facts" as you see them, even if you have hard proof of the facts of the fraud; you should find legal representation before taking any action with the website. And, no one here is advising you to open any legal action against the person; that's your choice in terms of determining your case and if you can show actual harm that was caused by the alleged fraud by the individual, and you should find legal representation before taking any action.
In a typical divorce proceeding, both sides are required to provide a sworn statement of their finances, and to respond to written interrogatories, produce documents (e.g. financial statements made in loan applications, balance sheets, tax returns, bank statements, and copies of deeds and certificates of title and stock certificates) and be deposed in pre-trial discovery proceedings. Divorce lawyers have the authority to subpoena third-party records custodians and to take a small number of depositions of third-party witnesses prior to a permanent orders hearing and can usually get permission to take more if there is evidence suggesting that it would be fruitful to do so. There are a variety of sanctions that may be imposed for failure to cooperate, including adverse inferences regarding the facts that would have been disclosed if there had been disclosures in the discovery process. Still, it behooves a client to know as much as possible before commencing the process, since having lawyers gather this information during the course of divorce litigation is expensive and isn't always perfect. Where misconduct is suspected, a spouse's lawyer will typically retain forensic accountants and/or private investigators and will compare bank and accounting and tax records with other public records such as real property records, corporate records and tax filings. Unless an asset has produced no income or expenses flowing through a personal or business account, it will usually show up somewhere. Spouses will also often have familiarity with where to look based upon living with a spouse and often will have obtained copies of relevant correspondence or documents to provide a lead - perhaps a letter asking a spouse to fill out corporate paperwork or receipt from a foreign bank account. This investigation process (collectively called discovery) usually takes place between the filing for a divorce and the half year or more later when a permanent orders hearing is held. Often, in complex cases and cases where there is a likelihood that assets have been hidden, the final hearing will be set later after the original filing than it would otherwise be, and the planned hearing will be longer in light of the evidence that will need to be produced at that time. In my state, a spouse has up to five years after a divorce to reopen a proceeding is undisclosed assets are discovered. It isn't impossible to hide assets in a divorce, but it isn't easy either.
New Jersey has jurisdiction under N.J.S.A. 2A:34-10 provided that at the time the cause of action arose, either party was a bona fide resident of this State, and has continued so to be down to the time of the commencement of the action; except that no action for absolute divorce or dissolution of a civil union shall be commenced for any cause other than adultery, unless one of the parties has been for the 1 year next preceding the commencement of the action a bona fide resident of this State; (which if you undo the contorted writing, mean one of you must be a resident for a year, except if the cause is adultery). Under this scenario, the wife did not continue to be a resident of NJ, so it is crucial that the husband be a bona fide resident. The problem is that there is no general law defining residency for all legal purposes, instead, residency is defined on a law-by-law basis (or, not defined). 52:14-7 which imposes a residency requirement on state employees says that a person may have at most one principal residence, and the state of a person's principal residence means the state (1) where the person spends the majority of the person's nonworking time, and (2) which is most clearly the center of the person's domestic life, and (3) which is designated as the person's legal address and legal residence for voting. The husband is apparently an NJ resident under (1) and probably (2), and possibly (3). It would not matter whether he was living in that particular house, the question was whether he was living in the state (presumably yes since otherwise you would have said "he moved out of the state"). Voter registration, another measure of residency, requires 30 days living in NJ (and is itself proof of residency). Another way of determining residency is via state income tax. You are a full time resident if New Jersey was not your domicile, but you maintained a permanent home in New Jersey for the entire year and you spent more than 183 days in New Jersey or New Jersey was your domicile for the entire year, as long as it's not the case that You did not spend more than 30 days in New Jersey You did maintain a permanent home outside New Jersey You did not maintain a permanent home in New Jersey Under tax law, the husband is a resident. Failure to get an NJ license is itself against the law, so that would not be a valid argument that the husband is not a resident. Owning a business in another state also does not negate residency.
Short answer: You find a country who is willing to recognize you as stateless, and issue you travel papers. At that point you can enter the U.S. by applying for a visa. The USA really does not want to create stateless people. They are laboring diplomatically to eradicate statelessness. As such, the State Department will want to see that you are secure in another country's citizenship before they will repudiate your US citizenship. Otherwise, they are very reluctant. The State Department will insist you do the repudiation in a foreign country at a US embassy. If you want to become stateless with your feet in the United States, you'll likely have a legal fight on your hands. Regardless, it will cost you $2300 in filing fees (plus, all your back taxes) :) At that point, you become the problem of the foreign country. You aren't anyone to the USA, and you have to apply for a visa just like anyone else. When a stated person enters the US, immigration's pivotal concern is whether you'll leave the US consistent with the terms of your visa, i.e. return to your country of citizenship. Being stateless increases this risk, and being a USA expat increases that risk further, since you are so familiar and comfortable in the US. If you found yourself in the kind of piccadillo that would qualify a foreigner for refugee or asylum status, the US would consider it just the same as others, since those statuses include right of residency. Some countries manufacture stateless people, e.g. Syria will not grant citizenship to a non-Muslim born there.
Why is *hereditary* citizenship status not considered a title of nobility under U.S. law? Being a citizen grants clear rights and privileges in the U.S. While citizenship can be granted by birthplace (14th Amendment), it is also granted to the child of a citizen with very lax conditions. Excluding the question of geographic location, the hereditary nature of citizenship seems to be in glaring contrast to other U.S. founding ideals. In Ancient Rome, for instance, being a citizen was more akin to being a nobleman. Similar to our current system, Romans could earn citizenship through service - usually militarily. Given that citizenship carries so much weight and is clearly hereditary in the U.S., why is it not considered as a title of nobility? While it does not indicate a British rank, it certainly indicates social rank. If all men are created equal, then why should this distinction exist?
The granting of citizenship is expressly recognized in multiple places in the US Constitution. It would be incoherent if the prohibition on titles of nobility meant that the US could not confer citizenship on people. It would also be totally out of sync with any public understanding of "titles of nobility" at the time of the framing or today. The US has conferred citizenship by parentage to children born abroad since 1790, which is further indication that the nobility clause was not understood to preclude citizenship by parentage. The concern behind the nobility clauses was the creation of "super-citizens." As Joseph Story wrote in his Commentaries on the Constitution at Vol. 3, p. 215: [the nobility clause] seems scarcely to require even a passing notice. As a perfect equality is the basis of all our institutions, state and national, the prohibition against the creation of any titles of nobility seems proper, if not indespensible, to keep perpetually alive a just sense of this important truth. Distinctions between citizens, in regard to rank, would soon lay the foundation of odious claims and privileges, and silently subvert the spirit of independence and personal dignity, which are so often proclaimed to be the best security of a republican government. He cited Federalist No. 84, in which Alexander Hamilton wrote: Nothing need be said to illustrate the importance of the prohibition of titles of nobility. This may truly be denominated the corner-stone of republican government; for so long as they are excluded, there can never be serious danger that the government will be any other than that of the people. The worry was that titles of nobility would undermine the republican system of government. I also question your premise that citizenship is "clearly hereditary in the U.S." As you say, the 14th Amendment guarantees citizenship to those merely born in the US and subject to its jurisdiction. For the vast majority of U.S. citizens, citizenship is based on their place of birth being in the U.S. Knowing that somebody is a citizen tells you nothing about their heritage.
This is weird. Within the EU, a passport is proof of identity, and it is also proof that you are allowed to take a job in the EU. There is nothing that a birth certificate would add to this. Either the bar manager is badly misinformed, or he doesn't want to give your brother a job, and will come up with something even more ridiculous if he gets the birth certificate.
It is illegal to discriminate on the basis of "national or ethnic origin" This is spelled out in the Canadian Human Rights Act s3(1). However, a person's citizenship is something that can (must) be discriminated on. Unless it is being used as a proxy for "national or ethnic origin". Right to work in Canada To be allowed to work in Canada, person must be a: Canadian citizen (including dual-nationals), non-Canadian citizen and hold a work-permit, non-Canadian citizen and be doing exempt work. So, an employer asking about citizenship to determine eligibility is fine. An employer asking to discriminate in favour of group 1 over group 2 or 3 is not.
There are two approaches to determining citizenship: where you are born (jus soli – this holds in the US), and who you were born to (jus sanguinis – the case in India). There are mixes of these systems, such as where a person born to an American but not in the US is still an American citizen (e.g. Ted Cruz). Canada allows Canadian citizenship to be inherited outside Canada by 1 generation, so a child born outside Canada to Canadian parent born in Canada is a Canadian citizen. A child born outside Canada to Canadians born outside Canada is not a Canadian citizen. If that child is born in India and the parents do not have dual citizenship, the child is stateless because at least one parent has to be Indian to acquire Indian citizenship at birth. There are various exceptions to the generalization about only revoking citizenship with dual nationals. In 1962, about 20% of the Kurdish population in Syria had its citizenship revoked. Albert Einstein was stateless for 5 years, after he renounced his (German) Baaden-Württemberg citizenship. There is no law in the US that prevents you from renouncing your citizenship, there is simply a particular formality that has to be followed. Wikipedia names a half-dozen US citizens who relinquished their US citizenship and had no other citizenship (thus were stateless). The Japanese Nationality Law limits dual citizenship and requires children to make a decision at age 22. Iran, however, prohibits renunciation of citizenship to the offspring of an Iranian male (it is automatically assigned to the child). A Japanese-Iranian child born (in Japan) to an Iranian father would might seem to have to become Iranian; but apparently Japan requires you to perform the act of renouncing, and does not require that the other country recognize the renunciation. The point is that renouncing citizenship involves the laws of two countries: the country that you renounce may or may not accept the renunciation, and the country that you renounce in favor of may or may not accept the renunciation. Section 10 of the Norwegian Nationality Law exemplifies a further variation in concepts of renunciation as part of gaining Norwegian citizenship, and statutorily acknowledges the problem or countries not allowing citizens to renounce citizenship. There is a requirement of naturalization that "the applicant must be released from any other nationality before the application may be granted", which also allows that it's okay if you can be so released after being granted Norwegian citizenship: or, ultimately, "An exemption may be granted from the requirement regarding release if release is deemed to be legally or practically impossible or for other reasons seems to be unreasonable". (The law in Norwegian is here: a Norwegian lawyer would be better able to comment on the interpretation of the text, but my reading of the law, especially the requirement to be "løst fra annet statsborgerskap", specifies the realized result of being released, and not the act of renunciation, hence "release" in the translation). If a person has dual US-Ukrainian citizenship, they might symbolically renounce their Ukrainian citizenship to avoid an expected revocation of US citizenship and deportation to Ukraine. But the US has no law that says that it must recognize the renunciation of a foreign citizenship. Canada and Australia do not allow you to renounce your citizenship if it would result in statelessness, but not all countries have such a requirement. See for instance sect. 9 of the Citizenship Act of Canada: Subject to subsection (2.1), a citizen may, on application, renounce his citizenship if he (a) is a citizen of a country other than Canada or, if his application is accepted, will become a citizen of a country other than Canada... There is, however, no specific law that compels Canada to recognize a person's renunciation of some other country. So whether the described strategy would have any effect depends on the extent to which the "retained" state is compelled to recognize a renunciation of a foreign citizenship.
Why has this never been interpreted by SCOTUS? It has never been interpreted by any court, because the interpretation you're advocating is nonsensical, and nobody has ever tried to advance it in any court. Therefore, no court has had an opportunity to rule on it. Congress, however, has (at least implicitly) interpreted this clause to mean that all natural-born citizens are eligible to be president if they also fulfill the other requirements, regardless of when they were born, so that is the prevailing interpretation unless someone manages to challenge the interpretation either before congress or in a court. If such a challenge is made then there will be an explicit ruling.
Paying taxes need not have any legal connection to citizenship or potential citizenship. There is no constitutional provision, or law, which limits taxation to citizens or those on a path to citizenship. Legal immigrants, those on visas, and indeed tourists, must all pay various taxes, including hotel taxes and sales taxes. Lawful immigrants who work in the US must pay federal and (in most states) state income tax, and I believe some undocumented immigrants pay Federal income tax as well. Many countries tax people who are not citizens, nor immigrants in line for citizenship, and this has been true far back in history. Indeed the Romans taxed pretty much every inhabitant of and visitor to the Roman Empire, most of whom were not Roman Citizens. Things haven't changed that much since. It might be argued on philosophical grounds that such people should not be required to pay taxes, or should not be required to pay certain specific taxes. But that is not the law at this time, and this forum is not for debating what the law should be.
Both Congress and the state legislatures are expressly forbidden by the Constitution from passing bills of attainder. That means neither can ever pass a law that names an individual and says "they are suspended." It is so important that it's one of the very few restrictions on government that the original Constitution (before any amendments) prohibited in bot state and federal governments. (Also, a "bill" is not a law. It's what a legislature is considering making a law.)
Some are, some aren't. For instance, Title VII of the Civil Rights Act prohibits all employment discrimination on the basis of race, including discrimination against whites. On the other hand, the Age Discrimination in Employment Act explicitly only protects people who are at least 40, and the Supreme Court held that it only applies to discrimination against older workers in favor of younger workers in General Dynamics v. Cline. While both laws forbid discrimination on the basis of X, the Supreme Court held that Congress clearly meant to limit ADEA to discrimination against older workers. You specifically use veteran status as an example. Veteran status is protected by the Uniformed Services Employment and Reemployment Rights Act. The point of the law is explicitly to make it easier for people to serve in uniform without messing up their career. The law specifically bans discrimination against veterans (or a couple other service-related categories) on the basis of service. It does not ban discrimination in favor of veterans. In fact, the federal government (which is supposed to be a model employer under USERRA) gives veterans a preference in hiring decisions. Congress's goal in enacting Title VII was to make race a non-factor in employment; their goal with USERRA was to encourage military service.