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Can lawyers ask about, and discriminate based on, iPhone ownership during a case involving Apple? In the lawsuit(s) between Epic and Apple, assuming it ends up in front of a (federal) jury, are the lawyers for each side allowed to ask potential jurors whether they have iPhones or Android phones; and, on the other side, are they allowed to ask potential jurors if they play, or have played, or are related to someone who plays or has played, Fortnite (the game made by Epic that Apple removed, leading to the lawsuit)? If they are allowed to ask, are they allowed to strike jurors using their peremptory challenges, or could it be considered a 'for cause' strike? Or would Batson or other reasoning prevent such a strike, even as a peremptory challenge?
The question of whether they can ask these questions will be left to the trial judge. If the parties can make any kind of reasonable argument that consumers of one product or the other are likely to be partisans, the judge should allow the question, though it would not be error to refuse. For a good comparison, look at Ham v. South Carolina, 409 U.S. 524, 525–29 (1973). There, the defendant argued he was framed for a petty drug charge because of his involvement in the Civil Rights movement. He thought jurors might be prejudiced against him because he was black and because he had a beard, but the trial court refused to let him ask jurors about either possibility. The Supreme Court said it was an error to refuse to ask the questions about race, but not about the beard: The inquiry as to racial prejudice derives its constitutional stature from the firmly established precedent of Aldridge and the numerous state cases upon which it relied, and from a principal purpose as well as from the language of those who adopted the Fourteenth Amendment. The trial judge's refusal to inquire as to particular bias against beards, after his inquiries as to bias in general, does not reach the level of a constitutional violation. Assuming the question is permitted, the mere fact of using an iPhone would not be sufficient to obtain a "for cause" strike, which the court will only grant if the juror does not indicate that he would be able to fairly consider the case. "I like my iPhone" is not enough. "I like iPhones better than Android" is not enough. "I hate Google" is not enough. "I worship at the altar of Steve Jobs" is not enough. Instead, the question will be whether a juror indicates that they can set aside whatever prejudices they might have. The court is not required to strike them "as long as he or she ultimately asserts an ability to be fair and impartial." United States of America v. Abel Martinez-Salazar, 146 F.3d 653, 659 (9th Cir. 1998). Batson prohibits peremptory strike based on "gender, ethnic origin, or race." United States v. Martinez-Salazar, 528 U.S. 304, 315 (2000). Other than that, a lawyer is generally free to strike based on anything or nothing at all (though there remain some questions about whether Batson also applies to other protected classes, such as sexual orientation, disability, age, etc.). So peremptory strikes would be the only permissible means of eliminating iPhone users from the jury.
To answer the question in the headline, yes, it is legal to install a non-original battery in an iPhone. In a 2016 Supreme Court case regarding another consumer electronics product (in that case, printers), the Court found that once a company has sold a product they cannot dictate how it is used. Since the phone is your property you are free to repair as you see fit. Re your edit: The tech making the repair would not get in trouble either, unless they separately had a contract with Apple that forbade them from doing the repair; that's not something you as a customer can account for. You do not say if your phone is under warranty. If it is not, Apple is generally free to decline to service it for any reason. For information about your rights under warranty, see bta's excellent answer on this same question. There is also good information in the comments on this answer.
I'm no expert, but I had assumed this clause was present in case of the following situation. Joe is arrested for a robbery of a London bank. Joe says nothing under questioning. At trial, Joe's defense is that at the time of the robbery, he was in Sheffield drinking beer with his brother. On the basis of common sense, a jury could think: "Surely if Joe were really innocent, he would have told the police of his alibi at the time he was questioned, and saved himself a lot of trouble. Since he didn't do that, maybe a more likely explanation is that he wasn't actually in Sheffield, but that sometime between arrest and trial, he came up with the idea of faking an alibi in Sheffield, and convinced people to testify falsely to that effect. Yes, that does seem more plausible. So we are not going to give much credence to Joe's supposed alibi." So it really would be the case that not mentioning the alibi during questioning would harm Joe's defense at trial. The warning, then, is intended to keep Joe from doing this inadvertently. If Joe's alibi is genuine, but out of a misguided desire to exercise his right to remain silent, he doesn't mention it during questioning, he may accidentally increase his chances of being wrongly convicted. Everybody has an interest in avoiding this.
In some jurisdictions, California probably being the most well-known in the US, there are Anti-SLAPP (Strategic Lawsuit Against Public Participation) statutes, which allow a defendant to file an anti-SLAPP claim (for sake of clarity I'm going to keep calling that person the "defendant") when the plaintiff's suit appears to have been filed for the purpose of infringing upon the defendant's rights by forcing them to bear the costs of litigation or settle the claim in order to avoid them, and itself has little merit or the plaintiff clearly does not expect it to succeed. In California, if the Anti-SLAPP claim succeeds and the plaintiff's claim is dismissed as a SLAPP, the defendant is normally awarded attorney's fees from the plaintiff. The Anti-SLAPP claim also halts discovery in order to reduce the costs on the defendant, so in effect it allows a defendant to challenge the plaintiff's right to sue them on the particular issue before the defendant has to bear the majority of costs.
You asked, "could that guy as defendant claim self defense and win?" First let's try to make it clear what is meant by "win". In the Rittenhouse trial, the defendant was charged of the following crimes: First-degree reckless homicide First-degree recklessly endangering safety (x2) First-degree intentional homicide Attempted first-degree intentional homicide Possession of a dangerous weapon by a person under 18 (dismissed) Failure to comply with an emergency order from state or local government (dismissed) Rather than thinking of the defendant as a "winner", it might be more appropriate to say that he was "acquitted" of these charges. If someone that was involved in the conflict fired first, as you described here: "They encounter each other when each is leaning or reaching or tripping, or whatever it would take for them to unintentionally point their gun at your head. You react and you raise your gun in defense, he spots your move and points his at you. You both fire. You shoot each other and you both are gravely injured. Like, paralyzed", then would they also be acquitted of all of the non-dismissed charges listed above? If everything was as you described ("unintentional", "reactionary", and "in defense"), then likely they would also not be found guilty of those crimes. It's not like they would "win", it's more like they will not be found guilty of committing one of those crimes. The precise outcome will depend on all the facts involved in the case, and the jury's decision based on those facts. So there is no single answer that always applies to every situation, but it sounds like you're wondering about some hypothetical situation that appears to be paradoxical because in this case only one person was charged with crimes: if someone else was the first shooter, the sequence of following events would first of all depend on whether or not they got charged with a crime, and I wouldn't characterize the outcome as a "win" or "lose" but as an "acquittal" or "conviction", and yes it is possible to be acquitted if everything is "accidental" as you described, and presumably not "reckless" (often meaning that a reasonable person in the same situation would have done the same thing). About your more broad question: "Is mutual self defense a thing?" It depends on what crime is being charged against the defendant. In the Rittenhouse case there was only one person that was charged. If you're asking about a hypothetical situation in which two people involved in a 1-on-1 conflict both claim self-defense, I hope I can assume that they were both charged with a crime against which to defend themselves in court in the first place. It is indeed possible for a State to prosecute both parties of a 1-on-1 physical conflict, and for both of them to successfully claim self-defense in order to eventually be both acquitted. It wouldn't be called "mutual self-defense", but each defendant would make their own self-defense case individually.
It's a gray area. You won't know for certain until a case is tried by a court. Regulatory bodies are notoriously assertive on the matter of jurisdiction. If there is a gray area, they often assert jurisdiction first, then let the judiciary limit their authority. Also, if you try to ask the regulatory body for an opinion or "permission" in advance (as a prudent person might think to do), they might offer you one if you are lucky. But they will most likely qualify it as "non-binding." In other words, they give themselves wiggle room to change their mind at a later time to file an action against you. The long and short of it is, the scenario you describe is likely to at least cost John Smith a fortune in legal fees to litigate the matter with the California authorities. So it would be prudent not to give the advice in the first place. Even if he were to ultimately eventually prevail on the action.
The general rule is that force may be legally used in defense of self. I will draw on RCW 9A.16.020, other jurisdictions say essentially the same thing. The relevant parts are: (3) Whenever used by a party about to be injured, or by another lawfully aiding him or her, in preventing or attempting to prevent an offense against his or her person, or a malicious trespass, or other malicious interference with real or personal property lawfully in his or her possession, in case the force is not more than is necessary Curated internet videos don't tell the whole story, but for the sake of argument I will assume that Mr X chucked a bottle at Tyson, and Tyson proceeded to punish him with his fists. Both parties thus committed a crime. The new report indicates that there will be no prosecutions "based on 'the circumstances surrounding the confrontation'", which I take to include all of the available evidence. Prosecution for a crime is discretionary. There is no requirement at a prosecutor file charges in every instance where (in the prosecutor's professional opinion) a conviction can be secured. The abstract law is clear: both parties committed a crime. The abstract law is also clear that a prosecutor has discretion to decide whether to prosecute.
It seems generally uncontroversial that in examining a witness at trial, a lawyer may not ask questions implying that the witness has engaged in some wrongdoing, unless the lawyer has some basis for asking those questions. This is not true. A lawyer is allowed to guess and ask such a question, although if it assumes a fact not in evidence it could be objected to for lack of foundation. For example, the opposing counsel could object if the lawyer asked, "After you drank twelve beers at BigTown Sports Bar, isn't it true that you got into a car and drove away?", because there would be no evidence in the record at that point that he drank twelve beers at BigTown Sports Bar. For instance, in the absence of any evidence indicating that alcohol was involved, I would imagine that a plaintiff's lawyer in an accident case could not cross-examine a defendant with leading questions suggesting that he had been drunk at the time of the crash. Sure he could. He could ask, "Isn't it true that you were drunk at the time of the crash?" There is nothing objectionable about that question. If the answer was "no", however, and the lawyer had nothing else to back up that suggestion, the question might not help the case, but the question is proper. Sometimes a lawyer just has a hunch and goes with it, and sometimes the hunch is right. Is this rule codified in a rule of evidence or is it just rooted in the courts' ideas of decorum and propriety? I can see how it might implicate the Rules of Professional Conduct, but that wouldn't seem to provide a remedy to a party who was prejudiced by such behavior. I'm more interested here with civil cases than criminal, where a defendant's Sixth Amendment rights might be complicate the question. It isn't codified because such a rule does not exist. There are some special rules that apply to prosecutors, who are ethically required to bring criminal cases only when they believe that the cases are supported by probable cause. But, that rule applies at the case level and not at the question by question level. Lawyers are also prohibited, especially in criminal cases, from making statements asserting personal knowledge of the credibility of a defendant or witness. This is because this transforms the lawyer from an advocate to a credibility witness. But, the lawyer can ask a judge or jury to find that someone is not credible in closing argument based upon X, Y and Z evidence presented at trial.
What are the US Federal laws on Shared VPN IP There are Images uploaded to a certain website not linked to any accounts, just IP, linked in a case towards a federal case. can this evidence be inadmissible if the only proof is "IP : Picture". Prosecutor tagged all the pictures into evidence to the certain person.
This question needs more detail. As a cybersecurity professional I can provide some technical context around what I believe to be the situation. While I do not know the legal precedence, technically, IP addresses cannot typically be attributed to an individual person. There are a number of reasons for this. In a local network, IP addresses are not unique. Rather, they are distributed by the DHCP server, and are reassigned at intervals. Forensic attribution to an individual in most environments would require a DHCP log linking the IP to the machine’s MAC address, with time stamps that correlate to the individual’s logon to that machine at the same time. If the IP correlation involves a VPN, it gets more difficult. I would need to know where the log/evidence was obtained to determine what the IPs in question actually correlate to. If the evidence was obtained in local area network of the suspect, the IP addresses are likely assigned by the DHCP server (see previous). If they are obtained after encryption in transit to decryption, then very little can be determined. If they were obtained at the VPN server log, these IPs likely belong to an ISP which in turn may or may not be able to show what machine initiated the conversation. Digital photos often contain EXIF data, which is metadata about the photo. This data can contain details like, device make and model, sometimes location, time and date... If the defendant owns a Nikon such and such and the photo was taken with a Nikon such and such, and was uploaded using a VPN the defendant has an account with, and the defendant was in that location at the time and place of the photo... there may be enough there... but I’m not a lawyer. I believe the discovery should include any EXIF metadata and logs to be used as evidence. You may need a special technical whiteness to educate the court on what can and cannot be determined (technically) given the evidence. Things to consider for such a witness could include: EXIF, forensic certification, network administration experience, VPN, TCPIP, OSI Model, Network Address Translation (NAT). Again, nothing here should be considered legal advise. Seek professional legal counsel.
One way in which it holds legal water is that if you use the website in violation of the terms, then you may forfeit your right to take civil action against the company. Analogous language especially regarding the age of the user may protect the site against actions by third party governmental entities (COPPA-like laws), though nothing patently obvious springs to mind (insofar as this deals with firearms and there is also an age 21 restriction both on the web site and in terms of US firearms law, this is not a totally crazy idea). The citation of 18 USC 1030 non-probatively points to an issue which may be disposed of by SCOTUS in US v. van Buren, that knowingly violating the terms of service is a crime (a proposition rejected by lower courts, see US v. Valle). Facebook v. Power Ventures in particular clarifies how "being put on notice" may make such unauthorized access indeed "unauthorized access" in the statutorily-relevant sense. This does not prevent a legally-authorized law enforcement investigation, pursuant to para (f), but if the "violation of TOS = unauthorized access" theory is upheld, it limits how LEOs can legally access the website (and the limitations extend past LEOs). It is a separate and potentially interesting question whether there actually are any legal limits on the investigative powers of the government – if any law enforcement officer has the liberty to investigate anyone they want, with no supervision or requirement of justification, then this would be a rather gaping loophole in their legal strategy. Web pages involve massive copying of copyright-protected data, and the function of terms of use is in part to conditionally grant access to that copyright-protected content. When a person copies protected material from someone's web page having been explicitly denied permission to copy, they run the risk of an infringement lawsuit.
Copyright in a photo belongs to the photographer, not to the subject. A picture of S (the subject) is not S's property in any sense, unless the photographer has given or sold it to S. If the photo was linked to information about S, it might be personal Data under the GDPR (or UK-GDPR) if so, S could request erasure, but various exceptions might apply. But even then S would not aquire the right to distribute or copy the image, or any of the other parts of copyright.
If the operators of a site post them in such a way that anyone with a browser can access them, with no login or other security precaution required, and not even any notice that the files are confidential, they are implicitly inviting anyone to view them, and thus it is legal to do so. There was a case where a site owner gave specific notice to a user not to access the site, and blocked the user's IP. When the user hired a proxy service to get around the blockage, this was held to be unauthorized access, a crime under the CFAA (Computer Fraud and Abuse act). But in that case the individual notice was considered essential to the applicability of the act. That case was Craigslist, Inc v. 3Taps, Inc et al, 942 F.Supp.2d 962 (N.D. Cal. 2015). See also This Wikipedia article and thisJaxEnter article. As the Wikipedia article put it: Craigslist Inc. v. 3Taps Inc., 942 F.Supp.2d 962 (N.D. Cal. 2013) was a Northern District of California Court case in which the court held that sending a cease-and-desist letter and enacting an IP address block is sufficient notice of online trespassing, which a plaintiff can use to claim a violation of the Computer Fraud and Abuse Act. Note that in this case web scraping was apparently impacting the craigslist site.
18 U.S. Code § 2252 defines a crime and punishment for knowingly transporting, or reproducing for distribution by any means, visual depictions involving the use of a minor engaging in sexually explicit conduct. Here are some sample jury instructions that rephrase this and give definitions for each of these terms. Here are some others (at p. 469). This law review article discusses the knowledge requirement of this statute. It would be an easy argument that the operators of the intermediary nodes do not have the requisite knowledge of the material flowing over their networks and computers to be implicated by section 2252, especially when they are broken down into chunks that can only be re-assembled at the destination. United States v. Kuchinski, 469 F.3d 853 (9th Cir. 2006) is an example of a case where a defendant was found to not have the requisite knowledge of child pornography that was found in his browser's cache folders. These were complete files, no assembly required. However, the court said: where a defendant lacks knowledge about the cache files, and concomitantly lacks access to and control over those files, it is not proper to charge him with possession and control of the child pornography images located in those files An IPFS user has no more knowledge of the pieces being passed through their computer than this defendant did of his cache (unless of course they are the source or destination).
Yes, it's legal. To be illegal, the photographs would have to be obscene or pornographic. Nude people, ordinarily photographed, doing non-sexual, non-excretory things are neither. However, I would strongly advise caution, particularly if you plan to display or share these photographs. There are definitely cases of people who have been charged with sexual exploitation of a minor for sharing nude photographs of their children.
Submit emails in their totality Your testimonial affidavit can quote or cite them as applicable. There is no protection of anyone’s privacy in court. By the way, the email where admissions were made is probably inadmissible if it was sent were in the course of bona fide negotiation to resolve the dispute. If the other party objects they will be thrown out - I wouldn’t hang my case on them.
If this was anywhere in the United States, it was perfectly legal to post the photo. The First Amendment allows people to freely share information, including pictures. People commonly believe that they have the authority to control who takes a picture of them and under what circumstances, but that is generally false. Anyone with a camera is generally free to photograph anyone or anything they want out in public. You've also used the copyright tag on your question. The person who took the picture owns the copyright. Since that's the owner, there's presumably no problem with her posting it. Instead, it would be illegal for you to post that photo without obtaining a license from the homeowner.
Inactive account deleted under GDPR (data retention) laws. Should the credit on it have been refunded to the account holder? I have a situation where a UK utility (mobile phone) account has been inactive for more than 7 years. The account was deleted under data retention laws (GDPR) but had a positive credit balance at the time. No attempt was made to contact the account holder and refund the credit on it. Are the company entitled to do this, or is the account holder entitled to a refund? In the latter case, is there any point in pursuing the case in the absence of verifiable records?
There are two "cancellations" here. There is a contract between the customer and the company. This contract was ended. Also, as part of GDPR obligations, the data of the former customer was removed. Now the "credit" part suggests a pre-paid phone, which are often described as "no contract". Legally this is incorrect. There is a contractual obligation for the phone company to deliver phone services (typically expressed in minutes of call time, # of text messages and/or MB of data). Now the pre-paid contract with high likelihood had a clause which dealt with inactive accounts. For instance, the minutes of call time may expire after 5 years. A "credit" that has not been converted to minutes, messages, or megabytes may also expire. When this happened, the company might need to keep the customer data on their records for two more years (for legal reasons), so the 7 year period does not sound weird at all. As soon as the legal reason to retain the data has ended, the GDPR indeed states that the data should be removed. That act is not connected to the credit expiring years before.
Maybe, but probably not The geographic location of the organisation is immaterial: under Article 3.2: This Regulation applies to the processing of personal data of data subjects who are in the Union by a controller or processor not established in the Union, where the processing activities are related to: ... (b) the monitoring of their behaviour as far as their behaviour takes place within the Union. Posts anyone (not just EU citizens) make to Reddit (or anywhere else) while they are physically located in the EU or UK engage the GDPR. Pushift.io is therefore captured by the GDPR and any denial of that is just plain wrong. Given the denial, it is likely right out of the gate that they are non-complient. For example, they are unlikely to provided the required information under Article 14. More importantly, it seems that they have not determined the lawful basis for processing the data under Article 6 - they can possibly rely on the public interest basis (preserving deleted publication is arguably a public interest) or a legitimate interest but that requires a balancing of their interest against the data subject's. That said, the right to be forgotten is not absolute, the reasons that might be applicable here are: The data is being used to exercise the right of freedom of expression and information. The data is being used to perform a task that is being carried out in the public interest or when exercising an organization’s official authority. The data represents important information that serves the public interest, scientific research, historical research, or statistical purposes and where erasure of the data would likely to impair or halt progress towards the achievement that was the goal of the processing.
I think the law there is quite clear - you have 14 days to return the goods for a full refund, except for digital content, which you can't return once you started downloading it. That's what it says. The arguments that you try to give were quite obvious to the law makers. I think you can assume they were aware that "digital content does not have a physical form". Now if you purchased, but haven't downloaded or started downloading yet, then obviously you can get your money back. You came up with some theory that this is a "visual vanity item". You can't see it unless you download it. Once you download it, that's it. If you don't download it, you can return it. Let me repeat this: Your fancy analogies mean nothing. There are in the EU laws about being allowed to return goods for a refund. There's the general rule for buying in a store (no right other what the store offers voluntarily), online purchases (some days to return), and online purchases of digital goods (no return once you started downloading). That's the law. Your attempts at redefining the situation are totally pointless. The law says what it says. What you try to redefine doesn't mean one thing. The law clearly distinguishes several situations, and analogies don't count. What happens counts. You bought from a digital item from an online store that needs to be downloaded. And as soon as you start downloading, there is your right to return it gone. And your reasons for wanting to return the goods are completely irrelevant. You don't need any reasons, and having reasons doesn't help you.
Please note that I'm not a lawyer. If you need specific legal advice, please consult a qualified attorney. Every time someone buys an item from someone else, there's at least an implied contract of sale where the seller of the item agrees to give the buyer the item to be purchased in exchange for a sum of money or other object of value which the buyer agrees to pay as consideration. Generally, in an online purchase, a contract of sale is completed when payment is made and the product has shipped. If the seller fails to provide the item you intended to buy after you make your payment, that's a breach of this contract of sale as the seller has failed to execute their end of the contract. I seriously doubt a "no refunds" policy would excuse the vendor for breaching the contract of sale. If you cannot resolve the issue with the vendor, then your best bet is to initiate a dispute through your credit/debit card issuer.
Yes, that might be a violation of data protection law such as the DPA 2018 / UKGDPR, but not necessarily so. It depends on the details, for example on the purpose this camera serves. Background on Fairhurst v Woodard and on legitimate interests Fairhurst v Woodard is a significant case discussing implications of use of video surveillance outside of a commercial context, but it is a complex case due to the multitude of cameras involved and due to the somewhat unrelated privacy and harassment issues. Point 135 is about the Driveway Camera, which only surveilled public property and the claimant's property, but did not view any part of the defendants property. People are free to surveil their own property, and would then be covered by the UKGDPR household exception. But for surveillance outside of their own property, defendant would have to comply with the DPA 2018 and the UKGDPR, for which defendant would have needed a legal basis. The defendant argued that they had a legitimate interest (Art 6(1)(f) UKGDPR): 134. […] The Defendant submits that all his data collection and processing was necessary for the purposes of crime prevention at his property and in the car park However, a legitimate interest always require as balancing test. The legitimate interest can be “overridden by the interests or fundamental rights and freedoms of the data subject” (Art 6(1)(f) UKGDPR). It is not necessary here that these interests, rights, and freedoms are explicitly enumerated in statutory law. Here, a right is claimed without supporting legal basis: 134. […] Claimant submits that her right to privacy in and around her home overrides that purpose. However, a possible basis for this claim would be Art 8(1) of the European Convention on Human Rights, which is part of UK constitutional law: “Everyone has the right to respect for his private and family life, his home and his correspondence.” The court balances these rights and interests very differently for the different cameras. The Ring Doorbell is mainly focused on people who would ring the defendant's doorbell, and only incidentally captures passer-bys. Here, the legitimate interest was found to be valid. On the other hand, the Driveway Camera was mostly trained on claimant's property. Here, claimant's interests, rights, and freedoms override the claimed legitimate interests. Your scenario If the camera records the people living in the Green House when they go to or from their property, then yes, it seems like their rights would be affected. But in your scenario, the context of the camera is not clear: Why was it installed? If the purpose is crime prevention, is there evidence of such crimes in the neighbourhood, or are the cameras intended to counter a speculative threat? What is its field of view? Is it mainly trained on the Yellow House's doorstep and only captures the street as a background, or does it focus on the street? Is the camera's field of view masked off as far as possible to exclude public spaces? Does the camera record continuously, or is it only activated for certain events like when a doorbell is rung or when someone enters the Yellow House property? Does the camera also record audio? All of this is important because it factors into a legitimate interest balancing test. Maybe the Yellow House camera is more like the Ring Doorbell in the above case where the incidental capture of passer-bys was found to be acceptable, maybe it is more like the Driveway Camera that served no legitimate interest. There is no absolute right to be free of all surveillance. Instead, the interests and rights of the Green and Yellow house residents must be balanced appropriately. Where there is surveillance, it must be limited to what is necessary.
"I contacted LG directly over the phone eight days ago, bypassing the retailer because I assumed they were off the hook after two years and ten months, and it should be the manufacturer assuming responsibility." Nope. In the EU (and Britain still is), the retailer is the only party with a legal warranty duty (at least 2 years, national law may deviate to the benefit of the customer). The manufacturer may offer any additional warranty, but even if they do that does not absolve the retailer. The UK does have a longer warranty period than the EU minimum if you can prove the product was faulty, but this is a reversed proof, and it still binds the retailer instead of the manufacturer.
TL;DR In theory there's nothing wrong with your method, it's just a way to authenticate the user, and without authentication a user has no right to request anything anyway. But in practice it looks like your method doesn't have a way to deal with situations where users lose or forget their authentication data and want to be able to recover their account. Failing to deal with that in a modern system might be considered an unacceptable bad practice and so be against the GDPR principles of security and privacy by design. EXTENDED VERSION I might be wrong or not understand the question correctly, but I don't see how this is different from many other common cases where encryption is not involved. Think about it, you aren't able to give the user their own personal data unless they provide the ID and encryption keys. How is this significantly different from the fact you aren't able to (or rather you should not) show a user their own data unless they provide their own username and password, or they convincingly authenticate themselves in any way? Just like you can't ask Facebook to show you all the data collected about Donald Trump only by claiming you are Donald Trump, you can't be required to give a user their own data unless they provide the encryption key. It can be seen as your way to authenticate users (among other things). Edited: multiple IDs/keys I didn't understand your method involved multiple IDs and keys. In theory, the situation is still the same, only with multiple pieces of data for authentication, like the user had to remember multiple usernames and passwords. Failing to provide all IDs and all keys will result in a partial authentication. But with such an approach a potential problem becomes more evident: your authentication scheme might be against the GDPR principles of "security and privacy by design and by default". Basically, your methods might be considered bad practice because they fail to deal with the common issue of lost or forgotten passwords. If a user tells you they have lost a USB drive containing all their IDs and keys and they don't have them anymore, what do you do? You can't delete their data because you aren't able to know what their data is, without another way of authenticating. And their data is now at risk, because somebody else might have their IDs and keys. If you had an email address associated with all the user's IDs and data, then you might be able to confirm their identity (for example sending an email with a link) and delete all their data. As you see, things can get pretty complicated, it all depends on the details of your implementation, and just adding or removing one detail might change the whole scenario.
Contacting a business email about a business matter is usually fine, but in this case we have an unsolicited marketing communication (spam), not really a business matter. The client's jurisdiction likely has more specific rules about spam. Also, it is unusual (read: presumably illegitimate) to contact individual employees rather than the company's official address with the offering. From the GDPR perspective, every processing of personal data (such as email addresses that might identify natural persons) needs a legal basis (Art 6). Let's go through them: consent? No. necessary for performance of a contract involving the data subject? No. legal obligation? No. vital interests? No. public interest? No. legitimate interest? Perhaps. The client has a legitimate interest to conduct their business. However, this legitimate interest must not be overridden by the data subject's interests, rights, and freedoms. Such as the interest in not being disturbed by spam mails. It is the Data Controller's (your client's) responsibility to balance the legitimate interest themselves to determine whether they have a legal basis, but I really don't think that they do. In conclusion, your client's idea is a bad idea: They likely do not have a legal basis for this under the GDPR. They are likely violating more specific anti-spam laws in their jurisdiction. They are working hard to get their domain put on spam filter lists. Note that already the step of collecting employee email addresses is personal data processing and needs a legal basis. Of course, the GDPR does not apply when the client is not established in the EU and only processes the addresses of persons that are not in the EU.
If someone orders a pizza in the US and doesn't pay for it, could they be arrested? If you were to order a pizza in the US and didn't pay for it afterwards, could you be arrested?
Yes. See Florida Man's Version of Dine and Dash Involving A Pizza Delivery James Chandler was arrested after allegedly ordering a pizza and cinnamon sticks and partially eating them without paying. The basis for arrest was defrauding an innkeeper. Any person who obtains food, lodging, or other accommodations having a value of less than $1,000 at any public food service establishment, or at any transient establishment, with intent to defraud the operator thereof, commits a misdemeanor of the second degree, punishable as provided in s. 775.082 or s. 775.083 (Emphasis added; this is the current text of the law, but "less than $1000" was "less than $300" at the time of the incident.) For anyone doubting this or looking for more detail, the case number is 2016MM002854A before the Circuit Court of St. Lucie County, Florida, and not only was he arrested, but he was convicted and sentenced to 60 days in county jail. The above example was pizza by delivery. For an example involving dine-in pizza see Crime briefs: Father's Day fight, copper theft, unpaid pizza bill a woman was arrested at Blue Line Pizza in California on suspicion of "defrauding an innkeeper" after refusing to pay the bill. Another Florida example is Off The Beat: Price of pepperoni pizza and vodka? A trip to jail: Brown’s bill was $30.36, consisting of three Ketel One vodka drinks ($19.50), a pepperoni pizza ($9) plus tax ($1.86). ... Told by a deputy that the restaurant wanted her to settle up her tab, Brown said she brought no money ... Deputies arrested Brown on charges of defrauding an innkeeper and obstruction without violence. The above case is 19001773MMAXMX of Marion County, Florida. She entered a plea agreement, whereby she pled no-contest to the non-violently resisting in exchange for the defrauding an innkeeper not being prosecuted, and was sentenced to time served (about 3 days in jail) and $735 in fees and fines. Also, see Selma [North Carolinia] police: Arrested man glad to go to jail: Police were called to the Pizza Inn at 1441 South Pollock St. after the man allegedly filled his plate with food then walked out the door. Police found 49-year-old Alan Miscavage, of New Jersey across the street. Miscavage allegedly told officers he was homeless and was happy to be going to jail. He told them the jail offered free food, running water, and a place to stay until his court date. Miscavage was charged with defrauding an innkeeper for not paying for the food, and misdemeanor larceny for leaving with the food plate valued at $10. Bond was set at $3,500. His court date was set for August 22. Also, see Police: Man didn't pay for pizza, tried to flee from officers: A Lemoore man was arrested Sunday for allegedly defrauding a pizza delivery driver and trying to flee from police. The Hanford [California] Police Department was called to the 900 block of West Sixth Street at 10:37 p.m. for a report of a man refusing to pay for a pizza delivered by a Pizza Hut delivery driver. Officers found Peter Delano, 59, sitting in his car eating the pizza. So, in conclusion, if you order pizza and don't pay you could be arrested for defrauding an innkeeper.
If you are charged under the laws of Estonia (or Australia or Thailand or the UK) then the laws of the USA have no relevance whatsoever. It makes no difference if you are a US citizen, if the alleged crime happened in the USA or was perpetrated against the USA. If nation X has jurisdiction then you are tried under the laws of nation X. That is what sovereignty means. As to your specific example, Facebook does business in Estonia, therefore they are subject to Estonian law, as a US corporation they are also subject to US law and the law of every other jurisdiction they operate in (see why they need big legal departments?). If a legitimate Estonian warrant was served on them to disclose metadata or anything else then they are legally obliged to do so or be in contempt of court. Oh, and by the way, the first amendment right to free speech does not give you a right to anonymous free speech.
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.
This is known as a retroactive or ex post facto law. Such laws are explicitly forbidden by the US Constitution (Wikipedia reference), and are generally frowned on in jurisdictions where the rule of law applies, partly because it is difficult to prove criminal intent when your action was not at the time criminal.
It depends on the jurisdiction and a lot of other factors you haven't addressed. In the United States, though, there are many circumstances where one could pay the fine and then simply appear in court to ask for the warrant to be lifted. The smart play, of course, is to hire a lawyer to handle it.
In general, you cannot contract to do anything illegal. However, ... An argument could be made that permission has been granted to, for example, enter property and remove the item. If permission has been granted, entering property and taking an item is not a crime.
They can’t But they aren’t This is the law (as amended). Section 9 contains the penalties. In any event the police don’t fine people they issue an infringement notice which is an allegation of an offense - police can issue these even if they reasonably believe they took place - they are entitled to be wrong. The person given the notice can admit the offense by paying the fine or contest the allegation by going to court.
Yes, this is illegal. If by "across the state" you mean some distance away but in the same state then the exact law will depend on which state you are in, but as a rule any "conversion" of property to the use of another counts as theft. In this case your aunt has "converted" the property to the use of your Nan (funny legal phrase). The fact that the people doing this are your relatives makes no difference. (When asking about the law here you should always say which state you are in.) Although theft is a crime, you could also start a civil case to get your property back without involving the police. The details depend on where you are, but try googling "(your state) small claims court". Many states have a process for collecting low-value debts or other property without needing lawyers. You need to have a firm conversation with your aunt about this. Tell her that you want your property back, and don't back down. Also call your Nan and explain this to her as well; she may not have realised that she is in possession of stolen property, which is usually a separate crime. If you want more advice on how to get your property back without starting a family row then you might ask on the Interpersonal Skills SE, but it might be better to start with "When are you planning to return my property?" and leave "You are a thief" as a last resort. Edit: As Eric Nolan points out in the comments, you may be a minor. If you are under 18 then your aunt has authority over you that she wouldn't have if you were older. For instance, if she is concerned about your use of video games impacting school-work then confiscating your console and putting it out of your reach would be perfectly legal.
Can I use a workaround I developed to bypass the internet filter at work? I found a workaround (by writing some code) to bypass the internet filter at work. Is that considered hacking? Or perhaps violating the company's rules. Am I the one to be blamed for finding a loophole or is it the filter-team to blame since they didn't do a very good job blocking them.
It's almost certainly violating the company's rules, and yes, you can get into trouble for that (in the sense of an internal disciplinary matter). Whether it's a criminal hacking will depend on a) what you did; b) where you are ... but I wouldn't rule that possibility out.
In such a case the person who bypasses the terms knows that use of the site is conditioned on agreement to the terms, and has taken an explicit action to continue past the terms and use the site. I suspect that if a dispute were to arise where this is relevant, it would be held that taking such action was legally equivalent to clicking "I agree". But I don't know of any court case on this point, and i can't be sure what a court would do. If having intentionally bypassed the terms, such a person tried to raise his or her lack of consent to the terms as a defense to some obligation imposed by those terms, such equitable concepts as "unclean hands" and estoppel might be raised, since such a person, in effect, leads the other party, the site owner, to believe that s/he has accepted the terms, I suspect that such a person will be treated as having accepted them. If this becomes at all common, I suppose that the designers of such sites will in future store a record of such consent being given, and not allow the user to proceed unless it has been.
Would any offence be committed for: Having this on your person? Buying or selling this? Leaving it around for people to plug in to a computer? In the abstract, I don't think that this conduct would violate either Section 36 of the U.K. law or U.S. law, although, obviously, purposefully destroying a computer itself (i.e. actually using the device without the consent of the owner of the computer) would violate many U.K. laws and would also violate many U.S. laws at both the state and federal level. I also don't think that possession or buying or selling this product would be a crime absent some intent that it be used illegally, in which case there might be an "attempt" to commit a crime offense, or an offense that would make one part of a conspiracy to commit a crime. In the "leaving it around" example, there is arguably an intent to use it to harm another improperly, although the phrasing is ambivalent. While many statutes in the U.S. criminalize possession of burglary tools, or drug paraphernalia, sometimes with an associated intent element (although even these crimes often have an express or judicially implied intent to use element), I'm not aware of any statute that criminalize possession of tools for malicious destruction of property. So, if the tools aren't possessed or used in a manner intended as a step in the facilitation of a crime, I don't think that any law is violated. So far as I know, the U.S. does not have a counterpart to Section 37 of the British statute cited above (it isn't a terribly easy thing to search for to definitively rule out the existence of such a law because federal law has many uncodified crimes in unexpected statutes and there are many sets of state criminal statutes, not all of which are codified either). The example giving in the comments by @gnasher729 of possession of a hammer which could be used to do the same things that this object could be used to do is instructive. Arguably, this USB-like tool is more specifically targeted at malicious conduct. But, for example, when I used to work as a radio news reporter, we had a machine that was basically a high powered magnet that was specifically designed to destroy all information on magnetic media. This was, in part, so that it could be reused, but it was also so that confidential interviews wouldn't fall into the wrong hands once they were no longer needed, in much the way that one might shred paper documents. It isn't so implausible to think that a device like this one might be necessary for individuals or firms with national defense secrets embedded in their hardware and software to have on hand in order to destroy a sensitive computer in order to prevent a security breach, if necessary. In a case like that, leaving one of these devices around the office unlabeled might be negligent, but wouldn't have the intent necessary to be an intended crime. And, it is hard to imagine that the device itself, which seems pretty simple, would itself involve any technology that is a national security secret, so it probably wouldn't violate export control laws. Of course, possession, purchase or sale of such a specialized device, or leaving it around unlabeled would certainly be powerful evidence of an intent to use the device in a wrongful manner, and hence, of an attempt to commit a crime. Indeed, possession of such a device or purchase of one might very well be sufficient to establish probable cause to seize the device and arrest the person holding it on charges of an attempt to destroy a computer. But, this device would be merely powerful evidence of an intent to commit a crime, rather than something that is a crime to commit in and of itself. There are no international laws that govern this kind of thing. The only international laws applicable to individuals pertain to war crimes and nuclear and chemical weapons. Even then, most international laws direct member nations to adopt domestic laws on the subject rather than being self-executing.
This would be illegal in Australia (Criminal Code Act 1995 part 10.7: any unauthorised impairment of electronic communication to or from a computer), the US (Computer Fraud and Abuse Act) and any other jurisdiction that I can think of. There is no exception allowing vigilante action in case a person has a reasonable belief that the material on a website is offensive or illegal. In general, the law does not allow immunization against criminal prosecution in case the victim of an attack is himself a criminal. Only the government has the right to punish criminals.
Congrats, you've done well to minimize your processing of personal data. But I think you're still processing personal data, and are subject to the GDPR. Serving a website necessarily involves processing an IP address. This IP address will typically be personal data. While you are not storing the IP address, the GDPR's definition of “processing” extends beyond storage and pretty much covers doing anything with that IP address. As far as I know this is not an entirely settled matter, but it's better to err on the side of caution and to assume that you are in fact performing a processing activity. Even a static web page can easily lead to additional relevant processing of personal data, for example if the HTML embeds resources from third party domains. Since your website is clearly targeted at the public, it does not fall under the GDPR's exception for “purely personal or household” purposes. So I think you do need a (minimal) privacy notice that contains at least the items mentioned in Art 13 GDPR. The main reason why some people try to avoid posting a privacy notice is because it must disclose your identity and contact details. But in Germany, that information has to be provided anyway due to the Impressumspflicht. As part of your GDPR compliance obligations, you must protect how data is processed by others on your behalf. A hosting provider will typically act as your data processor. For this to be legal, you need a contract / data processing agreement that fulfills the conditions in Art 28 GDPR. This contract binds the data processor to only use the data as instructed by you, and not for their own purposes. European hosting providers sometimes include the necessary terms in their terms of service / AGB, but you should check to make sure. Netcup expects you to accept their data processing amendment in your account settings. In the hypothetical case that you were not processing any personal data at all, the GDPR would not apply and it wouldn't require you to post a privacy notice. Other laws might still have information obligations, notably the German TMG and TTDSG.
I think haveibeenpwned would be legal in the EU because it carries out a task in the public interest (Art. 6(1)(e)), and it shares no more data then necessary, for example you can search for a password, but it would not show you the emailaddress which belongs to that password. It would also be legal for you to hold a copy of a leaked database, but only if you have a legitimate interest (Art. 6(1)(f)) to have it. Being a security company does not change that, but finding a legitimate interest might be easier. If you have a legitimate interest to hold a copy of a leaked database, it does not mean you can use it in any way you like. For example testing if the password still works, is very likely illegal everywhere in the EU. But I'm not familiar with the UK laws.
The companies really need to speak to an IP lawyer as this question is seeking specific advice which this site is loathe to give out for fear of compouding issues. The answer would depend on the license agreements and enforceability in various jurisdictions. According to https://social.msdn.microsoft.com/Forums/vstudio/en-US/0368d7ee-0eb3-4e3e-a143-4410969a15bb/eula-for-vs2010?forum=vssetup Microsoft says you cant rent out the software - but this applies to the "Pro" version - I could not find anything on the "Premium" version - so most likely Microsoft to have some clam. The flipside is how enforceable this EULA is - and this would probably vary from jurisdiction to jurisdiction. It would be a very, very good idea to speak to a lawyer before letting Microsoft come onto the premises - as "inviting them" to do this is almost certainly not going to improve the Asians company's case and will allow Microsoft to go fishing further and make it easier for them to expand on and collect evidence should they decide to pursue the matter.
No AFAIK there is no such legal requirement. Why this company told you there was I can’t speculate. But I will. There may be under contract with MicroSoft to put their OS on every box they sell - that would be a legal requirement. Or the just don’t sell boxes without this and they employee told you it was a legal obligation to get out of the conversation.
Is everything between me and my lawyer confidential? From the law point of view can I tell my lawyer EVERYTHING knowing that he is NOT allowed to disclose anything I tell him including crimes I did in the past or crimes I am planning to commit in the future?
Firstly, legal professional privilege applies only when information is disclosed for the purpose of obtaining legal advice. Talking about a bad haircut you got last week is probably not protected by legal professional privilege. Secondly, all privileged communications and documents are confidential and protected. However, there are certain exceptions to legal professional privilege - such information is not privileged, not confidential and may be disclosed. Finally, there is an exception to legal professional privilege. This is where documents form part of a criminal or fraudulent act, or communications that take place with the intention of carrying out an offence - from the Law Society Chapter on legal professional privilege, 6.4.5. It goes on to enumerate a number of exceptions to legal professional privilege: Intention of furthering a criminal purpose If a client (or a third party) intends that the communication is made to further a criminal purpose, it is not privileged. Knowing a transaction constitutes an offence If the transaction is an offence, the lawyer also commits an offence - these communications are also not privileged. In answer to your question - information about past crimes is privileged, however, information provided in order to obtain advice on committing future crimes is not.
It's a bit like talking to the police: anything you say might be used against you, so the conventional wisdom is to say nothing. It is a good rule of thumb. When you are paying a professional to represent you, why make things complicated by speaking on your own behalf about the same issue? As you point out, not everyone follows this rule. In some circumstances there might be benefits to discussing your case publicly, such as fundraising or deterrence. Whether the risk outweighs the benefits will depend on the details of the legal case and your role in it. Lawyers are likely to emphasise the following risks: If you are a witness whose credibility is in issue, any public statement could potentially become a prior inconsistent statement which is used against you in cross-examination. Again, one of the purposes of hiring a lawyer is to be careful about how you communicate your position on a litigious matter and reduce the risk of careless remarks having unexpected consequences. Speaking publicly undermines this goal. In Commonwealth countries, there is a significant risk that public comment on a case before the court could amount to sub judice contempt of court. Attempting to litigate the case in the media can be perceived as undermining the authority of the court. Lawyers are expected to uphold public confidence in the administration of justice and would be reluctant to condone anything that could be regarded as a contempt. This contributes to a culture where discussing active litigation is "not the done thing" and may itself cause problems with a witness's perceived credibility, aside from the risk of a contempt allegation. Speaking publicly about litigation is risky and the consequences are difficult to predict, which is why people often engage lawyers to do it. When the client continues to make their own statements without legal advice, it makes the lawyer's risk management job more difficult, so they are likely to advise against it.
The reality is that it is almost never an acceptable tactic to use in any jurisdiction where I ever have/or currently do practice. The bar is relatively small no matter where you are; even in bigger cities. Your reputation is your most valuable asset and it would be crippled if this became your M.O., or was used in anything but the most rare and egregious situations (e.g. withholding evidence, lying to the judge, tampering with jury). Small violations (which are seemingly big in the heat of trial) happen every day and if you even suggested this it would come back on you more times than not. This is exponentially true in the criminal arena where the Judges and prosecutors interact on a daily basis and have formed collegial relationships. If you practice criminal law you often need to form good working relationships with the ADAs or AAGs since most cases get disposed of through negotiations with these very individuals. I have been in situations where my colleagues and I discussed it, opined on how it would be appropriate, but in the end have never gone that far. One time things were so bad with opposing counsel on so many levels, I considered it; however, I was a newish lawyer and my mentor at the time told me that he had never seen anyone but a federal court judge issue a sanction and aside from that, had never even seen it requested by a lawyer in the local bar. And these were horribly bad violations of the rules of procedure, conduct unbecoming, etc. So, I would suggest avoiding this practice. My rule of thumb is that unless the offending practice is so egregious that one would be technically duty bound to report the conduct to the bar, it is not appropriate to ask for sanctions.
It seems generally uncontroversial that in examining a witness at trial, a lawyer may not ask questions implying that the witness has engaged in some wrongdoing, unless the lawyer has some basis for asking those questions. This is not true. A lawyer is allowed to guess and ask such a question, although if it assumes a fact not in evidence it could be objected to for lack of foundation. For example, the opposing counsel could object if the lawyer asked, "After you drank twelve beers at BigTown Sports Bar, isn't it true that you got into a car and drove away?", because there would be no evidence in the record at that point that he drank twelve beers at BigTown Sports Bar. For instance, in the absence of any evidence indicating that alcohol was involved, I would imagine that a plaintiff's lawyer in an accident case could not cross-examine a defendant with leading questions suggesting that he had been drunk at the time of the crash. Sure he could. He could ask, "Isn't it true that you were drunk at the time of the crash?" There is nothing objectionable about that question. If the answer was "no", however, and the lawyer had nothing else to back up that suggestion, the question might not help the case, but the question is proper. Sometimes a lawyer just has a hunch and goes with it, and sometimes the hunch is right. Is this rule codified in a rule of evidence or is it just rooted in the courts' ideas of decorum and propriety? I can see how it might implicate the Rules of Professional Conduct, but that wouldn't seem to provide a remedy to a party who was prejudiced by such behavior. I'm more interested here with civil cases than criminal, where a defendant's Sixth Amendment rights might be complicate the question. It isn't codified because such a rule does not exist. There are some special rules that apply to prosecutors, who are ethically required to bring criminal cases only when they believe that the cases are supported by probable cause. But, that rule applies at the case level and not at the question by question level. Lawyers are also prohibited, especially in criminal cases, from making statements asserting personal knowledge of the credibility of a defendant or witness. This is because this transforms the lawyer from an advocate to a credibility witness. But, the lawyer can ask a judge or jury to find that someone is not credible in closing argument based upon X, Y and Z evidence presented at trial.
That's the entire point of a summary proceeding. You're allegedly found committing an offence, that isn't worth the court's time to hear but nevertheless requires some penalty. The only way to "unambiguously deny liability" is by requesting a hearing and denying liability in the notice of this. The court doesn't care what you say to everybody else, it cares what you say on its record. The reasoning is, if you're so sure you're not guilty of an offence, why haven't you sought to argue this in court? And if you weren't committing the offence, why did the informant serve the infringement notice in the first place? The act is not silent at all on this. If you don't request the hearing and serve such notice by the date required, you are liable to enforcement action - whether you deny liability out of court is irrelevant.
That all seems perfectly legal, enforceable and, providing everyone had been given legal advice and agreed to it, would not breach a lawyer’s code of ethics. Of course, my response to a child of mine who proposed it would be to rewrite my will to give them nothing - it’s my money and I’ll do what I like with it.
united-states "I know is it illegal for authorities to question a suspect when their lawyer isn’t present" This is not really true, at least in the US. The suspect must explicitly ask for a lawyer. Even saying "Maybe I should talk to a lawyer" (ie Davis v. U.S. (512 U.S. 453 (1994)) isn't enough, they have to say "I want a lawyer". Until they invoke the right, an officer can question all they want (provided they were informed of these rights, except for certain situations which are relatively complicated. See Miranda Rights). So no, an officer questioning you without a lawyer is neither a crime nor illegal. Once you invoke your Miranda right though, they have to respect that. With or without your lawyer, this is called interrogation. You can filter your responses through a lawyer, or waive your right to a lawyer and answer directly.
1. I want use a friend who has no legal training as my "counsel," do the police have any legal recourse from allowing me to talk to him prior to interrogation? E.g., can they insist that my counsel be a member of the bar in the state where I have been arrested? Yes. If they don't want you to, you cannot talk to a friend, only a lawyer. If you got an OUI, and you're not being a jerk, they will probably let you talk to whomever you want (within reason – it's not social hour). However, they can keep you from speaking to anyone but a lawyer as that person could gain information from you that can corrupt their investigation. (E.g., they arrest you with 10 lbs. of methamphetamine. They know it's "fresh" and likely came from a local lab that they suspect you of running. You cannot be allowed to talk to just anyone, as they could help get the lab broke down, moved, destroyed). In TV shows you see attorneys doing this type of illicit thing, but in reality that is very rare. When you enter the police station to speak with a client, you must present your bar card (license to practice). Friends are not allowed in, even if you value their counsel – they are not counselors! 2. I want to consult a "team" of qualified counselors. Are there legal grounds or regulations to limit the number of individuals I consult prior to interrogation, and who I have present during interrogation? No. You can have your entire legal team with you, while preparing for court, or while being questioned, within reason. They do not need to rent a conference room to fit your 30 person legal team, but if you want 3 or so lawyers in with you, and you can afford paying each $250-$500 per hour, then have at it. Most lawyers would counsel you against this, as it creates an undue impression of limitless (hence likely illegal) funds. (But if you're a hedge fund manager, and you can show your money is legally earned, it's really your choice.) I have had occasion to go in to meet a client with co-counsel numerous times (especially in early years of practice when there is a lead attorney and second chair, so to speak, even for interrogation (which means silence by the client). They can "impede" access to some extent, though they typically don't. They can play games with your lawyer and make them wait and make you wait, but not while they are in with you, and only for so long. Once your lawyer arrives they should leave you alone. (Some courts say once you ask for counsel they need to leave you alone, but this only really matters if they get a confession from you (or any evidence) before you've (and this is what they're hoping for) recant your request for counsel and your right to remain silent.) 3. Can my contact with counsel be proscribed in any way? E.g., can the police limit the duration or schedule of contact with counsel? Can they impede or delay access to me by someone who claims to be my counsel? Once you've called your lawyer, they need to to let him or her meet with you for a reasonable amount of time before questioning. This is typically a quick meeting, just long enough to make sure you will not say a word. Even completely innocent people should keep their mouth shut – innocent people do occasionally get arrested and convicted! No matter what the police say, there is no benefit, ever, from talking to them. Some police, who know it's their last shot to get a confession and know once your lawyer gets there will never talk to you again (and they have enough to go forward without your confession in the event you just start blabbing "you did it" before they can get you to invoke your rights) will keep talking to you and tell you not to comment, just to listen, even while your lawyer sits outside. They can say you're being processed, or there's a security issue, any number of reasons for short delays if they need it. They will then go on and on about "how they can maybe help you out if you talk now, but once your lawyer arrives all bets are off." These are just tricks to get you to recant/revoke your rights and to obtain your confession. You will usually see your lawyer shortly after arrival. Can they impede or delay access to me by someone who claims to be my counsel? Yes, if your lawyer doesn't have adequate ID or cannot verify he is licensed in that state, or in another state and with local counsel. The police do not have a duty to research your lawyer's credentials, and don't have to go online and look your attorney up in the bar directory to make it easier for him or her to get to you. However, if they know the attorney, and he or she forgot his bar card, they would probably lose the confession if you confessed while they make him go get it. Most lawyers carry their bar card in their wallet, so this is not a typical problem. 4. What do police have to do to facilitate my access to my desired counselor(s)? E.g., how long can I be held after requesting an attorney without being allowed to attempt to contact one? You have a right to contact a lawyer. There is no explicit right to a phone call, although some form of contact is implied. Hence, you can usually be held 3 hours before they have to let you "contact" someone, and this is after processing. You can be held until your lawyer gets there or until your arraignment, whatever comes first. If your lawyer doesn't show up, you will be given another opportunity by the court to get your lawyer of choice there for arraignment. If you can't, and you don't want to go forward, a public defender will move to waive your right to a speedy trial and seek a continuance until you can get your counsel of choice there. If this happens, consider getting a new lawyer. What means must I be granted to find and contact the counsel of my choice? This actually differs depending on where you are and what you did. Again, you have a right to counsel but they can determine how you get this done. Sometimes there are local laws that say you get any number, or 3, or 1 completed phone call to reach your counsel of choice. If there is an overriding risk that you will call someone to communicate information that could put the investigation in jeopardy or would be adversely impact their evidentiary value in some way, even when these laws exist the police can refuse you direct contact with anyone and may implement a strict "they call" policy, where they will call the lawyer and tell them, or call your family to let them know, and they can call the lawyer. They cannot hold you for a protracted amount of time without giving you some way to get word to a lawyer; it must be reasonable. There is not a lot of law out there about what is not reasonable, because the police know, and for the most part accept, that once right to counsel has been invoked they are done. There is case law saying that 3 hours is reasonable. What is not reasonable? That is fact dependent.
Why is my GDPR (a.17) request not fulfilled? For over a year, I'm trying to get "wordpress.org" to delete my personal data from their bugtracker (the pseudonym is linked to my full personal address). According to https://wordpress.org/about/privacy/ The website states GDPR compliancy and appropriate rights are theoretically granted. There is no legal or even practical reason not to (at least) anonymize the data in question. No payments or contracts are involved. Until today I have written about 7 mails to 4 different receivers including but not limited to the address listed in the above privacy statement, starting from August 2019. Without any reply at all. I tried opening tasks in their bugtracker and request information about the legal holder of the domain or a contact who may be able to fulfill my request. All my requests have been blocked and deleted immediately - even one of my domains has been blocked completely. Wordpress is putting preasure on avoiding me as hard as possible even tho I have written most polite messages and acknowledging integrity of their systems. What could I possibly do now to get my data erased or anonymized?
If a data controller fails to fulfil your data subject rights, lodge a complaint with your data protection authority. In Hamburg, the appropriate form is here. However, they are not required to investigate your complaint. Independently from a complaint, you could consider suing Wordpress for compliance – Automattic has a subsidiary in Ireland so this might actually be feasible. I'm not quite sure though that Automattic is indeed the data controller for wordpress.org, as opposed to the .com domain – the privacy policy isn't quite GDPR compliant. While your GDPR Art 17 Right to Erasure might not apply in this case, there's a definite GDPR violation because the data controller failed to respond to your request within a month as per Art 12(4). That your posts on the bugtracker were deleted doesn't look like an issue in this context, what does matter is that they didn't respond to emails to the addresses mentioned in their privacy policy. Whether you have a right to erasure depends on the legal basis for storing your data. In general, you have a right to erasure if: the data is no longer necessary; processing is based on consent (because you can always withdraw consent); or processing is based on a legitimate interest and they have no overriding legitimate grounds to continue processing despite your objection (Art 21). The data is still necessary to identify you for your actions on the bugtracker, but depending on your particular situation you may be able to object successfully and force them to anonymize your posts.
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).
The GDPR applies to such sites if they offer services in the EU/EEA. If they clearly wanted to avoid being subject to the GDPR, they should block visitors from the EEA. For the GDPR, only location matters. Other concerns like residence or citizenship are generally irrelevant. Personal data does not turn non-personal just because it was public. So the GDPR still applies when the data was collected from public sources. However, the data controller (who determines the purpose of processing) often has to balance your rights and interests against other interests (e.g. when using legitimate interest as a legal basis for some processing). For the purpose of publicly displaying your data, only showing data that was already public anyway makes it easier to argue that this is fine. But when the GDPR applies, you have data subject rights. Relevant rights include: a right to access, to see all the data they have about you a right to rectification, to correct wrong data they hold about you a right to restriction, effectively an opt-out a right to erasure (also known as the right to be forgotten) These rights apply both against the website and against Google Search (arguably, both are doing the exact same thing). Google correctly points out that they can't remove information from the Web, but they can hide information from search results. If you feel that your requests have not been resolved correctly, you can issue a complaint with your country's data protection authority. In theory you can also sue them. In practice, GDPR enforcement against overseas data controllers can be quite difficult and has not yet happened.
Cookies are information stored on the end users device and require consent¹ per the ePrivacy directive, even if the cookies or similar technologies don't contain personal data. Conditions for consent are defined by the GDPR. This was also confirmed by the "Planet49" case. 1. consent is required unless the storage of or access to information on the end users device is either strictly necessary for a service explicitly requested by the user, or necessary for technical reasons. E.g. functional cookies like a shopping cart feature in a web shop are fine, as are cookies used solely for security purposes or technical features like TLS session resumption. It is however likely that this cookie does qualify as personal data in the sense of the GDPR. The cookie contains an ID that lets you single out/distinguish this user from all other users, even though that ID doesn't link the user to a real-world identity. It is also possible to argue that the cookie is entirely anonymous, but the safer approach is to treat it as personal data. Similarly, other features of the website necessarily involve the processing of personal data, such as processing the user's IP address, if only for the purpose of responding to their HTTP requests. The GDPR's criteria for valid consent are mainly about ensuring that the consent is a freely given unambiguous indication of the data subject's wishes. For example, consent can never be the default, it needs to be an opt-in. However, Art 7(1) GDPR says that the data controller has the burden of proof of showing that valid consent was given. The GDPR itself does not provide further guidance on what this means specifically. I would argue that it can be decomposed into two aspects: Showing that valid consent was given. The manner in which you ask for consent must enable a free choice, and must respect that "no consent" is the default. For example, you could archive screenshots of the cookie management flow to show that there is a free choice. You could archive the frontend software so that it can be demonstrated that the cookie is not set until consent is given. Showing that this user gave consent. There is a wide variety of opinions on how to do that. My personal opinion is that the existence of a cookie paired with a valid consent flow to set that cookie demonstrates that the cookie can only have been set in a valid manner. However, there are consent management solutions that provide additional insight, such as the user's entire history of giving and revoking consent. For example, the user's browser might generate a pseudonymous ID enabling that user's consent history to be stored on some server. Indeed, that would be personal data, and this would have to be disclosed transparently. It would not be valid to use the consent management information for other purposes, for example by using the consent management ID for analytics purposes. Storing the user's consent history is definitely appropriate if you have a concept of identity, such as for signed-in users. I have doubts whether this is also helpful on websites that don't have user accounts, and I have not heard of a case where the existence of such records made a difference. After all, such records can only be relevant if the user gave consent but later disputes this in a complaint with a DPA or in a lawsuit. Which approach to choose will depend on more specific guidance provided by your country's data protection authority, and on the risk balance appropriate for your business. After all, the purpose of such compliance work is not to be 100% safe from lawsuits, but to reduce risks from enforcement/litigation to acceptable levels. What is acceptable is ultimately a business decision. E.g. the only 100% safe way to do web analytics is to have no analytics at all, but that is not acceptable for most businesses.
Any processing of personal data needs a legal basis, for example necessity for some contract or legitimate interest. If no other legal basis allows the processing, you need to acquire consent. Consent must be freely given. If something is gated behind consent without that consent being really necessary, this might coerce users and they would not be able to consent freely. The GDPR does not have a hard ban on this, but it explicitly calls out that this case must be considered when determining whether consent is valid. So what your company is trying to do is in a dark grey area. Not necessarily wrong, but likely so. Consent could be made free if users have an actual choice. For example, some online newspaper sites had success with a “pay or consent” wall. (Success in the sense that some data protection authorities allowed this). In your case, this could mean that users either consent to extra data collection, or that they buy some reasonably priced premium mode. But none of this is for you to decide. You can voice your doubts that the software would be compliant. You could also ask if the Data Protection Impact Assessment document for this proposed processing is available (creating such an assessment is likely mandatory in this case). But in the end, it is the company's obligation to be compliant, and this responsibility is largely shouldered by the company's data protection officer (to whom you can turn with further questions).
There is nothing in the GDPR requiring you to collect individual personally identifiable information. If the website has no need, and the website owner no desire, to collect such information, there is no requirement to do so. The GDPR requires that if such information is collected, that there is a lawful basis, and that it be handled appropriately and stored securely, and deleted when there is no longer a need to retain it, or on a proper request. If no such information is collected in the first place, all the rules about how to handle it do not apply. It is possible that some law of an individual country in the EU might mandate collection of some particular information, but I have not heard of any such requirement.
Do I need to inform the user about storing the score locally? No, there is no need as long as you don't transmit, store or process any personal info. It's doubtful that the score could be considered personal info, but you're not sending it to your servers in any way, so you don't seem to be processing it anyway. Do I need consent for using non-personal AdMob? You have to check this with AdMob, but usually, if it is non-personal, they shouldn't be processing any PI, so you're clear without informing. Do I need to ask for the age? How should I handle kids? Again, you're not processing any PI, so regarding GDPR there isn't any problem. Can I disallow a user from using the app if consent is not given? If you needed consent, no, it would be unlawful to block a user for not giving consent, unless it is impossible to provide the service without it. See recital 43: Consent is presumed not to be freely given if [...] the performance of a contract, including the provision of a service, is dependent on the consent despite such consent not being necessary for such performance.
How can I truly say that I 'consent' to data collection and processing when I am coerced, so to speak, by the threat of failing my courses if I do not use this novel software? There is no need for you to "consent". Consent is just one of the reasons that allows a data processor to collect your data. There are other reasons that allows the data processor to capture your data. In this case, it seems of application the "legitimate interest clause", as it is in your university's legitimate interest to capture your activity in order to evaluate you. Of course, that covers only the data collected that is relevant to that interest. They will certainly capture your identity and your answers, they may log your sessions and may try to gather some data to detect if you are somehow cheating, but they would not be allowed to check which are your favorite pornhub videos because that is not relevant for the university's legitimate interest. Art. 6 of the GDPR states: Processing shall be lawful only if and to the extent that at least one of the following applies: (a) the data subject has given consent to the processing of his or her personal data for one or more specific purposes; (b) processing is necessary for the performance of a contract to which the data subject is party or in order to take steps at the request of the data subject prior to entering into a contract; (c) processing is necessary for compliance with a legal obligation to which the controller is subject; (d) processing is necessary in order to protect the vital interests of the data subject or of another natural person; (e) 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; (f) 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. This page also provides some in-depth analysis
What Law Instructs How to Change A Signature I am trying to find the legal process of changing my signature. I am in USA. Here is what I found so far: https://www.quora.com/Can-you-legally-change-your-signature#:~:text=If%20you%20want%20to%20change,your%20bank%2C%20accountant%20and%20attorney.&text=Your%20signature%20is%20your%20signature,change%20your%20signature%20at%20will. https://legalbeagle.com/7633643-there-procedure-changing-legal-signature.html
As the link in your OP says, in the USA you do not have a legal signature. So the question for you is what signature do you want to change? That will give the answer to how you can change your signature, Your signature is used as a evidence that you signed a given document. If you said "no I di not" then potentially it could go to court, and the side claiming that you did sign might produce other evidence, or have a handwriting expert examine what you say is your signature, etc. Implications: For really important documents, often the parties will want a notarized signature. This means that someone who has a commission attests 'Yes, I saw her sign this." For something somewhat important, they might have a witness, but not a notary. In some cases, they might have a signature on file that is then compared. So the bank has a signature card (or now electronic on a pad). They can then compare a check to that signature. So to change your "legal signature: for checks, go to the bank and sign a new signature card. For something like mail-in voting, they check against the signature you used when you registered. Maybe that is the signature on your driver's license. Honestly, I think you would have to go and get a new driver's license. If it is not time critical (like you want it changed for this election), you can just use your new signature next time you come up for renewal. Speaking of driver's license, that is used to check your signature, is in a way it is the closest we have to a de facto "legal signature," in the same way that the card (or a non-driver ID card from the same place) is our de facto "official ID." So again, go get a new driver's license or just use your new signature next time you need a renewal. Summary: Go to the bank (all of the banks you have an account with) and sign a new signature card. Go to the DMV and get a new license, or just change your signature when you need a renewal.
As I understand it, legal procedure in Common Law jurisdictions (e.g. the UK) is primarily based on evidence given by a person. Paperwork exists to verify that someone has not misremembered something, but even when you have paperwork you need to have someone testify that this is the right paperwork and it hasn't been forged. A piece of paper on its own means nothing. In practice of course the two sides will agree to accept routine matters rather than dragging lots of third parties (e.g. the post office employees) into court to no point. In the case of a letter where you need to prove it was received, the sender will testify that they sent the letter and that the copy they have introduced into evidence is a true copy. The proof of delivery merely shows that the item wasn't lost in the post. If one party testifies that they sent a letter and the other testifies that they merely received an empty envelope then someone is lying, which is a crime meriting further investigation.
Can I sign legal documents with a smiley face? Yes, that is lawful. A person's signature does not necessarily have to include the person's name or initials. What matters is that the signature reliably and unequivocally identifies the person who produces it, which apparently you have been able to prove by showing your driver's license. The Black's Law Dictionary (4th Edition) states in its entry for signature that "whatever mark, symbol, or device one may choose to employ as representative of himself is sufficient". It directs to the entry for sign, which likewise speaks in terms of "any mark, as upon a document, in token of knowledge, approval, acceptance or obligation". Accordingly, your signature qualifies as mark or symbol that fits these purposes. Your history of signing other legally binding documents that way further reinforces the authenticity of your signature. If it is legal, is it a bad idea? It is a bad idea to the extent (if any) that (1) others can easily forge your signature (notwithstanding that forgery or identity theft might be proved circumstantially); and (2) verifying your identity may cause hassle or annoyance to you and/or third parties. But this paragraph obviously is applicable to any and all signatures, not just those which at first glance may seem to be a joke.
In German Law you need to give your agreement ("Willenserklärung") to a contract or in this case terms of service. This is done by telling the other part. In some cases this can also be implied by an action (example: putting your bottle of beer onto the cashiers table is an offer to buy this bottle). As a second criteria a "Willenserklärung" needs to be the exact will of the part that declares its will (the website user in this case) §§ 133, 157 BGB or that the other side (you) could only see so (not the case here as this mainly speaks of content). If you visit a website and there are terms of services, the "Willenserklärung" is only given when the user read and agreed to the terms. If he did not, the terms of service are not applied until the user agrees to them. So I would recommend to block the website until the user agreed (overlay) as you need to proof he did when in court. Additionally there are so called AGB's in Germany. Those are contracts that are used or planed for many (more than 3) uses and set by one side (you). This may apply here, so you need to follow a lot of other rules like making sure the user had access and agreed, then there are many content restrictions and so on... I recommend consulting a German Lawyer specialized on this topic as this is very complex and includes other German laws for Media too, depending on the content of your site and terms. Also note that everything said is only based on my own knowledge and can not be used as safe legal source.
The relevant law is trademark law. The basic question is whether the mark is identical or creates an unreasonable risk of confusion with the protected mark. There is no per se 30%-40% rule. I can imagine cases where changing a single letter in a long phrase turns a trademark violation into a parody or clearly different mark (see the Electric Company TV show). I can also imagine cases where changing a large part of the mark could still be infringing and confusingly similar. A parody is protected on fair use grounds in copyright law (which could conceivably come into play since this is a derivative work but would be protected since it is a parody), but in trademark law the issue is that a parody is unlikely to be confused for the original. Of course, at a fine grained level when one is looking at particular cases rather than general ideas, you would have to know which country's laws were involved, for example, where the goods would be sold.
No, Specific Ink Colors are not Required That is not correct. If the purple will not photocopy well, the other party might reasonably ask for a color that will. But a signature is normally only evidence of agreement to the provisions, and it is the agreement that is legally important. The color of the ink used does not change the agreement. It is normal to expect a signature to be in a permanent ink. A signature in pencil or erasable ink might be legal, but the other party will not want to accept it, and it would be reasonable to comply.
For the same reason you can’t ask the parties to a contract what they meant Legislation, once enacted, stands on its own independent of the people who drafted it, introduced it to Parliament and voted for or against it. These are not the same people in any event and since the legislation might have been passed anywhere between the 13th and 21st centuries, a lot of them will be dead. There’s a fundamental issue of fairness here. The people who are obliged to comply with the law (you and I) can’t ask the politicians so neither can the judges who have to decide if we did. Further, the judiciary cannot interact with the executive or the legislature in this way without violating the principle of separation of powers. Imagine you are charged with a crime and your guilt or innocence turns on the interpretation of the statute. Do you really want politicians who are looking at how the case plays out on Twitter telling the judge which interpretation to use i.e. effectively telling them whether you are guilty or not?
Is it legal to redefine a term against common sense in a contract? Generally speaking, yes. What matters is that the contract be clear enough for the parties to be aware of the terms and conditions to which they are committing. Both of the scenarios you outline seem lawful. They are binding to the extent that the definitions & language therein duly inform the parties of the substance of the contract. Definitions in a contract are most pertinent where the meaning of a term is intended to supersede and replace the commonplace meaning thereof. A contract would become null and void if the substance of that contract contravenes legislation. If legislation outlaws not only the effect of a clause but also its meaning, then the [un-]lawfulness of that clause is not altered simply by crafting definitions of terms. In other words, laws or legislative intent cannot be elluded by relabeling concepts in a contract. Whenever lawful, the attempt to trick a party with tactics (such as the use of uppercase you mention) is likely to be voidable by that party. The rationale is the same: The draftsman's attempt to confuse the user contravenes the contract law tenet that the parties knowingly enter the contract at issue. Notice that in the preceding paragraph I wrote "whenever lawful" rather than "although lawful". The reason for that choice is that, in some contexts, the draftsman's tricky attempts might constitute a deceptive practice and thus be in violation of the law (for instance, consumer protection laws).
If a driver is stopped by police, does the officer have the right to demand car documents? Whenever someone is stopped by police because of a traffic violation or a regular check, does the police officer have the right to demand car documents and proof of insurance without a search warrant? Please note that the question is about the car documents or anything other than the occupant's identification (which any officer has the right to demand).
As has already been said, as far as the vehicle registration, the officer likely already knows who the vehicle is registered to and whether it's expired or not before he walks up to your car, or at the least, he can easily find that information out. The proof of insurance is a different matter. The officer will need to see it to know if you have insurance or not. To him, it doesn't matter what the reason is that you don't provide it to him. Left it at home, misplaced it, lost it, destroyed it, or just refuse to provide it because you feel you have the right to refuse. He can't "force" you to provide it (unless he is able to search your car and happens to find it there). He can only issue you a ticket for not providing it. But your attitude could play a part in what happens next. Being upfront and letting the officer know you have left your documents at home could help your situation. In my experience... one time that this sort of thing happened to me, the officer agreed to hold my drivers license and allowed me to bring the documents to the police station and retrieve my license. Another time, in a parking related matter, I was issued a ticket, but I was allowed to bring the required documents to the police station where they then "invalidated" (cancelled) the ticket. Of course this won't always work, and is not at all likely to work if you are far from home. Keep in mind, (as far as I know, in most states) the real infraction is that you "don't have insurance"... that you failed to provide proof when asked, is secondary. In many cases (likely nearly all cases), if you show up in court and provide documents that your insurance is current, and was current at the time the ticket was issued, the judge (or the prosecutor) will likely dismiss the case with no penalties. But, what the officer has written down on the ticket about your attitude and what you told him at the time, may have an effect on how this all plays out.
Using two states as examples: In California, emergency vehicle operators are exempt from pretty much the entirety of the rules of the road (VC 21055). They can pass you on the right if they want to. Department policy might say no, but that depends on department policy and the details of their emergency vehicle operation course. However, California law requires all drivers to pull to the right when an emergency vehicle approaches (VC 21806). Even though an ambulance driver legally could pass you on the right, you are required to pull right. According to the BLM's emergency response policy for fire personnel in California, this means passing on the right is heavily disfavored: the emergency vehicle operator doesn't know that the driver (who is clearly not paying much attention) won't suddenly notice them and comply with the vehicle code, cutting them off or running into them. Other policies/things which seem to reflect policies say similar things, and all make it clear that operators need to be careful that the car they're passing won't drive into them. In Maryland, the law is a bit different. Section 21-405 of the Maryland Code obligates drivers to move to the edge of the roadway. This means either edge, so on a divided highway you might pull left. On a non-divided road, you obviously pull right. In this case, the vehicle may end up passing you on the right, but again: they are going to be careful about it, and would rather you get out of their way so they don't have to worry that you'll suddenly see them and drive into them.
First, if the police officer had reasonable cause to believe that a crime was in progress then the search would not be illegal in the first place. However, let's assume the search was illegal. Normally the evidence would be excluded under the exclusionary rule. However, there are two exceptions known as the independent source and attenuation doctrines. The evidence of the police officer as to the imprisonment would be excluded. However, the evidence of the victims is independent of that illegal search and their testimony would be admissible. Further, that testimony would allow independent discovery and admissibility of any physical evidence in the property. However, if the victims were dead, then there would be no independent discovery and none of the evidence would be admissible.
Sending a letter to the red light camera company or police department may or may not get the charge dropped before trial. But whether the charge gets dropped before trial isn't the important question -- after all, people sometimes do get charged wrongly -- rather, the question is, if it goes to trial, whether you will win. Since this question is about California, all traffic tickets in California, including red light camera tickets, are criminal cases (that's why the case will be named "People of the State of California v. [your name]" in court documents). The burden of proof is on the prosecution, and the standard of evidence is "beyond a reasonable doubt". There is no provision in California law to fine or otherwise punish the owner of a vehicle for a moving violation, except through a conviction as the driver who committed the violation. If you plead not guilty and it goes to trial, the burden will be on the prosecution to prove beyond a reasonable doubt that the driver was you. If the driver in the picture does not look like you, there is no way they can meet that burden, and the court must find you not guilty. (In most cases the prosecution will immediately drop the case when they discover that the picture does not look like you.) Note that you have an absolute right to not testify in your own criminal trial where you are the defendant, so there is no way they can force you to testify at the trial about who the driver was if it was not you (which would be irrelevant to the case against you anyhow). If you do not say who the driver was, and the police department fail to guess who it was (e.g. by searching for drivers whose licenses share the same address as you for someone who looks like the one in the picture), then nobody gets fined or punished for the violation. This is true even if you know full well who the driver was, or even if you were pictured sitting right next to them. You don't need to claim not to know who the driver was, because whether you know or not doesn't matter -- you have no legal obligation to tell the identity of the driver even if you know, and you cannot be fined or otherwise punished for the violation if you intentionally refuse to tell.
The police officers themselves are covered by Qualified Immunity - to put it briefly, a government official acting in their official capacity in a discretionary act (as in, they have some discretion in whether/how they carry out the act) is immune from suit so long as they pay reasonable deference to relevant law. In the case of the police, so long as the search or seizure itself is reasonable (either because there is a warrant, or because they had probable cause), they can take appropriately destructive measures to carry out their duty. Even if the search or seizure is later found to have been unreasonable, an officer may still have Qualified Immunity unless their action violated "clearly established statutory or constitutional rights of which reasonable person would have known" (Harlow v. Fitzgerald). However, a search/seizure doesn't give the police license for arbitrary destruction, whatever they do has to be reasonably pursuant to the legal search/seizure. For example, if a suspect is barricaded in a house with a gun, they can knock down doors, windows and walls to apprehend them. On the other hand, that does not mean the officers can then break open safes to try and find evidence - once their probable cause for the entry is fulfilled (apprehending the suspect), they need to get a warrant to do more than a plain sight search of the house. Warrants will specify what items are being searched for, so even with a warrant the police have to take reasonable measures to carry it out - an example of an unreasonable measure would be to tear into walls in order to try and find a stolen bicycle. On the other hand, tearing into walls could be justified if their warrant included searching for drugs from a dealer, where it is not uncommon to hide them in the walls. States and the Federal Government enjoy Sovereign Immunity from suits in most cases. There are some exceptions, but none would apply in this case so long as the general policy of the police department was not illegal or unconstitutional. However, county and city governments do not enjoy Sovereign Immunity and state governments and the Federal Government often allow suits against them for negligence from their actors, so someone injured by unreasonable police action can usually try to recover damages from the officer's department.
See Rodriguez v United States 575 U.S. ___ (2015). It has language describing the extent to which a police office can make "ordinary inquiries" incident to a traffic stop (internal citations removed): Beyond determining whether to issue a traffic ticket, an officer’s mission includes “ordinary inquiries incident to [the traffic] stop.” Typically such inquiries involve checking the driver’s license, determining whether there are outstanding warrants against the driver, and inspecting the automobile’s registration and proof of insurance. These checks serve the same objective as enforcement of the traffic code: ensuring that vehicles on the road are operated safely and responsibly. The touchstone of the Fourth Amendment is reasonableness. The government is only prohibited from unreasonable searches and seizures. Warrantless traffic stops are allowed if the officer has a reasonable and articulable suspicion that the driver has violated a traffic law. Once stopped, the officer can make "ordinary inquiries" described above. Regarding Fifth Amendment concerns, the Fifth Amendment's document-production privilege does not apply to regulatory type records that are required to be kept by law or items analogous to a required record. Baltimore City Dept. of Social Services v. Bouknight, 493 U.S. 549 (1990)
united-states Yes. The right to film police carrying out their duties is constitutionally protected. See, e.g, ACLU v. Alvarez, 679 F.3d 583 (7th Cir. 2012) and Glik v. Cunniffe, 655 F.3d 78 (1st Cir. 2011). Of course, one could always imagine some fact pattern in which some other consideration overrode this constitutional right (e.g. filming would have had the effect of destroying evidence that was light sensitive, so the police were using night vision equipment). Related: Boulder, Colorado pays $95,000 to settle the claim of a man arrested for filming the police.
There are a variety of situations like border crossings, entry into official buildings, etc. in which there is a general right for law enforcement to demand identification on a suspicionless basis, none of which seem to apply in this case. But, the most common justification for demanding ID is to make what is called a Terry stop (after the name of the U.S. Supreme Court case that upheld the legality of these stops in the face of 4th Amendment limitations on searches and seizures). Wikipedia accurately summarizes the law in this area as follows. A Terry stop is: a brief detention of a person by police on reasonable suspicion of involvement in criminal activity but short of probable cause to arrest. The name derives from Terry v. Ohio, 392 U.S. 1 (1968), in which the Supreme Court of the United States held that police may briefly detain a person whom they reasonably suspect is involved in criminal activity; the Court also held that police may do a limited search of the suspect's outer garments for weapons if they have a reasonable and articulable suspicion that the person detained may be "armed and dangerous". To have reasonable suspicion that would justify a stop, police must be able to point to "specific and articulable facts" that would indicate to a reasonable police officer that the person stopped is, or is about to be, engaged in criminal activity (as opposed to past conduct). Reasonable suspicion depends on the "totality of the circumstances", and can result from a combination of facts, each of which is by itself innocuous. The search of the suspect's outer garments, also known as a patdown, must be limited to what is necessary to discover weapons; however, pursuant to the "plain view" doctrine, police may seize contraband discovered in the course of a frisk, but only if the contraband's identity is immediately apparent. In some jurisdictions, persons detained under the doctrine of Terry must identify themselves to police upon request. In Hiibel v. Sixth Judicial District Court of Nevada, 542 U.S. 177 (2004), the Court held that a Nevada statute requiring such identification did not violate the Fourth Amendment's prohibition against unreasonable searches and seizures, nor, in the circumstances of that case, the Fifth Amendment's privilege against self incrimination. New York is one of the many states that has a stop and identify statute, that allows an officer to insist on presentation of an identification any time there is a legal basis for making a Terry stop. The New York stop and identify statute is N.Y. Crim. Proc. Law §140.50. This says: 1. In addition to the authority provided by this article for making an arrest without a warrant, a police officer may stop a person in a public place located within the geographical area of such officer's employment when he reasonably suspects that such person is committing, has committed or is about to commit either (a) a felony or (b) a misdemeanor defined in the penal law, and may demand of him his name, address and an explanation of his conduct. 2. Any person who is a peace officer and who provides security services for any court of the unified court system may stop a person in or about the courthouse to which he is assigned when he reasonably suspects that such person is committing, has committed or is about to commit either (a) a felony or (b) a misdemeanor defined in the penal law, and may demand of him his name, address and an explanation of his conduct. 3. When upon stopping a person under circumstances prescribed in subdivisions one and two a police officer or court officer, as the case may be, reasonably suspects that he is in danger of physical injury, he may search such person for a deadly weapon or any instrument, article or substance readily capable of causing serious physical injury and of a sort not ordinarily carried in public places by law-abiding persons. If he finds such a weapon or instrument, or any other property possession of which he reasonably believes may constitute the commission of a crime, he may take it and keep it until the completion of the questioning, at which time he shall either return it, if lawfully possessed, or arrest such person. 4. In cities with a population of one million or more, information that establishes the personal identity of an individual who has been stopped, questioned and/or frisked by a police officer or peace officer, such as the name, address or social security number of such person, shall not be recorded in a computerized or electronic database if that individual is released without further legal action; provided, however, that this subdivision shall not prohibit police officers or peace officers from including in a computerized or electronic database generic characteristics of an individual, such as race and gender, who has been stopped, questioned and/or frisked by a police officer or peace officer. In this particular case, if the law enforcement officer were more clever, he would have said that he was concerned that the crew might be using the drone to case the property in order to commit a crime there in the future. And, if he had said that, this would surely pass muster for reasonable suspicion for a Terry stop and would have provided a legal justification for demanding ID. The "about to commit a crime" justification for a Terry stop makes it, in practice, much broader than probable cause for an arrest, which requires that the police believe that a crime has actually already been committed or is in progress, not just that someone is about to commit a crime (a person may be subjected to a Terry stop even if his actions which tend to show he is about to commit a crime have not yet progressed to the level of an attempted offense for which someone may be convicted and are not truly imminent). (Actually, strictly speaking, the officer is only entitled to determine the information that an ID would reveal, and not to insist that someone actually have the ID on his person, under state law, although a local ordinance or court interpretation of the law could possibly give him the authority to actually demand an ID to determine this information. For example, California courts have held that a duty to provide basic information implies a duty to provide it in a verifiable manner.) The fact that the law enforcement officer failed to articulate any legal basis for the stop, yet went on to arrest the individuals, weakens the case that the stop was valid considerably, because generally, at least in theory, a law enforcement officer is supposed to be able to articulate the reasonable suspicion for the stop at the time that the stop is made and not days later after the fact. In addition to stop and identify laws, some states (including Colorado) have held that failing to provide an ID on demand, under the "totality of the circumstances" can sometimes constitute obstructing a police officer and provide a basis for an arrest. It isn't inconceivable that a law enforcement officer in this situation could make that argument and prevail at least in showing probable cause for arrest on that basis, even if it wasn't a sufficiently solid argument to give rise to an obstructing a police officer conviction.
(UK) What does "the landlord must carry out repairs within a reasonable amount of time" mean? I’ve had a serious leak in the property I’m renting, and had to move out because the water was coming through the lights, so the water, and electricity had to be turned off. The landlord has requested a plumber when the problem happened to come over, and investigate the problem. He left saying: “I have no idea what happened”. Next day, another guy - “someone” just to quote what the landlord said - came over, left with the same result. Nothing happened for 8 days, and then, at 3rd of September another investigator came, who also left with: “I don’t know”. He's just asking for the property management company, and... they repaired the lift in 2 months, so not much hopes. As I’ve read, in the UK law, the landlord must carry out repairs in a reasonable period of time. Not too sure if carry out means completing the works, or just starting the process, but if he chooses the cheapest slowest workers, it may end up even one year, and I’ll have to live in a hotel for that long just because the landlord says: “there wasn’t any delay on my side”. So when can I sue the landlord for disrepair - not fixing the problems in time?
Pretty much any time a contractual, statutory or case law precedent uses the word "reasonable" what it means is that the decision regarding what is and is not reasonable is vested in the trier of fact (i.e. the judge in a U.K. landlord-tenant case) to decide on a case by case basis in light of all of the facts and circumstances presented at trial, rather something to be decided as a matter of law by an appellate court absent of extreme abuse of discretion by the judge in determining what is reasonable. Put yourself in the judge's shoes and consider the range of opinion that people who are judges in a case like this might have, and you have your answer. A reasonable amount of time balances out factors like the availability of repair contractors at a reasonable price, the magnitude of the repair, and the extent to which the repair impairs the habitability of the premises, and assumes a time frame that would apply if the landlord is diligent and trying to solve the problem in good faith. A reasonable time to fix a broken heating element is different in July than in January. If three different inspectors failed to determine the cause of the problem, that is going to work in favor of the landlord for a longer period of time. So will the significant extent of the damage (apparently). On the other hand, the fact that the repair rendered the premises completely uninhabitable argues for a shorter time period. Starting late to address an urgent problem could be breach, although it doesn't sound like this has happened here if some action has been taken that would seem to be reasonable under the circumstances and the results have been inconclusive about what to do. Unnecessary foot dragging could also be a fact in reasonableness, because ultimately the duty is to get the job done. There may also be a parallel duty of the landlord to provide a habitable premises and to compensate you for time when this is not provided, in addition to the duty to repair within a reasonable time. Asking to be paid for alternative accommodations while diagnosis and repairs are underway would be a logical demand to make before suing for a fairly small dollar amount in an ongoing lease. You would probably focus on failure to repair in a reasonable time more if you seek to terminate the lease entirely and rent elsewhere instead in the face of repair delays, hoping to avoid the duty to pay rent for the remainder of the lease term due to the landlord's breach of the duty to repair under the lease.
If the lease ends on 14 August then, unless there is a time in the lease, the tenant must be gone before 0:00:00 15 August. If they leave anytime on the 14th (or earlier) they are in compliance with the lease. If there is no provision for pro-rata rent if they overstay and agreement cannot be reached, if the tenant overstays the landlord can sue for whatever damage (loss) that actually caused. Specific legislation wherever you are may change this.
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 landlady is trying it on. The purpose of a deposit is to protect the landlord from being left out of pocket by: damage to the property rent arrears Reasonable wear and tear does not constitute damage. It seems unlikely that the stiff tap is as a result of damage. The hob is not so clear cut: the landlady could argue that it was damaged, albeit by accident, and the cost of repair taken from your deposit. If she insists that the only remedy is to replace the hob, she should make an appropriate deduction to reflect the fact that it is several years old and will be replaced by one that is new (thereby gaining her some value). It would be reasonable for you to expect to see the written report from the gas inspector who has condemned the whole hob in that case. But I find it hard to believe that: the plastic knob cannot be replaced doing so would make the hob unsafe, if the knob can be removed for cleaning it's my understanding that if the hob is indeed broken, I only have to pay what it was worth at the moment before it was broken. Your liability is to return her to the position she would have been in had the damage not occurred. If that means replacing a removable plastic part instead of the whole hob, that would be a reasonable remedy.
This guide from Shelter lists the steps you should take. It can be summarised as: if the landlord fails to arrange the repairs, contact your local council. If they can't help, you can arrange the repairs yourself and request that the landlord reimburse you. If the landlord still refuses to co-operate, then you can pursue legal action. It's important that you document everything you're doing, and keep the landlord fully informed at every step. The guide states that you can deduct the cost from future rent. But it also says: You do not have the right to withhold your rent if your landlord refuses to do repairs. If you don't pay rent, the landlord could take steps to evict you. ...so you may want to get expert advice before going any further.
In most jurisdictions, yes, you must give 30 days notice; this is a statutory requirement incumbent on both parties. This (your rental type) is a tenancy-at-will. If you pay rent monthly (on 1st) then this is the period of time required for notice to vacate. In some jurisdictions 30 days is required no matter what intervals you may rent (say weekly), other jurisdictions if you pay rent weekly then a week's notice is all that's necessary. This is In the absence of a rental agreement setting forth another agreed to term. See this question: If no prior contracts have been signed, can a landlord make tenants sign after a week of tenancy? It is not the same but there is some information on this type of tenancy.
The Immigration Act 2016 introduced the so-called 'right to rent' provisions under which a landlord can be prosecuted for renting accommodation to someone who is not legally in the UK. Everyone in the UK, Brits included, is subject to the Act. This gives the landlord the right to examine your work permit and to see if your visa is valid. The landlord will make a copy of the information. This makes the landlord a data controller which imposes restrictions on how the information can be used. Because this became controversial, the Information Commissioner published a brochure on the things a landlord can do with your data. All things considered and based upon what you wrote, if the landlord did not get your permission to use the data, then it's likely he is in breach. But this does not mean it's actionable or that it would be advisable to make a formal complaint to the Commissioner. If you want to pursue it, you can use the Commissioner's "Report a Concern" page as a starting point. Alternatively, you can lodge a formal complaint with your landlord and he will have to respond to it. What does the law say? The act giving the landlord the right to access your data is in the 2016 act linked above. Everything else is in the Data Protection Act 1998. The ILPA Information Sheet is at "Right to Rent". "The information sheet was updated on 01 November 2016 to take account of the second commencement order issued by the government, on 31 October 2016, bringing further provisions into force." The information sheet is recommended reading for anyone in the UK on a work permit. Disclaimer: I'm a member.
As soon as possible. Liability There is no contract here so you would be relying on the tort of negligence and/or trespass. If you have suffered damage from somebody else's negligence then they are liable for your loss. Part of the problem that you face is you need to determine exactly who was potentially negligent. It probably isn't your neighbour! It is quite likely that your neighbour was using a contractor; a contractor is not an agent and so your neighbour has not been negligent, the contractor has. If you were to sue your neighbour in those circumstances you would lose. You need to take steps now to find out exactly who the person was who caused the damage - that's the person you would need to sue. To win a negligence claim, you need 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 negligent conduct was, in law, the cause of the harm to the plaintiff, and the plaintiff was, in fact, harmed or damaged. If the facts are as you say: They probably have a duty, They probably failed in that duty, See below, You have clearly suffered harm or damage. Types of loss or damage The treatment of loss or damage under the law depends on what type of loss it is: Direct loss includes the repair and rehabilitation of the property - this would generally be recoverable, i.e. legally it is a cause of harm. Consequential loss includes the loss of rental income during the period that the property is unavailable. Alternatively, a court may consider that the loss is the cost of you providing alternative accommodation to the tenant if this was an obligation on you; this could be more or less than the rent. It would also include relocation costs etc. This is also generally recoverable. Pure economic loss would include loss of earnings if the tenant terminated the lease and you were unable to find a replacement or were forced to lower the rent as well as any advertising or agent's costs. While it is possible to recover this, it is quite likely that this would be considered unforeseeable and therefore not a legal cause of harm. The legal reasoning is that the loss (tenant terminating the lease) is too far removed from the proximate cause (damage to the unit) to hold the defendant responsible for it. You have already indicated that the tenant is trying to use the circumstances to their advantage; this is not something that could have been foreseen. Duty to mitigate loss You have a duty to mitigate the loss caused by the negligence. This would normally include ensuring that repairs were carried out in the most time and cost-efficient way possible. The defendant is only liable for reasonable costs; not actual costs. Insurance If a third party is liable for the loss, then they are liable for the loss irrespective of if it is covered by your insurance. Your insurance company can sue in your name to recover whatever they have lost; while they can, they will only if they believe it is commercially worthwhile. You need to talk to your insurer to determine what they will cover and what they won't and if they are going to seek to recover and what they will do if you seek to recover - they may choose to take the lead and tack your stuff on the back.
Do I need a permission to create an avatar or a game character based on an Manga/Anime/Cartoon character? I was thinking of creating digital characters that then I can use as an avatar in a VR (Virtual Reality) chat or in a small game. It is not initiated by any company or anything so I don't know what are the legal limitation. I just like to show up as the character I like and I know a lot of other people do as well, so I though I could create it, but I am afraid of being sued. I also like to know if it makes any difference if the product is free or for commercial use. Any other details would also be appreciated of course.
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.
This is relatively uncharted legal territory, so until multiple cases establish some sort of precedent, we can only guess. I know of no legal requirement that a Browser or User has to submit cookies or referrer data or other meta-information accurately. In that regard, a user is unlikely to be prosecuted just for submitting HTTP headers. It is likely closely related to Free Speech issues. The DMCA spells out that it is illegal to circumvent copyright protection measures. While this law is typically used to make it illegal to copy DVDs, video-games or streaming movies, it is possible that the "3-free articles" policy could be interpreted as a copyright protection mechanism, and defeating it by changing HTTP headers is a circumvention. A good summary is here. A specific site's TOS (Terms of Service) probably contains language that spells out it is a violation to use the site in a manner other than as it is intended. This is a typical anti-hacking, anti-screen-scraping provision. Altering a browser session to circumvent their services is probably a violation of the license to access the site, and may open a user to a civil lawsuit for damages or even criminal hacking charges (the details of which are different state-to-state)
I am not a lawyer, and none of the following should be seen as legal advice. While it is always best to assume every image has a copyright.... In your scenario... traditionally if you are selling a product, there's generally no harm in using images of that product to assist in the sale. But even then photographer copyrights should be considered. Images of products may not only contain copyrighted material within the photo, but the photo itself is probably also copyrighted by the photographer. Just blankety taking images from other web sites is a poor practice in general and will customarily just get you into trouble. However, many manufacturers or distributors will actually provide resellers with product images. You can check the product manufacturer's web site for a "press" or "media' section. There are often downloads provided in those areas. I don't know hairdressing.. but as an example, General Motors has a special web site known to GM car dealers where the dealers can download high resolution images of the cars and products for ads, etc. I've done work in the past for a GM dealer who provided me with the web site and log in details so I can get product imagery. In addition, few manufacturers will take umbrage that you are using their images to sell their products. They want their products to look as good as possible wherever they may be displayed. In many cases, they may prefer you use supplied images rather than use your own. Customarily you would include a disclaimer in the footer somewhere: The product names, company names and product images used on this web site are for identification purposes only. All trademarks and registered trademarks are the property of their respective owners. Note, I am referring to images from the manufacturer's web site, not from competing businesses. If you are building a site for "Bob's Hair Styling" it's unethical to take images from "Kate's Hair Dressing" for your use. Stick to the manufacturer... if selling Paul Mitchell products, check the Paul Mitchell web site for available product images.
This is known as "film novelization"(For example, the novelizations of the Star Wars movies are film novelizations, created under license), and is copyright infringement unless made under a license from the copyright holder. Specifically, you would be making a derivative work of the original, by changing the medium. One of the rights provided by copyright is the right to control the transference from one medium into another. This, in my (non-lawyer) opinion, is unlikely to be found as fair use. There are four test factors for determining fair use(source), decided on a case by case basis: Transformative Character of the Derivative Work: Unlikely to be found in your favor, as nothing is transformed ("I don't change anything, the name are the same, everything is the same, it's just a conversion to textual form"). Nature of the Original Work: A narrative entertainment film, thus unlikely to be found in your favor. Amount and Substantiality of the Portion Taken: You've taken all of it; not in your favor. Effect on the Potential Market: You are essentially providing a free version of what copyright holders can often charge for; negative effect on their potential market. Not in your favor.
IF part of your code and data is non-open-source, you can't release this software under the MIT license. However, from what I know, CS:GO uses real-life weapons, and their names aren't protected by copyright. Weapon stats aren't copyrightable either. With skin names, you should be safe as well, since there isn't enough (or any) lore around them to establish them as literary works. However, if you are using any in-game descriptions or images, they are copyrighted content and can't be legally copied without permission from Valve. Which might be easy to obtain by writing them.
License to use does not mean license to create derivative works These are different rights under copyright. If you want to make a derivative work, which your animations are, you must have a license to do so.
Yes The relevant legal concepts are copyright, contract law and the Computer Fraud and Abuse Act. You are liable to be sued by the people affected for damages and/or be prosecuted by the government for the felony under either or both laws. Let's start here: "I bought a game". No, you didn't; you bought a licence to use the software in accordance with the terms of service (licence) that you freely agreed to. All modern ToS will not allow you to reverse engineer the software. If you breach those terms of service then you have broken a contract - that is what allows them to sue you. They will no doubt argue that the prevalence of cheat routines developed by people like you reduce the number of people willing to play the game - say 100,000 users x $10/month * 12 months = $12,000,000. They will also ask the court to impose punitive damages to discourage this sort of thing. Which brings us to the copyright violation. You are allowed to copy their software provided you comply with the ToS. But you didn't. Therefore you are in breach of the Copyright Act and subject to additional civil and criminal sanctions. Finally, your "cheats" access their servers in a way that the ToS doesn't authorize. This puts you in breach of the CFFA - breaking this carries serious jail time penalties. Not to mention that in the US, a criminal conviction will preclude you from many jobs, including, naturally, any with access to company computer systems. Putting aside the illegalities, cheats are unethical and ruin the game experience for hundreds of thousands of people who don't use cheats. You are a criminal - stop being one!
"...claiming that the license can be revoked at any time." Of course a game company can revoke their license at any time. The company grants you a license to use the product, and a license is not an obligation on their part to provide the product, or a right to use it on your part. There's nothing illegal about a license or TOS that has clauses which stipulate when the license or TOS can be revoked changed or revoked.
Can defense request findings of fact before resting? Hypothetical scenario: A victim is identified with documented injuries consistent with having been struck with a weapon. The police find and charge a person (now "Defendant") that they claim perpetrated the act of striking the victim with a weapon. This Defendant stands trial for the crime of "Assault." Common Law provides a number of Criminal Defenses that could be raised in this scenario (e.g., Self Defense, Duress). However, in order to raise such a defense the Defendant would have to effectively confess to the Assault (or at least some critical elements of it). E.g., a Defendant can't argue, "I feared for my life" without, in effect, admitting that he was present and capable of striking the victim. Can the Defense require that the fact-finder in a trial (typically a jury) rule on prefatory facts, before it finishes the defense? In this hypothetical, it seems prejudicial (and something like a violation of a Defendant's fifth-amendment right to not witness against himself) to require that the Defendant admit that he was present at the scene of the crime in order to invoke a defense. It seems more consistent with the principles of our legal system to allow the Defense to require the Prosecution to first prove beyond a reasonable doubt that the Defendant was at the scene of the crime. Because if the Prosecution can't meet that hurdle, then that's the end of the trial. In practice is it possible for the Defense to avoid presenting affirmative defenses (like Self Defense) before the Court has found beyond a reasonable doubt that the Defendant committed the crime? If so: How? If not: Is there some theory or principle that illuminates why this is not considered a violation of the Defendant's fifth-amendment rights?
Can defense request findings of fact before resting? Is it possible for the Defense to avoid presenting affirmative defenses (like Self Defense) before the Court has found beyond a reasonable doubt that the Defendant committed the crime? If so: How? No, no and not applicable. A verdict is a singular declaration by the jury (or judge) that the state has or has not proved their case. Affirmative Defence These are all affirmative defenses which defeat or mitigate the consequences of the unlawful conduct and the onus of proof lies with the Defence, not the Prosecution. An affirmative defence must be pleaded in a timely manner. If the Prosecution fails in their burden to prove the unlawful conduct the affirmative defence does not get engaged. This is a threshold decision point for the trier of fact and the judge should so instruct the jury. Of necessity, affirmative defences require some admission of fact, however, these facts may not be in contention anyway. Where they are in contention, it requires a strategic choice by the defendant as to whether to use the affirmative defence or not. Is there some theory or principle that illuminates why this is not considered a violation of the Defendant's fifth-amendment rights? Because the defendant is not compelled to make these defences.
I suspect that you would not be convicted in the present case, because the jury would be sympathetic to the plight of the person being dragged out and unsympathetic to the behavior of the draggers. However, we should set aside the emotional elements of a jury trial and focus on legal principles. The basic question is whether a person has the right to use force to defend against an unlawful battery: "a person is privileged to use such force as reasonably appears necessary to defend him or herself against an apparent threat of unlawful and immediate violence from another". This right to defense also extends to defense of others. But it has to appear to be to unlawful, which is to say, you have to reasonably believe that the force used against the victim is unlawful. If a couple of thugs try to drag a person away, then an observer probably has a reasonable belief that this is an unlawful battery. But if a couple of police officers are observed dragging a person away (arresting him), apparently acting officially, the force used (up to a point) is apparently lawful and would not constitute battery of the victim. For defensive force against police to be lawful, the forced used by the police must be excessive. The outcome then depends on what a reasonable person would conclude (this is where the jury or judge makes a rather subjective decision). If a reasonable person would conclude that the assailants are acting lawfully in arresting the person, then a higher bar must be clear to justifiably use force in defense of others. Wearing a jacket that says "Police" favors the "appears lawful" side (though if you happened to know for a fact that the person wearing the jacket is not a police officer, then the "police exception" would not be applicable). In the relevant case, the facts point to the appearance of a lawful arrest (even if were to turn out to be judged unlawful). In the case that this is an apparent arrest, it would have to be the case that a reasonable person would find the force used to be excessive. Generally speaking, force used by officers is held to be reasonable, except in some cases where it is not. See for example the matter of Eric Garner, where the officers involved were not indicted. On the third hand, in this case, it might matter what the actual legal status of the "officers" is (they are not Chicago police).
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).
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.
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.
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).
There is pretty much never a right to retaliate against harm to oneself, even blatantly unlawful harm. There is a right to defend oneself and others. One can use force to stop someone from inflicting unlawful or unjustified harm, or to prevent someone from inflicting such harm when the harm is imminent. One is not permitted to use more force than is "reasonably required" under the actual circumstances. This is true in pretty much every jurisdiction that i know of. The details on how much force will be considered "reasonable" will vary. In some jurisdictions there is, under some circumstances, a s"duty to retreat". This generally means that if a person attacked can avoid the harm by fleeing with reasonable safety, that person must do so rather than using force in self-defense. In some jurisdictions this "duty to retreat" applies id the victim is attacked in public, but not in the victim's own home. The right to self defense does not apply when the "attacker" is an agent of the state acting lawfully. For example, a prison guard taking a condemned prisoner to a death sentence cannot be attacked on the grounds that the prisoner is engaging in self defense. In theory a police officer engaging an excessive force, particularly unjustified deadly force, may be resisted in self-defense. But courts are quite reluctant to find such resistance justified in practice. There generally must be very clear evidence of egregious misconduct for the court to rule for the non-police person in such a case. Note that "self" defense can equally be defense of another person. Pretty much all the same rules apply. Self defense applies no matter who the attacker is, but that force is reasonable may vary depending on the attacker. Only such force as is reasonably required to stop or prevent the harm may be used with a justification of self-defense.
Acquittals in criminal jury trials cannot be appealed (at least in a way that affects the outcome, Colorado and a few other states allow criminal appeals by the prosecution solely for the purposes of clarifying the law prospectively). Interlocutory appeals (i.e. appeals before the case is over) by the prosecution are allowed for pre-trial rulings (e.g. suppression of evidence rulings in a pre-trial hearing), in criminal cases, but not for evidentiary rulings made in the midst of a jury trial (which is when jeopardy attaches for the purposes of the double jeopardy rule, which is what prevents acquittals from being retried). An error in a ruling on an admission or rejection of evidence at trial may be appealed by a convicted defendant if the alleged misapplication of the evidence rule was an abuse of discretion by the judge, and was not "harmless error" (i.e. if as part of all errors made in the case there is a reasonable probability that it changed the outcome that the jury reached).
Are there any essential differences in the nature and quality of the following defenses? A has clearly been injured, and has the bruises to prove it. He sues B for hitting him and causing those bruises. As far as I can see, B may have several different defenses. Yes, I did hit A, but was doing so in self defense. A came after me with a knife. No, I wasn't the one that hit A, but I saw C do it. No, I didn't hit A. His injuries were caused by a fall. Do these defenses have different "supporting" requirements, e.g. different burdens of proof? Or if B claims 1) are there things like "reasonableness" tests? E.g. If the "knife" had been a child's plastic knife instead of one with a steel blade, could B's defense be weakened to a degree that is not possible for the other defenses?
They have the same standard of proof but different onus The legal system places the onus of proving an allegation on the person making the allegation. For your example, this is A if they are suing B or the government prosecutor if B is being prosecuted. The standard of proof is “beyond reasonable doubt” if B is defending a criminal prosecution and “balance of probabilities” if B is defending a civil prosecution or a lawsuit. Courts have historically been reluctant to define these terms further because doing so can lay grounds for an appeal if the judge oversteps so they mean what their plain English formulation means and what they mean precisely in any given case is one of the things the trier of fact has to decide. For A or the prosecutor to win, they have to meet this burden for each and every element of the offence or cause of action; if they don’t, then B wins. So, B doesn’t have to offer a defence at all and will still win if A doesn’t meet their burden. If B does offer a defence then the trier of fact compares the evidence of each side and decides which they prefer and therefore whether A has met their burden. A jury doesn’t have to give reasons for their decision; a judge does. In general, the decisions of the trier of fact are not appealable unless there was no reasonable basis in evidence to support the decision. For example, the evidence of B might not be believed - this is fine, unless the reason for not believing it is that B has a beard and everyone with beards are liars. Options 2 and 3 are simple matters of comparing evidence and deciding which is preferred. Option 1 is different; it is what’s called an affirmative defence. Here, A has met their burden because B conceded. Now B is relying on the position that they had a legal excuse, that is B is alleging a position and B has the burden of proving it. Now, the burden on B is always “balance of probabilities” because B is not alleging that anyone committed a crime so they don’t have to reach the criminal standard.
Most people would refer to this as "defense of others." In North Carolina, though, the relevant statute, G.S. 14-51.3, formally refers to this as "Use of force in defense of person." The statute allows a defense against criminal and civil liability for non-deadly force used "against another when and to the extent that the person reasonably believes that the conduct is necessary to defend himself or herself or another against the other's imminent use of unlawful force." Note, however, that the statute does not allow you to invoke the defense when the victim "is a law enforcement officer ... was lawfully acting in the performance of his or her official duties and ... identified himself or herself in accordance with any applicable law." This raises the question of whether the officer in this case was "lawfully acting in the performance of his official duties" when the relative intervened. If he was, the defense would likely be unavailable.
You have accurately summed up the conundrum. There is little else to say. You need to accept that there is confusion, even within the law itself, and rely on context to establish in any given instance which meaning is meant. You will come to find that there are many instances of such confusion in the law. The historic technical distinction in the law (especially in tort law) between assault and battery has been collapsed in the everyday vernacular and this had made its way even into the way that the words are used even by law enforcement officers and legislators, who grew up speaking the vernacular language like everyone else. Where I live, in Colorado, the word "menacing" has been used be legislators to replace the historic sense of the word "assault" and the words "assault" and "battery" have become synonymous. But, in England, they are struck with a situation in which the meaning of the word "assault" has become context specific.
Illegal weapons Weapons are defined and are made illegal by statute. In many states, it is illegal to possess brass knuckles. For example, California penal code 12020(a)(1) makes it illegal to possess "any metal knuckles", "writing pen knife", "any leaded cane", among other things. I don't know of any state where it is illegal to pick up a stick, or keys, etc. So, yes, there is a legal distinction between your four scenarios. The mechanic is committing a crime by merely possessing the brass knuckles. The others are not committing a crime by the mere possession of the things you mention (unless there are states where they've been made illegal). Effect on a self-defense analysis Courts would have the jury go through the same self-defense analysis in each of these cases, regardless of the legality of the weapon used. We've described that analysis here. A pure self-defense analysis does not factor in the legality of the weapon that is used. But, if the weapon has been made illegal because of its disproportionate ability to injure, etc. that might weigh against the reasonableness of the force that was used when choosing to use that weapon in self-defense. Possession of an illegal weapon might also weigh against the credibility of the owner of that illegal weapon.
Although the assailant (or their estate if they are killed) could lodge a claim for damages it does not necessarily follow that they would win - they would have to show that the shooting was not legitimate self-defence but rather was unlawful by, for example, negligence or use of excessive force - say by shooting them when they didn't pose an immediate and unjustified threat. The Federation rules, as far as I can see, are not actual legislation. Although they should be adhered to in normal circumstances, this shooting would be, in the given circumstances, legitimate self-defence according to Article 122-5 of the Code Pénal which says: N'est pas pénalement responsable la personne qui, devant une atteinte injustifiée envers elle-même ou autrui, accomplit, dans le même temps, un acte commandé par la nécessité de la légitime défense d'elle-même ou d'autrui, sauf s'il y a disproportion entre les moyens de défense employés et la gravité de l'atteinte. N'est pas pénalement responsable la personne qui, pour interrompre l'exécution d'un crime ou d'un délit contre un bien, accomplit un acte de défense, autre qu'un homicide volontaire, lorsque cet acte est strictement nécessaire au but poursuivi dès lors que les moyens employés sont proportionnés à la gravité de l'infraction. Which Google translates to English as: The person who, in the face of an unjustified attack on himself or others, performs, at the same time, an act ordered by the necessity of the self-defense of himself or of others, is not criminally liable, except 'there is a disproportion between the means of defense employed and the seriousness of the infringement. The person who, in order to interrupt the execution of a crime or an offense against property, performs an act of defense, other than intentional homicide, when this act is strictly necessary for the aim pursued, is not criminally liable. provided that the means employed are proportionate to the gravity of the offense.
Your question convolutes a number of different circumstances and legal questions. When is a person justified in using deadly force against a driver? When the person can convince a prosecutor, judge, or jury that a reasonable person would consider it necessary to prevent grievous bodily harm (and other situation-dependent defenses – for more nuance see self-defense). When can a law enforcement officer assault people with his vehicle? When he his performing official duties, and is performing them in a manner reasonably consistent with his training and official obligations. When can a driver assault people with his vehicle? When the driver can convince an inquiry that a reasonable person would consider it either not an act of assault, or else a justified act of self-defense. When are pedestrians liable for collisions with vehicles? When they are obstructing or infringing a traffic right-of-way; or when a judicial inquiry determines that they are at fault. Pedestrians in such situations could also be cited for many other offenses (Disorderly Conduct, Jaywalking, etc.).
The article seems to state the legal standard which I repeat here in a Google Translate version: The former Government delegate for Gender Violence, Miguel Lorente , defines vicarious violence as "violence that, when it seeks to hurt and harm women, instead of doing it directly, seeks to harm people who have special meaning for them." Harming a child or other person with special meaning to the true target of the violence is, of course, already a serious crime in Spanish law. A finding that the crime was a form of vicarious violence is a sentencing enhancing finding of fact by the court that makes a convicted defendant eligible for what U.S. lawyers would call "life in prison with possibility for parole" even though Google Translate provides a more literal translation from the Spanish of the words used to describe the enhanced sentence for which someone becomes eligible if this is established. Of course, there are other reasons why some people might hurt their children, such as part of a pattern of abuse toward the children unrelated to spousal abuse, for the purpose of collecting life insurance money, as part of sexual abuse, and so forth, so presumably there exist certain criteria in the Spanish legal system to distinguish these cases. Other than the legal definition set forth above, there does not appear to be any further legal guidance for the courts in determining if this sentence enhancing fact has been established. It is merely a question of fact for the judges on the court to determine based upon the evidence presented at trial by the prosecution and reasonable inferences from that evidence. Lawyers for the defendant can argue that this sentence enhancer should not apply because one of the different motives in the quoted material from the question was the actual or predominant motive, and the prosecution can argue that it was indeed vicarious violence, and then the judges have to decide whether they think that the prosecution has met its burden of proof to establish this motive and impose the enhanced sentence (which is authorized, but not required, even if it is established). This isn't going to be the easiest point to make in a typical case for the defendant. Usually, the defense is primarily going to be trying to cast doubt upon whether the prosecution has met its burden of showing that the defendant is guilty of the underlying crime at all, and, for example, having the defendant testify that he did it because he was a pedophile, rather than to hurt his wife is not going to help him all that much. Instead, I would expect that the usual approach of the defendant's lawyer would be to argue that the prosecution's evidence, if believed, supports a prosecution theory of the case that, for example, this murder was about insurance money and not about intimidating the defendant's wife. Another way the the defense could fight this sentencing enhancing claim at trial would be to argue that the specific evidence of the prosecution offer to show the defendant's alleged vicarious violence motive isn't credible in all of the ways the one generally casts doubt on the credibility of evidence in a court case. For example, the defense might offer evidence from a different witness than one offered by the prosecution that cast's doubt on the credibility of the prosecution's witness. Or, the defense might ask (or have the judges in the case ask) questions of the witness who is the key witness on the vicarious violence motive issue, that casts doubt on that witnesses' own testimony (perhaps by pointing out contradictions in the testimony or that the witnesses couldn't have been where the witness claimed to be in earlier testimony). Also, it doesn't appear that vicarious violence has to be an either/or question. Nothing in the definition of vicarious violence suggests, for example, that a defendant can't both have a motive to collect insurance money, and a motive to intimidate the child's mother, at the same time, "killing two birds with one stone" so to speak.
This Question Is Tricker Than It Seems One of the things about being a non-expert in a field is that it is very difficult to know in advance what is a hard question and what is an easy question. Some questions that seem like they should have simple, straight forward answers are actually very hard to answer. Some questions that seem like they should be very difficult and have involved tricky answers are actually very easy. Without an in depth understanding of the field, you just can't know in advance. It turns out that this particular question is a quite hard question to answer. So, rather than really providing a clear answer, I will explain what about this question makes it hard to answer in this answer. Even this incomplete and ultimately inconclusive answer will require far, far more words (2,078 to be exact), than were necessary to pose the question (94 words). Essentially, the core difficulty is that there are several different principles of law that apply to this fact pattern, each of which, individually have specific things that have to be proved to establish that some legal consequence will follow (which in turn are often themselves intrinsically indefinite), and each of which has exceptions that could also be proved if specific things happen. In part, this is because, while the fact pattern set forth is not freakishly unforeseeable, it is also not a fact pattern that was contemplated when any of the individual legal principles that are implicated were conceived. Likewise, the interaction of these different legal principles in one fact pattern wasn't contemplated and there is probably no one clear controlling case precedent on point that involved this fact pattern. What the law does in cases like these (which come up all the time in real life) is to break down each legal theory individually and analyze it, possibly spread over multiple distinct court cases in different courts in front of different judges. I'll try to unpack the issues (dispensing with U.K. legal terminology in some cases, since I'm only trying to provide a sense of why this is complicated and not to provide a definitive answer to how it is resolved under U.K. law). Possible Claims, Charges, and Defenses; Traffic, Civil, and Criminal It is a crime to threaten someone with weapon or in another way that puts someone at risk of imminent harm. Depending upon the weapon and other circumstances, mere possession of the weapon might be a crime in the U.K. Someone who has been threatened with weapon or in another way that puts them at risk of imminent harm can be a civil lawsuit for money damages against the person making the threat which was called "assault" in historical common law. Someone who has been threatened by another can seek a restraining order/protective order directing that person to stay away from them in the courts in a civil action. Hitting someone else's car is a traffic violation, unless a defense to the traffic violation is present and proven. Hitting someone else's car with a statutorily mandated level of intent is a crime, unless a justification for the crime is present and proven. The person whose car was hit could credibly argue that hitting the door was a mistake, not because the door was hit, but because the driver intended to kill them and missed, so an attempted homicide charge could raised in a criminal proceeding. The person whose car was hit could argue that there was an intend to put them in imminent risk of harm providing a basis for a civil lawsuit for money damages for common law assault. Someone whose car is hit by another car through negligence or recklessly or intentionally can bring one or more claims in a civil lawsuit against the person who car hit their car for money damages. The standard of care for negligence is established by how a reasonable person would act under the circumstances. Self-defense is a possible defense to traffic offenses, criminal charges and civil liability related to harming another's property if the conditions for self-defense apply, which include a risk of imminent harm to oneself, another, or one's property, and if the action taken in self-defense is reasonably proportional under the circumstances as evaluated by a reasonable person in response to the threat. But, if the response of the person making the threat with the weapon was as a result of actions in which the person threatened with the weapon was the true aggressor, then the privilege of self-defense would be forfeited. In real life, good attorneys for the parties could almost certainly solicit and call attention to additional facts not mentioned in the question that would further muddy the waters and raise additional claims, charges, and defenses to claims beyond the ten listed above. I could analyze each of these issues on the facts in depth as best I could with references to statutes and case law (under a body of law other than U.K. law anyway), which would take a few lengthy and heavily researched paragraphs each that would take a fair amount of time each to prepare, but I won't. A full analysis would help you weigh the odds a little better, and if I was a lawyer of a party in this situation, I would do that since every little edge counts in litigation and negotiations of settlements. But even if I did that, it would still leave a lot of uncertainty regarding the final resolution of these questions on the merits. Decision-Making Regarding Bringing Claims The traffic and criminal charges would be brought or not brought largely in the discretion of the Crown attorney or some other government official. It is most likely that a government official making that decision is doing so because the offense was referred to them by the police officer who responded to the scene, or a police officer who received an informal complaint (as opposed to a civil court filing) from one of the parties, or through a complaint delivered directly to the prosecuting authority by an alleged victim. A prosecutor doesn't have to bring claims just because someone asks them to, and doesn't have to bring all possible claims even if some are pursued. The parties themselves would decide whether or not to bring civil claims against each other. Whoever is sued first would make the decision in the context of knowing that they will be a party to a civil lawsuit whether or not they bring civil claims of their own. Possible Forums The traffic offense would probably be resolved in one court. The criminal charges against the person making the threats would be resolved in another court. The criminal charges against the person who hit the car door would be resolved probably in the same court but in a different case, possibly with a different judge. The civil claims would be resolved in yet another court, probably with a different judge, although probably in a single case with the first person to make it to court as the Plaintiff and the other party as a Defendant bringing counterclaims against the Plaintiff. The civil claims might also involve other parties (e.g. the owner of the vehicles in question if not identical to the persons driving the cars at the time of the incidents). Issue Preclusion Some final decisions on the merits in some cases would resolve the outcome of other cases as a matter of law, other final determinations in some cases would not be binding on the other cases as a matter of law because burdens of proof are different, or the legal issue evaluated is not identical, or because other rules (like a rule against a traffic court decision resulting in a binding determination on civil liability for negligence) would apply. The exact rules are rather arcane and there are quite a few permutations of how it come up, but it is important to be aware that these kinds of rules are out there, exist, and would have to be analyzed by the parties as a matter of litigation tactics. Even The "Legal Issues" Are Fact Intensive Inquiries Almost all of the legal theories implicated above involve broad legal standards in which a lot of the substantive question of what is or is not legal is delegated to the finder of fact in a manner that cannot be reviewed on appeal. For example, in a negligence case related to damage to an automobile, even if there is a videotape and there is 100% agreement on precisely what happened, whether that conduct constitutes "negligence" that breaches the duty of care owed by a reasonable person to the general public to protect them from harm, is legally considered a "question of fact" to be determined by a judge on a case by case basis, rather than a "question of law" which will always have the same outcome and is subject to review by an appellate court if the judge gets it wrong. A similar "reasonable person" standard which must be resolved with a highly fact intensive inquiry that could be resolved more than one way by two different judges or juries hearing precisely the same facts and finding the same witnesses and evidence to be credible in exactly the same way, with both upheld on appeal, applies to the self-defense legal theory. This self-defense issue could also conceivably, based upon the order in which cases were tried and their resolution, be resolved one way in a criminal case and a different way in a civil case between the parties. In the same vein, when a threat is imminent is a highly subjective determination that could be resolved in a "legally correct" way that is not subject to being overturned on appeal on precisely the same facts, with precisely the same determinations as to credibility and weight of the evidence, by two different judges or juries. Again, the substantive question of whether particular conduct is or is not illegal is a "question of fact" that can't be resolved in the absence of a trial on the merits in a particular case before a particular finder of fact. Bottom Line The facts provided in the question aren't sufficiently detailed to provide a definitely correct answer to this question. Indeed, the nature of the facts is such that even an perfectly detailed factual statement regarding what happened might not be enough to definitively determine who has civil liability to whom, and to determine what charges each defendant is guilty of. Different judges and jurors could reasonably come to different legally correct conclusions in a case like this one when faced with precisely the same facts and resolving all issues of credibility and the weight of the evidence in precisely the same way. This difficulty is compounded by the fact that the same facts would be analyzed with respect to different legal theory analysis in different forums by different people, when there is not, as a general rule (although there is in some cases) any mechanism for compelling those decisions to be made consistently on outcome determinative evaluations of the same facts regarding what was reasonable for the parties to do under the circumstances. The notion that a judge is just an umpire, and that every competent judge acting in good faith will always resolve a case presenting the same facts in the same way is a myth. This simply isn't true, even in the U.K. where the judiciary is (as a consequence of how the system for appointment and retention of judges is designed) not nearly as partisan and politicized as it is in the United States. The outcomes of even fairly simple cases in many cases, like the one in this question, are intrinsically and irreducibly uncertain in common law legal systems. The range of possible outcomes from a best case scenario to a worst case scenario, for each party in this fact pattern, is very wide. A desire to tame the myriad uncertainties involved for all parties, and the desire to avoid multiple time consuming and uncertain court proceedings arising out of the same incident, is one of the reasons that it is very common for civil lawsuits to settle out of court without a trial, and for criminal cases to be resolved by an agreement of the prosecution and the defense (sometimes reached even before charges are filed).
GDPR account verification I am having trouble in deciding what information I should be recording in order to verify an account user in the event that a) the user is locked out of their account for some reason b) they make an erasure/portability request. I can create a very bare bones system in terms of user data (ie. No name, no birthdate, no address info), but this leaves me with very little to work with in the event of scenarios a) and b) occurring. I have read the question, Identity verification prior granting access to personal data [GDPR] , but I take issue with the GDPR reference in the answer, where it states: Per Recital 64, you should use “all reasonable measures” to verify the identity of the data subject who requests access. However, you should not keep data for the sole purpose of being able to respond to requests. (Compare also the data minimization principle and Art 11). I have problems with this statement because if I don't store the name of my user, how can I possibly ever verify that it is the owner of the data who is requesting either i) erasure, or ii) portability of data? The only way I could possibly envision this is by only offering the option to logged in users, but surely there must be an offline option as well, for users who no longer have access to the system? So, what is the minimum gathered user details that I would need in order to satisfy a) and b) whilst still meeting GDPR?
This is less of a compliance question, and more of an infosec question. On one hand, you want to be able to restore access to an account to users who have lost their access. On the other hand, you must prevent unauthorized access e.g. from hackers. These factors must be balanced. Whether you'll fulfil a data subject access request will generally follow the same criteria as deciding whether you'll reset someone's access credentials, so I'll mostly discuss identity verification in general. Trying to validate names is generally pointless from a security perspective, since the name on the account might not be real, or because validation documents like scans from a passport can be easily forged. When a service has identity validation measures like requesting a copy of photo ID, or requesting a photo of you holding up a validation code written on paper, that doesn't actually help validating that the person requesting access is the account owner, but that the person requesting access appears to be a natural person, and now documents about their identity are on file. A lot of information like names, birthdates, or addresses is also not at all secret and could be easily guessed by a malicious actor. Most websites work by equating access with control over an email account. If you can receive a password reset code over email, you have access. In effect, this delegates the responsibility of account recovery to the email or OAuth provider. So the issue is what happens when someone loses their email account, which is not entirely uncommon for accounts that are multiple years old. One reasonable (and likely GDPR-compliant solution) is to deny access when someone loses their account. Quite a lot of services operate this way. A milder form of this is to email the old address that someone is trying to take over the account, and turn over the account only if you have other evidence of ownership and there has been no reply over multiple weeks. Since this is part of an identity verification measure, I don't think the GDPR's normal 1 month deadline would apply. However, this approach is very risky: an attack can succeed through the mere inaction of the true account holder, and it would arguably be a data breach if you give access to the wrong person – safer for erasure requests only. Also, emails like “click here or we'll delete your account” look a lot like spam (I get a lot of those about alleged problems with my Paypal account). A potentially more reasonable approach is to use questions about the account to verify ownership. When did they create the account? When did they last use it? Can they answer questions about non-public content of the account? (But don't let an attacker choose the questions!) You see some older sites that ask the user to select a “security question” for recovery purposes. But this isn't a best practice – they are frequently the weakest link in an authentication system. If the user answers truthfully, the answer may be easy to guess or discover for an attacker. E.g. the infamous “what is your mother's maiden name” question is horrendously insecure in the age of Facebook. If the user provides a more secure answer, that is essentially just another password that's even easier to lose than an email account. High-value accounts typically offer a secondary authentication method as a fallback. E.g. my bank can send me new access codes via physical mail. GitHub can optionally link a Facebook account for recovery purposes. But these measures would be overkill for most cases. Especially collecting a physical address for the sole purpose of offering account recovery would likely violate the GDPR's data minimization principle, though it may be fine when the user opts in with freely given consent. To summarize: what you're trying to do is extremely difficult, because you've need to balance different security aspects: keeping malicious actors out, and letting legitimate account owners in. Whereas I'd resolve that by denying any account recovery or subject access requests, other approaches exists with other risk profiles. The GDPR requires you to perform reasonable identity verification measures, but what is reasonable depends on the business context and is ultimately an infosec question.
The GDPR actually does require you to follow DNT in Article 21: In the context of the use of information society services, and notwithstanding Directive 2002/58/EC, the data subject may exercise his or her right to object by automated means using technical specifications. I think this is quite explicit.
Not Allowed Under the GDPR The suggested method does not seem to comply with the GDPR, and would not be lawful for a Data Controller that is subject to the GDPR. Specific Provisions Let's consider some specific provisions of the GDPR: Article 4 Article 4 paragraph (11) states: "consent" of the data subject means any freely given, specific, informed and unambiguous indication of the data subject’s wishes by which he or she, by a statement or by a clear affirmative action, signifies agreement to the processing of personal data relating to him or her; If the choice is "obscure" then it is not clear, and legal consent has not been given. Article 7 Article 7 paragraph 3 reads: The data subject shall have the right to withdraw his or her consent at any time. The withdrawal of consent shall not affect the lawfulness of processing based on consent before its withdrawal. Prior to giving consent, the data subject shall be informed thereof. It shall be as easy to withdraw as to give consent. It does not appear in the situation described that the data subject has been clearly informed that consent is being given. Recital 42 Recital 42 reads in relevant part: In accordance with Council Directive 93/13/EEC a declaration of consent pre-formulated by the controller should be provided in an intelligible and easily accessible form, using clear and plain language and it should not contain unfair terms. ... Consent should not be regarded as freely given if the data subject has no genuine or free choice or is unable to refuse or withdraw consent without detriment. The specified means do not seem to comply with R42 Recital 32 Recital 32 reads: 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. This could include ticking a box when visiting an internet website, choosing technical settings for information society services or another statement or conduct which clearly indicates in this context the data subject’s acceptance of the proposed processing of his or her personal data. Silence, pre-ticked boxes or inactivity should not therefore constitute consent. ... If the data subject’s consent is to be given following a request by electronic means, the request must be clear, concise and not unnecessarily disruptive to the use of the service for which it is provided. The format in the question seems to rely on inactivity as a way of giving consent, and is surely not clear.
Does GDPR prohibit reading unsolicited emails from people who have not explicitly opted in to a mailing list? tl;dr: No. I have never heard of this, and I don't see how this could follow from the GDPR. You should follow up with the Secretary to find out how she came to her conclusion. Detailed reasoning: The GDPR restricts the processing of personal data, so it does in principle cover reading email, since reading counts as "processing", and an email may contain personal data. However, Article 2 (emphasis mine) says that: This Regulation applies to the processing of personal data wholly or partly by automated means and to the processing other than by automated means of personal data which form part of a filing system or are intended to form part of a filing system. I would read this to mean that a human reading emails is only covered by GDPR if the emails are part of a "filing system" or intended to be. So reading the emails is ok, it's only problematic if you intend to systematically store them. Even filing them, while covered by GDPR, would presumably be allowed, because to actually act on the email, you would have to keep it, and Article 6 allows processing of personal data to "take steps at the request of the data subject prior to entering into a contract" and when "processing is necessary for the purposes of the legitimate interests pursued by the controller". One caveat: If the email contains data that falls under special categories of personal data (Article 9) you may need explicit consent for storage. That covers things like racial or ethnic origin, political opinions, religious beliefs and health information. So if someone discloses a health problem or their religious belief in their mail, you may need to ask them for permission to keep it. In summary: At most, GDPR would require you to promptly delete the email once you no longer need it (which could be immediately if the email is irrelevant to you). If the email contains data you legitimately need (e.g. a complaint you need to follow up on), you are allowed to keep it as required (based on Article 6 (f)). Note that in both cases no explicit consent is required from the email sender, unless the email contains particularly sensitive data, such as political/religious beliefs or health data.
You clearly cannot provide data that you haven't stored – and not storing data is a good thing under the Art 5(1)(c) Data Minimization Principle. Despite the Art 20 data portability right being conditional on that the data subject has provided data and not on that data has been stored, I think responding to such a request with “sorry, as per our privacy policy we do not store this data” would be perfectly fine. It is also curious that you are using consent as the legal basis for the purpose of selecting the website language. How do you obtain consent from visitors? How can you prove that you got consent? In many ways, consent is the legal basis of last resort, and I'd think that legitimate interest would be a much more straightforward approach in your case.
IANAL, But the information commissioners office (UK) describe personal data as: (bolding mine) The GDPR applies to ‘personal data’ meaning any information relating to an identifiable person who can be directly or indirectly identified in particular by reference to an identifier. This definition provides for a wide range of personal identifiers to constitute personal data, including name, identification number, location data or online identifier, reflecting changes in technology and the way organisations collect information about people. https://ico.org.uk/for-organisations/guide-to-the-general-data-protection-regulation-gdpr/key-definitions/ So I would say that in your case it is personal information. In principle, regardless of if you can identify an individual, personal data is that which can be used to potentially identify an individual. For an extreme example of why this is important: Lets say your app sells AIDs medication. Can a hacker who got in and stole your database, be able to use that with information they stole elsewhere to identify people with AIDs and blackmail them, in a way that they wouldn't if you had not stored this identifier? Plus, if you want to err on the side of caution, there's no legal penalty for telling the user about non-personal information you store.
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).
Yes, their waiver has no legal basis and is invalid under the GDPR. They should have hired a better lawyer. GDPR rights cannot be waived (mrllp.com). The last bit should have been: Therefore, in consideration of my participation in any project, I understand that retaining my name and email address, as described above, does not require my consent and that the right of erasure, as spelled out in the GDRP Article 17 (1) b does not apply. The legal basis for our lawful processing of this personal data is Article 6 (1) f ("processing is necessary for the purposes of the legitimate interests pursued by the controller"). I.e. there is nothing in the GDPR that compels GitLab to erase this information, but their waiver is bogus. Keeping track of individual contributions in a software projects is necessary for a number of reasons, including security (if somebody contributes code that jeopardizes security, you want to audit everything that person has contributed).
Is unintentional one-time bug abuse illegal? Concrete examples : Someone making API requests through a banking platform, withdrew many times in succession, and through some miracle bug they all went through. Someone unaffiliated with a business, deletes a its entire database with an unintentional request. Someone purchases twenty video game Steam codes at -99% through one transaction. etc.. All of these are one-off mistakes, where a bug does exist, yet it is unintentionally used in a way where this single error causes notable damage to the business. Are they legally allowed to confiscate any financial gain the user has made? Maybe even sue if the confiscation is not directly feasible? Does the user have no right to any of the gains made through this error? And are they liable for any damages caused if any?
Let’s say I go to a cash machine, ask for £100, and the machine gives me £10,000. I use my banking app and see that £100 left my account, not £10,000. At this point I haven’t done anything illegal. If I asked for another £100 and got £10,000 again, that might be illegal. But the extra £9,900 are not mine. They are the bank’s money. If I try to keep it, that is simply theft.
You have the right to request anything you want, but there is a very limited set of things that you can have a legal expectation of them doing. The service provider has no obligation to block a user. You can likewise request a report, and from a pirate site I would expect no response. There is no legal requirement that a pirate site block an offending user after a certain number of offenses. There is no direct way to compel a pirate site to ban a user. Indirectly you might accomplish that end if you take legal action against the site, which causes them to ban a user in order to protect themselves If a DMCA request was not "proper" (the correct legal form) they will not perform a takedown, and may not inform you that they won't. Make sure your takedown request is legally correct and actually delivered to the correct person. If they still ignore your request, they will have lost the "safe harbor" provisions, and you can theoretically sue them. Since the pirate site presumably only hosts a link to elsewhere, their making public such a link is not itself copyright infringement, so you need to be going after the ISPs who manage the actual host sites. The pirate site might still be a contributor to infringement, along MGM v. Grokster lines. A standard defense against infringement would be "We had no idea", and ignoring DMCA takedown notices is clear proof that they did have an idea. That's basically what DMCA takedown is about: saying what it takes to use the "We had no idea" defense.
Much of your ability to sue the email company for damages depends on local and Estonian laws, but the most important aspect is the TOS and user agreement you agreed to when you originally signed up for the service. Read it (though if the portal is now off-line, it may not be accessible). You may have agreed to hold the company not liable for any damages from loss or stolen data, and you may have also agreed to arbitration and to not pursue them in court. It all depends on what is (was) in that agreement, so find a copy of it; though it's possible that some local or Estonian laws may supersede any contractual agreement with the company. And FYI, the email you received concerning the video and demanding payment in Bitcoin is a common scam right now, and the threat may indeed be meaningless.
Copying is illegal, creating an identical work by coincidence isn't. If it is not a criminal case, then a court decides whether it is more likely that the identical work was created by copying or by coincidence. Creating an identical work through a random process isn't going to happen, claiming this would be an awful defense. On the other hand, it is quite possible that two software developers using very stylized code adhering to struct coding conventions can produce quite large bits of identical code. Your links titled "metadata" and "hash" don't actually link to a description of metadata, or the description of a hash, but to a description of torrent files, which is something totally different. Systematically distributing files whose only purpose is the illegal duplication of copyrighted works should not be done without consulting a lawyer, as has been said on other threads (whether posting links to copyrighted files is legal). The chances that a random process will generate a file identical to an existing copyrighted file of say over 100 bytes are virtually zero. If there is an illegal copy of a copyrighted file, and you claim that you created it through a random process and coincidence, you will lose, and deservedly so.
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.
Awareness of consequences If you knew (or had reasons to suspect) that the server end implemented something like (whether intentionally, or by way of a bug/omission): if variableThing == **MyValue** { causeALotOfTrouble() } — then yes, you pretty much can be held accountable. Otherwise highly unlikely. By default, it is reasonable to expect that servers handle/filter/sanitise user input properly no matter where the request comes from, so modifying a URL is merely seeking certain data from the server — which it is free to supply or deny. For example, if MyValue is an SQL injection attempt, then yes. If it is trying to filter out the results by a certain criteria, then no.
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?
Please note that I'm not a lawyer. If you need specific legal advice, please consult a qualified attorney. Every time someone buys an item from someone else, there's at least an implied contract of sale where the seller of the item agrees to give the buyer the item to be purchased in exchange for a sum of money or other object of value which the buyer agrees to pay as consideration. Generally, in an online purchase, a contract of sale is completed when payment is made and the product has shipped. If the seller fails to provide the item you intended to buy after you make your payment, that's a breach of this contract of sale as the seller has failed to execute their end of the contract. I seriously doubt a "no refunds" policy would excuse the vendor for breaching the contract of sale. If you cannot resolve the issue with the vendor, then your best bet is to initiate a dispute through your credit/debit card issuer.
Laboratory Test Reports: Disclaimer in test reports prohibiting use as evidence in legal proceedings I work in the chemical industry and very often industries send chemical samples to third party test laboratories for analysis and producing test reports. In some cases I find labs add a disclaimer of the following sort to their test reports: "The content of this report is meant for information only and should not be used for advertisement, evidence or litigation." What's the legal implication of this sort of disclaimer. Does it really make the output invalid for use in litigation? Is there any precedent on this sort of disclaimer. Can a party unilaterally prohibit any of its output from use as evidence in litigation? Will the courts respect such disclaimers?
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.
Under U.S. law, this is only actionable is you make this statement knowing that it would not "support the continued creation of X" and that instead, you had already completely abandoned that product and you were, for example, planning to change lines of work and become a lumberjack instead. Even in that case, common law fraud is hard to show, because you would need to show how that statement which related to how the profits will be used, rather than what you are actually receiving, could cause you damages in that narrow transaction. But, many states have deceptive trade practices acts that protect consumers by allowing the attorney general, local prosecutor, or a private individual or class of plaintiffs to sue if representations such as these are made when they are known to be false. Typically, these lawsuits provide for minimum statutory damages, attorneys' fees award, and when cases are brought by a public official, injunctive relief (ordering the advertising with that pitch to cease) are authorized. For example, saying this when it is false would be actionable in California and Colorado. A fairly common fact pattern is that someone will sell stuff at an above market price saying that "profits will help me pay for my cancer treatments" when in fact the person doesn't have cancer. This could even constitute criminal wire and mail fraud, for example. Sometimes, competitors can also sue you under the Lanham Act (which primarily governs federal trademarks), for false advertising about something that could unfairly undermine their sales if what you are saying isn't true and is causing their sales to drop. On the other hand, if you sincerely believe that what you are saying is true when you say it, and your belief is not so unreasonable that no reasonable person could believe that under the circumstances, then what you are saying is legal. Usually this is true, and if it is, ultimately, you will be fine. Although nothing can prevent you from being sued on a non-meritorious basis. In between are cases where this is true (you will be supported, but perhaps only get 5% of the profits while the rest are garnished for a lawsuit), but your statements were still misleading at the time you made them and you knew it. Those cases get resolved on a case by case basis. Outside U.S. law, your mileage may vary. Legal regulation of commercial speech varies significantly from one country to another. These statements might not be O.K. for example in a Communist regime on the Chinese or Korean model.
Evidence of pre-trial correspondence can be adduced if it is relevant to a fact in issue, and not excluded by another rule of evidence. Commonly, pre-trial correspondence is not relevant to a fact in issue, because it consists of legal argument and rhetoric. In other words, the letter is a solicitor's inadmissible opinion. And when pre-trial correspondence does set out the facts, it is often in inadmissible hearsay form. Pre-trial correspondence is also likely to attract without prejudice privilege (if sent to the other side in an attempt to negotiate a settlement) or legal professional privilege (if private between a party and their lawyer). For all of these reasons, pre-trial correspondence is not usually considered by a judge or jury at trial. However, in some circumstances pre-trial correspondence is admissible, typically as an admission, prior consistent statement or prior inconsistent statement. Depending on the facts which make the correspondence relevant and admissible, it may also be appropriate to cross-examine the client, a director or other agent of the client who instructed the solicitor, or the solicitor, about it. In some cases, a client may be cross-examined about a prior statement of their solicitor on the basis that the solicitor would not have made the statement without the client's authority, and would have relied on the client's instructions. If the court accepts that a prior inconsistent statement was made with the client's approval, this may damage their credibility. If the client asserts legal professional privilege, or testifies that their lawyer acted without instructions, difficult questions arise. Some of these questions were explored by the High Court of Australia in Hofer v The Queen [2021] HCA 36. Lawyers and judges will try to conduct cases in a way which avoids these procedural challenges, if at all possible. In rare cases, a lawyer may be called to give evidence about whether a previous representation was actually made or authorised. This is, for example, the purpose of having a solicitor or other reputable professional witness formal documents. Barristers should take special care not to place themselves at risk of becoming a witness, but in exceptional cases where the client waives legal professional privilege, they can also be required to give evidence about the client's previous instructions. Perhaps unsurprisingly, this comes up more often in criminal law. The decision in Hofer was an appeal from the New South Wales Court of Criminal Appeal, which had received evidence from a barrister about the reasons for making decisions during the appellant's criminal trial. Conversely, the Court of Appeal of England and Wales dismissed an application for leave to cross-examine a solicitor, by applying the rules of evidence concerning prior consistent statements, in Hall v The Queen [2015] EWCA Crim 581.
In the abstract, two businesses that cooperate in violating a third party's copyright could both face liability. Applying that information to the facts you gave would amount to legal counsel. If you don't want to tell the client 'no,' you should speak to a lawyer about your potential liability. Beyond the legalities, do you really want your portfolio to advertise that you design sites by ripping other sites off?
There are no legal requirements for official certification of BSL-1 and BSL-2 laboratories in the US. There are legal requirements for higher-level labs that deal with Select Agents. The CDC has a page on certification laws and regulations, which is "about" samples derived from the human body. Organizations (such as universities) have offices that perform inspections and approve (or not) a particular laboratory, by reference to standard professional guidelines. This is, of course, different from the situation in Europe. There may be state-level legal requirements.
Is it legal to publish a cease and desist letter that I have received? Generally speaking, yes. My interpretation of your post is that you published your opinion about a business or businessperson, and the businessperson now is trying to intimidate you or deter you from sharing with others your opinion. The phrase "the actionable statements listed are clearly statements of my opinion" is otherwise unclear. Under defamation law, only false statements of fact are actionable whereas statements of opinion are not. The businessperson is not entitled to your silence. If your criticism is about the business, the cease and desist letter sounds in unfair and misleading practices to the extent that the business is trying to conceal from the public some inconvenient information that you as actual or potential customer possess. Even if you published as a competitor, your statements would have to be untrue and misleading for these to constitute disparagement. See the Black's Law Dictionary definition of disparagement [of Goods]. For the reasons stated in the other answer, copyright issues are not a matter of concern. It is preferable to publish the letter as is. Transparency preempts confusion as to "I said, he said". By contrast, paraphrasing the letter for the purpose of avoiding an imaginary violation of copyright creates a risk of you inadvertently giving him grounds for a claim of defamation.
This is largely congruent with* the doctrine of laches. The basic idea, under common law, is that you can lose rights by failing to assert them. This is generally important for many reasons, but specifically in the case of appeals: The argument should have been brought before the trial court. Justice is not a game, but it's important to recognize that the party trying to raise the argument had an opportunity to do so already. They have given up their right to raise this argument, and extending them the privilege of doing so is (for the following reasons) not good for the system. Courts of appeals are typically not well-equipped to evaluate factual evidence. It is not their area of expertise. Witnesses or evidence may be less available. It's just not practical to try to adjudicate factual issues on appeal, most of the time. If anyone could get an appeal by bringing new factual arguments, then everyone would do that. You'd bring your strongest argument before the district court, and then if that fails, bring the second strongest before the circuit court. That way, you get an extra trial. This is inefficient. Allowing factual arguments on appeal would encourage attorneys and their clients to strategically bring different facts before different courts. This kind of forum-shopping is harmful because it has little to do with who has the stronger overall case, and more to do with who has the better lawyer. * "Congruent with" is not the same as "an instance of"; this rule is not formally an application of laches. It just happens to share the same justification.
Contracts are subordinate to the law Any clause in a contract that is unlawful is void. So, if the law compels you to disclose information then even if a contract prohibits it, disclosure is not a breach. However, in most circumstances, law enforcement officers have no power to compel disclosure - you have a right to remain silent. As such disclosure when it was requested but not required would be an actionable breach of contract. On the other hand, a judge can most certainly compel disclosure.
Would it be copyright infringement to use a 3d model of appolo ie Without appolo's logo I have made a 3d model of APPOLO IE car. The model doesn't contain any kind of logo of appolo. I want to use the model for a animation which I would upload on YouTube. Would I violate any law related to copyright by doing this?
Sculptural works can be copyrighted and a car design would qualify. Also the car design or aspects of it (grill for example) could be covered by a design patent. See this Suzuki for example. Or this Land Rover grill.
Wikipedia and you likely have no contract. If you don't have to click "I agree" to access the data, its likely there is no contract. Therefore this is a pure IP law question. The ONLY IP law issue that I see is copyright. The DATA is not subject to copyright. Only the expression of that data. So copying the html and selling that IS potential copyright infringement. Copying the data in some other format and using that is not. Finally, even if you do copy the full html (i.e. full expression), this MAY be licensed by their terms of use (as you suggested they have licensed some content). That is a more particularized legal question that I can't answer here.
Yes, if you do not use the trademarked name. In the U.S. the graphical shape of fonts are not protected by copyright. See 37 CRF section 202.1 Typefaces are specifically excluded. Excluded are under (a) "mere variations of typographic ornamentation," and (e) "Typeface as typeface." The computer code that a font/typeface program uses to produce the shapes can be copyright. Importantly, fonts are protected by their trademarked names.
Not very novel What you are talking about is a derivative work. This is arguably the most famous example: It's an interesting example because Leonardo da Vinci did not have copyright in the original but Marcel Duchamp and Francis Picabia do have copyright in the derivative. Even though the changes are physically small, they are enough. A crucial factor in current legal analysis of derivative works is transformativeness, largely as a result of the Supreme Court's 1994 decision in Campbell v. Acuff-Rose Music, Inc. The Court's opinion emphasized the importance of transformativeness in its fair use analysis of the parody of "Oh, Pretty Woman" involved in the Campbell case. In parody, as the Court explained, the transformativeness is the new insight that readers, listeners, or viewers gain from the parodic treatment of the original work. As the Court pointed out, the words of the parody "derisively demonstrat[e] how bland and banal the Orbison [Pretty Woman] song" is. For an author to have copyright in the derivative they must: Meet the (low) threshold of originality for copyright to exist. Make their derivative lawfully - either because they have permission or because their use falls under an exception to copyright like fair use or fair dealing. However, they do not have copyright in the original elements. For example, I could take the Mona Lisa and give her different clothes, a different background or a hat I will not be infringing their copyright. If I give her a different style of moustache? However, there is an issue with "I have copyright on the contents of the post" when you don't. Even if your work is derivative, you do not have copyright in the original parts and do not have the right to licence them. So, for example, this post is a derivative work of the Wikipedia page linked to above and I have copyright in my original contributions because: They meet the threshold of originality I have permission to make the derivative either through the Wikipedia licence or because my use is fair use. I can give Stack Exchange a licence for my work but I cannot give them a licence for the original work including, for example, the image and quote above. So, someone could quote my entire answer subject to the licence or fair work, but they couldn't copy just the image or quote.
Here's where you went wrong legally: Suppose I legally obtain some digital image created by somebody else (e.g., by downloading from a public website). That, right there, is copyright infringement- unless the copyright owner has granted permission or the image is public domain you cannot copy it - this breaches "the right to make reproductions". By posting it on the web (assuming that it isn't itself an infringing copy) they have given implied permission for you to look at it in a web browser but not to copy it into a presentation even if that presentation is never presented. If it is presented then that makes the infringement worse - it adds breaches of "the right to communicate to the public" and "the right to use the work as a basis for an audiovisual work". How is this different from the computer wallpaper? It isn't. If you are using the one of the defaults that shipped with the OS then the license gives you permission. If you are using someone else's copyright without permission then it's a breach. There are defenses to copyright infringement but these are quite nationally variable - search this or other sites for "fair dealing" and "fair use".
You are absolutely allowed to discuss or describe or criticizes software (or books or other copyrighted or trademarked things) without any permission from the copyright holder or trademark holder. This includes teaching people how to use those things. You may not, however, copy protected software without permission. For example you could not include a CD with a copy of Windows 10 as part of a course you taught on using Windows 10, without permission from Microsoft. Also, you may not use a trademark in such a way as to imply that your course is approved or endorsed by the trade mark holder, or by the maker of the trademarked item. If reasonable people could think that your Windows course was approved by Microsoft, you are probably infringing their trademark. Use of screenshots is more of a grey area. Such use, for purposes of teaching or of commentary, is probably covered by fair use (in the US) or fair dealing (in any of several other countries). But that is always a case-by-case determination, and depends on the exact facts, such as how extensive the use is, and whether it in any way harms the market for the original. If in doubt consulting a lawyer experienced in IP issues is wise. But aside from the issues of screenshots, the makers or copyright or trademark holders of software have no right to grant or withhold permission to one who teaches about the softrware, nor to demand any fee from any such person.
Public domain means that there is no (longer) copyright in the given work. This means that all rights associated with copyright are not controlled by anyone and there is no way to run afoul of copyright laws (note that in some countries a true "public domain" doesn't exist). Assuming you're correct that these works are in public domain, answers to your particular questions are: Does that mean I can play the video's as much as I want to any size crowd I wanted? Could I charge money to watch the videos? Yes and yes. If something is in the public domain does that mean all the parts of that thing are? This kind of begs the question. A work in public domain has no copyright in it. If one of its part has copyright, then it's not really public domain is it? What about the characters in the videos, could I make a new Bugs Bunny or Might Mouse animation on my own? If I wanted to use Popeye or Betty Boop or daffy duck in a video game could I? Copyright isn't your issue here, trademarks are. The characters are most likely trademarked, meaning you generally can't use them in your own works without licensing.
I would argue that no, there is no copyright for the restored work. Independent copyright is only possible for any original material added, as previously discussed on this site. In this case, the added work was a technical process rather than a creative process, and technical processes cannot be protected by copyright. Copyright licenses would therefore be ineffective. However, I believe one could still impose a license based on owning the copy as opposed to the copyright (contract might be a better term in this case). However, if a third party managed to obtain a copy through some other avenue, any such contract would not be binding on them and nothing could be enforced against them unlike with copyright laws. Another way a license might be imposed is through patent protections, as technical processes can be protected via patents. However, I'm not as familiar with patent law, and this doesn't appear to be the claim being made.
When ISPs advertise "No Contract", what do they truly mean? Many ISPs incorrectly advertise that they require "no contract" like CanNet and Coextro below, because undoubtedly customers form a legal contract with the ISP that fulfills these five Necessary Conditions for forming a contract. McKendrick. Contract Law: Text, Cases, and Materials (2020 9 ed). p 17. A party who wishes to establish that a legally binding contract has been formed between himself and another party must prove a number of matters. The first is that the parties have reached agreement. This is usually done by demonstrating that one party has made an offer that the other has accepted. The rules relating to offer and acceptance are discussed in Chapter 3. Secondly, the agreement must be expressed in a form that is sufficiently certain for the court to be able to enforce. The tests applied by the courts when deciding whether a term has been expressed in a form that is too vague, incomplete, or uncertain to be enforced are p 18. discussed in Chapter 4. Thirdly, the agreement must be supported by consideration (although it is possible that effect may be given to a promise that is unsupported by consideration via an estoppel). The doctrine of consideration and the role that estoppel can play in giving effect to promises that are unsupported by consideration are discussed in Chapter 5. Fourthly, the law may only recognize the validity of the agreement if it is entered into in a particular form (such as writing). The significance of requirements of form has diminished in recent years but they have not been entirely abolished. Requirements of form are discussed in Chapter 6. Finally, the parties must have had an intention to create legal relations. This intention is presumed in commercial transactions, but in the case of domestic and social agreements the law initially presumes that the parties did not intend to be legally bound by their agreement. The doctrine of intention to create legal relations is discussed in Chapter 7. Thus how ought these advertisements be rectified? What's more correct to write than "no contract"?
Thus how ought these advertisements be rectified? What's more correct to write than "no contract"? Words don't mean the same thing in every context. In the world of cell phone contracts, the well accepted meaning of "no contract" is that you are getting cell phone service on a month to month basis and may cancel at the end of any given month with no penalty, in contrast to the previous norm in the industry that you needed to continue service for a period of one or more years before you could cancel or you would pay a penalty for discontinuing it early. This usage has spread to Internet service as well. There is no need to correct or rectify this. Nobody believes that there is no agreement governing the cell phone company-customer relationship. They aren't confused or misled. McKendrick is simply using a different sense of the word than CanNet. In the same way, the word "company" can mean a legal entity, but can also mean, the people whom you have with you at a given time, even though they have the same root meaning. Likewise, sometimes "sex" means "male or female" and sometimes it means something you do for enjoyment and procreation. But people manage to keep the two senses of the word, which are related to each other, straight, even in statutes. Context prevents confusion. There is no need for words to have only one meaning in all contexts and even within the law, many words mean different things in different situations. This is especially true in common law systems where words are given definitions in a piecemeal case by case manner, rather than due to a single person or committee making a top down decision on what a word's legal meaning should be in all contexts.
canada1 The judgment you have read about is South West Terminal Ltd. v Achter Land, 2023 SKKB 116. The judge did not hold that "👍" is categorically considered to be binding agreement. The judge applied the modern approach to contractual interpretation outlined by the Supreme Court of Canada in Sattva Capital Corp. v. Creston Moly Corp., 2014 SCC 53 and Ethiopian Orthodox Tewahedo Church of Canada St. Mary Cathedral v. Aga, 2021 SCC 22. This requires judges to interpret the text of the contract and indicators of acceptance in light of the surrounding circumstances. Regarding interpretation, see Sattva: a decision-maker must read the contract as a whole, giving the words used their ordinary and grammatical meaning, consistent with the surrounding circumstances known to the parties at the time of formation of the contract. Consideration of the surrounding circumstances recognizes that ascertaining contractual intention can be difficult when looking at words on their own, because words alone do not have an immutable or absolute meaning Regarding formation, see Aga (internal citations removed): [36] For present purposes, it will suffice to focus on the requirement of intention to create legal relations. As G. H. L. Fridman explains, “the test of agreement for legal purposes is whether parties have indicated to the outside world, in the form of the objective reasonable bystander, their intention to contract and the terms of such contract”. This requirement can be understood as an aspect of valid offer and acceptance, in the sense that a valid offer and acceptance must objectively manifest an intention to be legally bound. [37] The test for an intention to create legal relations is objective. The question is not what the parties subjectively had in mind but whether their conduct was such that a reasonable person would conclude that they intended to be bound. In answering this question, courts are not limited to the four corners of the purported agreement, but may consider the surrounding circumstances. See also Owners, Strata Plan LMS 3905 v. Crystal Square Parking Corp., 2020 SCC 29, para. 37: the offer, acceptance, consideration and terms may be inferred from the parties’ conduct and from the surrounding circumstances The conclusion about the 👍 emoji was case-specific. See paras. 62-63: [62] ... Again, based on the facts in this case – the texting of a contract and then the seeking and receipt of approval was consistent with the previous process between SWT and Achter to enter into grain contracts. [63] This court readily acknowledges that a 👍 emoji is a non-traditional means to “sign” a document but nevertheless under these circumstances this was a valid way to convey the two purposes of a “signature” – to identify the signator (Chris using his unique cell phone number) and as I have found above – to convey Achter’s acceptance of the flax contract. 1."Even if you supply a jurisdiction tag, we expect and encourage answers dealing with other jurisdictions – while it might not answer your question directly, your question will be here for others who may be from those jurisdictions."
Those two situations should be legally equivalent. The key thing is that you intend to agree to the contract, and are taking physical steps that are intended to manifest your agreement. If you had added an electronic signature to the PDF file, and transmitted this to the company, it should also be legally equivalent, and just as binding as the pen and paper method.
You are not bound by any contract. You bought a physical good that the seller was barred from selling outside of the listed countries by his supplier. You did not enter a contract with the seller's supplier. Let's look the stream of commerce: Supplier of the item (Printing press) offers it. Sale with a sales limiting contract to resellers. Sale by reseller to customer without limiting contract. The first sale doctrine says, that without a form of contract, the rights of the supplier are exhausted in step 2. Even with a contract limiting the reseller's rights, step 3 exhausts any right the supplier has in the item, unless he too explicitly signs a contract. Selling an item in normal commerce is not satisfying this requirement. There already were no rights in the physical copy of the book when whoever bought the book first sold it to the second-hand seller you bought it from, and there can't be any more rights in the selling of this book gained by the original supplier unless he bought the book back from you.
Consideration has to be sufficient; it does not have to be adequate See What is a contract and what is required for them to be valid? Consideration need not be adequate; that is, the deal does not have to be "fair". Consideration must be sufficient - this is different from adequacy. Insufficient consideration falls under: performance of a duty imposed by law, performance of a duty imposed by an existing contract, acceptance by a creditor of part payment by a third party, composition with creditors, moral obligation (i.e. you can't do it for love), illusionary or uncertain promises. Parties are free to make whatever bargain they choose and it is not for the courts to enquire as to whether it was an objectively "good" bargain for both parties. The court does not care why you made the deal you did or if anyone else would make such a deal (with some very narrow exceptions: see unconscionability) or even if you come to regret the deal you made: they will just enforce it. In fact, contracts where one person promises to pay £1 or some other nominal sum are so common that they have a name: Peppercorn contracts. That's because under common law (civil law is different) "bare" promises cannot be enforced but if I pay you £1 in return for your promise, then we have a contract.
First, the clearly redundant phrase is “applicable laws” - these apply to everything. Second, some acts, particularly consumer protection or sale of goods acts imply provisions into a contract, create obligations that sit beside the contract or create equitable remedies. Many of these can be limited or excluded but this needs to be done explicitly. Third, in legal writing, clarity is preferred to brevity - nice if you can get both but if not, be clear rather than brief. Fourth, the contract is not the document. The document is a record of the “meeting of the minds” that formed the contract. In the event of a dispute, it may be useful to know that particular laws were specifically considered by the parties. Fifth, in legal writing, just as all writing, some people are better than others.
Do they have to use all caps? Well, no. It's just that companies feel that's the easiest way to make the text "conspicuous" which is required by the Uniform Commercial Code explicitly in § 2-316. Exclusion or Modification of Warranties. (2)Subject to subsection (3), to exclude or modify the implied warranty of merchantability or any part of it the language must mention merchantability and in case of a writing must be conspicuous, and to exclude or modify any implied warranty of fitness the exclusion must be by a writing and conspicuous. Language to exclude all implied warranties of fitness is sufficient if it states, for example, that "There are no warranties which extend beyond the description on the face hereof." The term "conspicuous" is defined in § 1-201. General Definitions. "Conspicuous", with reference to a term, means so written, displayed, or presented that a reasonable person against which it is to operate ought to have noticed it. Whether a term is "conspicuous" or not is a decision for the court. Conspicuous terms include the following: (A) a heading in capitals equal to or greater in size than the surrounding text, or in contrasting type, font, or color to the surrounding text of the same or lesser size; and (B) language in the body of a record or display in larger type than the surrounding text, or in contrasting type, font, or color to the surrounding text of the same size, or set off from surrounding text of the same size by symbols or other marks that call attention to the language. So you could make the text all bold and italic. You could make the font color purple. It's just that most companies use the caps lock key, whatever their individual reasons may be. I'll also note that this is a commercial code and these rules are found under Article 2 - Sales. So you'll only see this requirement taking effect in terms/disclaimers for companies which actually let end-users engage in commercial activity (they're actually selling something). Any site which doesn't facilitate commercial activity will likely be using a warranty disclaimer as a note of "hey, this is a free site, so no you don't get a warranty or legal expectation of service of any sort."
As a buyer, you can write anything you want (aside from anything illegal) into a contract, i.e. to withhold the last payment on a item until you check off the final product specs, but that won't make a difference unless the manufacturer agrees to the contract. A contract that is agreed to (written and agreed to (typically signed), or verbal and verbally agreed to) is legally binding; a contract not agreed to is little more than a wishlist. If this involves, as you say, online purchases or when the customer is remote and working through an agent, a contract can still legally binding, but the contract may be more complex. You may need to draft more stipulations into the contract with all involved, (agent and manufacturer); but again, those mean nothing if the contract is not agreed to. See Contracts - Legal Information Institute for an outline of the steps of making a contract: An agreement between private parties creating mutual obligations enforceable by law. The basic elements required for the agreement to be a legally enforceable contract are: mutual assent, expressed by a valid offer and acceptance; adequate consideration; capacity; and legality. The enforcement of breaking a contract is a completely different situation. You may draft arbitration arbitration (Legal Information Institute) into the contract; or may go to civil court.
Is this scenario illegal or just immoral? Imagine a sociopath (let's call him A) and has his fun by playing with depressive people, especially B. One day, B asks A if he can obtain potassium cyanide capsules for commiting suicide. A replies that yes, indeed he can get those, and a few days later he gives him crushed tictacs inside a digestible capsule. B goes into the basement of the place where A and B met, and takes the pill in good faith of dying from it. Meanwhile, A and some friends of A are upstairs and are laughing, while B sits in the basement and waits hours until the pill works. The pill was delivered freely, without any money or other goods or services or anything like that involved. This is morally reprehensible of course, but is this illegal in any way? I'd be interested especially in Germanys law, but laws of other countries would be interesting too. This is neither murder nor manslaughter as A does not kill B (or even really harm him), and also (at least in Germany) suicididal tendencies are not illegal. How would this be prosecuted?
Most states have a low barring the distribution of counterfeit drugs, which this would appear to violate. For example, the Colorado Imitation and Counterfeit Controlled Substances Act, codified at Sections 18-18-419 to 18-18-424, Colorado Revised Statutes, makes it a minor drug felony (class 4) to distribute an imitation controlled substance which is "a substance that is not the controlled substance that it is purported to be but which, by appearance, including color, shape, size, and markings, by representations made, and by consideration of all relevant factors as set forth in section 18-18-421, would lead a reasonable person to believe that the substance is the controlled substance that it is purported to be." It already contains a placebo exception for medical professionals stating that it "shall not apply to practitioners licensed, registered, or otherwise authorized under the laws of this state to possess, administer, dispense, or distribute a controlled substance, if the distribution, possession, dispensing, or administering of the imitation controlled substance is done in the lawful course of his professional practice." But there is an argument that the intended purposes of the use of the counterfeit rather than the real thing was to prevent a suicide, and that doing so had that effect, which might excuse the crime. The fact that B initiated the conversation by asking A and might have successfully obtained the drug if he asked someone else makes this defense particularly plausible. People who fail to commit suicide do not statistically just try again by another method, suicide is an impulsive action that if prevented is not nearly as likely to recur if someone fails to do so by one particular method. Colorado expressly allows the use of physical force to prevent a suicide. "A person acting under a reasonable belief that another person is about to commit suicide or to inflict serious bodily injury upon himself may use reasonable and appropriate physical force upon that person to the extent that it is reasonably necessary to thwart the result." Section 18-1-703(1)(d), Colorado Revised Statutes. This isn't actually a use for physical force, but it informs the application of the "choice of evils" defense, codified at Section 18-1-702, Colorado Revised Statutes in Colorado, which provides (with nuances not reproduced here) that: conduct which would otherwise constitute an offense is justifiable and not criminal when it is necessary as an emergency measure to avoid an imminent public or private injury which is about to occur by reason of a situation occasioned or developed through no conduct of the actor, and which is of sufficient gravity that, according to ordinary standards of intelligence and morality, the desirability and urgency of avoiding the injury clearly outweigh the desirability of avoiding the injury sought to be prevented by the statute defining the offense in issue. It isn't obviously immoral either (for the same reasons), although one could make a case that the "victim" could bring the tort of outrageous conduct a.k.a. intentional infliction of emotional distress, against the person causing it, although again, the question would be what were the damages and was it justified. The tort remedy is a better fit as it is often used in cases of "pranks" calculated to cause extreme emotional distress as this one apparently was. The intent of the "victim" to commit suicide might also constitute "unclean hands" barring a tort recovery in this situation in tort law if asserted by person A.
You may, though you may have to be careful about that you say. Providing information about alternative medicine is legal in the US. You can read this article which addresses unapproved medications and therapies from a medical policy perspective, touching lightly on legislation. There are restrictions, enforced by the FDA and the FTC, on what you can sell and claim for your products, in case you sell dietary supplements or are in some other way making a business of purportedly curing people. Here is a starter page about FTC regulation of health claims. Here, for example, are some actions that the FTC took against companies for unproven CBD claims, such as an action against Bionatrol, with many kinds of purportedly false claims made "In connection with the advertising, promotion, offering for sale, sale, or distribution of CBD Products". It's not the claims that are illegal, it's making the claims in commerce that's illegal. The FDA regulates drugs and devices, and this page divides the FDA regulations into functional types such as "drugs" and "medical devices". It would be illegal to sell a "brain ray machine" that purports to cure cancer, but it would not be illegal to describe how to build one. There are a number of DIY treatments available on the internet, for removing ticks, slivers, for bandaging scrapes and so on, none of which have or require government approval (in the US). In some cases, such a website might infringe copyright or a patent, so that would be a way in which the website could be illegal (Four Thieves Vinegar). Without any further information on what such a website is saying, it's hard to be sure but this gives you the general limits on the legality of such a site.
Invasion of privacy and false light torts would probably not be applicable here. Very few states have adopted the false light tort because of its conflict with First Amendment principles and there was no agreement or even request to keep the text private. The copyright issue is trickier. First all, the TOS may provide that the copyright belongs to the text service provider or that there is a license. But, even in the absence of an express license, sending someone a message which is equivalent to sending them a letter, probably gives rise to an implied license that the person to whom it is sent can use the message that arises merely from the act of sending it without restriction or qualification. Implied license and fair use also heavily overlap. Publishing the text exactly as it was sent to you protects you from defamation liability because it is true. On the whole it would be extremely unlikely for there to be any legal liability for publishing a text from someone that they sent to you. Of course, one can imagine exceptions. If the person receiving the text was in an attorney-client relationship, or priest-parishioner making confession relationship, or was communicating regarding classified national security matters, or there was a non-disclosure agreement in place, among other possibilities, an evidentiary privilege and duty of confidentiality could apply and disclosing the material without the permission of the privilege holder could breach a duty of confidentiality and give rise to liability. If the picture was a nude picture of a minor, there could be a criminal and/or civil liability issue, and some states have also made posting "revenge porn" a criminal offense and/or a basis for civil liability. If the disclosure was effectively a way to facilitate insider trading that could be a problem. If the contents of the text were accurately transmitted but known to be false and were disseminated without disclosure of its falsity for the purpose of defrauding a third party, that could be a problem. But, no facts that obviously flag any exception are identified in the question. The mere fact that the posting may be embarrassing, or hurt someone's reputation, or was made without someone's express consent, in general, would not be a basis for liability.
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.
Am i going to jail? I'm so scared. No, probably not. The details depend on jurisdiction, but normally the only crime you could be accused of would be that of forgery. However, forgery by definition requires an "intention to deceive". So my personal advice would be to come clean immediately: Go to your employer, and tell them you did not understand the checkout system and accidentally signed yourself, instead of having the customer sign. If you do that, what you did would not count as forgery, because (as you explain) you did not do it on purpose to trick someone. Now, your boss may still decide to discipline you in some way, maybe even fire you, but that's out of your hand. If they are reasonable, they'll hopefully understand a minor mistake on the first day. That said, it is possible your jurisdiction has special penalties for incorrectly filling out medical documents, so there may be more to it - but I doubt it. To be sure, try asking someone you know and trust who is familiar with the legal rules around medication. Or book a single consultation with a lawyer - this is not cheap (typically around $100 in the USA, or 100€ in the EU), but will give you peace of mind. You could also try asking around if there is a local initiative which offers legal help, possibly a professional organization or trade union.
Yes. This is legal, even though it is highly unlikely. There were very few, if any, instances of the federal pardon power being used this way historically, but it could happen, and President Trump, while he was in office, intimated that he might use the pardon power in this fashion. Realistically, it would be easier for the President to prevent someone from being prosecuted in the first place if the crime took place during his term, but he might pardon someone who committed the crime under a previous administration. The fact pattern in the question: “don’t be surprised if I pardon anyone that puts to death repeat heroin and fentanyl dealers dealing in amounts larger than 50 pounds” doesn't sound very morally palatable. But consider a slight variant of it which is much more plausible. Suppose that while running for office a Presidential candidate says: don't be surprised if I pardon someone who was convicted of homicide in a previous administration for killing someone who had been using them as a sex slave in a human trafficking network, or killing someone who was in the process of raping them shortly before their divorce became final but was not allowed to assert a self-defense argument at trial because marital rape was legal at the time. Now arguably that's different, because it doesn't induce someone to commit a future crime. But the President has broad discretion to make policy to de-emphasize certain kinds of criminal prosecutions in any case while in office even without the pardon power, and generally, this is not a basis for having a special prosecutor appointed at the federal level since there is no individualized conflict of interest. Of course, the U.S. President can only pardon someone from a federal crime and can't pardon state crimes or criminal convictions from other countries. So, even if the President pardoned someone of a federal crime in this situation, the state in which the murders took place could prosecute the individual for murder unimpeded (constitutional double jeopardy considerations would also not bar a state prosecution following the federal prosecution). Indeed, the vast majority of murder prosecutions are made under state law, and there are very few murders that take place which are beyond the jurisdiction of any U.S. state and any foreign country, that are in the jurisdiction of the U.S. government and covered by a federal homicide statute, in any year. As noted by @hszmv in a comment to another answer: Federal Murder charges are a thing and can be prosecuted, but are normally reserved for murders that either involve federal government employees (especially if they are murdered because of the duties the performed in the course of their duty or the status as a federal employee) OR murders that occur on Federally Owned Property OR the Murder involved crossing state lines OR is in U.S. Jurisdiction but not in a territory or state jurisdiction (usually applies to some uninhabited territorial islands or U.S./International Waters). Further, a pardon would not prohibit the victim's family for suing the murderer for wrongful death, and indeed, probably wouldn't prohibit them from using the murder conviction that was pardoned to conclusively establish liability in a civil case under the doctrine of collateral estoppel (I haven't researched that highly specific and technical civil procedure issue, however, but even if that wasn't possible, the murder trial transcript would be admissible in the civil case). A civil judgement for wrongful death was famously obtained against O.J. Simpson by the victim's family after O.J. Simpson was acquitted in a criminal murder trial. This tactic would really only be helpful to a prospective defendant with respect to cases where there is not a parallel criminal offense under state law.
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.
That is not a valid assumption. Many states have laws that let you presume someone is a threat to your life if they forcibly enter your house. Simple trespass on your land does not let you reasonably presume someone is a murderer. An autonomous killer drone is not a comparison you want to make: those may be illegal entirely, and are likely to seriously hurt any claim of justifiable force. “You forfeit your right to live when you set foot on my property” is not justifiable. If the dogs are trained to be a hazard to the community, that’s an argument in favor of having them confiscated and destroyed. Dogs are not people. Under normal circumstances, they cannot be protected under self-defense or the defense of others. Those doctrines only apply when a person is in danger. Deadly force is sometimes allowed to protect property, but this tends to be strictly limited. To start with, you can only ever use force to prevent illegal damage to property. If your concern is “this animal control officer will destroy my dogs within the scope of their duty,” that’s not protecting against an illegal use of force. Deadly force in defense of property is also normally limited to particular crimes that are inherently dangerous, like arson, robbery, or burglary. Even in Texas, simple theft only justifies deadly force during the nighttime. Deadly force is also not justifiable if there were reasonable other options. Shooting an animal control officer is unlikely to be the only way to temporarily stop them from destroying a dog. Threatening violence in order to influence a judge’s decision is terrorism. This hypothetical man is a terrorist. He may well find himself on death row for murder, but he’s also going to face separate charges for terrorism.
Inheritance after a homicide I was watching a “true crime” type of TV show, which raised an interesting question (to me) regarding wills and inheritance. Here’s the scenario: An elderly wealthy man had a neighbor who was his caregiver. The man decided to will all his assets to the caregiver, presumably as a reward for her service. The caregiver was aware of this. After some time, the man decided to change his will because of a disagreement with the caregiver. The caregiver found out about this, and before the man could actually change the will, she murdered him. The caregiver was found guilty and given a life sentence. My question is, since the will was never changed, does the caregiver still inherit the man’s assets? Would it matter if she was guilty of a lesser crime such as manslaughter? Or if her sentence was less than life? The show didn't mention the jurisdiction (or I forgot it), but for the sake of argument, assume the state of Maryland. If significantly different in other states, I'd be interested in that as well.
The seminal case on this was Riggs v. Palmer, 115 N.Y. 506 (1889). A grandson stood to inherit a sizeable estate from his grandfather and, concerned that the will might change, killed his grandfather. In the united-states most jurisdictions have passed "slayer statutes" to prevent the killer from taking under the will. In Maryland, one who "feloniously and intentionally kills, conspires to kill, or procures the killing of the decedent" is barred from inheriting or otherwise benefiting under the will. See Md. Est. & Trusts Code § 11-112. Manslaughter is a felony in Maryland. See Md. Code Crim. Law § 2-207. So if a particular instance of manslaughter involves intent (e.g. the grandson intentionally kills the grandfather following some adequate provocation), the slayer statute should bar taking under the will. But if it doesn't, the killer wouldn't be disqualified. Wikipedia adds: The Maryland slayer rule is harsher than most other states. In addition to prohibiting murderers from inheriting from their victims, Maryland's slayer rule prohibits anyone else from inheriting from murder victims through their murderers; Maryland's slayer rule is thus similar in structure to corruption of blood. For example, a mother leaves her son $50,000, and leaves her son's child (her grandchild) $100,000. She leaves her residuary estate (i.e., whatever else is left of the estate) to her daughter. If the son kills his mother, then under Maryland law, the son's child will inherit the $100,000; however the son's $50,000 (which is also the indirect inheritance of the grandchild through his father), is not available under Maryland law to either the son, or his child. The $50,000 becomes part of the mother's residuary estate and goes to the daughter.
As you describe it, the survivor knows that the action will result in death, and premeditatedly undertakes the action. So we turn to the murder statute in that (unspecified) jurisdiction, which will be like this: A person is guilty of murder in the first degree when: (a) With a premeditated intent to cause the death of another person, he or she causes the death of such person or of a third person; or (b) Under circumstances manifesting an extreme indifference to human life, he or she engages in conduct which creates a grave risk of death to any person, and thereby causes the death of a person So the charge is first degree homicide. Because the murder statute might leave a person wondering if "it counts" when the conduct follows somebody's rules, the jury is given instructions clarifying what words mean: for first degree homicide in general see these pages. Most relevant here are the elements of "extreme indifference", also the definition and elements of premeditation. In general, if I say "It's okay if you kill him", that does not make it legal to kill a person, so organizationally sanctioning the move does not legalize it.
I'm not a lawyer or a medical professional, but on Wikipedia's page about DNR, we see the following quote: In the United States the documentation is especially complicated in that each state accepts different forms, and advance directives and living wills are not accepted by EMS as legally valid forms. If a patient has a living will that states the patient wishes to be DNR but does not have an appropriately filled out state sponsored form that is co-signed by a physician, EMS will attempt resuscitation. Based on this, I would hazard the guess that you can't treat anything other than those forms as legally binding, as they even ignore a living will without that state's form.
Sadly, her assets will go into probate, and a judge/probate master will have to rule on how they're disbursed. Typically someone will be appointed as Administrator to the mother's estate. The administrator will contact all creditors, assemble and inventory/appraise the assets (i.e. furniture, car, house, bank accounts, etc.) and pay funerary expenses. Since she died intestate, there will be certain specific rules about who inherits the proceeds. The best avenue for the OP is to petition the court to appoint her as administrator of the estate.
united-states Under U.S. law, the primary consideration then and now, in the interpretation of Wills is the intent of the testator (i.e. the person who drafted the Will who is now the decedent). I very much doubt that Sella Fenwick nee Warren would lose her inheritance because her betrothed died shortly before the wedding. (In Colorado, which has common law marriage, such a statement would probably suffice to cause them to be married on the day the will was written, if not sooner.) Usually, a characterization of a relationship is viewed as a non-functional identifier offered for convenience (to distinguish any other Sella Fenwick from the one he was marrying, such as a distant cousin), rather than a condition precedent to inheritance in the absence of very explicit language to the contrary. Similarly, it is clear that a name change of a devisee between the time that the will is executed and the time of the death does not impair the devisee's right to inherit. You don't have to rewrite your will just because one of your kids gets married and changes his or her name. (I personally changed my name in New York State when I married, and yet I still received devises made to me under my premarital name from my parents.) The cases most closely on point would probably be cases where a stepchild is identified in a will as a "child", without qualification (a much more common fact pattern than the one in the question). But, I doubt that anyone has lost an inheritance in that fashion in New York. The case would be much closer if the will simply said "my wife" without inserting the name of a particular individual. New York law has not formally changed on the books, so to speak, in any really material way between 1970 and 2022 with respect to this issue. But there has been a general attitude towards interpreting written instruments in that time period that is less formalistic and more concerned about the merits of the testator's intent in how wills are interpreted in 2022 than it was in 1970. In part, the flexibility involved in Will interpretation is a function of the fact that probate (apart from a proceeding to determine if a will was validly executed) involves a court acting in its equity court role rather than as a court of law, and partially it reflects the fact that judges know that there is no possibility of having the testator correct the document once it is before a judge.
In Civil law jurisdictions, the heir of a deceased person will generally inherit all the possessions, rights and obligations - this may include debts. So if a borrower passes away, the lender will typicall find out who is the heir, and ask them to pay. The heir will be required to pay, and the creditor can use the usual channels (reminders, collection agencies, court judgements) to make them pay. However, if the inheritance is "under water" (has more debts than assets), there are ways to avoid having to pay the debts: In Civil law jurisdictions, acceptance of an inheritance usually means being liable for all the debts, too. Details vary between jurisdictions - in Germany, for example, acceptance of an inheritance is automatic, and a heir must file a document to refuse it (this is called disclaiming the inheritance). In France, in contrast, the default is to disclaim the heritage, but certain interested parties (such as creditors) can require a heir to formally make a choice, then the default is acceptance (https://www.service-public.fr/particuliers/vosdroits/F1199). In contrast, in the United States (which generally uses Common law), creditors are paid first, and the heirs only inherit what is left, in a process called probate. In that case, a heir need not explicitly disclaim an inheritance that is "under water" - they will simply not inherit anything. Note that the heir may choose to inherit certain debts in exchange for keeping certain assets - for example, if a home with a mortage is part of the inheritance, the heir may either choose to sell the home and pay the mortage, or keep the home and accept the mortage as debt. Notes: Even if inheritance is not automatic, the system usually allows a heir to disclaim it. There are other reasons for disclaiming an inheritance apart from debts, for example tax advantages, or the desire to grant the inheritance to a different relative. If a heir disclaims the inheritance, no matter the reason, the inheritance automatically passes to the next heir in line. If all potential heirs disclaim in turn (as would typically happen if the inheritance has more debt than assets), the inheritance will usually fall to the state. Then, the assets will be divided up among the creditors (similar to insolvency proceedings). As an exception to the rule above, the state does not have to pay outstanding debts - so that money would be lost for the creditors.
Yes Usually, whoever got their hands on the defendant first would have first crack at it. The second jurisdiction would commonly not prosecute provided that justice was done in the first but they can - double jeopardy is not in play as a bar as they are different legal systems but courts usually apply the spirit that a person shouldn’t be punished twice for the same act.
That really sucks. I've had similar experiences when handling the probate proceedings of lawyers who were not good about returning original wills to clients. I am providing an answer under general principles without researching Oregon specific accounting, record retention and probate laws, to at least give you a start although I recognize that a better answer would research these questions. The accounts/clients from her business were sold to another woman. Is it legal for us to transfer everything to her possession? Probably yes. There should be a government agency in Oregon that regulates accountants that has rules regarding that question. The linked rule seems to govern this situation. It says in Rule 801-030-0015(d) that: (d) Custody and disposition of working papers. (A) A licensee may not sell, transfer or bequeath working papers described in this rule to anyone other than one or more surviving partners or stockholders, or new partners or stockholders of the licensee, or any combined or merged organization or successor in interest to the licensee, without the prior written consent of the client or the client’s personal representative or assignee. (B) A licensee is not prohibited from making a temporary transfer of working papers or other material necessary to the conduct of peer reviews or for the disclosure of information as provided by section (1)(b) of this rule. (C) A licensee shall implement reasonable procedures for the safe custody of working papers and shall retain working papers for a period sufficient to meet the needs of the licensee’s practice and to satisfy applicable professional standards and pertinent legal requirements for record retention. (D) A licensee shall retain working papers during the pendency of any Board investigation, disciplinary action, or other legal action involving the licensee. Licensees shall not dispose of such working papers until notified in writing by the Board of the closure of the investigation or until final disposition of the legal action or proceeding if no Board investigation is pending. So, a transfer to a successor firm appears to be permitted. What if she refuses to take the documents? Her probate estate could retain them and stay open, they could be returned to clients, or there could be a rule established by the Oregon body that regulates accountants that authorizes a central depository of such records. In Colorado, for example, in the case of law practices with no successors, original wills and estate planning documents can be deposited in the records of the court with probate jurisdiction that has jurisdiction over the territory where the decedent's practice was located. But, I could not locate any provision of this kind in Oregon law. Is it legal for us to destroy/shred/etc. the documents? In many cases, yes. Some states, by statute or regulation, and others by custom, allow business records to be destroyed as a matter of course, normally one year after the longest statute of limitations that could apply to a dispute where the records would be relevant (often seven years since the longest normally applicable tax statute of limitations is six years). Destroying tax returns is usually not a big concern because a transcript of the old tax returns can be ordered from the tax collection agency where they were filed. But, business records related to purchases of property and capital improvements and depreciation, and related to divorces, can be relevant for decades after they were created, so the more honorable course of action would be to make at least a cursory effort (such as a postcard sent to a last known address of each client with a deadline for requesting a return of their file) to return the files of clients that include original business records as opposed to mere copies of tax returns. Oregon has a seven year retention rule for most purposes pursuant to Rule 801-030-0015(e) which is linked above: (e) Retention of attest and audit working papers. (A) Licensees must maintain, for a period of at least seven years, the working papers for any attest or compilation services performed by the licensee together with any other supporting information, in sufficient detail to support the conclusions reached in such services. (B) The seven-year retention period described in paragraph (A) of this subsection is extended if a longer period is required for purposes of a Board investigation as provided in paragraph (d)(D) of this rule and OAR 801-010-0115(3). The referenced rule in that rule states: (3) Requirements upon resignation. Upon resignation, a former licensee is required to: (a) Surrender the CPA certificate or PA license to the Board; (b) Take all reasonable steps to avoid foreseeable harm to any client, including but not limited to providing written notice of resignation under this section to all clients and inform all clients of where client records and work papers will be stored and of the clients’ right to secure copies of all such records and work papers at no cost to the client; (c) Maintain client records for a period of at least six years, or return such records to the client; and (d) Continue to comply with the requirements of OAR Chapter 801 Division 030 pertaining to confidential information and client records. (e) For the purpose of subsection (b) above and unless otherwise required by the Board, a resigning licensee of a registered firm is required to give written notice to only those firm clients for which the resigning licensee was the sole or primary CPA on an engagement, an engagement leader, or the client relationship manager. In practice, the consequences of destroying a record that shouldn't have been destroyed are likely to be minimal, because any recovery would be limited to the assets of the estate and there is a time limit for making claims against estates which is quite strict, and your grandma has no license to revoke. But, again, the honorable thing to do in order to honor her legacy and do right by her former clients would be to either transfer the records to a successor firm or to attempt to return them, as she would be required to do if she had surrendered a license during life.
UK - can you run a criminal records check on a customer? Had an interesting conversation with a friend who runs a labour agency which sends people to businesses for temp jobs. I asked her whether she conducted criminal records checks of the directors of the SMEs she sends labour to. She said no, and that she didn't know whether that would be legal. Which is an interesting question. How does she know that the person who runs the pub she's sending agency labour to isn't a murderer? Can you do a CRB check on a prospective customer? My thinking is not, but this seems like an exceptional situation.
No, you cannot DBS (formerly CRB) check a customer DBS checks can only be carried out within an employment or volunteering context, provided specific conditions (such as the profession, work, or type of job) are met. It is not possible to lawfully conduct a DBS check on a customer or supplier, for example - because they are not an employee or a volunteer for your organisation. It is possible for members of the public to request a DBS Basic check for themselves (this will reveal current active convictions), but not for other people. The other DBS checks are only available to organisations with specific hiring needs as mentioned above. DBS checks are regulated by the Rehabilitation of Offenders Act 1974 and the associated Exceptions Order 1975. A DBS Basic check will reveal active, "unspent" convictions. A "spent" conviction is simply one that no longer shows up on a DBS Basic check. A DBS Enhanced check will reveal all convictions (active and "spent") plus relevant information from police forces depending on the nature of the proposed employment. Most occupations that work with children or vulnerable adults in some capacity (e.g. lawyer, teacher, nurse, care home worker, school janitor, etc.) will be eligible for a DBS Enhanced check. All other jobs will only be eligible for a DBS Basic check. There is no legal way for you to find out if a prospective customer or supplier, etc. has a criminal record in the UK.
The CEO wants to "fool" users You are essentially admitting that the company you are working for is about to deceit its customers and asking whether that is legal. The relevant set of laws is rather sparse and does not give direct answers in regards to oAuth tokens or other details of that level (which is probably making your CEO think he can "handle" the arising questions). Probably the most relevant bit of legislation that applies here is The Federal Trade Commission Act (15 U.S.C. §§41-58) which prohibits unfair or deceptive practices and has been applied to online privacy and data security policies. I am pretty sure that, in practice, if the users take your company to court, it will be held liable because: users are allowing us to read their CRM data and once we get the data, the data become ours, and we can do whatever we want with it. Is this true? While the users are still allowing you to read their data it is completely up to the Terms/EULA what you can do with it. However, once you have made the users think that they have withdrawn your access (e.g. they "deleted" oAuth tokens), you are no longer authorized to read the current data (although the Terms may still allow you to use the old data you obtained when you had access). Silently continuing to access their data without their knowledge/approval is definitely a deceit. The CEO wants us to download all of their emails and store them in our database There would be nothing wrong with that if it was in the Terms. But if it is not, that would be a blatant (and easily punishable) breach of privacy. Note that you may also be held personally liable for this wrongdoing (if/when proved so). "Just doing your job" claim will not work.
You did not mention the country where you are, but this sounds like a very bad idea. Any working "glitter bomb" will be a low-grade bomb and setting one of those is extremely illegal. If you know when the next parcel will arrive, my advice would be to arrange for a credlible witness and to take pictures of the parcel before you open it any further. Then report the damage to the sender. If it was a commercial parcel, ask for a full refund. Enough of that and the postal inspectors will wonder why their machines are "damaging" so much mail.
While German law indeed requires providing correct contact information it does not require the recipient to answer queries. It is there so that you can submit legal notifications. In your case I wouldn't be so sure that the information is not correct. However, even if the contact information is incorrect, there is not much you can do about it. This is reserved to the following groups by § 8 Abs. 3 UWG: every competitor; associations with legal personality which exist for the promotion of commercial or of independent professional interests, so far as a considerable number of entrepreneurs belong thereto, and which distribute goods or services of the same or similar type on the same market, provided such associations are actually in a position, particularly in terms of their personnel, material and financial resources, to pursue the tasks, under their memoranda of association, of promoting commercial or independent professional interests, and so far as the contravention affects the interests of their members; qualified entities that prove that they are entered on the list of qualified entities pursuant to section 4 of the Injunctions Act or on the list of the Commission of the European Communities pursuant to Article 4 of Directive 98/27/EC of the European Parliament and of the Council of 19 May 1998 on injunctions for the protection of consumer interests (OJ Number L 166 page 51); Chambers of Industry and Commerce or Craft Chambers. Unless you are a competitor you are out of luck. The hoster or other providers can't do anything and don't need to, as they are not required to check legality of their user's websites. It doesn't really matter where you are by the way for these laws.
Was the case Sealed? Or is it considered to be Private? Those are two different cases. I was not able to find any laws regarding sealing, or expunging records of Name Changes, but was able to find the Utah Law for Criminal Records. I can only assume they draw from one another. All that being said, assuming your whatever case is sealed, then Some records are sealed. In these kinds of cases, even information about the existence of the case is not publicly available. A person seeking access to a sealed record must petition the court for permission to unseal the records. Rule 4-202.03 states that, ....no one may access a sealed court record except by order of the court. A judge may review a sealed record when the circumstances warrant. From that I can assume that, The records are not public. The records will not show up in a routine check The records will be known only if a there is a court order. Comparing it with the Expungement Act, Continued Use of Sealed Records After sealing, BCI continues to index and maintain all expunged records of arrests and convictions, but the records will not be released to the public. BCI will not divulge any information contained in the expunged records to any person or agency without a court order, unless authorized by statute to do so. Upon request, the following organizations may receive information contained in expunged records: the Board of Pardons and Parole Peace Officer Standards and Training federal authorities, unless prohibited by federal law the Division of Occupational and Professional Licensing and the State Office of Education Both cases above require a court order to get that seal record information. However, from what I gather only expunged criminal records can be access upon request by the Division of Occupational Licences. Bottom line, it sounds like you are safe to mark is no previous name, but you may lose your license in the future if something goes south. I will recommend you to get a professional look into the word of the law and provide you with a written statement of the actual law. Another thing you can try is write to the court who sealed your case, present them the situation and explain what you have found so far, and ask for guidance.
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.
I'm based in England, but I'm sure the principle is similar in Canada. The night club or concert venue is private property. When someone owns or rents private property one of the main things they are buying is the right to control who is present on that property, and generally they can use reasonable force to remove people who are not authorised. Security guards generally act as agents for a property owner, tenant or similar.
GDPR is not a blanket ban on the handling of personal data. It is a set of guidelines when and how data may be processed and stored. Documenting the compliance with a deletion request is one of many purposes for which some data may be retained after a deletion request. Others would be past contractual obligations, legal documentation requirements, and even a balance of 'legitimate interests' of the processors and the data subjects. The processor might be able to argue that fraud/abuse prevention is such a legitimate interest. What if I want to create a service that does let users enter their friends' email addresses, and send those friends an email invitation to the service? Get a specialist lawyer on staff who can check your exact business processes. A web site like this cannot possibly give you a full explanation of the pitfalls.
Does EU/US copyright law follow its citizens wherever they go? Abby lives in the European Union or United States. Abby visits Ben in Country X, which has no copyright laws. Ben has a copy of a movie that is protected under the copyright laws of Abby's home country. Abby makes a copy of it and watches it. She then lets her friend Carl, who is also in Country X, make a third copy. Abby returns home with no copies of the movie. Is Abby liable for copyright infringment under the laws of her home country? And does it matter where the original copyright protected content is from ?
Eritrea, Turkmenistan and San Marino are the three countries without copyright laws. A handful of other countries are not party to any copyright treaties, such as Iran, Iraq and the Marshall Islands. There is no law against infringing non-Iranian copyright in Iran, so if you are in Iran and download non-Iranian content, you won't get sued in Iranian courts. This is true whether you are an Iranian citizen or a US citizen. The same holds for Eritrea, except that there it doesn't even matter if the work is Eritrean. If, being in the US (or Germany), you download US (or German) material from an Iranian pirate website, you will not be sued in Iranian court, but you can be sued in US (or German) court. That is, it doesn't matter where the website is, it matters where you are. If you infringe German copyright in the US, or vice versa, you can be sued. The basic protection that the various copyright treaties provide is that works of member states are given equal protection, thus German copyright law does not just protect German works. If you, being in Germany, infringe my copyright (I'm in the US), I will sue you in German court, which I can do because of various treaties. The other thing to bear in mind is that copyright protection is stated as a protection of a work, so there is no "exception" whereby only citizens of Germany have to obey German copyright law. A work created in Germany is protected for citizens and non-citizens alike. The difficulty that arises is that if a person isn't in Germany but is in Eritrea, you would have to either sue them in Eritrea (can't do that: no basis in Eritrean law), or have a German judgment enforced in Eritrea (can't do that, no treaty), or lure them to Germany and persuade them to stay (can't kidnap them). While you cannot be sued in German court for infringing Iranian copyright using an Eritrean piracy server, you can can be sued in Iranian court if you subsequently travel to Iran. If you copy US material while in Iran, you can be sued when you return to US jurisdiction. Again, the basis for the lawsuit is an act of copying, and not copying while in a particular country, or copying from a particular country.
Each episode of the show as a whole, and all the individual images in it, are protected by copyright, but the idea of a holophonor, or indeed any idea, is not. The more closely anyone else's drawing of a gadget resembles one from the show, the more likely it would be to be found to infringe copyright. The same is true of a character image. The more distinctive and original the image, and the more closely someone copies it, the more likely a finding of infringement would be.
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.
Copyright in the US is usually a civil matter. Meaning that the copyright owner can sue (typically for money damages or injunctive relief) an infringer. The criminal laws that we have are aimed at the reproducer and/or distributor. In other words, chances are that you won't get in any criminal trouble for accessing academic articles of dubious origin. But never say never. RIP Aaron Schwartz.
I think that there won't be any trouble from Germany, but the US could be a problem if the girl reports the case to authorities. In that case, further details would depend on the state in question. As far as Germany is concerned, there are two sections in the penal code that could be relevant here: § 176 StGB - Sexual abuse of children § 182 StGB - Sexual abuse of juveniles To make things more complicated, we would also have to take into account juvenile penal law and whether Germany would have jurisdiction in the first place. 1) Jurisdiction: I'm not sure whether this case would fall into German jurisdiction under § 3 StGB as the case could be deemed to be committed in the US. However, in that case, Germany could still assume jurisdiction under § 5 item 8 StGB. 2) Since our guy was only 18, it would be at the discretion of the court to decide whether juvenile criminal law or regular criminal law is to be applied. In the former case, the sentence would be lower (if there is a sentence at all). But then we still have to figure out whether our guy broke a law in the first place. So first of all, let's take a look at § 176 StGB: “Section 176 Sexual abuse of children (1) Whoever performs sexual acts on a person under 14 years of age (child) or has the child perform sexual acts on them incurs a penalty of imprisonment for a term of between six months and 10 years. (2) Whoever causes a child to perform sexual acts on a third person or has a third person perform sexual acts on the child incurs the same penalty. (3) In especially serious cases, the penalty is imprisonment for a term of at least one year. (4) Whoever 1. performs sexual acts in the presence of a child, 2. causes the child to perform sexual acts, unless the act is subject to a penalty under subsection (1) or subsection (2), 3. influences a child by way of material (section 11 (3)) or information and communication technologies a) in order to cause the child to perform sexual acts on or in the presence of the offender or a third person or to have the offender or a third person perform sexual acts on the child or b) in order to commit an offence under section 184b (1) no. 3 or under section 184b (3) or 4. influences a child by showing pornographic images or depictions, by playing pornographic audio recordings, making pornographic content available by way of information and communication technologies or pornographic speech incurs a penalty of imprisonment for a term of between three months and five years. (5) Whoever offers or promises to supply a child for an offence under subsections (1) to (4) or who arranges with another to commit such an offence incurs a penalty of imprisonment for a term of between three months and five years. (6) The attempt is punishable; this does not apply to offences under subsection (4) nos. 3 and 4 and subsection (5).” Since the girl is 15 years old, this section is probably not relevant. However, to know for sure, we would need to know her exact age when contact started. If she was only 13 years and 11 months and contact lasted 1 year and 2 months, then § 176 might be relevant after all. That takes us to § 182. “Section 182 Sexual abuse of juveniles (1) Whoever abuses a person under 18 years of age by taking advantage of a predicament by 1. performing sexual acts on that person or having said person perform sexual acts on them or 2. causing the person to perform sexual acts on a third person or to have sexual acts performed on them by a third person incurs a penalty of imprisonment for a term not exceeding five years or a fine. (2) A person over 18 years of age who abuses a person under 18 years of age by performing sexual acts on that person or having that person perform sexual acts on them for a consideration incurs the same penalty. (3) A person over 21 years of age who abuses a person under 16 years of age by 1. performing sexual acts on that person or having that person perform sexual acts on them or 2. causing that person to perform sexual acts on a third person or to have a third person perform sexual acts on that person, and thereby exploits the victim’s lack of capacity for sexual self-determination, incurs a penalty of imprisonment for a term not exceeding three years or a fine. (4) The attempt is punishable. (5) In the cases under subsection (3), the offence is prosecuted only upon request, unless the prosecuting authority deems there to be a special public interest in prosecution which calls for ex officio intervention. (6) In the cases under subsections (1) to (3), the court may dispense with imposing a penalty pursuant to these provisions if, having regard to the conduct of the person against whom the offence was committed, the wrongfulness of the act is minor.” § 182 para. 1 StGB applies only to cases where the offender takes advantage of a predicament. I seriously doubt there's a predicament involved here. § 182 para. 2 StGB only applies for sexual acts for consideration, i. e. when money is being paid. Since apparantly there was no payment involved in this case, no problem here and we can go on to para. 3. § 182 para. 3 StGB only applies to cases where the victim lacks the capacity for self-determination and the offender is at least 21 years old. Neither is the case here. Summary: As far as Germany is concerned, there's no trouble to be expected under § 182 StGB. § 176 StGB might cause problems but only if the girl was under 14 when contact began. (You stated that she's 15. This could mean that she just turned 15 but was 13 years and 11 months when contact began.) As far as German law is concerned, it looks like our guy was overly cautious and there was no need to cut contact. From the US perspective, however, things will probably be different. I'm not familiar with US law but we would probably need to know the state in question.
Titles can't be copyrighted. Meta-data like #2 aren't copyrighted. Not sure if the MPAA could protect its ratings, but I can't find anywhere that it has asserted restrictions on the use of those. If the list of "Similar works" is not somebody else's intellectual property then there's no problem. (If it is I'm not certain what protection it could be eligible for.)
The rule you are alluding to with respect to a television set is called the "first sale doctrine" which basically prohibits copyright and trademark owners from limiting the ability of a buyer of a good (like a CD or authorized logo T-Shirt) protected by copyright or trademark, from limiting further sales of that good (or the manner in which the good is used by its new owner) after a first retail sale of the good with copyright or trademark protections. This doctrine was derived from an old common law rule that invalidated "restraints on alienation" of property other than intellectual property on public policy grounds, and like the "restrain on alienation" rule for tangible property, the first sale doctrine that applies to intellectual property was also (at least originally) a court created common law rule. But Minecraft isn't, conceptually, a good. It is a continuing service provided over the Internet, and firms that provide continuing services on a licensed basis, as Minecraft does, can impose terms of service (a.k.a. an "end user license agreement" a.k.a. EULA) which must be complied with in order for users to be allowed to continue to utilize the service. So, its prohibition on exchanges of things of real world value for things of game value, except as the terms of service authorize, is permitted. A user of Minecraft is more analogous legally to someone skating at an ice rink than to someone who buys a CD or book. If you buy a ticket to skate at an ice rink, the people granting you the license to use the ice rink have the right to set rules governing how you utilize that service, and to terminate your license if you don't follow the rules (e.g. by skating in the wrong direction at the wrong time). Indeed, a ticket to an event is also known in legal parlance as a form of "license" just like a EULA, and licenses to use real property are the origin of the body of law that now governs the licensing of intangible intellectual property. A Minecraft license isn't something that you own (even if you have a license of unlimited duration), it is a qualified and limited right to use something that someone else owns, that you aren't allowed to purchase, but you are allowed to use on the owner's terms. How can they enforce servers to follow that rule if the server's are not using Mojang's proprietary software. The EULA or TOS obligation in the Minecraft business model is enforceable because Minecraft isn't in the business of selling proprietary software, even though it does do that. Minecraft is in the business of licensing access to data and online resources. The EULA regulates your access to the data on servers, and the computing power of those servers, not your ownership of an app which facilitates your use of the licensed services. And, while there are various contractual remedies for violating a EULA, the most basic one is a self-help remedy: to cut you off from your ability to use the service if you violate the owner's rules. Indeed, at least heuristically, the easiest way to distinguish an intellectual property good, which is subject to the first sale doctrine, from an intellectual property service, which can be licensed pursuant to a EULA, is whether, as a practical matter, the firm distributing the intellectual property has a practical ability to deny you service going forward without resort to the courts. If the owner of the intellectual property has no practical ability to do that, the intellectual property being distributed will probably be classified as a good and be subject to the first sale doctrine. But, if the owner of the intellectual property has the practical ability to cut you off from the intellectual property being distributed without resort to the courts, the intellectual property being distributed will probably be classified as a service, which is not subject to the first sale doctrine and may be licensed.
Who knows. It doesn't matter. 17 USC 102 lists the kinds of things protectable by copyright under US law. These are: (1) literary works; (2) musical works, including any accompanying words; (3) dramatic works, including any accompanying music; (4) pantomimes and choreographic works; (5) pictorial, graphic, and sculptural works; (6) motion pictures and other audiovisual works; (7) sound recordings; and (8) architectural works. A landscape feature is none of these and is not subject to copyright protection under US law, nor I think under the law of any other country. The "copyright notice" has no legal effect. 17 USC 120 Specifically prohibits copyright being used to prevent the taking of pictures of a building from a public place. In many countries Freedom of panorama (FOP) specifically permits publication of photos taken from public places. Se also this article on FOP. FOP is an exception to copyright protection, which applies to copyrighted architectural works and publicly posted works of art, such as sculptures. Since landscape features are not copyrightable at all, FOP does not strictly apply to them, but all the arguments for FOP would apply to them even more strongly. In US Law, particularly under the Fiest vs Rural case, only works with original content, created by a person, are protected by copyright. (Other countries generally have similar limits on copyright.) But a feature of the landscape is not the original creation of any person. (If someone carved the landscape into a designed shape, it might be protect able as a sculpture.) 3 and 4. If it were a building, you could take pictures of it from a public place or a private place where you have a legal right to be, under 17 USC 120 . But since a part of the landscape is not protected by copyright at all, this is not really relevant. No under the US First amendment there is generally a right to say even false things. But if the landowner attempts to enforce this "copyright" it would be considered frivolous and any court proceeding would be promptly tossed out. The sign gives the landowner no rights s/he would not otherwise have.
Destination-based sales tax collection. What if you do not know the destination's address? A scenario: I am selling online software and I provide advanced features for premium members. As far as I understand I do not ship or deliver anything physically. I also do not ask customers for their address information and can accept any payment (e.g., bitcoin). What sales tax do I charge if I do not know their county and address? Can I assume that the sale happened at my "store's" location and charge them a standard sales tax based on that?
The answer may vary depending on your state. If you're in a state that's a member of the Streamlined Sales and Use Tax Agreement,* there's a designated heirarchy for sourcing sales of digital goods: First, if you're making delivery to the customer at your location, source to the location where you make the sale. If not, source to the location where your customer will receive the product. Neither of those works for you, so you'd continue down the list to the first one you can apply: The purchaser’s address that you maintain in the ordinary course of the your business; The purchaser's address obtained during the consummation of the sale; The address where you first make the product available for transmission or the address from which you provided the service. By my reading, that means that in the absence of an address, you basically come back full circle and source the sale back to your own location. *Arkansas, Georgia, Indiana, Iowa, Kansas, Kentucky, Michigan, Minnesota, Nebraska, Nevada, New Jersey, North Carolina, North Dakota, Ohio, Oklahoma, Rhode Island, South Dakota, Tennessee, Utah, Vermont, Washington, West Virginia, Wisconsin and Wyoming
Two people exchanging goods or services on a commercial basis and then pretending it was two gifts is tax evasion. It's not a gift. It's a commercial sale that you lie about by 'putting' a different 'label' on it. Sometimes two people will give mutual gifts, e.g. if you come to my wedding: I give you dinner, you give me some kitchenware. Yet there's nothing commercial about it. So that's not income for either party. However, if you're talking about two businesses making sales to each other, that is very much income, regardless of what you badge it.
You can purchase any expensive item for cash, if the seller will accept it. In the US and many other jurisdictions, a seller is not required to accept cash, but many will. In the US and many other jurisdictions banks are required to report large cash deposits to government authorities, to help combat money-laundering, drug-dealing, and tax-evasion. Such a report may trigger an investigation, and during that investigation a person who bought an expensive item for cash may well be asked about the source of the cash. Whether an answer is legally required will depend on the law in the particular place. But even if it is not legally required, refusing to answer such questions may trigger additional investigation.
No. You have to ask for specific permission to send marketing emails, and can't make it a condition of making a purchase since marketing emails are clearly not necessary for that. When accepting the terms you need a separate tick box for marketing emails, and it must be unticked by default (opt-in).
What is the name of the crime and/or tort I have committed? You are guilty of the crime of fraud, the crime of theft of the money and the item (I can't point you to the precise statute). You have breached your contract of sale. You are probably liable for fraud civilly (i.e. you could be sued for fraud). But, if one was really creative, I imagine that one could find more grounds for civil and/or criminal liability, although they would probably be unnecessary since the victims have plenty of remedies to secure all possible relief already. Who gets to keep the object? Under the Uniform Commercial Code, Article 2, in the United States, the general rule is delivery of possession by the seller (which didn't really happen here to one distinct person), but for unique goods, title passes when the unique good is identified to a contract with a buyer, so first in time to contract, first in right to the car, would probably prevail. But, I don't know what the rule would be in England and Wales. Is it handled differently if the "valuable physical object" is real estate? Land is harder to defraud someone with, because a reasonable person knows that in England and Wales real estate title is (usually, but not always) represented by a certificate of ownership maintained by a public official in the Land Registry, and is easily checked (about 15% of land in England and Wales show in the link is not registered so the possibility for deception is somewhat greater in that context). Also, generally, you don't pay for real property until you simultaneously receive payment in good funds, while brief extensions of credit for a non-perfectly contemporaneous sale transaction are more common in cases involving tangible personal property.
When selling a residential property in the UK, you normally fill out a form called the TA10 Fittings and Contents Form, which outlines everything in the property included in the sale. This isn't a legal requirement, but your conveyancing solicitor will normally recommend it. Anything else left in the property after the completion of the sale is still, legally, a possession of the previous owner and the new owner is obliged to inform them of these possessions in writing. So, you do have to return it (and most people in such situations do return the possessions without question). However, if the presence of those possessions means you can't be reasonably expected to move into the property, then you can claim compensation from the previous owner for alternative accommodation (i.e. a hotel) until the situation is rectified. Or if the previous owner refuses to collect the possessions, you can likewise claim compensation for the costs of disposing of it. Alternatively, if they do want the possessions back, but take their time getting it, you can charge them fair storage costs.
There may be violations of consumer protection and/or advertising statutes here by the online store, but the common law position is that: The website's owner is making an invitation to treat Based on that, you are making an offer The contract comes into place when the website's owner accepts your offer. The time of contract formation is "when the parties give objective manifestation of an intent to form the contract." You would need to read the site very carefully, in particular their terms and conditions, acknowledgement page and/or email to see if they are actually accepting your offer or if there are conditions attached. If there is no clear, unconditional acceptance then there is no contract at that time; this applies even if you have paid for the goods. If this is the case (and I strongly suspect that it would be for most online stores), then their acceptance of your offer and the formation of the contract probably does not come into effect until they "give objective manifestation of an intent to form the contract" by shipping the goods. Up until that time there is no contract and their only obligation to you is to promptly refund your money.
Since you bought these online the Consumer Contract Regulations are going to be in effect here (if the price of the goods was over £42 anyway), (legislation) Where your cutting the tags off and wearing them outside for an hour comes into play is that would probably be considered "excessive handling" and they might be able to make a deduction from the amount of the refund. Your business can make a deduction from the value of the goods if you consider the customer has handled the goods excessively. You can’t deduct monies from the refund simply because the goods have been removed from the packaging or because the goods have been tried on or checked. In essence, distance selling purchasers are entitled to handle goods in the same way that they would in a normal retail store. That therefore includes touching the item or trying it on. Since no retail store is going to let you cut the tags from a pair of shoes and walk outside for an hour in them I'd say that test is probably met here. How much can they deduct? As the CCR puts it (emphasis mine): (9) If (in the case of a sales contract) the value of the goods is diminished by any amount as a result of handling of the goods by the consumer beyond what is necessary to establish the nature, characteristics and functioning of the goods, the trader may recover that amount from the consumer, up to the contract price. Which is likely where the "saleable condition" aspect is coming from - if they aren't in a condition where the retailer can sell them on they've essentially lost their full value. If the retailer makes returned goods available for sale on the site at reduced prices (like the "Amazon warehouse" deals) then a deduction of the difference in sale price between that and full retail is more likely.
How might the legal system resolve court dates in a situation like the following? Adam has a defamation suit against his ex-wife Eve for a lot of money in the United States. Adam also has a contract to perform professionally abroad from months 1 to 4. The latest court date (in the U.S.) is month 4 but it was originally well before month 1. Adam wants to reschedule so that the court proceedings don't interfere with his contract. Would a U.S court honor his request, based on his prior commitment? Does the court date give Adam a legal excuse to violate the terms of his contract abroad? Or is Adam caught in a "Catch 22" type situation whereby he will be in contempt of court if he isn't in the United States in month 4 and in breach of contract if he isn't abroad in month 4?
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.
A witness who disobeys a court order has automatically broken the law. Indeed, this is the most fundamental of laws; you can't decide "If I turn up to the hearing I may be punished for my crime; but not attending isn't against the law, so goodbye." A witness who goes out of the jurisdiction cannot, of course, be punished while there (though when he returns he may have to explain why he chose to leave having been warned that he must attend or face penalties- that is the meaning of sub poena). But your assumption that anybody who fails to attend probably had a good reason betrays a fundamental, though common, misunderstanding. A court has determined that your evidence is necessary for justice to be done. There is therefore no good reason not to attend. It may well be that a doctor would prefer that you did not go to court that day, and if you apply to the court it may be possible to find some arrangement. But you are not allowed to decide 'my convenience is more important than discovering whether the defendant should go to jail or not". Civilised countries have people who are empowered to make that decision; they are called judges, and the decision has been made.
If you want to take legal action, hire a lawyer. If you want to puff your chest and see if they flinch here is what you do: First let's deal with this arbitration agreement. (There is probably also a jurisdiction agreement in there, ignore that for now.) First you need to find someone to to arbitrate and a place to hold the arbitration. I suggest a babysitter, dog-walker, friend, whatever... just make sure it is a real person. You write them a letter saying that you are exercising the dispute resolution set forth in the terms and that you propose an arbitration by [insert person's name here] to take place at [location] on [date and time]. You are going to mail this to a physical address and should include a sentence asking them to let you know within 30 days if this schedule works for them. Also tell them that you prefer to communicate via email and provide an email address. Mail this letter. Just mail it plain old snail mail. In two weeks write another letter opening with a statement indicating two weeks ago you sent a letter and asked for confirmation of receipt, that you did not get receipt and would they please acknowledge. You have now puffed your chest. Pretty soon 30 days will run and you will go to the courthouse. Hopefully this will have gotten them talking to you and you can get this resolved. What I describe next is an absolute interbreeding and then slaughter of various states' court rules. I hope that more-informed stack participants edit with gusto. If you can't resolve things go to the courthouse and tell the clerk that you want to file a claim in small claims court against [company] for [dollar amount] based on breach of contract. She will give you paperwork to fill out. You will pay her the filing fee. One of the things you will fill out is a complaint, one is a summons. It might be two in one. Here is an random example. It should be a simple form. Keep it all as simple as possible but be sure to describe the facts that support your claim. You might include the fact that they ignored your requests to arbitrate. Take this complaint and summons and serve them on your defendant. To do this you will need to get someone in the company's city to serve it. There are professionals who do this, mail or email them (if possible) the summons and complaint and pay them. They will you with provide proof of service. Now you have moved past chest-puffing and you've thrown a punch. Now you have initiated a law suit. They must file an answer. This means that they must get lawyers involved. You've gotten their attention and it only cost you filing fees. They must now file an answer to your complaint. They will also likely file a motion to dismiss and do one of a few things: 1. complain that you need to arbitrate 2. It will complain that the contract requires legal action in a certain state or county 3. It will complain that regardless of the contract this is the wrong court for any host of reasons 4. they will claim that you haven't stated a valid complaint 5. some other boilerplate stuff. You might have a hearing scheduled to deal with these things, you might deal with them all on a trial date. Now go back to the clerk at the court and ask for a subpoena form. You will have this served on the defendant also - it must name a person. This is a document that requires them to come to court at a time and place. Again, lawyers get involved to quash this. Lawyers = $ so you probably got their attention. Oh yeah, you need to pay a witness fee and travel costs. You can also serve a subpoena duces tecum which requires them to bring documents that you ask for. This needs to be served on the person in change of keeping records. You will probably pay the costs of the documents. The clerk will have forms for you and will describe the process in ambiguous terms while repeating "we cannot give legal advice." You've got your documents, you have a witness coming, you are ready for trial. If you haven't had some sort of hearing already to deal with defendant's motions to get this thing dismissed, you will need to deal with that stuff now. They will claim that arbitration is required. You tell the judge that you invited them to an arbitration that you set up and they refused to come. You show all the paperwork, including your contract with the arbiter. They will argue about jurisdiction, good luck with this one but it's a whole other problem that I can't touch here! If you survive these objections you will tell the story to the judge, you will call the witness and question her, you will present your documents as evidence. In small claims court the judge (or magistrate or referee) might ask the lawyer some questions about facts. Then the judge will bang his gavel and you wait for his decision. If you win come back here and ask how to get your money.
No. A plaintiff may travel to the defendant's jurisdiction to file suit if desired. Nobody usually does this, though, due to travel and logistical considerations. The defendant is the one who decides whether to challenge jurisdiction. Good contacts will include a forum selection clause which would lay out what happens where in the event of a dispute. And this can be anywhere, it is not limited to the locations of the plaintiff and the defendant. N/A.
Probably not, although it is impossible to say without reading the lease. Usually leases are monthly. That means you pay for the entire month or lease term regardless of how much or how little you use the property. It seems weird that the lease ends on the 21st, but if that is the case, then you are legally obligated to pay for that time interval. That said, if you want to drive a hard bargain, you could threaten to reoccupy the apartment and stay in it until the 21st which are legally entitled to do, unless he refunds you some money. You would have to be a pretty serious hard-ass to pull this off, or be prepared to go to court. One possible course of action is that you demand return of the key and say you changed your mind and will be staying in the apartment until the 21st. Make sure the conversation is recorded and that he knows the conversation is recorded, or have a witness. He will refuse. You can then sue him for denying you the use of your property.
That's the entire point of a summary proceeding. You're allegedly found committing an offence, that isn't worth the court's time to hear but nevertheless requires some penalty. The only way to "unambiguously deny liability" is by requesting a hearing and denying liability in the notice of this. The court doesn't care what you say to everybody else, it cares what you say on its record. The reasoning is, if you're so sure you're not guilty of an offence, why haven't you sought to argue this in court? And if you weren't committing the offence, why did the informant serve the infringement notice in the first place? The act is not silent at all on this. If you don't request the hearing and serve such notice by the date required, you are liable to enforcement action - whether you deny liability out of court is irrelevant.
If you do not get anything from this "contract", and all it says is that you will pay someone a sum of money "on demand", it does not meet the basic requirements to form a contract, and in particular, there is no consideration being received by you. It would therefore not be a contract and would have zero legal force. If you do receive consideration, demonstrating that you signed the contract under duress will require specific legal advice, and you need a practicing lawyer in your jurisdiction.
On what grounds would you sue? Contract Well, I think that you would struggle to find the necessary elements (see What is a contract and what is required for them to be valid?) In particular, you would struggle to prove that there was intention to create legal relations on their part and possibly on yours. Are you able to identify in your "back & forth" a clear, unequivocal offer and acceptance? Without knowing the details of the "back & forth": I was hoping that someone at $organization might be willing to write an article explaining what you do, the history of the organization and how it works appears on the face of it to be a request for a gift; not an offer to treat. Promissory Estoppel If you don't have a contract then it is possible (IMO unlikely) that they induced you by your actions to commit resources (your time in writing) in anticipation of a reward (them publishing what you wrote). To be estopped they would have to have known that you were writing the article in the expectation that it would have your organisation's name in it, that they did not intend for that to happen and that they allowed you to invest those resources notwithstanding. If you can prove all of that then you can require them to do what they promised. The big difficulty I see in this is did you tell them that a) you were writing the article, b) it would have your name in it and c) you expected it to be published in that form. Copyright If they publish the work or a derivative work without your permission you can sue for breach of copyright. As it stands, they probably have an implied licence to publish and you would need to explicitly revoke that. Options There are two reasons to go to court: Money Principle If you are going to court for money then this is at best a risky investment and at worst a gamble: balance your risk and reward carefully. If you are going to court for a principle then I simultaneously admire your principles and think you're an idiot. Make a deal Explain that the reason that you wrote the article was a) to support their fine publication and the fantastic work it does (even if you don't) and b) to garner good publicity for your organisation. You understand and admire their strong editorial stance (especially if you don't) but the article involved a considerable amount of work and could they see their way clear to give you a significant discount (~80%) on a full page ad facing the article.
Can we withdraw a document if the signed witness declares that he did not see the parties signed on front of his eyes? Someone tricked me to sign a document without paying attention to content. The person also made 2 persons to sign the documents as witnesses. I want to withdraw the document, is it enough that the witnesses (or one of them) declares that he did not see the parties sign the documents in front of his eyes and consequently the witness is not valid?
Generally not With very few exceptions, documents do not need to be witnessed to be valid even where there is a space for a witness to sign. When you knowingly signed it you were making a legal declaration that you had read it, that you understood it and that you agreed to be bound by it. If you didn’t “pay attention to the content” then more fool you. As to being “tricked”, you would need to elaborate on this (in another question) it for this to have any effect it would need to ride to the level of misrepresentation or fraud - like substituting a different document for the one you had agreed to sign. You would also need evidence of the “trick”.
Lawyers may break confidentiality with client permission. You can also break your own confidentiality and talk to the prosecutor yourself. The prosecutor's response is up to the prosecutor; however, they tend to not be super excited about giving immunity to a witness for the defense if they might want to prosecute the witness later (and courts often are fine with that), so the more they suspect about your true role the less likely they are to grant it. No. If the feds later find truly independent evidence (they have the burden of showing it's truly independent), they can prosecute. Some states give transactional immunity to witnesses (you can't be prosecuted for crimes you testified about for any reason), but the Fifth Amendment doesn't require it and at least the feds aren't bound by state transactional immunity. It's hard to prosecute, but is possible if prosecutors play their cards right. Yes, it does allow civil liability. There is no right against self-incrimination in civil matters, only criminal liability. If the forced testimony leads to a lawsuit that bankrupts you, too bad.
The date and location of the signature merely documents when/where the signature was made, and doesn't have a lot of legal significance for ordinary contracts. This information is probably only useful if you need to argue that you could't have signed the contract because you weren't in that town on that day. Despite this small lapse your contract is perfectly valid, in particular you are required to make any payments that are part of this contract. It doesn't make sense to get this corrected. However, if any actual information (for example, you address) changed, then you should notify the gym to update the information.
You certainly can't legally steal anything, ever. If it is legal, it is not stealing. In particular, if it is your property, it isn't stealing. The question is really, "is it your property"? This will be jurisdiction dependant. I am familiar with England and Wales, and other common law jurisdictions may be similar. The fact you co-signed for the car definitely does not make it your property. It just means that out of the goodness of your heart, you agreed to reduce the finance company's risk by promising to pay if your ex-friend didn't. In E&W, I don't think it is possible to register a car jointly, but there is a long page explaining that the registered keeper is not necessarily the owner of the car. My guess is that the car probably does not belong to you, so if you take it you will probably end up with a conviction for theft.
You can ask a law enforcement officer or district attorney to press charges. Generally, you cannot do so yourself. In practice, this kind of allegation is almost never criminally prosecuted. A prosecution would be particularly unlikely if the witnesses and/or notary confirmed his story that it was your father's signature or was authorized, and if the lawyer received no personal benefit from the will. Sentences for forging a will vary from state to state and sometimes depend upon the amount of personal benefit secured from doing so. Absent a huge personal benefit, it would probably be a minor felony punishable by a few years in prison or more likely, in the case of a lawyer without prior convictions, a deferred judgment, or probation and a fine. Proving that the signature is forged is extremely difficult and under certain circumstances a person trying to execute a will can lawfully have someone do it for them by directing the lawyer to do so in the presence of the witnesses (for example, if your father's hand was shaking too much to make it possible for him to sign his name due to a condition like Parkinson's disease). The witnesses to the will would be in a bad position to testify against him because they could face charges too if they witnessed the will despite knowing that it was not signed or authorized by the testator. You could contest the validity of the will due to an allegedly forged signature by raising a timely objection in a probate proceeding to have the will determined valid. In this proceeding, you would only have to show that it is more likely than not that this happened and the consequence would be that the will would be found invalid. In theory, you could sue the lawyer for damages to you caused by the alleged forgery, but only if you were harmed and realistically, only if the will was found to be invalid, which would eliminate any harm, unless the probate process has already been completed. Finally, you could complain to the attorney regulatory body in the state where the lawyer practices. If they found your allegations to be credible they would investigate. If they found that your allegations were probably true following an investigation and a hearing, they could suspend his license or disbar him.
Am I correct in arguing that the LHD never really had implied consent to begin with? In other words, does the failure to honour the express refusal inform us about the legitimacy of prior claims of implied consent? No. They had implied consent and had not intent at the outset to dishonor it. They have violated the patient's privacy right when consent was expressly withdrawn, and they discovered that they cannot easily comply and therefore did not comply. The fact that they have made it expensive for themselves to comply with their legal obligations going forward does not imply that they lacked implied consent at the outset, so they should have no liability for the time period from when the training materials started to be used until the time when implied consent ended. They are only responsible going forward for their failure to honor the patient's wishes. It is not at all exceptional for a legal obligation to turn out to be more difficult to comply with when it arises than was anticipated when the systems that make the legal obligation difficult to comply with were implemented. Health care companies aren't expected to be prophets who can foresee the complex confluence of factors that has painted them in a corner, particularly when a situation has never come up before the current one. It is likely that no one person was ever even simultaneously aware of all the facts necessary to know that this could happen. Someone in the IT department will often not be intimately familiar with what is going on in the training part of the operation and what the privacy rules that apply are and even if someone was, that someone may have been in no position to do anything about it at the time. Health care providers aren't supposed to be evaluated with 20-20 hindsight. Given that they almost surely did not and could not easily have known that they had made a future express withdrawal of consent very difficult to effectuate, scienter can't be attributed to it. And, honestly, they are in more than enough trouble simply trying to deal with the problem post-express withdrawal of consent when they did start to violate privacy laws.
Bribery always involves a public official or person with a legal duty (such as a witness in a legal proceeding). It is illegal for such a person to accept a bribe. See 18 USC 201. We speak metaphorically about "bribing" when we aren't actually talking about the same thing as the legal concept. Seen as a contractual matter outside the legal concept of bribery, a contract requiring a person to cover up a violation of the law would be unenforceable. However, it would be the crime of extortion to threaten to expose the criminal, so to rule that out, we would have to assume that the criminal knew that Jones could rat him out, and he offers Jones money to keep quiet. If the agreement were to "not testify", then that would be bribery. In other words, we have an almost perfectly innocent person, who acted entirely legally (did not extort, is not a public official, did not accept money in connection with testifying in court), and accepted money given for an unenforceable purpose which was breached. Their only fault was accepting payment to not turn a criminal in (and even then, they did turn him in). I can't find relevant US case law that definitely rules one way or the other. I believe though that the court would not order the money returned to the criminal – the court would do nothing to validate such a contract.
It doesn't really require anything beyond your say-so that it is what you say it is; that would be enough to satisfy the requirement for authentication. From there though, as with any evidence, it's going to be up to a jury to decide how much weight to give the evidence. So the more you can show them to prove that the record is real -- and to knock down any questions the opposing party will raise -- the more likely they are to believe it. So if you just bring a printout that looks like it could easily have been forged, the jury may be thinking about that. If you can bring in a data forensics expert to say the document couldn't have been faked, that's probably going to help. Addendum: As a practical matter, I wouldn't expect this to be much of an issue. Unless you're dealing with a savvy opposing party, the authenticity of e-mails seems to be generally assumed. Courts (1) generally assume that parties aren't perpetrating frauds; and (2) are generally run by judges with little to no technical savvy, who don't realize that one could forge an e-mail, let alone all the different ways it could be done. I've personally entered countless e-mail printouts without them being questioned, even though either party could have just gone down into the e-mail thread and changed what the other side had said earlier in the conversation. To avoid the issue, though, it might be that sending the e-mail to a Gmail account would elimimate the question.
What to do if driver's license is lost during road trip? My friend just lost her driver's license in California, during a road trip from Arizona to Oregon. It's an Arizona license, but she's moving to Oregon. Since she's moving, she doesn't even have an Arizona address anymore, which probably complicates things. What does one do in such a situation? My online research so far has just turned up "you're screwed in that case". The only option I can think of is to continue driving to Oregon and hope she doesn't get pulled over. She already got pulled over once, and got away with a warning and a fix-it ticket for the license (that's how she learned it was lost).
a quick online search takes me to the DMZ website; Out-of-State Replacement Out-of-State or Military License Replacement You can replace a lost Arizona license while out of state using the online, telephone, or mail-in options outlined above. The MVD allows the same processes for military members deployed out of state and their dependents, too. Simply apply for your military replacement license online, by calling the MVD, or by mail—whichever is most convenient for you. If you apply online, you will need to choose the express delivery option for an additional $16.95 fee (see “Apply Online" above). This option lets you order delivery to an out-of-state address. Otherwise, the duplicate will be sent to the address on file with the MVD. The out-of-state address you provide for express delivery will NOT appear on your duplicate license or ID, nor will it change the permanent/resident address on file. Remember, express service is not available for military delivery boxes or P.O boxes (e.g., APO, FPO) and is only available in the U.S. You can apply online at the Arizona Department of Transportation. You do need an address they can send it to, however its likely to take up to 15 You may be able to get it delivered express which may be much faster. How long will it take to get my Duplicate Driver License or Identification Card? You will receive your Duplicate Driver License or Identification Card within 15 days. If you request express delivery, an expedited delivery date will be provided based on the state and zip code of delivery and the time the order is placed. Given you are on a road trip, this may or may not work for your time frame. Give it a try and see what the expected date of delivery is. Otherwise your friend best avoid driving without a license. Update: She can of course, order a replacement to be sent to her new Oregon address (which she has done). We can't however advise you on the legality of driving without a license in this scenario. Obviously there are other ways to continue her journey without driving.
The Highway Code said: Vehicles. Any vehicle driven by a learner MUST display red L plates. In Wales, either red D plates, red L plates, or both, can be used. Plates MUST conform to legal specifications and MUST be clearly visible to others from in front of the vehicle and from behind. Plates should be removed or covered when not being driven by a learner (except on driving school vehicles). [Law MV(DL)R reg 16 & sched 4] The good old Highway Code "Must" vs "Should". "Must" means that it is a legal issue, anything that is "Should" is only advisory
depending on the Jurisdiction, you actually were in violation of law! In germany it is a misdemeanor to drive with the high beams on in such a fashion that it blinds or dazzles other road traffic, such as traffic from the front. It is also a traffic violation to drive with front lights that don't properly illuminate the street - such as a broken one. In the worst case, improper illumination voids the validity of the safety certificate (TÜV) and thus you may not drive the car at all on public streets until you have repaired the defect. Not having a valid TÜV can mean you are also not insured! In the US: YES, a stop is most likely legal In the united-states, Terry v Ohio is the governing case. It prescribes that, to initiate contact with a car and detain it on the street curb, reasonable suspicion is enough. What could be reasonable suspicion for the police? In the case presented, 'The high beams are on constantly to hide non-functioning/sufficient normal light' would be the very first thing that comes to my mind, so there very likely is reasonable suspicion to initiate the stop. Ot of course 'The high beams are suitable to dazzle me for a split second, and thus the driver endangered traffic'. Endangering traffic can actually be a felony in some cases. Or just 'They shone their brights into my eyes and violated the High Beam statute' - which is actually the most likely case. As a result, while a broken headlight is not reasonable suspicion to search a car, them and high beams might qualify to make a stop reasonable, especially if at first just a verbal warning not to dazzle oncoming drivers was intended by police. Only if the local law is worded in a peculiarity, that might invalidate a stop. And you might be in violation of law here too! california High Beams can be a traffic violation within 500 feet of oncoming traffic and 300 when trailing another car, if they are not so aimed that the glaring rays are not projected into the eyes of the oncoming driver. florida Under Florida Law, it is also a noncriminal traffic infraction to drive with the high lights on in such a way that it blinds traffic within 500 feet of them oncoming and 300 if you are behind them. Again, the test is that the beams are only ok if they are so aimed that the glaring rays are not projected into the eyes of the oncoming driver. new-jersey Here comes a possible source for your quote: New Jersey has a similar high beams law, but also a recent case. The judgment from the New Jersey Surpreme Court is only valid in New Jersey. According to it a high beam violation has to be witnessed by the officer themselves to justify a "terry stop". If you dazzle a moving police cruiser they may stop you. If you dazzle the moving car in front of them, they may stop you. But if you beam your high beams at a stopped car or no car at all, then the police can't stop you. HELD:The trial court and Appellate Division properly concluded that the motor-vehicle stop violated the Federal and State Constitutions. The language of the high-beam statute, N.J.S.A.39:3-60, is unambiguous; drivers are required to dim their high beams only when approaching an oncoming vehicle. Neither a car parked on a perpendicular street nor an on-foot police officer count as an oncoming vehicle. The judgment of the Appellate Division upholding the trial court s suppression of the evidence is affirmed. Had the officer, in that case, operated the car while being on the same road, the stop would have been constitutional. But he was on foot in a crossing street. texas Wait, actually the quote stems from Texas. However, it has nothing to do with high beams but additional lights such as "Angel Eyes". Texas too has a High Beam Statute, which just like other states, bans blinding oncoming traffic: (c) A person who operates a vehicle on a roadway or shoulder shall select a distribution of light or composite beam that is aimed and emits light sufficient to reveal a person or vehicle at a safe distance ahead of the vehicle, except that: (1) an operator approaching an oncoming vehicle within 500 feet shall select: (B) a distribution aimed so that no part of the high-intensity portion of the lamp projects into the eyes of an approaching vehicle operator; and Even in Texas, blinding the police cruiser would thus be enough to stop the car, at least for a verbal warning and lecture. Common courtesy While it might not be against the law to dazzle someone everywhere, it actually does impact the other drivers: there have been crashes induced by traffic running high beams and blinding oncoming traffic, which then ran off the road or into other cars. In some countries, if they catch you for causing a crash that way, you are in for negligence. As a result, it actually is common courtesy in Europe to dim off your high beams when you notice oncoming traffic, and, if you don't run high beams yourself but notice high beams oncoming to flash them up for a brief moment so you get noticed.
Can I refuse, turn around, and just not enter the USA ,get back on a plane, turn around and drive back, or do I have to give over my devices just because I showed up? In theory you can refuse and turn around. At a highway check point or in a private boat disembarking context, that is fairly feasible. If you turn around before you are searched and get back across the border, the border control officers can't pursue you. In a commercial airplane or commercial boat disembarking context, this is as a practical matter, not a very feasible thing to do, because you can't as a practical matter, turn around and even if you plan to return, the only way you can make it to a return trip without passing through customs is if the border control officer refuses to admit you. The law is that non-probable cause searches are permitted at border checkpoints (and indeed even near a border checkpoint on the in country side), but this isn't much clarity about when that authority ends (short of returning across an international boundary) when deciding not to enter at a border checkpoint. Also, there is also a split of authority over whether a cell phone search is allowed in the first place. The Second Circuit in the U.S. has held that it is not, but the law is unresolved in many U.S. states at this time.
If the passport that was stolen is a U.S. one, you should report it by any of the channels outlined on the State Department's page Lost or Stolen Passports. The paper-reporting option is via form DS-64, which asks, among other things, whether you filed a police report; so it might be good to do that first. Form N-565 is a similar form for requesting the reissue of a naturalization certificate, and it, likewise, asks about any police report. Withholding someone's ID documents, knowing that they are necessary for travel, would be "false imprisonment" under both state and federal statutes. Also, 18 USC §§1426 and 1427 cover the crimes of "Reproduction of naturalization or citizenship papers" and "Sale of naturalization or citizenship papers"; a 10-year felony for a first offence. "Whosoever unlawfully ... disposes of a ... certificate of naturalization, ... shall be fined under this title or imprisoned not more than ... 10 years (in the case of the first or second such offense, if the offense was not committed to facilitate such an act of international terrorism or a drug trafficking crime)," If the police take your report but don't scare the possessor of your documentation into immediately returning it, you could sue him or her for the actual expenses of obtaining replacements in Small Claims court. If the mispossessed passport causes big enough damages, I guess you could sue in any court that has jurisdiction.
There's a good answer in this thread by Trap_Door_Spiders Assuming the car was really stolen, not "stolen" in the sense my friend borrowed it and never gave it back, you could absolutely recover the car. The reason you could, is because you can't steal your own property. Theft is very specifically the taking of ANOTHER's property. Here the property and the title to it has remained with you, because it was stolen. A thief never gets title in stolen property--it's called a void title. A void title is no rights at all as compared to a voidable title which has no rights against the true owner, unless you are subsequent transferee for value without notice (Bona Fide Purchaser). Now we can even take this slightly further. Imagine our thief stole your car and now sold it to Hapless John and all the remaining facts are the same, can you still take the car? Yes, because title in property tracks from the seller of the property. You can only over transfer as good a title as you have in the property. So thief has a void title. When he sold Hapless John the car he transferred a void title, which is no interest at all. So when you see the car and take it back, Hapless John calls the police and reports it stolen too. As long as you could demonstrate it was stolen first, that's the end of the issue. Hapless John has to go find the thief and get his money from thief. Now obviously this all assumes you see the car on say a street or whatever. If you saw it saw it in a driveway, you could end up being charged with trespass unless your state privileges the recovery of stolen property by peaceable means. You still wouldn't be liable for theft, because of the void title, but you can get the other charges. All that said, you are better off having the police come and assist you. If you are even slightly wrong you get hit with the full force of the consequences. It's better just to have a police officer come and assist from a criminal liability stand point.
We need to assume that the stop was legal (not a high hurdle to clear), that is, there was some reason to stop you. Even so, following Utah v. Strieff, police don't actually have to have a reasonable suspicion to stop you and if in the course of an ID check they discover that you have a warrant out for your arrest, the arrest is still legal. So if the police stop you, RCW 46.61.020(1) says: It is unlawful for any person while operating or in charge of any vehicle to refuse when requested by a police officer to give his or her name and address and the name and address of the owner of such vehicle, or for such person to give a false name and address, and it is likewise unlawful for any such person to refuse or neglect to stop when signaled to stop by any police officer or to refuse upon demand of such police officer to produce his or her certificate of license registration of such vehicle, his or her insurance identification card, or his or her vehicle driver's license or to refuse to permit such officer to take any such license, card, or certificate for the purpose of examination thereof or to refuse to permit the examination of any equipment of such vehicle or the weighing of such vehicle or to refuse or neglect to produce the certificate of license registration of such vehicle, insurance card, or his or her vehicle driver's license when requested by any court. Any police officer shall on request produce evidence of his or her authorization as such. There is no law that says "you have to provide ID only if accused of a crime", or "police can pull you over only if you are suspected of a crime". Various traffic infractions will get you pulled over but are not crimes; random sobriety checks are legal. However, note that the requirement to provide ID applies to the operator. There is no law requiring citizens to carry identification papers (but there is a law requiring a vehicle operator to carry a specific form of ID). In some states there are "stop and identify" laws which allow police to demand ID from a person suspected of a crime, but Washington does not have such a law.
It is true that in the US, valid Federal law supersedes state law or regulation when there is a conflict. Precisely because of this, state laws and regulations are normally carefully written to avoid such conflicts. It is very unusual for a federal law issue to apply in traffic court. The question does not say what Federal law issue you think will apply to your case. Most issues where Federal law might plausibly affect a state court process, such as a fourth amendment violation on a search and seizure issue, would not apply in traffic court, although they might apply in a criminal court proceeding. Federal law does not generally deal with traffic issues, nor does it preempt state traffic laws, because there is normally no conflict. There is a group of people, who often call themselves "sovereign citizens" who have a habit of making wildly invalid legal claims, and trying to claim that much of the law does not apply to them. Such people often assert elaborate theories about why certain laws do not apply, not infrequently involving the Federal Supremacy Clause. Such claims are invalid, and will not be received well by a court. A claim that one travels by "conveyance" rather than by "car" and thus state laws do not apply is such an invalid claim. The argument made in this answer is such an invalid claim. Chapter 18 of the US code does regulate commercial vehicles to some extent. Therefore in that chapter "motor vehicle" does mean "commercial vehicle" because those federal regulations do not apply to private vehicles. This does not mean that state regulations that apply to private vehicles are preempted or otherwise invalid. If you think a Federal Issue will apply during a traffic court session, it would be wise to consult a lawyer in advance. Many lawyers offer free or low-cost initial consultations. If you think a relevant legal issue is not being addressed, politely, briefly, and clearly explain the issue that you think applies. Do not yell at the judge or other court personnel. Do not try to "make up your own rules". You will be given a chance to indicate your side of the issue. Response to recent edit, and related comments Without a record of the actual court hearing you describe, there is no way to determine if the judge was acting correctly or not. Even with the record there might well be no way to determine what the judge had in mind, or why s/he acted as s/he did. I maintain that any argument that state traffic codes are in fact preempted by federal law, or apply only to commercial vehicles, or that an ordinary personal car is not a "motor vehicle" because of a definition in Blacks or any other dictionary, is legally unsound and frivolous, and could well subject a person who makes it in court to penalties for contempt. A particular judge might not want to bother with the matter, of course. I think i have answered the question as asked, in a way likely to be most helpful to people in general. Others may have other views.
What to do if you are sued for company name that resemble an existing company name in the UK? I've been sued by Oracle for company name under the provisions of section 69(0) of the Companies Act 2006 (the Act) in The Company Names tribunal in the UK. My company name is JAVASCRIPT CONSULTING LTD. Tribunal decision: https://www.gov.uk/government/publications/company-names-tribunal-decision-javascript-consulting-ltd/decision-on-javascript-consulting-ltd Did anyone had similar issues? How could I resolve this situation? I would be grateful for any advice.
History of the case Javascript is a trademark of Oracle since 1996/1999. Anything that can cause confusion of origin or endorsement is thus infringing on the trademark of Oracle. A company explicitly named after a product of another implies to be endorsed, so Oracle sued that company under S69(1) of the Companies Act 2006 in November 2019. The company did not respond to any level of the lawsuit, which meant they did not contest any arguments - the even refused to take the mail1. It was their duty to show, that they fulfilled one of the provisions in Section 69(4), which could grandfather their name. As a result, the complaint was upheld as a matter of law (last sentence of S69(4)), Section 69(5) did not come up to the test as there was no response. The tribunal ordered the Company to need to rename and pay the fees. 1 - Regarding the keywords used by Royal Mail: "Not called for" is applied to mails that would not fit into a letterbox and nobody was available to sign for them. A postcard to get redelivery arranged or pick it up at the post station is deposited instead. If not called for within a specified timeframe, it is returned to the sender. "refused" is applied to mail that is explicitly denied at the door by the receiver and then returned to the sender. Next steps: GET A LAWYER! Whether this situation is salvageable is very much dependant on the specifics we don't know. It is a question for the lawyer employed by the respondent as the respondent needs proper legal advice from a licensed professional now. Respondent might also want to familiarize themselves with the rules of the Company Name Tribunal and if there is an appeals process available so they can ask their lawyer for more specific advice about the situation. They should be honest to their lawyer and tell them the whole situation.
Being or not being open source makes fairly little difference in trademark law. If a commercial firm (Yoyodyne, say) had used the name "Portable Network Graphics" and the abbreviation "PNG" in trade, and taken such further steps as would be needed to protect it in the relevant countries, that firm would have a protectable trademark. Note that in some countries, a trademark must be registered to have any protection at all (much of the EU follows this rule). In others, use in commerce can offer some protection even without registration (the US follows this rule). Had this happened (in an alternate reality) Yoyodyne could have sent a cease and desist letter when open source developers started using the mark. If the devs did not cease, Yoyodyne might have obtained an injunction, or damages for trademark infringement, or both. They could also have issued a takedown notie to the site hosting the project. But had Yoyodyne failed to defend the mark effectively and allowed it to become generic, Yoyodyne might have lost all rights to it. Also, had Yoyodyne ceased to use it in trade for a significant period, they might have lost rights. This is a place where the different laws in different countries might lead to different results. Note that "Portable Network Graphics" is rather descriptive, and not particularly distinctive. Descriptive marks, like "Tasty Pizza" generally get weaker protection, while more distinctive marks, such as "LuAnn's Tastee Pizza" are more strongly protected, in general. Again this depends on the country, and the specific facts. In general the first to use, or to register a mark, gets the rights. When one entity is the first to use, but a different one is first to register, things can get confusing, and results will be different in different countries. Note that a Cease and Desist letter is not a legal requirement. It is a threat of possible future legal action, and often an offer to avoid such action if the recipient does as the sender requests. The recipient can comply with the letter, wait for court action, or try to make some sort of compromise deal. Open source projects, as other answers suggest, often choose to comply.
Given the following: We know the name of the plaintiff, The name is likely to be unique so that there won't be too many cases involving a different party with the same name, and The plaintiff is a company so it is not likely to have been involved in an overwhelming number of cases (as opposed to e.g. the IRS); The approach I would use would be to search a legal case database such as Westlaw for all cases where Hamilton Watch Company is a party, and review the abstract for each case that I find. In this case we also have a relatively rare keyword, "pulsar" so we can narrow down the results by putting that in the search as well. However there are several caveats: You will only find cases which went far enough that the court made a decision. Your quote says "I'm told that in the United States the watch company tried suing the radio astronomers for use of the name". That sounds like pretty unreliable third hand information. It's quite possible that they merely sent a cease and desist letter and that got reinterpreted as "tried suing" by the time it was said by Jocelyn Bell Burnell. Even if they did sue, the majority of cases are settled out of court without ever seeing trial, which means you are unlikely to find any formal record of it and your best hope may be media articles if it was high profile enough. Large companies often have complex corporate structures involving parents and subsidiaries so the suing party's name may not actually be what you think it is. That certainly seems to be the case here, so you may have to start searching for other company names within the group. Not all cases are reported in which case you are less likely to find them. My jurisdiction is england-and-wales but I surprised myself by discovering that my Westlaw access allows me to login to the US version as well. I found no relevant cases for any of the following searches (based on various companies that have been part of the same group as Hamilton Watch Co over the years): "hamilton" in the party name and "pulsar" in the text. "buren" in the party name and "pulsar" in the text. "swatch" in the party name and "pulsar" in the text. "SSIH" in the party name and "pulsar" in the text. "HMW" in the party name and "pulsar" in the text. The only vaguely related thing I found was when I searched for "watch" as the party name and found this case involving a "pulsar" trademark for watches owned by Seiko Kabushiki Kaisha. It has nothing to do with the purported facts in your question though.
Do I need to create an LLC if I already own the domain? No. Can someone legally create an LLC with the same name as my domain? Yes. Just trying to understand what the difference is between an LLC and a business An LLC, a "limited liability company," is a kind of legal entity that has a separate identity from the members of the LLC. The members' liability is limited with respect to the company's liability, hence the name. A business is a commercial activity. The two concepts are independent. A person can have a business without forming a corporation, or indeed many businesses. A single corporation can also have many businesses. Back to the question about someone forming an LLC using your domain name, this raises the issue of trademark protection. In the US, at least, you can't register a trademark unless it is "in use in commerce" (15 USC 1051(a)(3)(C)), which means explicitly that you cannot use the mark "merely to reserve a right in" it (15 USC 1127). But there are many subtleties of trademark protection that are widely misunderstood by most people, so if you anticipate wanting trademark protection for a name, you will probably want to learn about how trademark protection works and likely talk to a trademark lawyer.
Summary from comments. (Hat tip @jqning) Daniel Nathan Ballard writes here: [It] is not only improper it is UNLAWFUL and may result in serious repercussions... Such a misuse may constitute false advertising... (“It is no doubt true” that affixing the ‘Trade Mark Registered U.S. Patent Office” notice on goods that are not protected by a federally registered trademark creates “a prima facie case of fraud against the public… .”). ... Such use is also a form of “unclean hands” that can bar the user’s registration of the mark. ... Such a use may also bar the maintenance of an infringement case. ... And the fraudulent use of the trademark registration symbol DOES provide other marketplace participants with standing to oppose the user’s registration of the mark. http://www.avvo.com/legal-answers/use-of---symbol-but-not-federally-registered-1125746.html
When the question is "Can I be sued for..." there can't ever be a really useful answer, because anyone can be sued for just about anything. The suit may be tossed as pointless early in the process, but it can be filed. That said, could there be a valid ground of suit against a developer for creating a scraper? Possibly. Scraping a site could be against the site's TOS. It could be largely a way of committing copyright infringement. It could be unlawful in some other way. For most sites, scraping is not unlawful. Google does it all the time. If there is no legitimate use for the scraper, or very nearly none, so that any user is likely to be acting maliciously and unlawfully, and if the developer knows this, or any reasonable developer should know this, then the developer could possibly be found liable for the illegitimate actions of those who use the scarper. If there is a legit use for the scraper, or the developer would plausibly think that there is, then such development is not illegal, and a successful suit against the developer is unlikely.
Yes, you did something wrong; you used both the university's trade mark and copyright without their permission. I don't know the law in India, however, if it is similar to Australia it is unlikely that the police will be interested in doing anything about it. While it is technically a crime, criminal prosecution is usually reserved for egregious breaches on a for profit basis. I suggest you apologise and agree to stop distributing your app.
Under U.S. law, this is only actionable is you make this statement knowing that it would not "support the continued creation of X" and that instead, you had already completely abandoned that product and you were, for example, planning to change lines of work and become a lumberjack instead. Even in that case, common law fraud is hard to show, because you would need to show how that statement which related to how the profits will be used, rather than what you are actually receiving, could cause you damages in that narrow transaction. But, many states have deceptive trade practices acts that protect consumers by allowing the attorney general, local prosecutor, or a private individual or class of plaintiffs to sue if representations such as these are made when they are known to be false. Typically, these lawsuits provide for minimum statutory damages, attorneys' fees award, and when cases are brought by a public official, injunctive relief (ordering the advertising with that pitch to cease) are authorized. For example, saying this when it is false would be actionable in California and Colorado. A fairly common fact pattern is that someone will sell stuff at an above market price saying that "profits will help me pay for my cancer treatments" when in fact the person doesn't have cancer. This could even constitute criminal wire and mail fraud, for example. Sometimes, competitors can also sue you under the Lanham Act (which primarily governs federal trademarks), for false advertising about something that could unfairly undermine their sales if what you are saying isn't true and is causing their sales to drop. On the other hand, if you sincerely believe that what you are saying is true when you say it, and your belief is not so unreasonable that no reasonable person could believe that under the circumstances, then what you are saying is legal. Usually this is true, and if it is, ultimately, you will be fine. Although nothing can prevent you from being sued on a non-meritorious basis. In between are cases where this is true (you will be supported, but perhaps only get 5% of the profits while the rest are garnished for a lawsuit), but your statements were still misleading at the time you made them and you knew it. Those cases get resolved on a case by case basis. Outside U.S. law, your mileage may vary. Legal regulation of commercial speech varies significantly from one country to another. These statements might not be O.K. for example in a Communist regime on the Chinese or Korean model.
Is my record still clean? Imagine this hypothetical: I was in fight with a male relative and I hit him on the back in front of officer, (who came because the neighbor was reported for screaming). The officer grabbed my arm, and asked for my drivers license. They let me off with a warning, and just left. So since I wasn’t arrested, is my record still clean?
It depends on what you mean by "clean." The police have probably made a record of the incident and included your name. If you're in the United States, the odds are that the public has access to that record under a freedom of information law. But that's a lot of work that few people will bother with. You haven't been arrested or convicted, so the incident probably wouldn't show up if anyone did a background check, if that's what you're worried about.
We need to assume that the stop was legal (not a high hurdle to clear), that is, there was some reason to stop you. Even so, following Utah v. Strieff, police don't actually have to have a reasonable suspicion to stop you and if in the course of an ID check they discover that you have a warrant out for your arrest, the arrest is still legal. So if the police stop you, RCW 46.61.020(1) says: It is unlawful for any person while operating or in charge of any vehicle to refuse when requested by a police officer to give his or her name and address and the name and address of the owner of such vehicle, or for such person to give a false name and address, and it is likewise unlawful for any such person to refuse or neglect to stop when signaled to stop by any police officer or to refuse upon demand of such police officer to produce his or her certificate of license registration of such vehicle, his or her insurance identification card, or his or her vehicle driver's license or to refuse to permit such officer to take any such license, card, or certificate for the purpose of examination thereof or to refuse to permit the examination of any equipment of such vehicle or the weighing of such vehicle or to refuse or neglect to produce the certificate of license registration of such vehicle, insurance card, or his or her vehicle driver's license when requested by any court. Any police officer shall on request produce evidence of his or her authorization as such. There is no law that says "you have to provide ID only if accused of a crime", or "police can pull you over only if you are suspected of a crime". Various traffic infractions will get you pulled over but are not crimes; random sobriety checks are legal. However, note that the requirement to provide ID applies to the operator. There is no law requiring citizens to carry identification papers (but there is a law requiring a vehicle operator to carry a specific form of ID). In some states there are "stop and identify" laws which allow police to demand ID from a person suspected of a crime, but Washington does not have such a law.
As a legal matter, you need to call or visit your local police station, report that you found some lost money, answer their questions honestly and dispassionately (they don't care about your hate etc. unless it's causing an active situation they have to deal with, and even then they don't much want to hear you go on about it), and then let them deal with it. You can tell your neighbor, if he inquires, that you have handed the matter to the local police and he can inquire with them about claiming it; feel free to ask the police to affirm that's the suitable course of action. You can expect to be given legal possession of it if they are unable to determine the true owner in accordance with local law. You can ask the police for details on that, though they'll probably just tell you as a matter of procedure without prompting.
No, you would be guilty of perjury. In order to go through the legal formality, you have to obtain a license, Washington example (King County) seen here. You must swear that you are single, divorced, or widowed. If you leave the box unchecked, you won't get a license. If you are married and check any box, you have committed perjury.
No, there is no recourse. An yes, the potential "costs", both personal, financial, social, can be high and are not compensable under an investigatory hold scenario; however, it doesn't usually happen like that. There is no investigatory hold that long without arrest. If the police want to talk to you but don't have enough to arrest you, you can leave any time. If you call your lawyer, he/she will come to the police station and tell the cops to release or arrest you. If the police really want you to stay, likely there is probable cause and they can keep you anyway. The police can arrest you and keep you, without a warrant so long as there is "probable cause" to believe that a crime has been committed (by you). Once arrested without a warrant, this is what is usually referred to as an investigatory hold, where the law says you must be arraigned within 72 hours (some states it must be 48 hours, 1 day less than supreme court says is reasonable). During this time they can investigate their case against you and decide what, if any, charges they will bring. There is no recourse for this, (in the event they bring no charges) unless you can establish that you were held for no reason (including not being falsely identified) and that it was only to intentionally deprive you of your right to liberty. This is nearly impossible to prove, unless you really did nothing and the cop was just messing with you (for instance in a personal vendetta) and you can show that.
If that which you describe in your comment ( Facebook post as only basis for warrantless search) is, and can be shown, to be the only basis for the search, and there was no evidence of a crime in plain view when they arrived.....then yes, it is likely the search and all evidence acquired from the search would be excludable. As to whether the individual could still be prosecuted, that depends if a case could be built independent of the evidence collected during the search.
The principle of constitutional law is that in order to arrest you, the officer would need probable cause. Certain acts are in themselves violations of the order (being closer to another person that 6 feet, illegal sneezing). Walking in public does not per se constitute a violation. In order to briefly stop a person walking on the street (a "Terry stop"), the officer needs a reasonable suspicion that the person is in violation of the law. That means there has to be a reason, and a gut feeling does not count. An officer would not (legally) be able to stop every person they see walking down the street / driving, and demand an explanation of where they are going. If a person is just aimlessly wandering down the strees with friends (even if they are sufficiently separated), that could suffice to justify a stop, given the limited legal excuses for being outside your home.
Yes, police are allowed to touch your car or wipe snow off the windshield to view a parking permit. Indeed, if they just ticketed people because their permit could not be seen through the snow, there would be a huge public outrage. They are not allowed to search your car without permission or probable cause in an emergency, but wiping snow or touching the exterior of your car do not constitute searches. Likewise, towing companies are allowed to touch your car in order to tow it away for whatever legal reasons there are for towing a car.
Is it illegal for someone in the USA to access Sci-Hub? Sci-Hub self-describes as "the first pirate website in the world to provide mass and public access to tens of millions of research papers". A Russian researcher posted most of the academic research publications that are usually behind expensive paywalls. Is it illegal for people in the USA to access it? If a DA wanted to prosecute someone for going and reading things from Sci-Hub, would they have a case?
Copyright in the US is usually a civil matter. Meaning that the copyright owner can sue (typically for money damages or injunctive relief) an infringer. The criminal laws that we have are aimed at the reproducer and/or distributor. In other words, chances are that you won't get in any criminal trouble for accessing academic articles of dubious origin. But never say never. RIP Aaron Schwartz.
It might possibly be illegal. For criminal law, usually you need to obey the laws of three countries: The country you are a national of (by personality principle) The country from where you make the sale (by territoriality principle) The country that hosts the attacked interest (by territoriality principle) Then it depends on the jurisdiction (and other factors) whether the sale is legal or not. I'll use the example of my country, Czech Republic. There is a crime called "Unauthorized access to a computer system or data storage device". For example, you commit this crime by exploiting a vulnerability in a web application and copying the web owner's data on your computer. It is also codified that whoever wilfully facilitates the committing of a crime by providing the criminal with resources (such as the exploit) is considered to have also committed the crime. For this to apply, you must have known or expected that the exploit will be used to commit a crime. The courts would decide this.
It is hard to say: this article sketches the legal landscape. So-called deep linking that bypasses the main page for a site is not believed to be infringement, following the reasoning of Perfect 10, Inc. v. Amazon.com, Inc., 508 F.3d 1146. The URL itself does not have the bare minimum of creativity required for copyright protection, and storing a URL on a computer is not storing the contents that it refers to, so no copy was made in violation of copyright law. It is unlikely that competing theories would develop in other US districts (there don't appear to be any at the present). However, such a link could create secondary liability for infringement, see Erickson Productions, Inc. v. Kast, where a party "has knowledge of another’s infringement and (2) either (a) materially contributes to or (b) induces that infringement". If I link to a file on a pirate website, I am secondarily liable for that infringement. However, if I link to a legally-uploaded file which the author did not intend to make public, there is no infringement. Copyright law requires permission of the copyright owner, which is more than just "explicit denial". The problem is that a person can put a file out there and not say one way or the other whether you have permission to copy the file. The US Copyright office says that "A copyright owner must have expressly or implicitly authorized users to make retainable copies of a work by downloading, printing, or other means for the work to be considered published" (let's not care at the moment whether it is important to be "published"). The court may infer implicit permission from a copyright owner's conduct, but there is no rule "if it's on the internet, you've granted permission". A rights-owner may make a valiant but insufficient effort to block access to the work (except via a password), so in that context, the courts would infer that the rights-owner had not given permission, therefore the copying is infringing and you have secondary liability for your direct link to the material.
This kind of piracy is unfortunately common. When your copyright has been violated, your available response is to sue the infringer. Yes, this costs money, and yes, many infringers get away with it. In the Free Software/Open Source community, a couple of actors including the FSF, gpl-violations.org/Harald Welte, and the Software Freedom Conservancy have sued GPL infringers. But they can only do that for copyrights that they hold themselves. For example, the FSF holds copyright for the GNU userland, whereas Welte and Conservancy hold copyright for parts of the Linux kernel. They do not hold copyright for your software so they cannot enforce the AGPL license on your behalf. What can be done fairly easily is to file a takedown request with platforms that host the infringing content. Under various safe harbor laws including the US DMCA, a platform is not responsible if they accidentally host infringing content uploaded by users. However, the platform has to take the content down if they're notified that the content is infringing. For example, you could file a DMCA takedown request with GitHub to take down their repository, in case they are using GitHub. The drawback is that a takedown notice can be contested by the alleged infringer, in which case the content is reinstated and you would have to sue. The platform is not allowed to make its own determination about whether you or the infringer is right.
The information in telephone books is public. so are postal change-of-address records. So are records of the ownership of real estate. So are vital statistics such as birth records. So are voter registration lists -- i myself purchased a voter registration list (in digital form) for a municipality which showed people's names, addresses, and the years when they voted, when I was a political candidate for local office in NJ. It cost about $100. I believe that many states also make driver's license information available for a fee to marketers. Credit records are available for certain limited purposes, also. No doubt there are other public sources I haven't thought of. If such a site relies on public records, or other publicly available data, it is not illegal. Many such sites offer to remove names on an opt-out basis, but there is no legal requirement that sites do so. This kind of information is not considered nto be "private facts" under US tort law. Aside from opting out, if the sites provide that option, I don't think you have any recourse. One could ask the local legislature to pass a law prohibiting such sites, or making them require consent, similar to the GDPR that the EU has. But I don't know of any such law in the US to date.
It is true that any work of the US government is not subject to copyright in the United States; it may be subject to copyright abroad (the relevant law excludes US government works from US copyright protection; other countries have their own copyright laws that generally don't explicitly exclude US government works, and so the works may be copyrighted there). A government work is defined as something produced by a government employee in the course of his official duties. It doesn't include everything released by a government agency; for instance, if a contractor makes something and the contract specifies that the government gets the copyright, the work is copyrighted (since it wasn't made by a government employee). If a foreign cosmonaut or astronaut composes and sings an original song in a livestream, then NASA may not have copyright in the livestream but the foreign astronaut would have copyright in the song. That said, NASA has a page of guidelines for reuse of their media, where they say that their stuff normally isn't copyrighted unless otherwise noted. They don't make any sort of guarantee, but they suggest you'd probably be fine embedding it, at least as far as they're concerned.
The owner of IP owns the abstract thing that is protected by law (the intellectual property), and not the concrete product that relied on (illegally) using that abstraction. The person who made the thing, or to whom he sold it, owns the object. If you buy a disk with pirated or non-pirated software, you own the disk, and if you bought it legally, you probably bought a license to use the software. Using "pirated" to refer to the class of things legally manufactured (not stolen, not using stolen components) but in violation of IP law, pirated goods might be subject to seizure by the government (it would be slated for destruction), but the goods would not be the subject of a prosecution for theft. While infringement of IP rights is often called "theft", it doesn't have all of the elements of theft: you do not deprive the owner of the thing that they own.
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.
Can a jury find a defendant guilty on a charge for which the defendant was not arraigned? Can a jury find a defendant guilty on a charge for which the defendant was not arraigned? For example, if a defendant is indicted on a charge of manslaughter can the jury convict him of murder?
Short Answer A defendant cannot be found guilty on a charge for which the defendant was not arraigned, but this reality is a trivial matter whose sole practical effect is to prevent trials in absentia. There is also a buried second question implicit in the example given but not actually stated in as many words: Can a defendant be convicted of crimes for which an indictment or information is not secured? The answer to that buried second question is no, subject to the exception that a defendant may be convicted of a lesser included charge relative to one for which an information or indictment is secured and upon which the defendant is arraigned. A lesser included charge is a crime for which all the elements must be established to prove the greater charge, but the converse is not true. Thus, if someone is charged only with manslaughter in an indictment to which they plead not guilty, they cannot be convicted of murder. But, if someone is charged with murder in an indictment, to which they plead not guilty, they can be convicted of either murder or manslaughter which is a lesser included charge relative to a murder charge. Long Answer Basically, the criminal justice process goes through the following steps in a felony case (some of which may be omitted in misdemeanor and/or petty offense cases): Someone is charged with a crime in a criminal complaint and arrested. These two events can occur in either order. If the complaint is made first, an arrest warrant will be issued by a magistrate and form the basis for a subsequent arrest and booking. If an arrest is made first, usually because a law enforcement officer has probable cause to believe a crime was committed, the criminal complaint will be drawn up once the defendant has been arrested and booked. After both events in step 1 are complete, a first appearance of the defendant in person before a magistrate or judge is held in a matter of one to three days, or even a matter of hours, at which counsel is appointed if the defendant is indigent, the defendant is formally advised of the charges in the criminal complaint, and bail is set (or denied for cause or waived). Confusingly a first appearance is sometimes called an "arraignment on the complaint", but I am assuming that your question used the term "arraignment" in the predominant sense of an arraignment on an information or indictment. Then, in felony cases (but not misdemeanors), the criminal complaint is reviewed for probable cause following a preliminary hearing and if probable cause is found to exist it is converted to an "information" (if the preliminary hearing is waived by the defendant, the complaint is automatically converted to an "information"); or a grand jury reviews the criminal complaint for probable cause and if probable cause is found to exist it is converted to an "indictment." The defendant is arraigned in person on the information or indictment. In an arraignment, the defendant is formally informed of the charges in the information or indictment, and the defendant enters a preliminary plea to each of the charges in the information or indictment. This would typically take five minutes to half an hour, depending upon the number of charges brought. Pre-trial proceedings (e.g., "discovery" and motion practice), if any, are conducted by the lawyers for the prosecution and the defense. A trial is held (if the defendant demands it, before a jury). Caveat: There are also more steps prior to the filing of a criminal complaint or arrest (related to searches, seizures and interrogations), and there are also more steps after the trial (related to sentencing, appeals and collateral attacks on convictions and the sealing of records and pardons and commutations), but none of those steps are pertinent to this question. A jury trial would simply never be (definitively and officially) scheduled until an arraignment of the defendant was conducted. So, while it is true that a jury trial would not be conducted on charges in an indictment until the defendant is arraigned (i.e., until the defendant enters a plea to the probable cause screened charges), in the ordinary course, this is a trivial matter. But, because criminal trials can only be conducted after a defendant has been arraigned in person, the only time that a defendant can be tried in abstentia (i.e., without being present at the trial), is when the defendant is arraigned and enters a not guilty plea or the equivalent, and then absconds after that points but before the trial is conducted. (I'm not a complete expert on this, it may be necessary for the defendant to be present when the trial is commenced as well, but I don't need to know to answer this question.) Also, while the requirement of an indictment by a grand jury for felonies exists in federal court under the U.S. Constitution, and in some state courts (mostly in the Eastern U.S.) under state constitutions, the U.S. Constitution permits a state to substitute a preliminary hearing giving rise to an "information" for a grand jury indictment if its state constitution permits. My source for this post is a hard copy of the book Israel, Kamisar and LaFave, Criminal Procedure and the Constitution (1994). But, these basic principles have been in place unchanged for a very long time.
So I found information from a law firm in Florida about Hit and Run Cases. You definitely want a lawyer as it is a $500 fine and/or 60 days in jail for your case (property damage, no injury or loss of life). The good news is that if you can argue the case correctly, it's very easy to get a Not Guilty verdict. Under Florida Law, a Hit and Run must meet the following criteria to legally find someone guilty: Disputes as to the identity of the driver; Lack of knowledge that a crash occurred; Lack of knowledge that an impact occurred with persons or property; The failure to stop was not willful, but was dictated by circumstances; The defendant stopped as close as possible to the site of the accident; The other driver refused to receive identifying information The other driver became belligerent, necessitating that the defendant leave the scene to call police; The assistance rendered was ‘reasonable’ within the meaning of the statute. Given that you had no lack of knowledge that a crash occurred (2) AND lack of knowledge that an impact occurred with persons or property (3.) AND you would have stopped but for the circumstances of the event prevented you from recieiving knowledge of that the crash had occured (4) you already fail to meet 3 of the 8 criteria. This should be easy to argue in and of itself, but where you need a lawyer to assist is in criteria 7. While you were never fearing the other driver to such a degree that you needed to call the police, his behavior was interpreted by you as "road rage" and you had a reasonable fear to not wish to engage him. It's not rules as written, but it could be that the rules allow for leaving the scene because of the plaintiff's behavior and could be valid in other forms. I'll admit, this will vary wildly on the judge's own interpretation of that rule, BUT it's worth a try. Keep in mind with all of these, the Prosecution will be required to prove all 8 facts against you, while you only have to disprove one, to some level of doubt. As an armchair jury, I have no facts to support your story, but I have no facts to doubt it either. And when doubt happens, you must assume innocence. It would help if you had any hint of the officers attitude at the time. Was he friendly? Dismissive? Distracted? What was the guy who hit you's attitude towards the situation? Was he constantly yelling at you and the officer? Was he quiet and separated? Either way, get a lawyer because 60 days of jail time and a $500 fine is not something you want to fight by yourself. Make calls (the ticketing officer should have a work number or other contact information on the ticket.). Notify the insurance company of the fact that it was cited as hit and run but not proven... it could make the difference of who's company is to pay (It will be his if there was no Hit and Run).
Jurors cannot directly disqualify each other. However, they can inform the trial judge if they have reason to believe that one of their peers should be discharged. The judge will then allow the lawyers for both sides to ask the juror questions before deciding to dismiss them. In some jurisdictions, the judge may be required to hold a hearing to examine the evidence. Jurors may also be charged with contempt of court for interfering with a defendant's right to a fair trial, and could be disqualified from jury service in the future. Your examples of juror misconduct point at bias or refusal to deliberate, e.g. when the juror has made up their mind ahead of time (but not because they are using faulty logic). Depending on the jurisdiction, the trial may continue with a smaller jury. In some jurisdictions, the judge will have to declare a mistrial if no replacement juror can be found. See: Juror misconduct
The burden for proving claims in civil actions is "preponderance of evidence," i.e., merely that "more than 50% of the evidence favors a conclusion." However, the standard for conviction of any crime is "beyond a reasonable doubt." I.e., if the defense can raise reasonable doubt about one's guilt then the defendant should be acquitted. There is quite a bit of space between the two standards, which is compounded by prosecutorial discretion to even bring criminal charges.
In the United States, jeopardy attaches to a criminal trial when a jury is empanelled, the first witness is sworn in or guilty plea is accepted. Before that point the prosecution can dismiss the case without prejudice, allowing for charges to be brought again. After that point the prosecution can only dismiss the case with prejudice, effectively resulting in an acquittal and preventing a new trial on the same charges or charges based on the same facts.
How would jury selection work for a trial of Donald Trump? Just like it does for everybody else - using the rules for criminal procedure in the relevant jurisdiction. For example, in New York, each juror must be fair and unbiased: A juror who cannot provide unequivocal assurance or whose credibility about the assurance is in doubt would properly be excused for cause. Jurors (like judges) are not blank slates; they have opinions about all sorts of things. That doesn't matter. What matters is if they can set those opinions aside and make a decision based only on the evidence. It is not necessary for juror's minds to be empty, just that they be open.
Yes, there is a good chance. Ordinarily, the law as written is what is enforced. On occasion, the wording of the law is actually ambiguous, or vague, which means that the jury will need an instruction as to how to interpret the law. In fact, juries are not literally read the statute, they are given a set of decision-making instructions so that they can decide "If we find X, we must acquit; if we find Y we may convict". Your attorney will, if he is diligent, note the problem and strive for an instruction that favors the client. (The prosecution will of course object). Eventually, on appeal, a court will decide what the law "really means", and that decision might be strictly based on the letter of the law, or it might be based on a supposed spirit of the law, i.e. what the legislature "originally intended". That outcome is determined in part by the jurisprudential ideology of the prevailing justices of the appeals court. Usually, letter of the law prevails until a higher court rules that a particular "spirit" is what was originally intended.
Yes, but ... How can you know for sure? Let's say I'm charged with, and acquitted of, murder. Immediately after my acquittal, I confess to the crime describing how I did it and producing tangible and material evidence like the murder weapon, etc. So, did I commit murder? Well, we can't say. All we can say is that if I were tried again with all this new evidence, I'd probably be convicted but we can never know for sure because that trial isn't going to happen. Examples of people who (possibly) evaded justice due to double jeopardy Isaac Turnbaugh, O J Simpson, Fong Foo, Mel Ignatow This Unnamed Queensland man (double jeopardy can be waived under Queensland law when there is new "clear and compelling evidence" - the court found the evidence was neither clear nor compelling), Sharone Sylvester Brown. On the other side of the ledger, Michael Weir was the first person convicted after the UK changed its double jeopardy laws in 2005 allowing the Court of Appeal to grant a retrial if "new, compelling, reliable and substantial evidence" had emerged.
Would a passport containing no sex category be internationally recognised? Assume that a country removes the sex category from its legal system and thus also from its passports. Just like the hair color or foot size are no legal category. Would this cause problems for its citizens to travel internationally? I found that the 'International Civil Aviation Organization' standardising machine-readable passports includes the category sex in its formats (see https://www.icao.int/publications/Documents/9303_p3_cons_en.pdf). But would it cause problems if this category is not present on the passports of this country? Or could this circumvented by assigning the sex 'X' to all citizens?
The recognition of other country’s passports is a courtesy Each nation is sovereign over its own borders. So who they allow in (and out) is a matter for them. For example, many Arab countries will ban your entry if you have an Israeli stamp in your passport no matter what nationality it is. So, yes, any country can decide not to record sex in a passport and, yes, there may be consequences in other nations.
Yes. At international borders and international airports (because those are the equivalent of a border), US customs officers may do searches of people and belongings without a warrant and without any particular reason to think they'll find contraband. This includes the authority to do some level of disassembly of the car, if they then reassemble it. See United States v. Flores-Montano, 541 U.S. 149. This is known as the "border search exception." Moreover, police normally don't need warrants to search your car if it was mobile when they found it and if they have probable cause to believe they'll find contraband. This is known as the "automobile exception" or the "motor vehicle exception." It was established in Carroll v. US, 267 U.S. 132. Individual states may have stricter requirements on police searches, but the Fourth Amendment doesn't require police to get a warrant to search your car if, say, you drove it up to a checkpoint and they have probable cause. The difference at a border is that they don't need probable cause and the car never had to be mobile: they can search you on a hunch.
Yes, in most jurisdictions citizenship or residency is not a pre-requisite for standing. However, be aware that there are plenty of jurisdictions where the practical effect of being non-native gives you effectively no chance of winning. "Fair" in some countries means their citizens always beat foreigners.
From TransEquality.org: People who were assigned female at birth are not required to register with the Selective Service regardless of their current gender or transition status. When applying for federal financial aid, grants, and loans as a man, however, you may be asked to prove that you are exempt. To request a Status Information Letter (SIL) that shows you are exempt, you can either download an SIL request form from the Selective Service website (http://www.sss.gov/PDFs/SilForm_Instructions.pdf) or call them at 1-888-655-1825. This service is free and the exemption letter you will receive does not specify why you are exempt so it will not force you to out yourself in any other application process. The Selective Service does, however, require a copy of your birth certificate showing your birth-assigned sex. If the sex on your birth certificate has been changed, attach any documentation you have to that affect. Once you receive your Status Information Letter, keep it in your files. For those FTM people who transition before their eighteenth birthdays and change their birth certificates, it is also possible to register with the service. However, no one may register after their twenty-sixth birthday. Also, please note that although Selective Service materials refer to transgender people as “people who have had a sex change,” their policies apply to those who have transitioned regardless of surgical history. The referenced form has a section where you can declare your gender assigned at birth, and you must attach a copy of your birth certificate. It would appear that having your gender assigned as female at birth does in fact exempt you from the requirement to register with selective service, and as a result you should not be penalized for any purpose related to your not having registered.
See https://www.fec.gov/help-candidates-and-committees/candidate-taking-receipts/who-can-and-cant-contribute/, the section on "Foreign Nationals". The Commission stated, in AO 1998-14, that the use of any surname on a contribution check (or similar instrument) would not, by itself, give any reason to inquire as to the person’s nationality. Nonetheless, the Commission advised the committee to take the following minimally intrusive steps to ensure that the contributions it received did not come from foreign nationals: Ensure that public political ads and solicitations directed to audiences outside the U.S. contain a summary of the foreign national prohibition of 52 U.S.C. § 30121. Make further inquiry into the nationality of the contributor if the committee receives a contribution postmarked from any non U.S. territory. Make further inquiry into the nationality of the contributor if the committee receives a contribution indicating that either the bank or the account owner has a foreign address. In all of the these instances, if the contribution is submitted along with credible evidence (for example, a copy of a valid U.S. passport) that the contributor is a U.S. citizen, a U.S. national or a permanent resident alien, no further inquiry need be made. However, if the committee has actual knowledge that the contributor is in fact a foreign national, it may not rely on these documents as a defense. So, if the donor has been informed of the rules and gives a US address, the campaign can assume that they are eligible to donate, unless the campaign has actual knowledge that they aren't. If they give a non-US address, the campaign is supposed to get some other proof of nationality. By the way, that page also explains that the first part of your question is slightly wrong. It isn't only US citizens who are allowed to donate - US nationals (a rather rare category consisting mostly of people from certain US territories) and permanent residents are also eligible.
The short answer is, in absence of a treaty or convention governing travel, then the law of the country over which the plane is located governs for the time the plane is in overflight. Laws of a jurisdiction (a country, or a state) are generally taken to extend upward from their boundaries (and downward for the control of mineral rights, etc.). There are a number of jurisdictional cases where service of process (presenting a defendant with a copy of citation starting a civil suit) or an arrest has taken place on-board aircraft where the action had to take place over a given country or state to invoke jurisdiction. As mentioned in the first sentence, there is nothing to prevent countries for entering into a Treaty or agreement that would alter the basic scheme, but absent a treaty or convention, the basic scheme of boundary extension would apply.
Question: Do I need a EU passport or EU ID card to legally work in the EU (or establish that I have the right to work in the EU)? Or is a certificate of citizenship sufficient? Legally, your right to work is not contingent on this and there is no Europe-wide rule that makes holding any document mandatory. Importantly, if you do start working anyway, you are not committing a crime and cannot possibly be banned or forced to leave the country. You do have the right to work from the day you became an EU citizen and if any doubt arises down the line, you should be able to clear it up later. In practice, employers are sometimes supposed to check you are allowed to work (and for that would require some proof of your citizenship) but they don't necessarily need a passport or ID. What's typical on the other hand is that you have to provide an official proof of address (in the countries where you have to register your address with the authorities) and the local social security, insurance, or national tax number. Both of these will require dealing with the authorities and will be considerably more difficult, if not downright impossible, without a national ID card or passport (in fact it can even be difficult with a passport). I worked in multiple EU countries and I don't recall always having to present my ID to employers. I recall at least one instance (in Germany) where I could start working without one (it had just been stolen) and another one (in the Netherlands) where I started on the day after I arrived, without official address nor tax number (BSN). In both cases, I was expected to solve these issues within the first month and you risk a fine if you don't register within a week or two but it was neither illegal nor impossible to start working before all the formalities were completed. None of this means I would be completely comfortable about being months without a passport. But the main issue for you will be entering the country and what your employer's HR department is prepared to tolerate, not any sort of legal obligation to hold a passport to work. Note that in one of the cases I described above I went to the local consulate to get an emergency passport. It wouldn't have been possible back in my country of citizenship but there are some special procedures when you reside abroad. These rules change all the time and depend on your country of citizenship but that could be worth a try.
UK, Identity Documents Act 2010, false identity documents etc: Possession of false identity documents etc with improper intention (1) It is an offence for a person (“P”) with an improper intention to have in P's possession or under P's control— (a) an identity document that is false and that P knows or believes to be false, (b) an identity document that was improperly obtained and that P knows or believes to have been improperly obtained, or (c) an identity document that relates to someone else. Each of the following is an improper intention— (a) the intention of using the document for establishing personal information about P; (b) the intention of allowing or inducing another to use it for establishing, ascertaining or verifying personal information about P or anyone else. ... Possession of false identity documents etc without reasonable excuse (1) It is an offence for a person (“P”), without reasonable excuse, to have in P's possession or under P's control— (a) an identity document that is false, (b) an identity document that was improperly obtained, ... Such an identity document could be an "an immigration document", "a passport issued by or on behalf of the authorities of a country or territory outside the United Kingdom or by or on behalf of an international organisation" or "a document that can be used (in some or all circumstances) instead of a passport" (e.g. a European country's identity card).
Is there a US law requiring companies to provide the government with access to their users' information? So I've heard some people (even in media, I think) say that in the United States, there's some law (or regulation) about digital/technology companies saying that they must provide access to their users' information to the government (i.e., a backdoor) no matter what. But I can't find any reliable references to that. Can someone please provide me reliable information about any such laws or regulations that exist?
There are a couple of US laws that form the basis of effectively warrantless surveillance, including through tech companies: Under Executive Order 12333, US intelligence agencies issue National Security Letters. These letters compel the recipient to provide requested data. These letters do not require a warrant, and typically include a gag order for the recipient. Under Section 702 FISA, US intelligence agencies enjoy substantial powers for foreign surveillance. This surveillance has to be authorized by the FISA court, but it has been criticized for rubber-stamping requests. Proceedings at the FISA court are ex parte and lack representation for the surveillance subjects. FISA and the National Security Letters mechanism where expanded through the Patriot Act. US intelligence agencies often have creative interpretations of the governing laws. Judicial review tends to defer to executive branch interpretation if that interpretation is reasonable. Thus, there exists a secret body of quasi-law where intelligence agencies can interpret the existence of further powers. These laws have very limited checks and balances. While Americans enjoy some protections, there are basically none for non-Americans. Subjects have extremely limited options to fight this surveillance in court. FISA has to be re-authorized every few years. The true scope of surveillance under these laws became publicly known through the Snowden leaks. For example, intelligence agencies ran the PRISM program based on section 702 FISA that compelled companies to supply all data matching a “selector”. A bit of outside perspective: In 2020, the European Court of Justice ruled that EO 12333 and other laws mean that the United States do not have an adequate level of data protection, effectively forbidding further transfers of personal data into the US. While the EU's GDPR does recognize surveillance measures that are “necessary and proportionate in a democratic society”, the lack of judicial remedies for surveillance subjects are especially troubling. The ECJ wrote in its judgement (case C‑311/18): As regards judicial protection, the referring court states that EU citizens do not have the same remedies as US citizens in respect of the processing of personal data by the US authorities, since the Fourth Amendment to the Constitution of the United States, which constitutes, in United States law, the most important cause of action available to challenge unlawful surveillance, does not apply to EU citizens. In that regard, the referring court states that there are substantial obstacles in respect of the causes of action open to EU citizens, in particular that of locus standi, which it considers to be excessively difficult to satisfy. Furthermore, according to the findings of the referring court, the NSA’s activities based on E.O. 12333 are not subject to judicial oversight and are not justiciable. […] It follows therefore that neither Section 702 of the FISA, nor E.O. 12333, read in conjunction with PPD‑28, correlates to the minimum safeguards resulting, under EU law, from the principle of proportionality, with the consequence that the surveillance programmes based on those provisions cannot be regarded as limited to what is strictly necessary.
Yes, but it doesn't matter. This answer discusses gdpr implications. Personal data is any information that relates to an identifiable person. The GDPR has an extremely broad concept of identifiability, also covering indirect identification using additional information and with the help of third parties. Even just being able to single out one data subject, i.e. being able to distinguish different users from another, counts as identification. If you already have a concept of user accounts, any information that is linked with the user accounts and somehow relates to those users would also be personal data. Since you have distinct push tokens per user, it seems like this criterion would be met. Additionally, those unique tokens might be directly identifying by themselves. The GDPR does not allow for semantic games like “it only identifies the device, not the user”. The key here is that the definition of identifiability does not hinge on your intentions, but on objective capabilities: if you or someone else who can come into possession of this data were to attempt to identify the user (such as singling out users from another), would they be reasonably likely able to do that? Since most devices are single-user, being able to identify a device would imply that you're reasonably likely to also identify users. Just because something is personal data doesn't mean you're forbidden from using that data. It means that you'd have to comply with GDPR rules, if you're otherwise within scope of that regulation (e.g. if you're EU/UK-based, or are targeting your services to people who are in UK/EU). For example, basic GDPR compliance steps include having a clear legal basis for your processing of personal data (such as necessity for performing a contract to which the data subject is party, or necessity for a legitimate interest, or consent), providing a privacy notice, and taking appropriate technical and organizational measures (TOMs) to ensure the compliance and security of processing. For example, TOMs regarding these push tokens could involve encryption, access controls, and a plan for installing security patches in order to prevent data breaches. Using push tokens is already a good measure in this context, since they are effectively pseudonymous and prevent linking additional information via that token (two sites/apps pushing notifications to the same person will have entirely different tokens). However, the push notification provider (e.g. Google, Apple, Mozilla) can resolve the pseudonymous tokens and link them to a person, indicating that these tokens are ultimately identifying (even if you can't perform that linking yourself). Note that if GDPR applies, then other EU/UK rules might apply as well. For example, sending electronic messages (such as emails) is subject to anti-spam rules (EU: ePrivacy, UK: PECR). These rules apply regardless of whether personal data is involved. Since the rules are not technology-specific, it is likely that regulators would consider user-visible push notifications to be equivalent to more well understood technologies like email and SMS.
You seem to have a solid understanding of the ePrivacy implications, but lack a fundamental insight: your organization does not have a right to achieve its mission or a right to disseminate unwanted marketing. But other people do have a right to not be subject to excessive marketing. Of course, reality is more complex, so it's probably not entirely impossible to do marketing. In your point 1, you note that some EU/EEA/UK countries distinguish ePrivacy protections between consumer and business subscribers. You can research the exact rules in the potential customer's country. This may allow you to email corporate/business accounts. I would strongly advise against messaging via Linkedin if there is a chance that the person is using that account for personal purposes like networking or hunting jobs, not just for conducting official company business. ePrivacy has markedly different rules for email marketing vs phone marketing. Whereas there are pretty strict rules for electronic messages and robocalls, manual cold calling can be OK from an ePrivacy perspective. However, many EU/EEA/UK countries have rules that go beyond ePrivacy, and may have a kind of do-not-call registry that you must respect. Of course manual calls take more effort than spamming emails, but recall the above point that you don't have a right to spam other people. Phone calls are probably the most appropriate approach when the company lists individuals' phone numbers on its website. This will at least give you a few seconds of attention with a real human, more than you can expect from an email that is likely to be caught by spam filters. Marketing via physical mail tends to have very lax rules. Note that every company/business that has a website will have to disclose its contact details including an address there, so this information is easy to acquire. However, chances are low that anyone would seriously engage with that marketing. You can consider alternatives to direct marketing, so that interested companies eventually come to you. Things like press releases, writing guest articles in industry publications, speaking at relevant conferences, working on search engine optimization, buying ads. On the GPDR aspects: GDPR and ePrivacy overlap, and it is necessary to comply with both sets of rules (GDPR likely applies here via Art 3(2)(a)). But where they potentially contradict each other, ePrivacy as the more specific law has precedence. For example, ePrivacy overrides the default GDPR legal basis rules when it comes to email marketing to existing customers (opt-out basis, no consent needed) or to using cookies (needs consent unless strictly necessary). Information that relates to corporations is not personal data, but information that relates to individual employees or to sole proprietors would typically be personal data. Since you are unlikely to obtain consent for using this data, you would need an alternative GDPR legal basis such as a "legitimate interest". Relying on a legitimate interest requires that you conduct a balancing test, weighing your interests like marketing against the recipient's interests, rights, and freedoms. Core question in this context is whether the data subject can reasonably expect their personal data to be used like this, taking into account the nature of their relationship with you. Since there is no pre-existing relationship, claims of a legitimate interest are weak to start with. However, it may be possible to argue that when a company makes employee contact details available via its website (not LinkedIn!) then relevant marketing can be reasonably expected. I would rather not rely on such arguments, though.
What Big Tech is doing is spending a lot of money on lawyers and appeals – doesn't matter if it costs millions if you can make money in the meanwhile. Facebook stores a lot of user data in the US. Initially, this was allowed because the US was recognized as offering an adequate level of data protection under the Safe Harbor and later the Privacy Shield Framework. Then Schrems I and Schrems II happened and the adequacy recognition was ruled to be invalid. Does Facebook pull back their user data? No. The GDPR offers alternative reasons why you might process data in foreign countries, such as “standard contractual clauses” (SCCs) or “binding corporate rules” (BCRs). Now, Facebook claims that they are using SCCs. Is this valid? Almost certainly not due to the issues of US law analyzed in the Schrems II case, but it can take years for the next round of court cases to work its way through the system. And when Facebook's use of SCCs is ruled invalid they will probably try BCRs next, and once that is over a decade will have passed and the US might actually have achieved an adequate privacy level by then. You do not have Facebook-style money to spend on lawyers and endless rounds of appeals, so you should avoid legally risky things such as outsourcing data processing activities to companies in the US (this doesn't mean you can't be compliant if you are a US entity). I mentioned adequacy decision previously. There is a list of countries that the EU considers to be sufficiently safe. Currently, the more notable countries involve Canada, Israel, Japan, New Zealand, Republic of Korea, Switzerland, and the United Kingdom, in addition to EU/EEA countries of course. If you want to process data in a location that is OK for both the UK and the US, then looking at companies in one of these countries is a good idea. For example, if most of your users are in the US but you would like your servers to be in a country with an EU adequacy decision, then looking at Canada could make sense. Even outside of this list, you can process data if you implement additional safeguards via SCCs. However, this requires a case by case analysis of the legal environment in that country. One problem with the US is that it has national security laws that impose requirements on companies in a manner that is incompatible with SCCs. A company bound by these US laws cannot enter into such a contract where it guarantees the privacy of your user's data. Countries other than the EU have much more tedious data residency laws. The GDPR does not impose any data residency requirements in the sense that data must not leave a particular country – you just have to ensure that the data is properly protected. In contrast, Russia and China have real data residency requirements that are fundamentally incompatible with the GDPR.
[I'm not so well-versed on US and Russian law, thus I will limit my answer to EU law.] Your specific use of a user identifier, as I understood from your question, can be classified as personal data, so in your case, the GDPR seems to apply. This means that you need to have a) legitimate purposes to process that personal data (e.g. crash reporting) and b) a legal justification for each purpose of processing: it could be based on consent or another legitimate purpose (inc. your own legitimate interests). Consent might not be the best option for you, but it's up to you to decide. In any case, you need to assess the risks to the data subjects (your users) before you decide. How likely is it that you will get breached, and what potential harm will that cause to your users? These are some guidelines; my recommendation is that you read the law and the guidelines by the Article 29 Working Group and European Data Protection Board, or hire some good experts on this. There is no easy answer, or one size fits all solution. The GDPR isn't so hard to understand or implement, but it does require some change in mindset. With the new law, processing personal data carries a higher risk of penalties, so you should do it only when it's absolutely necessary, and with respect to the rights of your users.
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.
In the general case, it seems unlikely, based on the wording (which is convoluted). In certain cases, if the president of Russia posts "My name is Vladimir Putin", that post is personal data. On the other hand, you might, based on my writing, conclude that I am from the US, and you might even conclude that I'm in Washington state, but that doesn't distinguish me from 7.5 million others, so on those grounds that is not personal data. Eventually, though, you might identify me specifically from other things that I may have said on SE. The definition depends on two parts. First, personal data is "information relating to an identified or identifiable natural person". Any "information" provided by a natural person is "related to" that person (as is any "information" that is about such a person). The second part defines "identifiable natural person", that is, who is an "identifiable person"? Every person can, in principle, be identified by reference to some label or description of fact about them, so every person is an identifiable person, under this definition. This means that every piece of text that refers to an individual (not even text which can identify the person) is "personal data". Obviously, any individual can be uniquely identified by some collection of identifiers; the problem is that the wording of the law does not explicitly say "using that supposed personal data". If I mention that I have a relative named Knudt, that would technically be personal data: I've given information that relates to a person, though you have no idea (and could not possibly figure out) who that person is. Another term that the regulation defines and uses in a few places is "pseudonymization", which is defined as the processing of personal data in such a manner that the personal data can no longer be attributed to a specific data subject without the use of additional information, provided that such additional information is kept separately and is subject to technical and organisational measures to ensure that the personal data are not attributed to an identified or identifiable natural person The point of interest here is that this says that "personal data" which cannot be attributed to an individual is, nevertheless, still personal data. I think the most important part of the regulation is art. 6, which defines lawfulness of processing, especially para 4., which allows consideration to be given to safeguards such as pseudonymization.
Given a large database of email addresses that you can't prove have given consent to receive email, the only legal thing to do with it, is to (securely) delete it. (I am going to switch your question about a larger company to a bank: in the UK, big pharma is forbidden from advertising to individuals.) In principle the rules are the same for a huge bank and everything down to a self-employed plumber. In practice the plumber will be told "don't do that again" rather than fined. This case was treated under the Data Protection Act, which has a maximum fine of £500,000 – so a big bank would probably have been fined more, but not necessarily much more. Under GDPR, fines are related to turnover, so the fine would be a lot bigger for a large bank. The incident is a year old now. Details here.
What are my rights if someone makes a false police report against me in Germany? My landlord (also a business owner) in Germany where I live accused me with tons of different type of accusations because he hates me personally, and he called the police on me—at least, I think he did. I don't know if it was an act to scare me. I had a flight I had to catch at the same time, so I didn't stick around to see if the police will come. I think he did this just because he knew I had a flight as well. He accused me of at least 5-6 accusations without proof. My question is: can anyone in Germany call the police on others without proof of anything? And if they do so, what are my rights? The person I mentioned had 2 of his employees with him, but I am sure that they are on his side. I had no witnesses with me, so how can I prove I am innocent if they agreed on making up a story against me? Note: I was new to Germany back then (I was a student)
can really anyone in Germany call the police on others without proof of anything? Anyone anywhere can call the police without proof of anything as long as they have a phone. The question is, what will the police do about it. Police in Germany are more professional and less corrupt than in many countries in the world (e.g. they are much less corrupt than police in much of the United States or police in Southern Italy or Mexico, or in much of the "third-world"). Most German police are unlikely to exercise their power unless they are genuinely deceived into thinking that you committed an actual crime. But, German cops are human too. Some German cops are bad cops and even good cops aren't perfect truth detectors or bias free. and if so what are my rights? There has to be some evidence to arrest you or prosecute you, but testimony from people who claim to be eye witnesses is a form of evidence and proof. People are routinely convicted of crimes (everywhere in the world) based solely upon the testimony of other people with no additional proof. This is usually a good rule. As a society we don't want the criminal justice system to let people who commit crimes that are witnessed by lots of truthful witnesses and testified to, to go free just because there is no non-testimonial evidence. But because people lie (or are simply mistaken about the truth) sometimes, it isn't a perfect way of determining who is guilty and who is innocent. You also have the right to lodge a complaint of criminal defamation with the police in Germany and in Germany hundreds of thousands of such cases are prosecuted by police every year. Making false accusations against you (or even just insulting you in an extremely offense manner) as they did is a minor crime in Germany. and the person I mentioned had 2 of his employees with him but I am sure and I know for a fact they are on his side and I had no witnesses with me so how can I prove I am innocent? if they agreed on making up a story against me? The possibility that people will be wrongfully arrested and wrongfully convicted of crimes because people lie and authorities believe the people who are lying is a constant risk. The best you can do is to tell your story consistently and honestly and hope that you are believed. But it is impossible to eliminate the risk that people will lie and be believed and that you will suffer the consequences, even if you are doing everything right. In the long run, you may want to avoid people who you think would lie and make false accusations around you, and to have the presence of either friendly witnesses and/or audio/visual recording at times when you are in their presence. You may also, as a long run strategy try to figure out if there was anything you could have done to prevent them from being out to get you so badly that they would make false accusations against you. While I don't want to blame the victim, and often enough, especially for example, if you are a foreigner or otherwise different in a homogeneous community some people are doing to hate you for no reason, sometimes their real motivation may be a failure to follow social norms that are not actually illegal, or a misunderstand that could be cleared up.
"I have done nothing wrong" You got up in court and, when the judge asked if you had done anything wrong, you said: "yes" (guilty). So, in the eyes of the law, you are in the wrong. Police are entitled to make mistakes and, when they do, the accused can either accept the consequences of that mistake by pleading guilty and paying the penalty or they can defend themselves and show that the police made a mistake. Unfortunately, while you have a right to a defence, you don't have a right to a defence at no cost.
That is private. Who you work for is not information that is disclosed publicly by any state actor in Germany, just like your taxes. In fact, that or who you are employed at is often regarded as personal and private information. Nigh impossible through agencies Public agencies like the Fiskus (tax), Agentur für Arbeit, and immigration are not allowed to give any information about a person to anyone but that person or another agency that has the right to that information. Yes, (generally speaking) the tax office may not even say that a person exists (or doesn't) and what their tax number is to anyone but the person in question.
Probably not. Overview You haven't specified a jurisdiction. I will talk about Australia because that's what I'm familiar with. In Australia the most relevant area of law would be tort, specifically negligence. The university would be liable to pay damages if a court found that it owed a duty of care to your friend, that it breached that duty, and that your friend suffered injury ('injury' including loss of property as well as mental suffering) as a result of that breach. Also potentially relevant would be contract law, if your friend and the university had entered into some kind of agreement relating to his security, or equity, if the university had somehow acted to lead your friend to rely, to his detriment, on the university protecting him (promissory estoppel: Walton Stores v Maher). However, I think this is unlikely unless, for some reason, the university had put up signs saying 'Please come onto our land and we will be responsible for your security'. Negligence You have stated that 'it is their responsibility to make sure all students are safe on campus.' It is not clear whether you mean to state that as a fact or whether you are suggesting it as a possible hypothetical basis of liability. I am not aware of a case that establishes the proposition that universities do have such a duty. The judgments in Modbury Triangle Shopping Centre v Anzil (2000) 205 CLR 254 discuss the liability of the occupier of land (such as the university in your example) for injuries inflicted by criminals upon people present on land (such as your friend in your example). In that case, the defendant ran a shopping centre. The plaintiff worked at a shop in the shopping centre. At the end of the plaintiff's shift at 10.30pm, it was dark outside because the shopping centre switched the lights in the car park off at 10pm. The plaintiff was mugged in the shopping centre car park on his way out to his car. The key question there was whether the defendant shopping centre was under a duty to keep the lights on for workers leaving work (along with the question of how the failure to illuminate the area led to the attack i.e. whether the plaintiff still have been mugged if the lights were on). Therefore the question that we are presently interested in, about an occupier's responsibility to protect visitors, is only dealt with as a side issue in that case. But the principle is pretty well-established that, generally, you are not responsible to protect another person from the criminal acts of a third person. The common law has a strong presumption against imposing liability for 'omissions' as distinct from acts, which is another way of saying that the courts don't want people being liable to run out into the street and help people. See paragraphs 27 and 28 and thereabouts in Modbury Triangle. Particular relationships may exist which create such a duty. One is in relation to school children; the school is responsible for taking such care of the child as a parent would. The relevant features of this the school-child relationship include the child's vulnerability as a child and the way the school controls their movements and enviroment during the school day. I presume that your friend is not a child and the university does not control his or her movements. Therefore a court is likely to be looking at the general principle that the university is not responsible for protecting people from the criminal acts of strangers, and then looking (and probably not finding) any special feature of the relationship between your friend and the university that creates an aspect of vulnerability, reliance or control that makes it reasonable to impose a duty of care. Some people think that there is a general principle that if something bad happens to them, some identifiable person with cash must be responsible for paying compensation, whether that is an insurer, the government or a nearby corporation. The common law has not picked up that principle. The common law would slate the responsibility home primarily to the mugger. Sue them. What does the university have to do with it? Conceivably the university might also be liable along with the mugger, but the fact that an injury occurred and nobody else can in practice be held responsible does not in itself make the university liable. As mentioned by Pat W., there may be some other feature that creates a duty, such as if the university had made some change to the environment that allowed made the attack to occur when it wouldn't otherwise have e.g. moving your friend's dormitory so that the only entrance was through a dark alley, or if the attack occurred inside a university building where the university controlled entry (even then not sure that would get your friend over the line).
If the police order you to sit in an interrogation room and you are not permitted to leave, by definition, you have been arrested. Detaining someone against their will for longer than necessary to answer a few questions on the spot (which is a lesser imposition on your freedom called a "Terry stop") is what it means to be arrested. Legally, the police are only allowed to arrest you if they have probable cause to believe that you have committed a crime. I believe that you are confusing arrested (being detained by law enforcement against your will for more than a Terry stop), with being booked, or being charged with a crime. Generally speaking people are arrested first, and then booked next, and then charged with a crime after that, although this isn't always the order in which this happens. In much the same way, if the police observe someone committing a crime, they will first handcuff them which places them under arrest, and then book them sometime not too long later when they arrive at the police station, and then formally charge them sometime after that after a conversation with the prosecuting attorney to see if the prosecuting attorney is willing to pursue the case. Booking generally involves bringing someone to a police station, getting identifying information, taking a mug shot, taking finger prints, and depending upon what the police want to do, searching your person and inventorying your possessions prior to putting you in a jail cell in jail garb. Usually, however, the grand jury or the prosecuting attorney (it varies by jurisdiction) does have subpoena power to compel you to provide information under oath prior to trial as a witness, following the service of a subpoena upon you a reasonable time in advance as set forth in the relevant court rules, unless you invoke your 5th Amendment right against self-incrimination and are not granted immunity from prosecution based upon your testimony in exchange, or you invoke some other legal privilege against having to testify. They can, of course, simply ask you to come to an interrogation room and answer questions, and merely imply that it is mandatory without actually saying that you must and without clarifying the situation. In that case, which is extremely common, their legal right to interrogate you flows from your own consent. If you answer their questions, your answers could provide the police with probable cause to arrest you that they didn't have when they started asking questions. Indeed, often, when police interrogate you before booking you, they are doing so because they need your statements to establish the probable cause needed to legally arrest you. This is why criminal defense attorneys counsel people to immediate ask for a lawyer and refuse to answer any questions other than those needed to establish your identity. You can also ask if you are under arrest and if you are free to leave (which are mutually exclusive). If they say you are not under arrest, you are free to leave, unless you are appearing pursuant to a subpoena.
I overdosed on an illegal drug and called an ambulance. I was honest and told them what I took. [emphasis added] You stated that you had possession, and had recently used a notable amount, of an illegal substance. That is reasonable cause (or "probable cause" in some jurisdictions) for a search, regardless of a warrant, and they do not need permission. For example, as FindLaw.com explains, in the USA. [p]olice may use firsthand information, or tips from an informant to justify the need to search your property. If an informant's information is used, police must prove that the information is reliable under the circumstances.
Can I legally put pressure on the company to get a compensation? (e.g. write an article explaining what they did) Writing an article about being fired doesn't have anything to do with the fact that writing that article is legal or not. Sure, you can write an article - or likely an opinion piece - about being fired for what you say are unjust reasons and hope it results in pressure on your old company. This happens all the time in the press; that's what Op-ed and opinion pieces - and also "objective" journalism - do every day. A big corporation isn't going to care about some bad PR from a disgruntled freelancer. Bad PR is not legal pressure. So consider the answer to your last question Can I be sued for warning of a potential crowdfunding scam? which is an outline of defamation law. If you're not very careful (and the publication's editor, if there is one and if they are not well-versed in defamation law), you will defame someone at the company (publish provably false facts) in your article and they (and/or the compnay) can take action against you. And self-publishing a piece has even greater risks of defamation, because it's likely you don't know the boundaries of defamation. Defamation is complex (especially in an international context) and turns on many details of the facts, how they were published, and more. But: how much money do you have to defend yourself against a libel suit? Another point to consider is this: even if you don't clearly libel someone at the company, the company can still take action against you. They can retaliate against bad PR with a lawsuit. You say they have lawyers and can afford it, and you're alone. Can you afford to defend yourself? Is it worth suing them (they're US-based), considering the cost or the legal action would not come cheap (I guess)? As a side note I am based in Europe (I avoid putting the country here, as a means to protect my privacy) That's entirely up to you. No one here will advise you about that. Only you can make that decision, or your lawyer can advise you on that. Talk to an attorney who might take on such an action, and one involving international jurisdictions (a US state and the unnamed European - possibly EU - country). Aside from potential libel, the other important aspect is to determine what legally can be done internationally in terms of defamation, both with any potential action you take and what actions the company can take against you. That will be determined by different laws and international agreements between the US (and possibly the state) and the unnamed (possibly EU) European country. The minor aspect of your dispute is your termination and the employment contract: The company engaging with the contractor has the right to terminate the agreement after several warnings have been issues.... However, no FORMAL warning has ever been issued. That's legally vague enough to allow the company to fire you at any time. (Update from comments: Virginia is a "Right to Work" state which means that the employer may fire the employee for any reason without cause unless the employee is being fired for being a member of a protected class, i.e.race, religion, sex, etc.) Again, international jurisdictions come into play concerning labor laws. Can you find a lawyer who will take on an international labor dispute?
someone I spoke with said "there is to be no recording of this or any other calls". Must I follow this instruction? Although, in Canada, there is no requirement on you to obtain consent to make recording, this explicit objection creates a hurdle. If you simply ignore the objection and record the conversation anyway without letting the objecting party know, you may give them a ground for a claim under the breach of confidence doctrine. The safest move would be to reply: No. There will be recording of this and any other calls. It will be then up to them to hang up. If they don't, they lose all grounds for any claims.
The phrase "by and with the [Advice and] consent of the Senate is defined once in the U.S. Constitution The constitution introduces the phrase "by and with the advice and consent of the Senate" and clarifies that "consent" means "provided 2/3 of the Senators present concur". It then uses this phrase again, without repeating (or modifying) the clarification, and both times the intention is to tightly constrain the President's actions, so as to be "with the consent of the Senate". Such usage is a very common "device", with the short phrase now appearing in the clarification's stead, not needing to repeat the entirety of it. Consequently, the President has the power to: nominate Ambassadors, other public Ministers and Consuls, Judges of the Supreme Court, and all other Officers of the United States but can only make treaties and turn nominations into appointments [with the advice and consent of the Senate], which means he can only make treaties and turn nominations into appointments [provided 2/3 of the Senators present concur]. How is it possible that a given party seems unable to block any such appointments? Wasn't this precisely the intent? To ensure that these specifically enumerated positions would compel the nomination of people who would pass this higher bar as properly non-partison selections, to increase the likelihood of appointing excellence? If not, why call these things out at all? Requiring only a simple majority invites a tyranny thereof, invites factional politics, invites an unconstrained President, the very things the framers were so determined to prevent. Were they truly this inept? Or is it we who are failing--we who cannot think, and read, and understand? For reference-- USCS Const. Art. II, § 2, Cl 2. reads as: “He shall have Power, by and with the Advice and Consent of the Senate, to make Treaties, provided two thirds of the Senators present concur; and he shall nominate, and by and with the Advice and Consent of the Senate, shall appoint Ambassadors, other public Ministers and Consuls, Judges of the supreme Court, and all other Officers of the United States, whose Appointments are not herein otherwise provided for, and which shall be established by Law: but the Congress may by Law vest the Appointment of such inferior Officers, as they think proper, in the President alone, in the Courts of Law, or in the Heads of Departments”.
"two thirds" is not presented as a definition of "advice and consent", it's an additional qualification.
SCOTUS Justice Samuel Chase was impeached though not convicted by the Senate. Here is a list of federal judges investigated for impeachment, and a list of federal officials impeached. The first federal judge to be removed from office was John Pickering, and the most recent is Thomas Porteous. Only Congress has the power to impeach: SCOTUS cannot review an impeachment, and the presidential pardon power does not extend to impeachments. Article 3, Section 1 of the Constitution states that "... The Judges, both of the supreme and inferior Courts, shall hold their Offices during good Behaviour..."; Article 1, Section 2, Clause 5 says "The House of Representatives ...shall have the sole Power of Impeachment", and Article 1, Section 3, Clauses 6 says "The Senate shall have the sole Power to try all Impeachments". The President, Vice President and all civil Officers of the United States, shall be removed from Office on Impeachment for, and Conviction of, Treason, Bribery, or other high Crimes and Misdemeanors. Article 2, Section 4 says "The President, Vice President and all civil officers of the United States, shall be removed from office on impeachment for, and conviction of, treason, bribery, or other high crimes and misdemeanors". Taken together, one might think that a civil officer can only be removed for criminal conduct while in office. This is by no means guaranteed, since it does not say that explicitly, and it is up to the Senate to determine whether, for example, lying during a confirmation hearing about previous conduct would satisfy the requirements of Article 2, Section 4. In order for them to make that determination, the House would have had to also previously decided that the alleged situation does constitute the conditions in that clause, since an official has to be both impeached and convicted, involving both houses. The conviction furthermore requires a 2/3 majority of the Senate ("no Person shall be convicted without the Concurrence of two thirds of the Members present").
No, votes would not have to be postponed. The Constitution has nothing specific to say about this. (It's not that long - you can and should read it through and check for yourself, and searching is even easier.) The Constitution's only reference to the Speaker of the House is Article I Section 2: "The House of Representatives shall chuse their Speaker and other Officers [...]". (Other than the 25th Amendment which prescribes the role of the Speaker in receiving declarations as to whether the President is incapacitated.) The House's procedures, and the Speaker's role in them, are left up to the Rules of the House of Representatives, which the House makes for itself. (US Constitution, Article I, Section 5: "Each House may determine the Rules of its Proceedings [...]".) Rule I, Section 8 provides: (a) The Speaker may appoint a Member to perform the duties of the Chair. Except as specified in paragraph (b), such an appointment may not extend beyond three legislative days. (b)(1) In the case of illness, the Speaker may appoint a Member to perform the duties of the Chair for a period not exceeding 10 days, subject to the approval of the House. If the Speaker is absent and has omitted to make such an appointment, then the House shall elect a Speaker pro tempore to act during the absence of the Speaker. So if the Speaker is ill, she can appoint a temporary substitute (Speaker pro tempore), who can preside over all House business, including votes. If she cannot or does not do so, the House may elect a Speaker pro tempore with the same authority. (That election itself would be presided over by the Clerk of the House, an administrative official, as specified by Rule II Section 2(a).) Either way, there would be no need for votes to be postponed.
Part of the problem you'll find is that there are so few impeachments in U.S. History (Only 21 articles of Impeachment have ever been drafted, of which only 8 resulted in convictions) and SCOTUS is so selective on cases it chooses to hear, that only one case has ever been heard and that was upheld (Nixon v. United States). In that case, SCOTUS ruled that it did not have jurisdiction to rule on the legal question before it (was the new trial format a proper trial by the senate), but did not have an opinion one way or another to suggest that SCOTUS could not review other cases that come before it. One of the reasons they also haven't is in order to have a legal case in the U.S., the plaintiff must suffer actual harm. More impeachments ended without a conviction than with either acquittal (8), resignation before trial conclusion (4), and expulsion from senate (1, and will never occur again as Congressional office holders are not impeachable following this particular case). Since no harm was caused and courts do not rule on hypotheticals, a case with actual harm (conviction) must occur in order for SCOTUS to even consider hearing the case. Nixon does not bar SCOTUS from hearing more appeals resulting from Impeachment, it only bars those relating to the manner in which the senate chooses to hold the trial.
The constitution does not actually forbid "abusing a position for financial gain", and thus it is left to the political process to address any such actions (voting for a different candidate), or the legislative process (defining certain acts as forbidden) – or, the impeachment process. The court system in the US does not have the power to decide on their own what politicians can and can't do, if there is no underlying law. It is within congressional power to define limits on the act of any politician, for example Congress could pass a law requiring the President and Vice-President to have no business interests or stocks during their term of office; they could require that of cabinet members or members of Congress. Such a law would, of course, either require presidential approval or else sufficient support in the houses of congress to override a veto. There are various limits on what government folks can do. 18 USC 202(c) is an example of a limit on the limits: Except as otherwise provided in such sections, the terms “officer” and “employee” in sections 203, 205, 207 through 209, and 218 of this title shall not include the President, the Vice President, a Member of Congress, or a Federal judge It is possible that a president could engage in a criminal act such as theft, and that is not permitted and would be grounds for impeachment. The president does not, however, have the power to e.g. unilaterally send all government hotel business to a certain hotel company, nor can he declare that 10% of all government expenditures must be deposited in his personal bank account, so the mechanisms whereby corrupt rules of certain other nations can get away with that is that those executives have vastly more power in their countries than POTUS does. With congressional support, though, such acts could come about. If it did, it would not be too surprising if SCOTUS ruled based on common law and considerations of justice that such a law / act was illegal, but it would not be a textualist argument.
The US legal code regarding threatening a president is 18 U.S. Code § 871 - Threats against President and successors to the Presidency. The first clause defines how threatening the president is illegal. The second clause starts off by defining "President-elect": The terms “President-elect” and “Vice President-elect” as used in this section shall mean such persons as are the apparent successful candidates for the offices of President and Vice President, respectively, as ascertained from the results of the general elections held to determine the electors of President and Vice President in accordance with title 3, United States Code, sections 1 and 2. So the key here is that they are the "the apparent successful candidates […] as ascertained from the results of the general elections." It doesn't define this phrase though, especially the word "apparent". It appears that the prosecutors in the case mentioned in the question are arguing that Donald Trump became the apparent President-elect when, after Election Day, voting results began coming in and he was projected to win 270 electoral votes. Given the amount of stock that most Americans seem to put into the media's coverage of who wins the election (and the fact that the person in question seems to have assumed he would be president), that's unlikely to be contested.
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 executive can only make laws within the scope of the powers granted to them by the constitution (of which there are very few) or delegated to them by congress. An executive order that oversteps those bounds is void as recent experience has shown.
How does one federal appellate court's decision affect other circuits? I'm just learning how the court system works, and I'm trying to figure out the scope of influence of each appellate court. If a decision is handed down by, for example, the 9th Circuit court, does that decision affect the other 12 circuits, too, or only the region adjudicated by the 9th Circuit?
It is binding precedent for lower federal courts in the Ninth Circuit. They are required to follow it. It is persuasive precedent for the other circuits and for state courts. They may be persuaded by the reasoning and will consider the fact that the Ninth Circuit held as it did to be one factor in their decision-making, but they can make a different decision if they want to. Some courts are also more persuasive than others, although this is usually not explicitly acknowledged in written opinions. For example, state courts in the Ninth Circuit are likely to give more weight to a Ninth Circuit opinion than they are to give weight to a decision from another circuit. Cases from the Second Circuit are more likely to be persuasive than cases from other circuits, because of its reputation. Cases from the Southern District of New York are more likely to be persuasive than cases from most other non-local District Courts. There is also a personal reputation function that comes into play when looking at persuasive decisions. Some judges have a better reputation or a better reputation with a particular other judge, and their decisions may be considered more carefully. This is not explicit, but it means a good lawyer will mention the judge's name when a case in support of his position was decided by a well-regarded judge. Finally, the Ninth Circuit's holding would be persuasive precedent for the Supreme Court. You could write law review articles about this, but to dip one toe in: they may be persuaded by the reasoning and it matters to their function of providing unifying law, so especially during the process of applying for a writ of certiorari, they will care what different circuits have held on an issue and which circuits are going which way. But they are not bound by the circuit courts, and will overturn all of the circuits if they think that's the right decision. They did that a while ago with a statute about what it meant to use a firearm while committing a crime, for example.
Yes, this is allowed. A famous example was the Rodney King beating, where police officers were acquitted at the state level but convicted federally. US v. Lanza formalized the rule, and it has survived the application of the double jeopardy rule to the states. It's called the separate sovereigns doctrine, and also applies to prosecutions by two states (see Heath v. Alabama) and by an Indian tribe and the feds (see US v. Wheeler). It does not apply between DC and the feds or territories and the feds, because DC and territorial laws are established under the power of the federal government. These prosecutions are uncommon. As far as the feds go, they normally consider a state prosecution to have satisfied the federal interest in the case (win or lose). But prosecution by multiple sovereigns is not barred by the Fifth Amendment.
There are a lot more differences than this, but if your teacher sums up what he/she means by that sentence. Here, specifically, in Civil Law, the decision of the courts must comply with the laws as enacted, which means there are specific statutes required to make something illegal. Common Law features Stare Decisis which basically means that if Case A is decided in one way, and Case B is a similar Case to Case B, Case B must yield the same decision for all cases in that jurisdiction and lower courts below that court. This means that while statutes (laws) can be made by a legislature, the courts can "make law" by deciding cases. For example, some States in the United States and England and Wales only recently (within the past 30 years) adopted an actual law that made murder illegal? Prior to that murder was illegal under Common Law Murder that had been based on precedence from bazillion cases before that said it's illegal. Nobody bothered to write it down in an actual law. There are several other big differences such as Inquisitorial vs. Adversarial nature of courts, how and when punishments are decided (The famous "Just following Orders" Defense was given in part because of this difference and a lack of understanding over it.), who is the trier of fact vs. who is the trier of law, but as far as what is "Law" this is a good single summation of the difference in a single sentence. But it really shouldn't be condensed to a single sentence.
Marbury V. Madison did not establish judicial review. It was simply the first case where that power was used. It was clearly spelled out in The Federalist #78 that this power would exist in the new constitution, and those who voted to ratify it understood, or should have understood, that it would exist. All that Marbury V. Madison decided was that the Supreme court did not have original jurisdiction to issue Writs of Mandamus That could be overturned, or the constitution could be amended to grant such jurisdiction to SCOTUS. That would not have any major effects on the US judicial system as far as I can tell. I suppose that the constitution could be amended so as to deny the power of judicial review to the courts. But I think the resulting system would be potentially unstable, and this would require a far more fundamental change than simply "overruling Marbury V. Madison" As #78 of The Federalist said: By a limited Constitution, I understand one which contains certain specified exceptions to the legislative authority; such, for instance, as that it shall pass no bills of attainder, no ex-post-facto laws, and the like. Limitations of this kind can be preserved in practice no other way than through the medium of courts of justice, whose duty it must be to declare all acts contrary to the manifest tenor of the Constitution void. Without this, all the reservations of particular rights or privileges would amount to nothing. (emphasis added) The interpretation of the laws is the proper and peculiar province of the courts. A constitution is, in fact, and must be regarded by the judges, as a fundamental law. It therefore belongs to them to ascertain its meaning, as well as the meaning of any particular act proceeding from the legislative body. If there should happen to be an irreconcilable variance between the two, that which has the superior obligation and validity ought, of course, to be preferred; or, in other words, the Constitution ought to be preferred to the statute, the intention of the people to the intention of their agents. . . . [W]here the will of the legislature, declared in its statutes, stands in opposition to that of the people, declared in the Constitution, the judges ought to be governed by the latter rather than the former. They ought to regulate their decisions by the fundamental laws, rather than by those which are not fundamental. . . . [W]henever a particular statute contravenes the Constitution, it will be the duty of the judicial tribunals to adhere to the latter and disregard the former.
How deterministic is the legal system? It depends. And less than we might wish. It depends on the case. How complex is the fact pattern? How strong is the evidence? How clear is the law? How compelling are the legal precedents? Questions of that nature. The only generalization I might make would be that "lower level" cases seem more deterministic than "higher level" cases. By higher level, I mean those heard by a supreme court making constitutional decisions. Here is a web site that has created a prediction market out of supreme court cases. Many have written on this topic. Read this answer. It is an excellent treatise on the subjectivity of the legal system. Written by a real attorney. Read this answer too. My advice: If you seek a deterministic system, don't look to the legal one.
No Only the ratio decidendi of a case sets binding precedent. By definition, that has to be in the decision of the court’s majority because that’s what decided the case. If a minority decision disagrees with the majority on ratio, then the majority is the binding precedent. If the point is obiter, then it’s merely persuasive, not binding, irrespective of where it is.
You'd have to specify the cases you want. All court transcripts are a matter of public record, though a copy may cost you a fee from the court clerk's office to recieve. It should be pointed out that not all cases got to an evidentiary stage to actually evaluate on the record any evidence. A vast majority were decided on pre-evidentiary rules such as standing or laches (timeliness) and not all cases that were able induced evidence debunked the evidence. Any appellent case would also not induce evidence as all appeals cases are strictly matter of law rather than matter of fact (evidence), so those cases would be asking a higher court to double check non-evidentiary decisions. The fact that the party that brought the suit does not have standing to bring the suit OR that the party that brought the suit brought it too late for the courts to proceed on the matter does not debunk evidence that the fraud happened in the eyes of the law... it simply means the questions of fact were never addressed at all
This probably isn't a ground for an appeal. While a party arguing to reverse a trial court's decision must show that the argument that they are making on appeal was "preserved" by that party at trial by making that argument in the trial court, the converse is not true. Indeed, one of the rules of appellate practice is that a trial court's ruling will be upheld for any reason supported by the evidence even if it wasn't made by any party at trial. Generally speaking, a trial court isn't supposed to try a pro se party's case for them, but once the evidence is in, the court is free to do original legal research and come to a conclusions contrary to the arguments made by either of the parties. A judge is supposed to correctly apply the actual law to the facts notwithstanding the efforts of the parties to lead it astray. This doesn't systemically happen in favor of one party or the other in my experience, but is more common when one or both parties is relatively inexperienced in the relevant legal field. Appellate courts also come to conclusions about the law not advanced by either party on a regular basis. If anything, this is even more common in the area of administrative law, where the judge is likely to be a subject area specialist, than in ordinary civil litigation. It is also more common in administrative law because a judge in that context is more focused on the institutional implications of a bad precedent than trial court judges in ordinary courts. (PS is there a technical term for the rules concerning the "role" of the judge in a court, what they supposed to do, and not supposed to do?) Probably, but there isn't any term that comes readily to mind. If I can think of one, I will update this answer.
Job interview adjustment request was ignored. Is this an act of discrimination? Imaginary situation: a candidate arrives to a job interview for a position of software engineer. She had notified the HR manager that she has severe mobility problems and thus can't move around unless absolutely necessary. However, the interviewer demanded her to stand up and draw on the whiteboard during the interview, and insisted that she has to do that. Should this be considered as an act of discrimination?
Yes, this would be an ADA violation The Americans with Disabilities Act (ADA) requires that "reasonable accommodations" be provided to people with disabilities in both the job application process and in the workplace. Specifically, this would be a failure to provide "modifications or adjustments to a job application process that enable a qualified applicant with a disability to be considered for the position such qualified applicant desires" as described in the EEOC enforcement guidelines. Software engineers generally are not required to stand up and move around much to do their jobs, so the employer wouldn't have an argument that requiring an applicant to do so in the interview process is somehow related to job requirements. I'm a software engineer myself, and I spend almost my entire day sitting down (and very little time drawing on whiteboards, especially now that I'm not allowed to be in the building where the whiteboards are). Possible reasonable accommodations would include getting a portable whiteboard that's lower to the ground or allowing the candidate to draw on paper instead.
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.
Not very nice of the employer, actually quite cowardly. Being not nice and cowardly is not against the law. Being in the EU, and having been employed for ten years, the company will have duties to find a different position in the company at the same pay, and only when that fails, the employee can be laid off and will have a reasonable amount of notice, plus a reasonable amount of redundancy pay due to him. Unfortunately, he can expect only the legal minimum if the company behaved like this already. Good companies would provide a generous redundancy pay, plus pay for you to have any agreements checked by an employment lawyer of your choice - which means the employee can be sure they are not ripped off, and the employer is sure they cannot be sued for any reason. Obviously if they want him to quit, then the one single thing your relative mustn't do is to quit. Let them pay him. Plenty of time to look for a new job.
No - there is no general requirement to be fair to all applicants when selecting someone for a job. It's not even clear how this would work - you would need to define what "fair" means in this context, and there would be many competing definitions. Is it fair to prefer an applicant who has more experience because they received help from their parents with landing their first job? Is it fair to prefer someone with a certain look for an acting job? Is it fair to prefer someone who happens to have a similar personality to the person hiring? So if the employer finds it more convenient to use the same test every year, and if they do not mind that this gives some applicants an advantage, they are free to do that. The only exception is that discrimination based on certain, specific factors (often called "protected characteristics") is usually outlawed. The list depends on jurisdictions, but usually includes things like gender, race and age. However, even in that case discrimination is allowed if the business can demonstrate a genuine need - for example, when looking for an actor, it is allowed to hire based on gender.
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 agreement to agree is void There is a multitude of case law on this point. If the NDA was not available to you when you signed the employment contract and the term was couched as you describe; then the term would be unenforcable. That is, your employment contract would be binding except for that term i.e. you could not be compelled to sign the NDA. Now, there may be a requirement on you to negotiate in good faith in an attempt to find an NDA you can agree to but if you can't find one you can't find one. You cannot (legally) be fired for this reason. Now, if the NDA was available, and you were told where to find it, and irrespective of if you did or didn't find it, you would be bound to the NDA.
It depends to a large degree on local employment laws. Depending on how the counteroffer was worded, it might have constituted anything from a binding legal contract for employment for some reasonable minimum term, or a totally non-binding suggestion that was worth less than the air breathed while pronouncing it. Some things to consider would include: What are local employment laws like? Do they require that termination be for cause? If so, what are causes for termination? Does termination require any kind of remediation beforehand? Note that in an at-will, right-to-work state in the US, odds are that the employee can be fired for any time and for any reason, supposing the employer hasn't accidentally entered into a contract by extending the counteroffer. What did the counteroffer say? Did it stipulate that the offer was not for a definite term and that the company reserved the right to terminate the employee for any reason, or no reason at all? Odds are any sufficiently serious business in an at- will, right-to-work state would use standard legal language in any offer or counteroffer to ensure that they are on the right side of this, so odds are the counteroffer was accepted with no obligations at all on the company. Does the termination affect eligibility for unemployment benefits? I would say most likely not, as the termination would probably be recorded as being for no reason legally speaking (if they admitted to terminating the employee for seeking other employment, interested government officials could take a dim view of the company's actions). You'd probably have at least some unemployment compensation coming your way. Some professional - not legal - advice. Never accept a counteroffer. Only get another offer in the first place if you are committed to leaving your current employer no matter what. If your company really insists, you should insist on a minimum definite term of employment written into a legal contract which is signed by an executive and notarized. No company will agree to this (unless the term is shorter than you'd want as a full-time W-2 anyway) but if they do, hey, you have some security (if the company agrees to this, have your own lawyer - whom you pay with your own money - review the document). Even then, I would be very, very careful about staying at a company after getting a counteroffer. Don't do it. Ever. Never accept a counteroffer. One comment asks why I recommend never accepting a counteroffer. There are at least two reasons: The reason you are looking for a new job should be that there is something about your current job that isn't completely satisfactory and that you haven't been able to fix. Either you have grown out of the position, don't like the work, feel you're underpaid, don't get along with somebody, etc. If you were unable or unwilling to fix any of these issues without having another job on the table, having another job on the table shouldn't be what makes you willing and able to fix them. Why work somewhere that you'd constantly need to go job hunting to address workplace issues? Unless the company makes firm agreements about how long they're going to keep you around, you have no guarantee that they'll keep you. Presumably, you didn't have one before, and you don't have one at the new job, but the fact that you are currently employed might support the assumption that your employment would be continued at your current employer and the offer might support the assumption the new employer plans to employ you indefinitely. When you put in your notice, it makes the company more aware of the fact that you could leave at any time; while a perfectly rational actor would realize that this doesn't change the situation at all, companies are run by people and people often act irrationally. Perhaps your manager is vindictive, perhaps your manager is scared that you will still leave after accepting the counteroffer. Maybe your manager knows there are layoffs coming but needs you for the busy season. Hiring replacements can be time-consuming and expensive - and employees who are getting offers of employment elsewhere and putting in notice might be seen as risks. I'm not saying that accepting a counteroffer has always turned out badly. Falling coconuts kill 150 people every year. Still, I am not going to add a coconut rider to my insurance policy and I am not going to accept a counteroffer.
Legally, they can kick you out for any reason that isn't illegal discrimination. They can't kick you out for being black. They also can't kick you out for being white. But they can kick you out for not liking your face. Now the question is: Who can kick you out? The store owner obviously can. Anyone who is given the authority by the store owner can. Actually, anyone with the apparent authority can kick you out. However, everyone other than the store owner has been hired to work towards making profits. If throwing you out is bad for business, then whoever did it would have to answer to the store owner. So the ex-friend can't go to court for throwing you out, but they might get into trouble with their boss about it. PS. I interpreted "kicking out" as saying "Please leave our premises. If you don't leave then you will be trespassing and I will call the police", not actually kicking the person with your foot which would be most likely assault.
Does nulidad de pleno derecho cause effects ex tunc? spain Does nulidad de pleno derecho1, 2 cause effects ex tunc? 1: I don’t know the translation. 2: See also art. 6 of Real Decreto de 24 de julio de 1889 por el que se publica el Código Civil and art. 47 of Ley 39/2015 de 1 de octubre del Procedimiento Administrativo Común de las Administraciones Públicas.
The literal translation of nulidad de pleno derecho is "null act of full right" or more ideomatically "fully null" but the phrase of equivalent meaning in English language legal terminology is void ab initio, literally "invalid from the beginning". This is an act that, because it was particularly seriously defective, should not produce any effect and, if it does, can be annulled at any time without the correction of the defect or the passage of time being opposed. ex tunc means in a legal context, "from the beginning, from the outset. Used to describe certain legal effects that can affect situations prior to this point in time and therefore can affect past actions." It is more commonly used in canon law, Italian law and the law of other countries that speak Romance languages, than in the English speaking world. You are correct that something that is nulidad de pleno derecho does cause effects ex tunc. The phase ex tunc is rarely used in English terminology although the related term, nunc pro tunc which means having retroactive effect to some relevant date (often the date of the filing of a motion) is commonly used in cases where something is given effect retroactively, but not where something is invalidated retroactively, in which case the term void ab initio is used in English jurisprudence instead. If an action is nulidad de pleno derecho then any legal effect it was given is treated as though it never happened and the remedy of restitution is often available to undo changes in position that occurred as a result of a void act. Some of the common situations where this might come up are (1) an annulment of a marriage of someone who was not eligible to marry (for example, due to an existing marriage or lack of age to marry or mental incapacity) as opposed to a divorce, (2) a determination that a court order or actions are void because the court lacked subject matter jurisdiction to consider the matters before it, or (3) a determination that a deed to property and subsequent deeds in the chain of title derived from it are void because there was some serious defect in the original deed (e.g. it was a "wild deed" purporting to transfer say, the Brooklyn Bridge from someone who never owned it in the first place).
So, as I understand the decision, it's a little more subtle than that. By default, states have sovereign immunity and can't be sued without their consent. Congress can remove ("abrogate") this immunity by law in some circumstances. They tried to do so for copyright infringement cases with the Copyright Remedy Clarification Act of 1990. However, in the present case of Allen v. Cooper, the Supreme Court held that this part of the CRCA is unconstitutional. The idea is that under the Fourteenth Amendment, Congress can abrogate state immunity when it's necessary to ensure people's right to due process, but only in a "congruent and proportional" way. Now if a state unintentionally or negligently infringes someone's copyright, that does not violate the person's right to due process, but an intentional infringement might. At the time the CRCA was passed, when Congress went looking for instances where states infringed on copyrights, they found several cases of unintentional or negligent infringement, and just a couple where they may have infringed intentionally. SCOTUS argued that to respond to this by completely abrogating state immunity in all copyright cases was disproportionate, and therefore unconstitutional. But the Court suggests in the opinion that Congress could pass a different law to abrogate immunity in copyright cases, if it were narrower. For instance, a law that only stripped immunity in cases of intentional infringement would likely be constitutional, especially if there were evidence that intentional infringement was happening enough to be a significant problem. So I think the answer is that as of right now, a state could deliberately infringe someone's copyright (e.g. by pirating software) and be immune from suit. However, Congress has the power to "fix" this, and most likely will, especially if there seems to be egregious abuse. (By the way, the decision contains an impressive quantity of pirate jokes. I guess since it's not only about copyright infringement (aka "piracy"), but actually alleges infringement of a video about a sunken pirate ship, the justices just couldn't resist.) Your "eminent domain" idea is separate from this. Seizing copies of the software wouldn't give the state the right to use them, as the software itself would still be copyrighted. The state would have to seize the copyright, and I don't know whether that is possible - it's not necessarily property in that sense. But if they did so, then they wouldn't be infringing the copyright at all (since the state itself would now own the copyright) and this case would be irrelevant. On the other hand, when a state uses eminent domain to seize property, they must as you say pay fair market value for it, and that means the market value before they seized it. So the value of the copyright in such a case wouldn't be "nothing" - it would be more like the amount a competitor would have had to pay the software maker to buy all the rights to that product. Likewise, if the state seizes your lovely house and bulldozes it to build a toxic waste dump, they owe you what someone would have paid for the house, not the value of a dump that nobody wants.
The point of directives is that they concern areas of law where the EU does not legislate directly. They create a requirement that member states must achieve through their own legislation. In the EU's own words A "directive" is a legislative act that sets out a goal that all EU countries must achieve. Were a directive to be repealed, it would remove a constraint on national law. That would not automatically lead to a repeal of national law. Of course, national law itself could have a provision effecting the automatic repeal, but that might be problematic because most repeals seem actually to be modifications or recodifications, where national legislatures might be better off amending their transposing legislation rather than replacing it.
No For the same reason that requiring a licence to drive might, in some circumstances, result in harm to a person who cannot drive because they don’t have a licence. The city (or any government) has legislative immunity for the laws they put in place even if those laws have negative consequences to some people. All laws have negative consequences to some people, for example, laws against theft are extremely prejudicial to thieves. Similarly, the executive is immune for exercising their discretion in the enforcement of the law. This is the basis of the police not having a general duty to protect. However, police have a specific duty to protect when they have taken an individual into their care and control.
This is a very straightforward point of constitutional law. Chapter and verse from the Constitution, art 224: (1) Notwithstanding anything in article 32, every High Court shall have power, throughout the territories in relation to which it exercises jurisdiction, to issue to any person or authority, including in appropriate cases, any Government, within those territories directions, orders or writs, including writs in the nature of habeas corpus, mandamus, prohibition, quo warranto and certiorari, or any of them, for the enforcement of any of the rights conferred by Part III and for any other purpose. (2) The power conferred by clause (1) to issue directions, orders or writs to any Government, authority or person may also be exercised by any High Court exercising jurisdiction in relation to the territories within which the cause of action, wholly or in part, arises for the exercise of such power, notwithstanding that the seat of such Government or authority or the residence of such person is not within those territories.
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 law that New York passed does not create any cause of action, it overrides existing rules regarding time-barring of civil claims, so the quick answer to the question "does this law apply in that kind of case" is "that law is irrelevant". There is a general legal question about the jurisdictional limits of a court. For example, a foreign insurance company will be subject to specific personal jurisdiction in a US federal court over a claim under a cargo insurance policy for a shipment to the US. The case Daimler AG v. Bauman seems to be similar to the type of case you are asking about. This case involves the Dirty War of Argentina, and the question of whether Daimler's business connection to Mercedes-Benz Argentina gives plaintiffs standing to sue in US courts over actions in Argentina. SCOTUS held in that case that Daimler is not amenable to suit in California for injuries allegedly caused by conduct of MB Argentina that took place entirely outside the United States The court first notes that For a time, this Court held that a tribunal’s jurisdiction over persons was necessarily limited by the geographic bounds of the forum but this has been modified to recognition of two personal jurisdiction categories: One category, today called “specific jurisdiction”...[which] encompasses cases in which the suit 'arise[s] out of or relate[s] to the defendant’s contacts with the forum' [and] distinguished exercises of specific, case-based jurisdiction from a category today known as 'general jurisdiction,' exercisable when a foreign corporation’s 'continuous corporate operations within a state [are] so substantial and of such a nature as to justify suit against it on causes of action arising from dealings entirely distinct from those activities.' The court observes that "general jurisdiction has not been stretched beyond limits traditionally recognized". As I understand the hypothetical, the proposed wrong does not derive because of the defendant's connection with the jurisdiction, and the connection to New York (or any other state) would be that it might be forum convenient for the plaintiff to litigate in. This would fall under the category of "general jurisdiction" (assuming that New York is not the company's corporate home nor is it their primary place of business), and the state's courts would not normally have jurisdiction in that case (lacking any specific statute creating a cause of action and explicitly declaring extraterritorial jurisdiction). The underlying constitutional rationale is the Due Process consideration that a person (including a corporation) should not be be forced to defend themselves in courts in states where they have no real connection. The question that would be asked is whether the corporation had sufficient connection to the state that the state courts would have jurisdiction. We should also turn to three SCOTUS cases, Nestle v. Doe et al, RJR Nabisco, Inc. v. European Community and Kiobel v. Royal Dutch Petroleum Co., where questions of extraterritorial jurisdiction are considered. The Nestle court's analysis of the underlying principle starts by observing and citing from RJR Nabisco that First, we presume that a statute applies only domestically, and we ask "whether the statute gives a clear, affirmative indication" that rebuts this presumption. In Kiobel, the court states – reaching further back to Sosa v. Alvarez-Machain that [w]hen a statute gives no clear indication of an extraterritorial application, it has none, a principle which "serves to protect against unintended clashes between our laws and those of other nations which could result in international discord) (EEOC v. Arabian American Oil Co). The relevant statute under which these suits were initiated is the Alien Tort Stature, 28 USC 1350, which allows an alien to sue in US courts under certain circumstances, and states only that "The district courts shall have original jurisdiction of any civil action by an alien for a tort only, committed in violation of the law of nations or a treaty of the United States". ATS would clearly not be applicable to the case of a US person suing a foreign corporation, but the other cases have articulated a principle that transcends the specifics of the ATS – there would have to be a statute giving a state extraterritorial jurisdiction over the matter.
Close to zero, provided that §78 ZPO really applies in your case. You want to overturn established law and precedent on the grounds that it violates your notion of justice and civil or human rights. Such things happen, but doing so without professional representation is close to impossible. You have two realistic options -- get a lawyer for your initial case, or get a lawyer for your appeal as it works through the institutions (which is likely to fail).
Trump knowingly let thousands of people die from Corona; was that criminal? If yes, could he be charged (now or after his Presidency)? The title says it all. Trump told Bob Woodward that he knew in February that the coronavirus was deadly but decided to actively and consciously deceive the public and not take decisive action to prepare for a deadly pandemic. Had this been a factory, and Trump a factory owner, I suppose that would at a minimum constitute tort and entitle the victims to compensation.1 Let's assume that with better information and adequate government action people would have protected themselves, many infections would have been prevented and the medical response would have been better, preventing many entirely foreseeable deaths. Do the President's actions constitute a crime, e.g. negligent homicide? If so, could he be charged while in office, or afterwards? Note that this question is distinct from oft-asked similar questions concerning actions by the President unrelated to his office, like this one: His decisions and actions were made and performed in his official function as President of the United States. 1 There is a lawsuit under way demanding compensation from the Austrian government for its failure to adequately address the outbreak in Ischgl, the ski resort which bootstrapped the European pandemic.
The closest the Supreme Court has gotten to criminal liability for official acts seems to be Nixon v. Fitzgerald, 457 U.S. 731 (1982). There it addressed civil liability and held that the U.S. President "is entitled to absolute immunity from damages liability predicated on his official acts." It's unclear how the Justices would decide criminal liability for official acts. (Though some might argue that non-precedential logic in Fitzgerald suggests the Court could extend immunity to the criminal context as well.) As to homicide, murder and manslaughter are federal crimes. See 18 U.S.C. §§ 1111–1112. The latter involves the commission "of a lawful act which might produce death" "without due caution and circumspection."
In the US, it depends on why you are doing this, and how you go about performing the operation. There are approved devices and procedures, and there is the other stuff. In an emergency that is life-threatening or threatens severe debilitation, it is permitted for a physician to try an extreme measure – if the state has a "Right to Try" law. Otherwise, a review and official approval by the relevant IRB is required. The devices are regulated by the FDA, but the FDA does not regulate the practice of medicine, so the feds don't have a say in whether a procedure is allowed. Nevertheless, use of unapproved devices can be taken to be evidence of failing to meet the required standard of care, in the case of a malpractice suit or punitive action by the state regulatory board. There is no specific law prohibiting removing lots of organs and replacing them with prostheses, though arguable what happened was that the brain was removed (it's not that a replacement shell was built around the person). Ordinarily, intentionally "killing" a person is illegal (except in case of sanctioned execution or self-defense). There is zero case law that would tell us whether removing a brain from a body "kills" the person. Most likely, there would be a prosecution for unlawfully causing a death, and either the legislature would tune up the law w.r.t. the definition of "causing death", or the courts would do so.
Charlie may or may not be guilty of murder or of attempted murder. It depends upon his intent and knowledge, which the question doesn't flesh out sufficiently to evaluate. Why did Charlie bodyslam Bob? The reason matters a lot. Did Charlie know that the building was on fire? Was Charlie trying to kill Bob? Was the thing that Bob knocked his head upon an intended result of the bodyslam, or an intervening cause? Did Charlie's initially less culpable act and his knowledge combine to create a duty to rescue and what offense (probably not murder) would it be if a death resulted from a failure to rescue? Alice is likely to be guilty of murder, but on a felony-murder theory, rather than on a transferred intent theory. In most, but not all, states if you are in the process of committing one of an enumerated list of specific felonies that pose a high risk of serious injury or death, such as arson, you are guilty of murder in the event that anyone (even a co-conspirator) dies as a result of your felonious course of conduct, whether or not you intended that a death result. Alice might have been able to purge her felony-murder liability if she had tried to put out the fire and save Bob once she realized that he was in danger, under the exception to felony-murder for renunciation of a course of felonious conduct, but she didn't even try. The doctrine of transferred intent in a murder case usually applies when you intent to kill one person and instead end up killing someone else. But, Alice didn't intend to kill anyway, so this doctrine does not apply. Alice's best defense would be that the death was a result of the attack by Charlie, rather than by the fire, which she would merely have to establish a reasonable doubt regarding. But, ultimately that would be a weak defense for her.
Whether or not a war between political entities can result from some action is completely political and strategic, and not legal. The specific incident is probably legal, given US and international law regarding military action. Unless the order was self-evidently unlawful there is no possibility of arrest and prosecution under US law, however there might be a framework for legal action by Iran, if e.g. a drone operator were to fall into Iranian hands. The specifics of the order are not generally known, though we know that DoD states that this was due to a presidential order. This article discusses targeted killing from a legal perspective. In the context of war, killing is legal though not entirely unregulated. There was a failed attempt to sue the US in the case Al-Aulaqi v. Panetta, which involved a targeted killing of a US citizen involved in planning terrorist attacks, a suit which was dismissed. One problem is that the suit "failed to state a 4th Amendment claim", and also failed to state a 5th Amendment due process claim since Al–Aulaqi's deaths was unanticipated. The court notes that a Bivens claim allows damage action against a federal officer for violation of clearly-established constitutional rights. However, No case has discussed precisely whether a plaintiff can proceed on a Bivens action that claims deprivation of life without due process based on the overseas killing by United States officials of a U.S. citizen deemed to be an active enemy. In the discussion, the question arises whether special circumstances counsel hesitation (Doe v. Rumsfeld and citations therein), which the Doe court notes would "require a court to delve into the military's policies", and they will not do that lightly. All of this is about US citizens. Soleimani was not a US citizen.
That remains to be determined. This article (100 Tex. L. Rev. 56 (2021)) discusses the possibility. To start, the Constitution does not directly say that a sitting president cannot be prosecuted. The lack of an express presidential immunity and the fact that an attempt by Madison to create such an immunity is an indication of "original intent". The view that an incumbent president cannot be indicted, prosecuted, convicted or punished is a policy stance set forth by the Dept. of justice, but is not constitutional law. Alito in Trump v. Vance points to some apparently negative consequences of allowing indictment of a sitting president, but this was in a dissenting opinion. Practical considerations of policy might argue for not prosecuting a sitting president, but the Constitution itself does not expressly forbid it. As we know from numerous SCOTUS rulings, the court is also capable of finding implicit support for a rule in the Constitution. For example theimpeachment provisions do not demand or even hint that impeachment must precede trial and punishment. An argument that prosecution would "incapacitate" the president is met with the fact that there is a provision for replacing an incapacitated POTUS with VPOTUS as acting president. The idea that a trial interferes with a person's ability to do their job (or that they can't adequately participate in their defense if they are doing their job) has not actually prevented ordinary people with jobs from being prosecuted for their crimes.
There are numerous what-ifs. Society’s moral values and thus laws may change. Or the unlikely death of your wife makes this question moot. (Let’s hope not.) Yes, failure to render assistance is punishable under § 323c Ⅰ StGB. Everyone can commit this crime (Allgemeindelikt). However, this section concerns accidents, contingencies or other unplanned adverse events. In your specific case there is no element of “surprise” though, quite the contrary. Your wife does not even need to be aware of the circumstances; the assessment “is there an accident” is made objectively. Having said that, unfortunately there’s a difference of opinion how courts judge (case law) and how “legal scientists” (at law school) think. Ultimately it depends on what evidence investigators find. Frankly, § 323c Ⅰ StGB is a “minor issue” here. You can get at most “just” a one-year-sentence. And there’s the option to consider one’s own spouse’s death as poena naturalis, thus refrain from imposing any penalty because the grieving widow “won’t learn anything” from that, § 60 1 StGB←§ 153b StPO. I’d worry more about §§ 211 ff. (murder, manslaughter, etc.): To kill someone means, a) any short‑term shortening of lifetime through action, or b) in the case of § 13 StGB, any failure to potentially prolong the lifetime. § 13 StGB, Garantenstellung, also applies to spouses, cf. § 1353 Ⅰ 2 BGB. It could be argued that failure to take, say, a loaded firearm away from you constitutes manslaughter. Or, worse, maybe you’re particularly wealthy and she’ll inherit your assets. This could be construed as greed, an aggravating circumstance. At any rate it’s necessary that the omitted action makes a difference, i. e. prevents or at least inhibits the crime’s success (your death). At some point, with terminally-ill patients, you might say “he’ll die tomorrow anyway”. Then your wife could attend your suicide. Finally, for a legally airtight plan I’d seriously consider to change the jurisdiction though, e. g. by going to Switzerland. Everything happening here is subject to German criminal law, § 3 StGB. PS: Marriage can be viewed as a kind of contract. In principle you are completely free in formulating its terms. However, you cannot make provisions concerning termination of life (nichtdisponibles Rechtsgut).
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.
The President wouldn't be in breach of Insider Trading Laws (Section 10b of the Securities Exchange Act) since he has no information resulting from a position of trust within Twitter (or as a trusted provider of services) and no ability to depress their stocks through intentionally fraudulent practices. [O]ne who fails to disclose material information prior to the consummation of a transaction commits fraud only when he is under a duty to do so. And the duty to disclose arises when one party has information “that the other [party] is entitled to know because of a fiduciary or other similar relation of trust and confidence between them.” The key word here is "insider". The President is not an insider, he's merely the user of a service. He certainly has material information, but not gleaned from a position of confidence or trust. anyone in possession of material inside information must either disclose it to the investing public, or, if he is disabled from disclosing it in order to protect a corporate confidence, or he chooses not to do so, must abstain from trading in or recommending the securities concerned while such inside information remains undisclosed. That being said, it's arguable (and I'm reasonably sure his political opponents would argue it until the cows come home) that his shorting their shares would be a material violation of the STOCK Act, specifically section 6 which requires the President to have disclosed his holdings of shorted stock to the public. It's also pretty arguable that his popularity on Twitter is a direct result of his office as President, and hence making money by publicly and messily leaving their service will result in a breach of accepted ethical standards and potential impeachment even if no specific law has been broken.
Argument related to handicap parking spots in a business This is a situation from 15-20 years ago, but I feel like I never got a real answer: This took place in Redwood City, California. We had a building that could accommodate more or less 500 people and had a large parking associated with it. When we started to use the building, there was no proper markings on the ground; I mean there used to be, but they had faded a long time ago. So new lines were painted and quite soon we got the visit of a few city officials, like the fire marshal, etc for inspections. The city requested we allocate a percentage of the parking spots as handicap spots, nearby the building entrance. We made the argument that there was no employee with disabilities and we'd certainly accommodate if the need would arise. To this they countered than a visitor may need it, but this was a software development place without any visitors and not even a reception desk. To make a long back and forth short.. we had to mark the spots as allocated for handicap. Over time, employees were using them because of the proximity to the entrance and, although no tickets were given, somehow the city got to know about it and told us to not allow this. This was wasting about 10 spaces (don't remember exactly), and anyone from the Bay Area knows how valuable are parking spots there. So, my question: During the 3 years I was involved with the place, these parking spaces had absolutely no utility. There was never any visitor (besides deliveries and there was an area for that) and never a single employee with physical disabilities. I do recognize the importance of these parking spaces where they can be used, but in that case it was wasted space. To be the devil's advocate, it could have been conceivable that a city inspector with disability would have visited us, but certainly not 10 of them at the same time. Are there provisions that would allow to not reserve the spaces for cases that never happen, understanding that these spaces could be created on demand if needed?
No, even if not used, they are explicitly required by federal law! The History of handicapped parking started in the 60s. In the late 1960s, Title VIII of the Civil Rights Act banned discrimination against disabilities and then the Amaricans with Disabilities Act entered Congress in 1988. It passed as law in 1990 and included section 4.6 Parking and Passenger Loading Zones (linked in its 1998 revision): 4.6 Parking and Passenger Loading Zones. 4.6.1 Minimum Number. Parking spaces required to be accessible by 4.1 shall comply with 4.6.2 through 4.6.5. Passenger loading zones required to be accessible by 4.1 shall comply with 4.6.5 and 4.6.6. 4.6.2 Location. Accessible parking spaces serving a particular building shall be located on the shortest accessible route of travel from adjacent parking to an accessible entrance. In parking facilities that do not serve a particular building, accessible parking shall be located on the shortest accessible route of travel to an accessible pedestrian entrance of the parking facility. In buildings with multiple accessible entrances with adjacent parking, accessible parking spaces shall be dispersed and located closest to the accessible entrances. 4.6.4* Signage. Accessible parking spaces shall be designated as reserved by a sign showing the symbol of accessibility (see 4.30.7). Spaces complying with 4.1.2(5)(b) shall have an additional sign "Van-Accessible" mounted below the symbol of accessibility. Such signs shall be located so they cannot be obscured by a vehicle parked in the space. So, how many do you need? Well, 4.6.1 points to 4.1.2 Accessible Sites and Exterior Facilities: (5) (a) If parking spaces are provided for self-parking by employees or visitors, or both, then accessible spaces complying with 4.6 shall be provided in each such parking area in conformance with the table below. Spaces required by the table need not be provided in the particular lot. They may be provided in a different location if equivalent or greater accessibility, in terms of distance from an accessible entrance, cost and convenience is ensured. [table] Except as provided in (b), access aisles adjacent to accessible spaces shall be 60 in (1525 mm) wide minimum. (b) One in every eight accessible spaces, but not less than one, shall be served by an access aisle 96 in (2440 mm) wide minimum and shall be designated "van accessible" as required by 4.6.4. The vertical clearance at such spaces shall comply with 4.6.5. All such spaces may be grouped on one level of a parking structure. The table demands that for 500-1000 2% are handicapped parking. As a result, your 500 parking lots would demand 10 handicapped spots, at least one of which needs to be van accessible.
This recently came up in a local PA homeowner association. Legally they own the roads in their development, but they have erected stop signs to make it clear who has the right of way and asked the township police to enforce them. A resident challenged the right of the police to enforce traffic laws on private property, but lost his appeal (albeit at the municipal level). The judge explained that the residents and any visitors had a reasonable expectation that the traffic signs would be obeyed, and that therefore violating them was just as dangerous as violating them on public roads, and that the same law and penalties would therefore be applied.
I have a really good pizza place near my home but the bastards won't deliver when I go interstate! Now, that's discrimination! Yes, it's discrimination. However, it's not unlawful discrimination. Discrimination is not unlawful unless it is on the basis of a protected class. Geography isn't a protected class of itself. It can be if it's used as a proxy for a protected class, such as excluding certain neighbourhoods which correspond with racial or religious groups, but that's not the case here.
The ADA Standards , in section 226.1 requires that: Where dining surfaces are provided for the consumption of food or drink, at least 5 percent of the seating spaces and standing spaces at the dining surfaces shall comply with 902. Where section 902 gives specifics on the requirements for accessible dining surfaces. It therefore seems that, in order to determine compliance, you would need to know how many dining spaces are available in total, and how many are wheelchair accessible. If less than 5% are accessible then the restaurant is not compliant, otherwise they appear to be OK.
The agency is allowed a reasonable time to implement the request, given the nature of the request and surrounding circumstances. Superficially, it would seem that the request is to continue working at home as has been the case for a couple of years, so the agency would not seem to have to change anything in order to implement the request, and unnecessary delays would be a violation of ADA. There is no fixed time requirement for evaluating and implementing the request.
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.
This is an amusing idea, but ultimately it seems frivolous: How does one establish the physical presence of a corporation in a car? Yes, corporations have some of the legal rights and liabilities of people, but they are not people. And there are plenty of rights a person has that a corporation does not. For example (at present) a corporation can't be a party to a marriage. The closest a corporation comes to any corporal presence is the address listed of their agents.
You have to start with the pertinent ADA regulations, 28 CFR Part 36, and esp. subpart B which gets to the prohibition. Under §36.201(a), No individual shall be discriminated against on the basis of disability in the full and equal enjoyment of the goods, services, facilities, privileges, advantages, or accommodations of any place of public accommodation by any private entity who owns, leases (or leases to), or operates a place of public accommodation. After that under activities, it is stated that A public accommodation shall not subject an individual or class of individuals on the basis of a disability or disabilities of such individual or class, directly, or through contractual, licensing, or other arrangements, to a denial of the opportunity of the individual or class to participate in or benefit from the goods, services, facilities, privileges, advantages, or accommodations of a place of public accommodation. and also A public accommodation shall not afford an individual or class of individuals, on the basis of a disability or disabilities of such individual or class, directly, or through contractual, licensing, or other arrangements, with the opportunity to participate in or benefit from a good, service, facility, privilege, advantage, or accommodation that is not equal to that afforded to other individuals. moreover "separate but equal" is not allowed. The sign does not articulate any denial of opportunity, so that should be the end of the discussion. OTOH I suspect that a sign saying "Please do not enter this store if you are white" would be held to be discriminatory, as an indirect denial of permission to enter based on race. §36.208 introduces two important exceptions. First, This part does not require a public accommodation to permit an individual to participate in or benefit from the goods, services, facilities, privileges, advantages and accommodations of that public accommodation when that individual poses a direct threat to the health or safety of others. That means that (irrespective of the fact that covid is not a legal disability) it is legal to exclude direct threats to the health of others. And furthermore, In determining whether an individual poses a direct threat to the health or safety of others, a public accommodation must make an individualized assessment, based on reasonable judgment that relies on current medical knowledge or on the best available objective evidence, to ascertain: The nature, duration, and severity of the risk; the probability that the potential injury will actually occur; and whether reasonable modifications of policies, practices, or procedures or the provision of auxiliary aids or services will mitigate the risk. Based on reasonable medical judgment and innumerable official government proclamations, it is reasonable to believe that a person with covid symptoms pose a threat to public health. The law doesn't require you to be omniscient and actually know that customer A has covid and customer B has asthma. §36.301 then says more about possible screening requirements. It is generally expected that everybody knows the law and will follow the law: ignorance of the law is no excuse, nor is it a cause for a discrimination claim. It would not be legal to exclude a person from a public accommodation when they pose no threat to public health. The customer with asthma is expected to know this law, and is expected to not infer incorrectly that the sign implies that he is being illegally excluded. The customer with covid is also expected to know this law, and is expected to know that it refers to him – as is allowed under the law. Potentially illegal discrimination enters the picture once actual exclusion happens, getting you back to "individualized assessment, based on reasonable judgment". A rule that "anybody who coughs gets thrown out" is most likely to not pass muster as a reasonable health-based criterion. Including a temperature scan is likely to put the practice within the realm of the reasonable.
To what extent is suicide legal in the U.S. and in individual states? At one point, legal scholars referred to suicide as a form of self-murder (for example, see Coke or Hale). Are those who take their own lives guilty of some crime, or have some forms of the act been decriminalized? What about those who willingly assist? Note: If you've been contemplating things, the people at the National Suicide Prevention Lifeline are great. They speak Spanish and English, and their number is 1-800-273-8255.
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.
I'm not sure what jurisdiction you're referring to, but here are the state involuntary manslaughter laws. Broad brush, the elements tend to be: Someone was killed as a result of act by the defendant. The act either was inherently dangerous to others or done with reckless disregard for human life. The defendant knew or should have known his or her conduct was a threat to the lives of others. However, you're really backwards planning from a jail vs. army decision, so you might actually be after something like felony hit and run, which can most certainly result in incarceration. The elements of felony hit and run generally include leaving the scene of an accident regardless of fault (hit and run typically becomes a felony when someone was injured in the accident). Since the elements vary from jurisdiction to jurisdiction, it makes sense to look them up wherever the accident will take place in the book. If it takes place in the U.S. this is a state-by-state compendium. Then you can tweak the story to satisfy the applicable elements and induce the jail vs. army decision (even if army policy prohibits it, it's still pretty common fiction!).
Is there any state where someone doing this would potentially face manslaughter or murder charges, due to some variant of a 'life starts at conception' anti abortion law? Not really. Those laws are currently unconstitutional. A state could certainly prescribe some criminal punishment in a case like this one, but punishing under existing manslaughter or murder laws would almost surely not be upheld under existing law (subject to change without advanced notice by the U.S. Supreme Court). If someone knowingly and intentionally destroyed an embryo conceived via IVF but not implanted yet what kind of consequences do they face? Is the potential life treated differently or is this just destruction of property? This is a tough question that probably doesn't have a uniform answer under the law of all U.S. states. For one thing, it isn't clear who, if anyone, has property rights in the embryo. It is certainly conceivable that a state might instead conclude that the donor receiving the IVF treatment has only contract rights in it (and breach of a contract is not a crime). It might be viewed as a property destruction case. There might be a specific statute on point. There might be a civil lawsuit remedy. In most states, this would be an issue of first impression and a court would look a competing ways that cases had been handled in other jurisdictions to decide what to do in its case.
To provide an initial answer, without getting to the specific of the 51 statutory standards for self-defense in U.S. states and the exact Canadian standard, as applied to your examples, I'll make some general observations: Self-defense is a justification for doing something that would otherwise be illegal (intentionally using force against someone else). Self-defense justifications include a sense of proportionality. It isn't proper to use more force than is reasonably necessary to achieve the defensive objective. There are basically two levels of self-defensive force: Deadly Force and Non-Deadly Force. Preventing some crimes and harms is statutorily justified to do using deadly force (e.g. to prevent a murder). To prevent other crimes and harms statutes only justify the use of non-deadly force (e.g. to prevent shoplifting). The exact list of crimes in each category varies somewhat. Historically, for example, there have been some U.S. states that have authorized the use of deadly force to prevent a rape that does not put the life of the victim at risk, and others that have not authorized the use of deadly force for that purpose (I don't know if that is still the case). Typically, law enforcement officers are also authorized to use deadly force in some circumstances in which a non-deputized civilian could not. As a practical matter, a use of force that causes death is presumptively considered to be deadly force, even if the means used are not inherently deadly in all circumstances. Meanwhile, a use of force involving the use of a "deadly weapon" such as a firearm, is presumptively considered to be deadly force, even if it doesn't actually kill someone. But both of these "presumptions" (and I am using that term loosely in this answer, rather than with its precise legal meaning), can be overcome with relevant evidence. Mildly shoving someone with hemophilia (or tossing a dish full of peanuts in the face of someone with a severe peanut allergy), without knowing that this person suffers from this condition, is not a use of deadly force within the meaning of laws justifying self-defense, even if it actually ends up causing their death. Similarly, proving that you intended to and did, shoot out the tires of someone's car, or shot their foot, instead of shooting to kill, would not always constitute a use of deadly force for purposes of statutes justifying the use of force in self-defense. Getting to the specifics of the question, the majority rule would be that the use of deadly force is justified in most circumstances to prevent a home invasion burglar from harming you or other people in the residence, and to repel the home invasion burglar from the residence, although some jurisdictions would qualify this in one respect or another. The case that the use of deadly force is justified would be stronger if the home invasion burglar was armed than if he was not, and would be stronger if the homeowner was not physically competent enough to be confident of an ability to dispatch the invader in a non-deadly manner. If deadly force was justified in that circumstance, it wouldn't really matter how you killed him, nor would it matter that you intended to kill him to defense your home and the people in your home. If the law only authorized the use of non-deadly force in the circumstances, for example, because the burglar had seized an envelope full of cash and was fleeing the house, so you were really only using force to protect your property, rather than to protect your home or the safety of the people in it, at that point, then the analysis would get tougher. If you intended to kill the fleeing thief in circumstances when only non-deadly force was authorized, the weapon you used wouldn't matter. You intended to use deadly force, the force you used caused the intended death, and you did those things even though the law didn't authorize you to do so in those circumstances. If you didn't intend to kill the fleeing thief in circumstances when only non-deadly force was authorized, but you ended up killing him anyway (so that you didn't have a prohibited intent behind your actions), then the question would be whether your intent and belief that your actions would not kill him was reasonable under the circumstances. If you caused his death with your bare hands, or with a less lethal weapon (in truth, there is no such thing as a non-lethal weapon), your belief that the thief wouldn't die from your use of force would be more likely to be seen as reasonable. If you caused his death with a lethal weapon, your belief that the thief wouldn't die from your use of force would be less likely to be seen as reasonable. If the jury (or a judge in bench trial) didn't believe you were reasonable in your use of force which you didn't intend to be deadly, then the jury (or judge as the case might be) would not allow a self-defense argument to prevent them from convicting you of some kind of homicide crime. So you would probably be convicted of some form of homicide (perhaps heat of passion manslaughter), although you might still not have the requisite intent for first degree murder in circumstances like that (so that your self-defense argument might end up providing you with an incomplete defense).
The primary reason for involuntary commitment is that a person poses a threat to themselves or others. This is usually intentionally broad, but can be taken to mean suicidal, delusional or homicidal tendencies, or other personality disorders that make a person a threat. There are usually provisions for holding a person for a limited period of time in emergency situations - for example, if they have recently attempted to commit suicide. Each State will have different standards required to have a person involuntarily committed beyond this emergency period. However, in general, if a person is a danger to themselves or others unable to provide for themselves, and will continue to be without assistance, then they will meet the criteria for involuntary commitment. This chart has some elaborated and detailed information, state-by-state.
It depends on the jurisdiction, but generally speaking, this will not permit you to evade criminal responsibility. In Ohio, for instance, the complicity statute treats the conduct you're describing as equivalent to soliciting another to commit an offense or to aiding and abetting another in committing an offense: No person, acting with the kind of culpability required for the commission of an offense, shall do any of the following: (1) Solicit or procure another to commit the offense; (2) Aid or abet another in committing the offense; (3) Conspire with another to commit the offense in violation of section 2923.01 of the Revised Code; (4) Cause an innocent or irresponsible person to commit the offense. The penalty for complicity is the same as for the underlying offense, so you don't really get any kind of break for running your offense through an innocent party; you just get a pissed off witness who can testify against you.
Natural law does not prescribe particular punishments, that only comes from statutory law. Under Indian law, this would seem to be a violation of IPC 304a, "causing death by negligence". There is no intent to cause great injury, indeed it is a complete mystery why the boy died. The penalty is up to two years imprisonment and a fine. There are more details in IPC 300, focusing on intent to kill under extreme provocation, but the required intent is lacking here. The courts may be lenient, having considered surrounding circumstances, and sentence her to less than the maximum punishment.
Yes. In a civil case, there are two parties and the case is about finding out who has which obligations to whom. In a civil case, the plaintiff has to prove that they actually incurred damage through the actions of the defendant. A criminal case is the state vs. the defendant. The "wronged party" is the society as a whole, usually represented by the prosecutor. The victim, if there is one, just plays the role of yet another witness to find out if the defendant needs to be punished and how. There are also examples of crimes which are completely victimless but still punished by some societies. For example, in many places sexual intercourse between two consenting adult siblings is a crime (incest), even though there is no victim. Also, for some crimes it is even a crime to attempt to commit it. So one can be punished in a criminal court even though they didn't actually succeed in causing any damage to anyone. Example: I throw a rock at your car. When I hit, you can sue me in a civil court and force me to pay for the repairs. When I miss, I caused no damage to you, so there is nothing you could sue about. But what if I throw a rock at you and miss? That's attempted assault, maybe even attempted murder. When law enforcement finds out about it, I could be arrested, prosecuted and convicted to a prision sentence, even though you are perfectly fine.
Is it illegal to restore a car in my own driveway in Orange County, CA? Long story short, I live in Anaheim, CA. I can't find any mention of laws regarding this, so here goes. My father has had a classic Camaro in our driveway since the 90s. It has been parked and rusting away. It is insured and registered as inoperable, since it doesn't run. I now have the means to fix it for him, so I've been working on it here and there in the driveway. The city came to my home and gave me a warning that I need to either finish and get it running, or they'll tow it away? If I just cover it up with a car cover will I be fine? Or, do I seriously need to get this thing running in 3 days? Are they even allowed to do something as extreme as take the car from us?
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.
The ordinance is not very specific about how notice is to be given: therefore, it need not be in writing, and it need not be sent by mail. It would not be surprising if the "notification" came in the form of a city person inspecting the reported obstruction, walking up to the house and knocking and finding nobody home (thus triggering the "In case the owner cannot be found" condition), whereupon the city removes the rocks. That clause does not mean "In case we do not know who the owner is", it almost certainly means "in case the owner cannot be contacted immediately". Article III is in general about obstructions on streets, which are not allowed, except by permit in section 78 under "Permit to Obstruct Traffic Lane". Assuming that no obstruction permit was obtained, what usually happens is that an officer is sent to tell the owner to remove the obstruction (more or less immediately), and if nobody is at the site whom they can tell, they probably won't go any further (e.g. asking neighbors where the owner is). There is no legal definition of "reasonable time", instead the law simply takes that to mean "the amount of time a reasonable person would require". It would thus depend particularly on the size of the obstruction and the volume of traffic. One measure would be how quickly the rocks were moved -- if it was a matter of days and there was no notice, written or otherwise, then there would not be the kind of urgency that might justify the "We knocked and nobody was home" version of notification.
California Vehicle Code section 4456 (c), operative until January 1, 2019: (c) A vehicle displaying a copy of the report of sale may be operated without license plates or registration card until either of the following, whichever occurs first: (1) The license plates and registration card are received by the purchaser. (2) A 90-day period, commencing with the date of sale of the vehicle, has expired. The car is not required to have license plates right after it is purchased. Most dealers will put a sign with their name and/or logo in place of the license plate. If the car has been without permanent plates for more than 90 days, and it hasn't been sold again, then it is probably in violation of this law. As of January 1, 2019, the law will change, and the dealer will provide a numbered temporary plate. This plate can only be used until the permanent plates arrive, up to a maximum of 90 days.
Your problem is not just that you don't have a working stopcock, but that you now know that you don't have one. Of course it's not illegal by itself, the problem is what is going to happen if you have an insurance case. Your home insurance most likely has to pay for accidental damage. But any damage that would be caused by not being able to close the stopcock, when you knew it wasn't working, they could claim that this is due to gross negligence. Whether they would succeed with that claim or not, I don't know, but fixing the stopcock seems to be a much, much cheaper solution. PS. Seems I made a wrong assumption here - that it was your home, owned by you. The same reasons that would have made it a good idea for you to fix the stopcock obviously make it a good idea for the landlord as well. So I would make sure that you tell the landlord as soon as possible. If something goes wrong, and the insurance doesn't pay, your landlord would be responsible for the damage. Whether it's legal to not fix the stopcock - that's a different matter. I thought you were the owner. You would have endangered yourself and your property. Nothing illegal with that. But with the landlord it's different; he wouldn't be endangering himself but someone else's property.
if the child exchange time and locations are fixed, and the husband can no longer legally drive, does this effectively nullify his visitation rights? No. He can get a ride from someone or get an Uber or Lyft or Taxi or take a bus. The drop off location is near her house, not his, and even if public transportation were an option he would not be the type to use it. He's more the type that would ignore the suspension of his license and go pick up the kids in his car anyway. He is also the kind to try to attempt to manipulate the wife into doing what he wants regardless of what a court order says. Emotional abuse and manipulation were a big part of his game, but fortunately she has gotten much better at ignoring it. What he is inclined to do and why have nothing to do with whether or not it is legal. If he has his license revoked and attempts to pick up the children as always, are there any potential legal repercussions for her if she allows him to pick up the kids? Practically speaking, no, particularly in light of a court order to transfer custody. Theoretically, it is remotely possible, even though it is very unlikely. In theory, she could be held liable for negligent child neglect by allowing this to happen, particularly if the children were then harmed in an automobile accident. If he was visibly drunk or intoxicated at the time of the transfer, however, her risk of criminal liability would be considerable. Would there be any potential legal repercussions for her if she refuses to allow him to pick up the children himself with a suspended license/registration? Potentially, she could be held in contempt of court for refusing to follow a court order. Her better course would be to call the police when he arrived to report that he is driving with suspended license, to not transfer the children and wait until they arrive (seeking cover inside a home and advising the 911 operator again if the situation starts to escalate into a potentially violent situation), and to explain to the police that he is also attempting to endanger the children by trying to drive with them on a suspended license. There is a good chance that he would be arrested and that the police would leave her with the children. The police might, rather than arresting him, drive him home with the kids and tell him not to drive and cite him for driving with a suspended license. Then, she should make an emergency motion to the court, regardless of how it is resolved by the police, seeking permission to formally give her a right to refuse to transfer if he arrives unaccompanied with a suspended license. If he attempts to convince her to drop the kids off somewhere else (presumably at his house) due to the suspension of his license, are there any potential legal repercussions for her if she refuses? Probably not. This time he's not following the court order, not her. It would still be advisable for her to file an emergency motion with the court explaining the situation.
In New York State, towns are not "part of" cities; they are distinct political entities with their own separate borders, and they do not overlap or contain each other. You can see on this map (Wikipedia but I couldn't find an official one that was as easy to read) that the Town of Henrietta and the City of Rochester are separate. In fact, they do not even share a common border (the Town of Brighton is in between). The laws and municipal code of the City of Rochester do not apply in the Town of Henrietta, nor vice versa. Henrietta has its own Town Code, linked from its official website, but I could not find any regulations on towing vehicles from private property, nor in the Code of Monroe County in which the Town is located. So I would assume that New York State law applies.
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).
To be very straightforward, yes, a police department would very likely have records of their past interactions with you in the form of police reports. They cannot just throw them away because it's been scrubbed from your public record. They detail the interactions the police officer had with you. That being said, those records would not show up in a general inquiry into your record, because those records are meant to protect the officer and the department as a reference point they can go back to in case some dispute arose in the future. If a police officer really wanted to find them, they'd have to do a bit of digging for them. The difficulty in finding them would depend on what system the particular police department uses to store those records. Smaller departments may just file them in a cabinet somewhere, whereas larger ones may actually have their own searchable database. But a traffic cop out on the street is only gonna see what you're seeing at the DMV - nothing. There is also a formal NCIC database, but traffic violations would never end up in there. That is a national database that basically stores red flag persons of interest (think stolen vehicles, sex offenders, and gang members). Sometimes multiple departments within a state will share their information with each other, but a department's database is usually kept to that department only. Also keep in mind court records. The court case that had a violation removed under such and such conditions is still gonna be a public record. Those records would generally be available to a judge overseeing your case so if you repeatedly end up in court for the same thing, they're gonna know and they're gonna stop scrubbing it from your record or offerring certain options because you're clearly not learning your lesson. Many laws allow you to have one offense stricken per year and similar stuff like that, but that kind of stuff doesn't just permanently disappear. They have to keep record of it in order to know you've already had your once per year etc. Also a note about parking violations: not all of those are actually issued by police. If it was issued by a private firm then that is not something that would ever show up on your record. It would just be in a database somewhere with whatever private firm issued the fine. Those kind of tickets get sent to collections and hurt your credit score if you don't pay them, rather than affecting your driving record.
Is a police car parked perpendicular to the road (with flashing lights) sufficient by itself to legally establish road closure to all traffic? Is a police car parked perpendicular to the road (with flashing lights) sufficient by itself to legally establish road closure to all traffic -- including non-thru (i.e. local) traffic to a residence which can only be accessed via the "closed" road? There is no additional signage, traffic control devices, or police officers out of the car directing traffic. Research: Note: Take my research with a grain of salt. I am a legal "enthusiast" and certainly not an expert. I also have a vested interest in proving that such a road is not legally marked as closed since I was ticketed for driving on a closed road in exactly this scenario. Therefore, I worry that my research is biased in that I may have stopped too soon when I found clauses which seem to support what I was thinking when I drove past the police officer's car to my house. Please keep this in mind as you read further as I am interested in the correct legal interpretation of all governing laws rather than what I would like to be true from my relatively limited research into what I think might be the applicable laws. Police have the authority to regulate traffic via police officers or traffic control devices per 4511.07 of the Ohio Revised Code (ORC). Quoted text from the Ohio Revised Code 4511.07 Local traffic regulations. (A) Sections 4511.01 to 4511.78, 4511.99, and 4513.01 to 4513.37 of the Revised Code do not prevent local authorities from carrying out the following activities with respect to streets and highways under their jurisdiction and within the reasonable exercise of the police power: ... (2) Regulating traffic by means of police officers or traffic control devices; ... A road may be closed by the authority having jurisdiction with posted appropriate signs per ORC 4511.71 at which point it is illegal to drive upon the road. Signs are a requirement listed in 4511.71, therefore it appears it would be inappropriate for a police officer to issue a citation for driving on a closed road due to inappropriate signage unless: A case can be made for the police car with flashing lights parked perpendicular to the road as a "traffic control device" in and of itself since there was not a police officer actively directly traffic. There is some other section of the code that applies to emergencies or unexpected events that I am overlooking which gives broader authority to police discretion on how to indicate a road is closed. Quoted text from the Ohio Revised Code 4511.71 Prohibition against driving upon closed highway. (A) No person shall drive upon, along, or across a street or highway, or any part of a street or highway that has been closed in the process of its construction, reconstruction, or repair, and posted with appropriate signs by the authority having jurisdiction to close such highway. ... 4511.12 Obedience to traffic control devices. (A) No pedestrian, driver of a vehicle, or operator of a streetcar or trackless trolley shall disobey the instructions of any traffic control device placed in accordance with this chapter, unless at the time otherwise directed by a police officer. No provision of this chapter for which signs are required shall be enforced against an alleged violator if at the time and place of the alleged violation an official sign is not in proper position and sufficiently legible to be seen by an ordinarily observant person. Whenever a particular section of this chapter does not state that signs are required, that section shall be effective even though no signs are erected or in place. ... Now, if the police car parked perpendicular to the road with flashing lights is to be argued as a "traffic control device", it must conform to the state manual (Ohio Manual of Uniform Traffic Control Devices [OMUTCD] 2012 Edition) per ORC 4511.11: Quoted text from the Ohio Revised Code 4511.01 Traffic laws - operation of motor vehicles definitions. ... (QQ) "Traffic control device" means a flagger, sign, signal, marking, or other device used to regulate, warn, or guide traffic, placed on, over, or adjacent to a street, highway, private road open to public travel, pedestrian facility, or shared-use path by authority of a public agency or official having jurisdiction, or, in the case of a private road open to public travel, by authority of the private owner or private official having jurisdiction. ... 4511.11 Local conformity to manual for uniform system of traffic control devices. ... (D) All traffic control devices erected on any street, highway, alley, bikeway, or private road open to public travel shall conform to the state manual ... Per 6I.05 01 of OMUTCD:2012: "Emergency-vehicle lighting, however, provides warning only and provides no effective traffic control". Quoted text from Ohio Manual of Uniform Traffic Control Devices 2012 Edition CHAPTER 6I. CONTROL OF TRAFFIC THROUGH TRAFFIC INCIDENT MANAGEMENT AREAS ... Section 6I.05 Use of Emergency-Vehicle Lighting Support: 01 The use of emergency-vehicle lighting (such as high-intensity rotating, flashing, oscillating, or strobe lights) is essential, especially in the initial stages of a traffic incident, for the safety of emergency responders and persons involved in the traffic incident, as well as road users approaching the traffic incident. Emergency-vehicle lighting, however, provides warning only and provides no effective traffic control. The use of too many lights at an incident scene can be distracting and can create confusion for approaching road users, especially at night. Road users approaching the traffic incident from the opposite direction on a divided facility are often distracted by emergency-vehicle lighting and slow their vehicles to look at the traffic incident posing a hazard to themselves and others traveling in their direction. ... Therefore, I am left with the conclusion that as long as an individual slows down to pass the perpendicularly parked police car (in accordance with ORC 4511.213) in this scenario to reach his or her residence which is not blocked by the road obstruction, then the individual should not be ticketed for driving on a closed road (ORC 4511.71 quoted above) or failure to comply with police or traffic control instruction (ORC 4511.12 quoted above). Quoted text from the Ohio Revised Code 4511.213 Approaching stationary public safety vehicle displaying emergency light. (A) The driver of a motor vehicle, upon approaching a stationary public safety vehicle, emergency vehicle, road service vehicle, waste collection vehicle, vehicle used by the public utilities commission to conduct motor vehicle inspections in accordance with sections 4923.04 and 4923.06 of the Revised Code, or a highway maintenance vehicle that is displaying the appropriate visual signals by means of flashing, oscillating, or rotating lights, as prescribed in section 4513.17 of the Revised Code, shall do either of the following: (1) If the driver of the motor vehicle is traveling on a highway that consists of at least two lanes that carry traffic in the same direction of travel as that of the driver's motor vehicle, the driver shall proceed with due caution and, if possible and with due regard to the road, weather, and traffic conditions, shall change lanes into a lane that is not adjacent to that of the stationary public safety vehicle, emergency vehicle, road service vehicle, waste collection vehicle, vehicle used by the public utilities commission to conduct motor vehicle inspections in accordance with sections 4923.04 and 4923.06 of the Revised Code, or a highway maintenance vehicle. (2) If the driver is not traveling on a highway of a type described in division (A)(1) of this section, or if the driver is traveling on a highway of that type but it is not possible to change lanes or if to do so would be unsafe, the driver shall proceed with due caution, reduce the speed of the motor vehicle, and maintain a safe speed for the road, weather, and traffic conditions. Is there another law I am missing which contradicts my conclusion that a road in this scenario is not legally marked as closed? Just in Case Additional Detail Needed: Scenario: An unexpected obstruction occurs on 2-lane road that prevents through-traffic (e.g. car accident, downed telephone pole/power line). A police car is parked perpendicular to the road with flashing lights to allow other workers to clear the obstruction. The police car partially obstructs both main lanes of car travel, but there is enough room for a car to safely pass on the right-hand side of the road if utilizing the road's shoulder. There is no police officer outside of the car directing traffic, nor is it obvious that there is a police officer inside of the vehicle because the driver-side door is facing the obstruction rather than on-coming traffic. There are no signs of any kind in addition to the perpendicularly-parked police car. Road detail: 2 motorist lanes with 2 bicycle lanes (one on each outer edge of the road) There are driveways to residences directly off of this road. Several houses are completely obstructed on both sides. 35 mph speed limit Typical traffic is approximately 30 cars/minute during the busiest hours of the road's "closure".
4511.71, "driving on a closed road", doesn't apply here: it requires that the closure be done using a sign, rather than a generic "traffic control device". It also appears to be intended to apply specifically to construction closures, not closures in general. However, what you describe is, at a minimum, a violation of: 4511.25, lanes of travel: (A) Upon all roadways of sufficient width, a vehicle or trackless trolley shall be driven upon the right half of the roadway, except as follows: [exceptions that don't apply] where "roadway" is defined in 4511.01 as (EE) "Roadway" means that portion of a highway improved, designed, or ordinarily used for vehicular travel, except the berm or shoulder. and 4511.28, passing on the right: (A) The driver of a vehicle or trackless trolley may overtake and pass upon the right of another vehicle or trackless trolley only under the following conditions: (1) When the vehicle or trackless trolley overtaken is making or about to make a left turn; (2) Upon a roadway with unobstructed pavement of sufficient width for two or more lines of vehicles moving lawfully in the direction being traveled by the overtaking vehicle. In short, the road is "closed" in the sense that there is no legal way for you to drive past the police car. And it doesn't really matter which offense you're charged with: all three are classified as "minor misdemeanors", carrying the exact same penalties.
U-turns are prohibited in certain circumstances (Highway Traffic Act Paragraph 143). It does not say that U-turns are prohibited at intersections controlled by traffic lights. By the principle of expressio unius est exclusio alterius, U-turns at intersections controlled by traffic lights are generally allowed. However, in determining fault for insurance purposes in Ontario, The driver of automobile “A” is 100 per cent at fault and the driver of automobile “B” is not at fault for an incident that occurs, [...] when automobile “A” is making a U-turn [...] (Insurance Act Paragraph 19.)
If a police officer reviewed the footage and then went out and issued a citation in person to the offender, this could probably be used. Many states limit tickets issued by mail based upon camera evidence alone. But, while some state laws have specific requirements, but in general, authenticated video recordings are admissible evidence in court proceedings, and a citizen complaint can be a basis for initiating a traffic offense prosecution. To prove some offenses, like speeding, dashcam evidence of a third-party may not be very good evidence, but for running a red light or a stop sign, it could be powerful evidence.
As has already been said, as far as the vehicle registration, the officer likely already knows who the vehicle is registered to and whether it's expired or not before he walks up to your car, or at the least, he can easily find that information out. The proof of insurance is a different matter. The officer will need to see it to know if you have insurance or not. To him, it doesn't matter what the reason is that you don't provide it to him. Left it at home, misplaced it, lost it, destroyed it, or just refuse to provide it because you feel you have the right to refuse. He can't "force" you to provide it (unless he is able to search your car and happens to find it there). He can only issue you a ticket for not providing it. But your attitude could play a part in what happens next. Being upfront and letting the officer know you have left your documents at home could help your situation. In my experience... one time that this sort of thing happened to me, the officer agreed to hold my drivers license and allowed me to bring the documents to the police station and retrieve my license. Another time, in a parking related matter, I was issued a ticket, but I was allowed to bring the required documents to the police station where they then "invalidated" (cancelled) the ticket. Of course this won't always work, and is not at all likely to work if you are far from home. Keep in mind, (as far as I know, in most states) the real infraction is that you "don't have insurance"... that you failed to provide proof when asked, is secondary. In many cases (likely nearly all cases), if you show up in court and provide documents that your insurance is current, and was current at the time the ticket was issued, the judge (or the prosecutor) will likely dismiss the case with no penalties. But, what the officer has written down on the ticket about your attitude and what you told him at the time, may have an effect on how this all plays out.
The published statues pertaining to Vermont vehicle registrations reference operation by a person "on any highway." This specific statute applies to a motor vehicle or trailer. A person shall not operate a motor vehicle nor draw a trailer or semi-trailer on any highway unless such vehicle is registered as provided in this chapter. There are no references I could find regarding private property within the statutes. It's common to consider that any vehicle operated exclusively on private property can be done so without registration and therefore without the inspection.
It's really the other way around: film crews can legally travel with the police. This is very similar or identical to what you saw on YouTube. From http://blogs.findlaw.com/celebrity_justice/2014/04/cops-and-suspects-rights-whatcha-gonna-do-when-they-record-you.html (dated 4/18/2014) "Cops" will soon begin a 10-week filming stretch in San Jose, California, for the first time in the show's 26-year history, reports the San Jose Mercury News. The "Cops" crew will hit the streets alongside San Jose's finest to provide a window into what these men and women do in America's 10th largest city. More from that link: When the officers on "Cops" arrest most of their suspects, the circumstances leading up to the arrest are out in public. However, in order to avoid unlawfully appropriating the images of those caught on "Cops'" cameras, the crew asks the arrestees to sign a release form. The "news crew" are producers who have permission from the police to follow along. As above, they ask each suspect to sign a release after the arrest. These arrests take place in public, on public streets and right-aways, where filming of the public is legal. If the arrestee does not sign the release, their face is blurred in the resulting footage that is made public. This does not mean the producers or videographers are automatically allowed into a private residence. They need a release to go onto private property (unlike the police involved in an investigation) and as such, the resident can actually forbid the cameramen from entering the house even while the police have entered. The footage from the body cams of the police are a different story; they are public employees of the local government and are bound by the laws of the locality. A search of Google News shows that in San Fransisco, the issues of the use of body cams by police and public access to that video is an ongoing issue; some laws have been finalized, others are bound to change. Around the US, some localities at this point in time allow public access to the footage from police cams; others only after department or local governmental review; still others only on in as need basis for prosecutions. ...the cop is the only one in this situation who can command the filmers to stop. Even if the "news crew" is not a news crew and just someone from the general public, it is generally legal for the public to film the police, as long as they are not causing issues with the police and stay out of the way (re: all of the recent news regarding police shootings and the footage available on YouTube and in news sources). There is case law pertaining to that, but IANAL, so I'll let someone else outline that. But https://photographyisnotacrime.com/ is a good resource. In the US, you pretty much have no expectation of privacy while in public.
An affirmative defense is a way of avoiding conviction by acknowledging you did the act claimed, but that such act was among the exceptions provided by the law which makes such acts otherwise an offence. That is, you affirm (acknowledge, admit) your action of using the device, but you are claiming that your use of the device (handsfree as a GPS guide) is okay, and therefore you should not be convicted. For all intents and purposes in this situation, your "2" and "3" are the same thing. The device is supported by something other than you holding it, and you are able to keep both hands on the wheel while using it in this way. Finally, a plain language reading of the definition for "hands-free accessory" suggests that using an object in the car to support the device where it can be seen, or using a feature of the device that speaks directions which you can hear, neither of which requires moving your hands off the wheel, will be considered such an accessory. It is also worth pointing out that such usage of a device (placed in a cradle or on the dashboard or turned up so it is heard) will be well-known to the legislators, and there is a reasonable interpretation of the law that would allow such usage. If this ever went to court, and somebody used this defence for this situation, they would probably be okay.
It's likely that you'll find similar statutes for your state. Florida's specifically considers the circumstances you've described: 316.081 Driving on right side of roadway; exceptions.— (1) Upon all roadways of sufficient width, a vehicle shall be driven upon the right half of the roadway, except as follows: (a) When overtaking and passing another vehicle proceeding in the same direction under the rules governing such movement; (b) When an obstruction exists making it necessary to drive to the left of the center of the highway; provided any person so doing shall yield the right-of-way to all vehicles traveling in the proper direction upon the unobstructed portion of the highway within such distance as to constitute an immediate hazard; This last entry represents your stalled car. An obstruction exists and you've yielded the right of way to oncoming traffic. You're good to go.
Contesting an expired drivers license ticket due to covid 19 I got pulled over in Ohio (with an Ohio license) a few weeks ago because one of my headlights was dim. The officer was clear that he was just letting me know. He asked to see my drivers license, which had expired on May 12th. However, the Ohio BMV website says: If your license, ID card, or vehicle registration (including plates and stickers) expired on or after March 9, 2020, your expiration date has been automatically extended until December 1, 2020. I told him that and we discussed back and forth but he still said that he wasn't sure that was the case and wrote me a citation anyway, with a court date. He ended by saying "I'm sure they'll excuse you anyway." I went to court, pleaded guilty because I didn't want to come back, but had to pay $25 for the fine and $115 for the court fee. I was told that if I had pleaded not guilty, I would have had to pay the court fee anyway. I later went to the BMV to renew my license and the lady there told me I shouldn't have gotten the ticket in the first place. I am frustrated because it seems like I have done nothing wrong and yet I paid $140 in the end. What should have I done differently and is there anything I can do now?
"I have done nothing wrong" You got up in court and, when the judge asked if you had done anything wrong, you said: "yes" (guilty). So, in the eyes of the law, you are in the wrong. Police are entitled to make mistakes and, when they do, the accused can either accept the consequences of that mistake by pleading guilty and paying the penalty or they can defend themselves and show that the police made a mistake. Unfortunately, while you have a right to a defence, you don't have a right to a defence at no cost.
In CA, with no papers given to you, there is no ticket. You are required to sign the ticket, which you obviously did not do.
Different states vary on all of this stuff but many times the roadside breathalyzer is given to establish probable cause to arrest a driver. After that the driver is given another test on a computer-connected breath tester at the station (or wherever). It's these big testers that are usually used as the evidence and are the ones which are at the center of controversy in various states. As @Dale M stated, for roadside tests the officer can write the results in a notebook, some breathalyzers have printers, and other are connected to a computer. Whatever the case, there is usually a process that officers go through to ensure this stuff is accurate and complete. A lot of it is departmental policy and would only be revealed if challenged in court or perhaps via an open data request. But again, this record is to show probable cause for the arrest and the trip to the bigger badder test which is fully computerized and documented and witnessed. (In at least one state (NC) you have the right to have a witness present when you are tested.) EDIT: Oh, and if your plan is to challenge probable cause because the record-keeping on the roadside breathalyzer is mediocre, the cop can cite all sorts of other probable cause, like he saw you swerving, you were slurring your speech, he smelled alcohol, you failed the in-car test, and you failed the roadside walking, touching, dancing, singing test.
colorado You have committed aggravated motor vehicle theft in the second degree in violation of CRS 18-4-409(4): A person commits aggravated motor vehicle theft in the second degree if he or she knowingly obtains or exercises control over the motor vehicle of another without authorization or by threat or deception and if none of the aggravating factors in subsection (2) of this section are present. If the value of the vehicle was less than $2000, then this is a Class 1 misdemeanor and is punishable by 6 to 18 months imprisonment and/or a fine of $500 to $5000. Colorado's general theft statute (CRS 18-4-401) requires an additional element, that you intend to permanently deprive the rightful owner of the benefit of the property. So your slide example is not theft. However, they specifically excluded such a requirement from the motor vehicle theft statute. If you drove it on a public road, then you may have committed a few traffic violations as well: The vehicle's registration is presumably expired, so you violated CRS 42-3-121(1)(a). If any of its required safety equipment is not working (all lights and signals, brakes, mirrors, horn, seat belts, etc, as well as a muffler) then you are in violation of CRS 42-4-202(1). The vehicle is presumably not insured, so you violated 42-4-1409(2). You might think your own auto insurance policy covers you when you drive another vehicle, but if it's like my policy, this clause only applies when you drive it "with the express or implied permission of the owner, and within the scope of that permission". If the dump truck has a gross vehicle weight rating (GVWR) over 26,000 pounds, then it is a commercial motor vehicle under CRS 42-2-402(4)(a)(I), and under 42-2-404(1) you need a commercial driver's license to operate it, which you presumably don't have. (Note that GVWR is the maximum weight, including load, at which it is rated, whether or not it is currently loaded.)
In all honesty, this completely depends on the judge you happen to get that will hear your case. There's no straight-forward "yes this will work" or "no this won't work" answer in a case like this. But a couple things to keep in mind: The fact that he was from out of town doesn't matter. If signs were displayed, then he has to obey the signs. Your argument about the placement of the signs may or may not work, again depending on the judge. But make sure you take more evidence than just some numbers derived from guess work (you'll need pictures of where the car was parked, where the signs are at, and exact measurement between the two signs and the vehicle, pictures of obstructions, etc). It's up to you to decide whether collecting all of that is worth the $45. Someone has to pay the ticket. You cannot just go to court and get it dismissed because you weren't driving. By default, the parking ticket obligation falls onto the owner of the vehicle. If you know you weren't driving, you can then request the person who was to reimburse you, or even sue them for reimbursement if they refuse. Continuing from #2, in some jurisdictions and especially if the parking ticket was issued by a private company (like at a strip mall) that doesn't use police enforcement for parking, you can provide them with the name and address of the person who was driving and have them re-send the ticket to the correct person, but not always. However, relying on this is a bad idea. The ticket, while issued to another person, is still attached to your vehicle and if the other person refuses to pay, it's your vehicle that will be impounded, booted, etc if the ticket is left delinquent. Then you just have even more hassles to deal with. Having outstanding tickets for your vehicle could also affect your insurance premiums. Don't let this linger for too long. Get on top of it and decide what the two of you are going to do as soon as possible.
Although your question didn't ask about the criminal side of this, it's important to consider the offence of driving without insurance in the UK. Section 143 Road Traffic Act 1998 provides that— (1) Subject to the provisions of this Part of this Act— (a) a person must not use a motor vehicle on a road or other public place unless there is in force in relation to the use of the vehicle by that person such a policy of insurance or such a security in respect of third party risks as complies with the requirements of this Part of this Act ... (2) If a person acts in contravention of subsection (1) above he is guilty of an offence. (3) A person charged with using a motor vehicle in contravention of this section shall not be convicted if he proves— ... (c) that he neither knew nor had reason to believe that there was not in force in relation to the vehicle such a policy of insurance or security as is mentioned in subsection (1) above. If it's not too late, it may be worth challenging the matter in court on the basis of a s143(1)(c) defence (i.e. you didn't have reason to believe that your policy was not in force). You should speak to a solicitor immediately if you want to consider this. As mentioned in the previous answer, you may have a claim against the insurer if you can provide that you were misled into believing that your policy had been renewed automatically. You should read the terms and conditions carefully to discover whether they were entitled to communicate on matters of renewal solely by email. Again, you should speak to a solicitor to establish whether you have a realistic prospect of success. (in case you're curious, the 'security' mentioned in s143 refers to a sum of £500,000 which, if deposited with the Courts Funds Office, exempts an individual or corporation from the insurance requirement)
IMHO, your questions reflect several misunderstandings of how the process works. So, with your permission, I will avoid directly answering your questions and instead focus on suggestions how to best help you plot a path forward. Your counterparty has the burden of proof. If your counterparty forged your signature on a contract, then they must prove you signed it or they can not enforce it. In order to enforce the contract, they will need to sue you civilly. Then you can introduce evidence of their forgery at that time. Inform your counterparty you did not sign the contract. Then act accordingly. If your counterparty forged your signature on an extension contract then you should inform them immediately after it has come to your attention. Advise them you have no intention of complying with a contract you never signed. And that if they try to enforce the forged agreement, you will defend yourself "vigorously." Never threaten criminal charges to advance your position in a civil case. This behavior is a crime in itself. It's called extortion. If you want to pursue criminal charges at some point then do it without relating it to the civil case. The police are not your only means of pursuing criminal charges. You can also schedule a meeting with your District Attorney, State's Attorney (whatever that position is called in your state) or your state's Attorney General. In other words, you might want to approach the government's attorney responsible for prosecuting crimes in your jurisdiction. Forget about involving the police. They have given you their position on the matter. Approach the DA or AG office instead. If the DA/AG decides to use the police, she we will make that decision then inform the police how she needs to use their services. Police are wary of being used as leverage in civil disputes. That's probably the reason for their policy decision regardless of whether it's technically justified by the law or not. Your counterparty can't "fix" anything. If they claim you signed a document you did not, they will have to produce that document with your signature on it. This will presumably be your Exhibit A evidence they forged it. Disclaimer: I am a lay person and not an attorney. This writing is no substitute for proper legal advice. If you need help with a specific legal situation please hire an attorney and do not rely on anything I have written here.
The problem with these situations is that you don't get to choose how it goes once it's in the hands of law enforcement. Possible scenarios on bringing a complaint to police or prosecutors: "So you guys had a dispute, but everyone's OK now. We're not pursuing this; we have more important things to do." "Hmm ... that could have gotten ugly. We'll do an investigation and check the records of both you and the bus driver to see if either of you have any priors." "We're trying to make this a more bike-friendly city. And we're cracking down on CDLs especially. Thanks, we'll investigate that driver." "Thanks for the evidence. You're going to get charged with criminal mischief, and the bus driver is going to get charged with assault." Of course, you could also send a complaint to the bus company. They are (hopefully) more likely to worry about what their drivers are doing. The DoT is also concerned with CDL safety, so you can file a complaint with the FMCSA NCCDB.
Is it forbidden to sell a device that mimicks a third party's device USB descriptor? This is a pretty USB specific question, I was redirected here from the technical stack exchange. I am trying to figure out what the legislation is around the development by company A of a USB peripheral for use by hardware/software developed by company B, where company B developped a peripheral that A's device is a clone of (in term of functionality - they're not stealing the implementation/blueprints). Company B did not consent to anything. Company B is having its hardware/software check the USB descriptor of the peripheral in various ways before accepting to use it. Vendor ID, Product ID, iManufacturer... Long story short, let's say the product will only function if its USB descriptor entirely mimicks company A's product's USB descriptor. What does the law say about mimicking USB descriptors ? Is there a uniform law over countries on this subject ? To give a concrete example, let's consider third party controllers for a video game console. Company B sells consoles, and special USB controllers that use a custom protocol to communicate with their console, which looks for a given VID/PID to try to communicate with the controllers. Company A wants to manufacture third party controllers and sell them. Doing so requires using company A's product's VID/PID, or they can't work. Can they proceed ? What is there to consider ? Are all companies currently doing this breaking the law ?
I suspect contract law will affect the ability to do this. Terms like "USB" and the associated logos etc are intellectual property (trademarks, copyrights, etc) owned by the USB Consortium. If you don't comply with their terms, you probably cannot describe your product as a USB product. THE USB-IF LOGOS MAY BE USED ONLY IN CONJUNCTION WITH PRODUCTS WHICH HAVE PASSED USB-IF COMPLIANCE TESTING AND ARE CURRENTLY ON THE INTEGRATORS LIST. THIS REQUIRES THAT THE COMPANY BE ASSIGNED A USB VENDOR ID NUMBER.
They may or may not be violating the license. It's quite possible, even likely, that Microsoft has a license agreement of some sort in place with MongoDB that permits their use. Neither party, however, would be under any obligation to disclose this license to 3rd parties. If indeed there is a violation, a legal action might eventually take place. The usual first step, however, is a demand letter. Again, unless or until a court filing actually takes place, we're in the dark. Totally hypothetical here but the result could be anywhere from an agreement between the parties to damages to cease-and-desist orders. Perhaps some combination of these. I believe Microsoft has offered this service for some years now, so the lack of any visible action on MongoDB's part seems to indicate that they are good with what is going on. Microsoft has almost certainly made an agreement with MongoDB that covers this use. Note also that the license you refer to is not necessarily the only license that this product is offered under. Many companies, and I don't think MongoDB is any exception, offer "free" or low cost licenses for some purposes and then also offer "enterprise" licenses for commercial/large-scale use. As the licensor here, MongoDB is under no obligation to offer one and only one license option to potential licensees.
The connector is patented, as you see here. It contains 57 claims which define what is protected, and 35 USC 116 spells out the logic of claims (which, in a nutshell, says "this can get really complicated"). The set of claims defines what it patented, and infringement is defined in 35 USC 271 as 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 that is, there isn't anything statutorily more specific about how similar similar is. Since the claims define what is protected, this generally is taken to refer to things that are the same w.r.t. to all of the claims. "Generally" means that there is a doctrine of equivalents, exemplified by Warner-Jenkinson Co. v. Hilton Davis Chemical Co. 520 U.S. 17, whereby a court may find infringement when there is an insubstantial difference between the allegedly infringing thing and the protected invention. The Apple patent does not specify a specific number of millimeters between the contacts, so making a connector that is exactly the same as the Apple device (as marketed) but with different spacing on the connectors would be an infringement, because that spacing is not specified in a claim. A similar device that uses chewing gum rather than magnets to keep it together would not likely be found to be infringing since that is a substantial divergence from what Apple claims it has invented.
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 depends on the warranty itself. Here is one warranty, which only protects against manufacturing defects and excludes any software issues (whether pre-installed or user-installed). I'm a little surprised that a manufacturer is willing to include someone else's software under their warranty. This also excludes failure or damage resulting from misuse, abuse, accident, modification, unsuitable physical or operating environment, natural disasters, power surges, improper maintenance, or use not in accordance with product information materials failure of, or damage caused by, any third party products, including those that X may provide or integrate into the X product at your request This does not say "If you change the OS, you void the warranty". But, if you change the OS and that causes hardware damage, that voids the warranty. The next question is, what evidence do you have that the problem is a manufacturing problem rather than a consequence of changing the OS. They would have to answer the same question in court. It is legally absurd to claim that you have to prove that it is logically impossible that you contributed to the problem, you only have to prove by a preponderance of evidence, when you take them to court. The burden of proof rests on the person who makes a claim. You claim that the product was defective, now you must prove it. But you don't have to prove it to the standard of absolute ccertainty.
No-ish, it is not. The relevant sticking point would be in their DMCA takedown notice, where they have to follow 17 USC 512(c)(3)(A) and include in their notice (v) A statement that the complaining party has a good faith belief that use of the material in the manner complained of is not authorized by the copyright owner, its agent, or the law. (vi) A statement that the information in the notification is accurate, and under penalty of perjury, that the complaining party is authorized to act on behalf of the owner of an exclusive right that is allegedly infringed. The key here is having a "good faith belief". There is a credible scenario where a company A could file multiple notices for the actually same material B posted by the exact same person C, where the person has the right to post that material, and do so in good faith. If A was not able to locate evidence of the permission to C, then they would shift the burden of proof to C – "good faith belief" doesn't mean that they have to be right, just that they have to actually think they are. If C also uses the name D, A would not be able to determine that the work was licensed to D based on the fact (once they know that) that it is licensed to C. DMCA abuse is not an permanently open escape hatch. 17 USC 512(4) states Any person who knowingly materially misrepresents under this section— (1) that material or activity is infringing, or (2) that material or activity was removed or disabled by mistake or misidentification, shall be liable for any damages, including costs and attorneys' fees, incurred by the alleged infringer, by any copyright owner or copyright owner's authorized licensee, or by a service provider, who is injured by such misrepresentation, as the result of the service provider relying upon such misrepresentation in removing or disabling access to the material or activity claimed to be infringing, or in replacing the removed material or ceasing to disable access to it. See Automattic Inc. v. Steiner, 82 F. Supp. 3d 1011. The ruling judge found that "Defendant could not have reasonably believed that the Press Release he sent to Hotham was protected under copyright". The appeal court drew on precedent and dictionary to fill in gaps w.r.t. "good faith belief", that the person should have known if it acted with reasonable care or diligence, or would have had no substantial doubt had it been acting in good faith, that it was making misrepresentations In this case, the abuser was flagrantly abusing the takedown system, and there is some reason to believe that in the instant case, the abuser had actual knowledge of non-infringement. Rossi v. Motion Picture Association of America provides an alternative outcome. In this case, Rossi operated a website that appeared (note the word appear) to offer free downloads of movies, and the rights-holder MCAA filed a takedown notice. In fact, it did not offer any such downloads, but MCAA's investigation stopped prematurely. This court held that "good faith belief" is subjective, so Rossi did not prevail. It is no doubt crucial that Rossi actually counted on his customers thinking that you could get actual downloads of protected material. Whether or not a DMCA abuse suit would succeed would depend very much on the factual details of why the material is not infringing, and how easily the rights-holder could know that there was no infringement.
This is unlikely to be a problem. There are many companies that have already registered software-related trademarks prominently involving an X or the name Xcom. That Twitter has changed to X branding does not substantially change this general situation. With trademarks, the general question is whether similar branding causes confusion. It is unlikely that someone would confuse the X display server / X.Org project / X.Org Foundation with the social media service now being branded as X or x.com. Of course, anyone can sue anyone, the real question is whether that's possible successfully. Here, I have my doubts that x.com could successfully demonstrate confusion in its favour. It is worth noting that the X.Org Foundation does not seem to hold any relevant trademark registrations at all. This is not unusual for Open Source software projects and doesn't mean that X.Org has no rights, but does make a defense a bit more difficult. However, there also doesn't seem to be a relevant registration by the ex-Twitter company or by the X Corp. The x.org domain name is unlikely to be threatened. If the x.org domain name was being used in bad faith it could maybe be seized, but the X.Org Foundation has a pretty strong claim on this name. For historical context, both x.com and x.org were among the six single-letter .org/.net/.com domain names when such registrations were stopped in 1993. But while x.com has been pretty much dormant since that company was renamed to PayPal, x.org has (I think) always been associated with the display server software, and has been used continuously by the X.Org Foundation since its establishment in 2004.
Warranty is company policy. It could be considered part of the contract of sale, but it would still be what the company stated it - at time of purchase - to be. Unless the warranty lists accidental damage as being covered, it looks like the company are following their policy and fulfilling the contract. If you were looking for legal redress since accidental damage resulted from using the product as intended, you'd have more chance of success looking at unsatisfactory quality or the product being unsuitable for the intended purpose under Part 1 chapter 2 sections 9 and 10 of the Consumer Rights Act 2015. It's worth sticking to objective details (for example that the port broke, and that you had used the device as intended). The company are not assuming you broke it (anyone or anything could have caused the accidental damage), and they are not refusing a warranty repair as it appears that accidental damage is not covered by their warranty policy, so this is not one.
Can I get sued if someone uses a song on my app without proper copyrights? I have a small social media sort of app, if some user were to use a song on my platform without proper copyrights can the platform(my app) get sued ? No there is no monetization for user.
Probably not, because you should be in a position to rely on the Safe Harbor provision of the DMCA. Safe Harbor protects service providers who provide open, non-moderated spaces for users to directly contribute content. Safe Harbor means you do not need an army of moderators to inspect every message posted to the site or system. It is essential for sites like Twitter, Youtube or StackExchange to exist. You are not liable for that content if you provide a means for IP owners to report copyright violations, and promptly take down any content which an IP owner reports as violating. You don't need to get in the middle of whether that's really true; there's a mechanism for the user and IP owner to "duke it out" directly at no risk to you. However you must take the required steps. For instance you must register an agent, and respond timely to DMCA takedown notices, which means you must be reachable as per the law. Your designated agent address must be staffed 9-5. Note that the "Designated Agent" can be the same person as the "Registered Agent" that you already must have when you are an LLC or corporation. And you'll want to be an LLC or corporation by the time you get big enough to worry about copyright lawsuits.
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.
Let's examine some laws that may apply to your case Digital Millennium Copyright Act (DMCA) There are criminal penalties for willful infringement for personal financial gain. If you are only sending it to one family member through a private communication (eg not posting it publicly) and not selling it and one copy of the music video has a retail value of $1,000 or less then there will be no criminal penalties. But you may be liable for civil penalties. Computer Fraud and Abuse Act (CFAA) Courts have ruled that ToS violations do not constitute unauthorized access (or exceeding access) so you aren't in violation of the CFAA Civil Liability By downloading a video off of YouTube you are in violation of their ToS. There isn't enough prior case law for me to tell you the outcome here. You may be committing some sort of civil wrong by the act of downloading. In addition, you are distributing a copyrighted work without permission which would open you to more civil penalties. The real question is how likely is it for this to be enforced? Not likely.
Yes, you did something wrong; you used both the university's trade mark and copyright without their permission. I don't know the law in India, however, if it is similar to Australia it is unlikely that the police will be interested in doing anything about it. While it is technically a crime, criminal prosecution is usually reserved for egregious breaches on a for profit basis. I suggest you apologise and agree to stop distributing your app.
In general, using content provided by another who incorrectly posted it under a permissive license, such as a CC license, does not grant a valid license from the real copyright holder. That is, if A writes some code (or a song, or creates an image, or whatever else), it is protected by copyright. If B then posts it to the web, with a statement that it is released under a particular license, without having obtained permission from A, then B's "release" is of no value, because B had no rights to grant. If C downloads and uses this content, relying on B's license, then A could take legal action against C. C would probably be considered (in the US) an "innocent infringer" which reduces the minimum statutory damage amount, but does not otherwise change C's legal position. A could, if it chose, bring suit and possibly obtain a judgement including some damages. But to return to the practical case of code posted on one of the SE sites. Given the comparatively short code sections usually posted, and that they do not usually form a complete working program, and given further the stated educational purpose of SE, it is likely that in US law such a posting would constitute fair use, and in the law of other countries fall under one or another exception to copyright. That is a general conclusion, the details would matter. I have not heard of a case similar to that suggested in the question. I find it unlikely that an SE poster would post copyright-protected code without permission, that is valuable enough to be worth an infringement suit, and substantial enough and having enough effect on th market for the original to be outside the protection of fair use. Such a situatiion is, of course, possible, even if unlikely. Note that a cease-and-desist letter is not a court order, and is really only a threat of court action. its only legal effect is to put the recipient on notice, so that continued infringement is not without awareness of the copyright claim. To have legal effect the claimant must actually bring an infringement suit, which is not without cost.
In principle, every single copyright license allows someone to do something that plain copyright law wouldn't allow them to do. Very often there are conditions: They are allowed to do X, which plain copyright law wouldn't allow them to do, but only if they fulfil some condition Y. The consequence is that if they do X without fulfilling the condition Y, then they are committing copyright infringement. Details are different from country to country. In the USA, you cannot force someone to do what the license asks the, to do, but if they don't, it's copyright infringement, and you can sue them and ask for damages. Other countries see it as a contract, where by doing X they agree to do Y as well, and not doing it would be breach of contract. Often with the interesting effect that you as the copyright holder cannot prove that they accepted the license, so in court they can tell the judge whether they were committing copyright infringement or whether they are in breach of contract. You can of course use your own license - however, one of the standard licenses mean the license was likely checked by a better lawyer than you would want to pay, and is much more likely to achieve what you want to achieve. If there were any problems say with the Creative Commons license, people would have found those problems and fixed them a long time ago.
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.
Maybe. It might fall under "fair use", which overrides the general requirement to get permission. The way to find out is to do it, get sued, then try to defend your action by using the fair use defense. If they win in the lawsuit, you can't, if you win, you can. There are four "factors" that have to be "balanced", plus a fifth. The factors are "the purpose and character of the use, including whether such use is of a commercial nature or is for nonprofit educational purposes", "the amount and substantiality of the portion used in relation to the copyrighted work as a whole", "the nature of the copyrighted work" and "the effect of the use upon the potential market for or value of the copyrighted work". The fifth consideration is "transformativeness". W.r.t. purpose of the use, your use would likely be found to be "fair", except for the Youtube monetization problem. The "nature of the copyright work" question is primarily about "artistic works" versus "factual works", so it would depend on what you are taking from. One second might not be substantial, unless that one second is the only reason people pay to watch the copyrighted work. That interacts with the substantiality desideratum: could people get the crucial amusement content of the paid work for free by watching your video? You can read some case law in the links here, and you basically have to get an attorney to analyze your plans to tell you what your risks are.
Insider trading due to mis-sent email? Something that happened to a friend recently. This friend is in charge of negotiations for company A. An individual from company B, accidentally sent my friend minutes from a recent meeting outlining a lot of information that can be useful for my friend in company A during the negotiations. Naturally, if he were to use information it could be construed as insider trading (a rather serious offense). A point of interest is that in the email from company B a disclaimer was attached stating the usual: "if this went to the wrong sender then don't read it, only intended for internal use, blah blah." Now two points I found interesting, and correct me if I am wrong: the disclaimer isn't legally binding e.g. there is no two-party consent - its one sided. Secondly, one could assume a perfectly ethical individual would not have looked at the email any further after understanding what the contents of that email contained, should they have not noticed that it was not intended for them. Thus, my question. Say company A and B were negotiating on a price. Company's B minutes state on the first line of the email that their max price is 100. Company A was willing to sell for 70. My friend, having read the first line may not choose to act on the information in the document so as to avoid insider trading, however, it is hard to deny the fact that having read that document he will negotiate differently at even a subliminal level. It's like in poker, you know the other persons hand through a reflection in the mirror. Would my friend be acting in an illegal manner? Full disclosure: this is for my own curiosity. My friend is already consulting the companies lawyer, and informed company B of the email.
First of all, this is not insider trading: insider trading is using non-public information to trade a publicly tradable security. What this could be is misuse of confidential information - a civil tort. The disclaimer does not create a legally binding contract for a number of reasons but it does alert the recipient that the information is confidential: if they use it then they can be sued for damages (probably successfully). However, given the nature of the information, it is almost impossible for your friend not to act on it and Company B should realise this. Legally he is doing the right thing, consulting a lawyer and informing Company B of its colossally massive stuff up. Ethically he may need to withdraw from the negotiations.
I'm not familiar with this law, but if it works like other tax confidentiality laws I'm familiar with, it would be interpreted so broadly that there would effectively be no difference between "facts," "particulars" or "information." People receiving tax returns under this law would be prohibited from disclosing any of them. Anything that is in the return would be considered secret.
First, shares are a form of raising capital. A company must have some capital, and Bob receives the shares in exchange. So it is not free (the exact minimum would depend of the requirements for incorporating). In both cases, Bob is not only a shareholder but the manager of Bob Limited. Bob will not incur liabilities for being a shareholder, but he can be at fault for his actions as a manager (for example, if he gives false financial data about Bob Limited in order to get credit for investing). Do not confuse Bob the Managerand Bob the Shareholder, as they are different roles. Of course, if you are a trading company and Bob the Manager approachs you asking for credit for Bob Limited, you will have to consider which assets Bob Limited has to cover possible debts, and you will ask him the books or other proof. If Bob the Manager provides you the correct information about Bob Limited and does nothing "funny"1, Bob the Manager is off the hook; you did provide credit hoping to get profits but you knew that there was a risk, and you were given the data needed to evaluate that risk. If Bob the Manager did things the wrong way (he did "cook" the books, he did provide false data or he did appropiate Bob Limited money) then Bob the Manager will probably be prosecuted. But Bob the Shareholder will not be liable for this, he will only lose the assets he did put forward as capital as the Bob Limited value will drop to zero. B) does not change much the situation, Matt still only loses his part of the company2. The difference here is that if Bob the Manager did "funny" things and did not manage the company correctly then Matt may sue Bob the Manager, too. 1For example, using the assets borrowed to buy a nice mansion and then selling it to Bob the Shareholder (or to Bob the Manager) for $1. 2Which is not valued at $50 but as half the net worth of the company. Of course, if the company was valued at $100.000.000 and Bob the Shareholder sold half of its shares for $50, people from the tax office are likely to come asking lots of questions.
Given a large database of email addresses that you can't prove have given consent to receive email, the only legal thing to do with it, is to (securely) delete it. (I am going to switch your question about a larger company to a bank: in the UK, big pharma is forbidden from advertising to individuals.) In principle the rules are the same for a huge bank and everything down to a self-employed plumber. In practice the plumber will be told "don't do that again" rather than fined. This case was treated under the Data Protection Act, which has a maximum fine of £500,000 – so a big bank would probably have been fined more, but not necessarily much more. Under GDPR, fines are related to turnover, so the fine would be a lot bigger for a large bank. The incident is a year old now. Details here.
This follows from a term in your agreement: in opening the account, you agreed to a binding arbitration clause. The general reason why they can do this is because it is not prohibited by law to have such clauses in agreements (in fact, the Federal Arbitration Act protects such clauses from legal challenge). For the same reasons, the clauses can impose deadlines on opt-out or require opt-out by mail as opposed to email or phone call. The premise is that if you find such terms unacceptably onerous or unacceptable, you will not patronize that business. That assumes that the customer read and understood the agreement that they signed, which I grant is often untrue.
This notice has no legal power what so ever. This has been, and is being, used as a legal backup and a scare tactic. For the most part, if someone gets some sort of "sensitive" information in an email, and it was not intended for them - this notice will serve as a scare tactic to make people get rid of it because of the legal sound of the disclaimer. Also, the senders are preparing themselves for a legal battle by having the notice in email’s body. In case that the sender sent some “sensitive” data to the wrong recipient, they can be potentially held liable for privacy breach of information similar stuff. So, when they show up in court they can potentially use the argument that they did everything within their power to protect the information by adding the disclaimer and the fact that the privacy breach happened is due to a natural human error. Basically, there is no disclaimer that can protect against actual libelous or defamatory content. The most a disclaimer can accomplish in this respect is to reduce the responsibility of the company, since it can prove that the company has acted responsibly and done everything in its power to stop employees from committing these offenses. [1] If you as an employee of a company shared sensitive information or personal information by mistake, you, and the company are still liable for your own action. It can be argued in court that the recipient’s email was not verified, that a human error is not an excuse because the information could have been encrypted with a password, the information could have been transmitted via a phone call or in person, and a bunch of other excuses that will hold the company liable for damages. There is no legal doctrine or theory under which an email confidentiality disclaimer is enforceable in a circumstance like this. There is virtually no scholarly analysis of the impact of email disclaimers and very little analysis by non-scholars. One of the few authors who have commented on the subject suggests that the misconception that email disclaimers have validity may arise from the mistaken belief that the Electronic Communications Privacy Act (ECPA) somehow applies. Michael Santarcangelo, “Do Email Disclaimers Matter?,” Sec. Catalyst (Oct. 17, 2007). But, as this author points out, the ECPA prohibits only “intercepting” emails. Emails that arrive at their destination—even if the sender did not intend that destination—are not emails that have been intercepted in transit, and the ECPA is therefore inapplicable. In short, the ECPA is focused on the criminal intent of the interceptor, not the ability of the sender to execute his or her own intentions. With regard to communications with lawyers, the rules are a little different. Model Rule of Professional Conduct 4.4(b) states, “A lawyer who receives a document relating to the representation of the lawyer’s client and knows or reasonably should know that the document was inadvertently sent shall promptly notify the sender.” It is noteworthy that the rule requires only notice and doesn’t require refraining from reading the document or prohibit other use of the document. And a number of states haven’t even adopted Rule 4.4(b), so there may not be a requirement even to notify the sender in certain states. Nonetheless, if a court is examining “fairness” in connection with waiver of privilege, a disclaimer on an email sent to a lawyer might help. [4]
It might or it might not be fraud. The outcome will depend on how the facts and evidence are interpreted at trial. A more general version of this question is: If two parties discuss and orally agree to X; then sign a contract that states they agree to Y, what are the parties bound to? X? Y? Or something else? In your version, X is a fraudulent statement. And Y is an obfuscated writing. One party will argue fraud. The other will argue not fraud on the basis that all the facts were disclosed in writing. The party alleging fraud will carry the burden of proof. The standard of proof will be preponderance of evidence (more than 50%). Generally speaking, written evidence outweighs oral evidence if not accompanied by substantiating facts. Substantiating facts could be: emails or other written correspondence, a prior history or pattern of making false claims to others regarding this investment, the respective behavior of the parties after the agreement was made or anything else that corroborates the oral testimony presented at trial.
All of this is illegal. You do not give a jurisdiction so I will use NSW, Australia as an example but many countries' laws have similar effect. Australian Consumer Law prohibits misleading and deceptive conduct: It is illegal for a business to engage in conduct that misleads or deceives or is likely to mislead or deceive consumers or other businesses. It doesn't matter that what you have said is strictly speaking factual - the way it has been said is likely to mislead or deceive. However, what you are proposing goes further and IMO crosses the line into fraud (s192E of the Crimes Act): 192E Fraud (1) A person who, by any deception, dishonestly: (b) obtains any financial advantage or causes any financial disadvantage, is guilty of the offence of fraud. Maximum penalty: Imprisonment for 10 years. (2) A person’s obtaining of property belonging to another may be dishonest even if the person is willing to pay for the property. In addition to the illegality, stealing other people's money is morally wrong by any reasonable standards of morality.
Does a boilerplate "This email is private" message have any legal force? I get quite a few email messages with text like: IMPORTANT WARNING: This email (and any attachments) is only intended for the use of the person or entity to which it is addressed, and may contain information that is privileged and confidential. You, the recipient, are obligated to maintain it in a safe, secure and confidential manner. Unauthorized redisclosure or failure to maintain confidentiality may subject you to federal and state penalties. If you are not the recipient, please immediately notify us by return email, and delete this message from your computer. (This example is from here.) In fact, some email servers are configured to add such a warning automatically. Do these warnings have any legal force? If so, what are their consequences? Bonus question: I see reuse of a lot of the exact wording of the above example. (Google "only intended for the use of the person" and observe the many results.) What is the original source of this wording? Does it appear in a statute or some kind of official recommendation, or did one organization start using it and others followed the leader?
Do these warnings have any legal force? In the United States, no. They do not have any legal force. Some have tried to argue that the Electronic Communications Privacy Act (ECPA) applies; however, this law only applies to intercepting e-mails—not accidentally sending to the wrong party. There is no legal protection for "reply all" or "accidental send" human errors. If so, what are their consequences? If you're asking why some people put them in there, even if it's not legally enforceable, one reason is lawyers trying to prevent an accidental waiver of attorney-client privilege. Generally, a waiver of the attorney-client privileged must be intentional and knowing. Therefore, some argue that a disclaimer could help one argue that privilege was not waived. Although, I could not find a published case where an e-mail disclaimer actually helped this argument. Additionally, placing the e-mail disclaimer on the bottom of an e-mail (which is customary) is less effective than placing one at the top. As a note, some legal commentators and ethics committee's suggest that lawyers should use encryption "to ensure the confidentiality of such communications remain so when the circumstance calls for it, particularly if the information at issue is highly sensitive and the use of encryption is not onerous." See Legal Productivity's Post that quotes a California Ethics Opinion For more info, read this article here from the American Bar Association's Litigation Section regarding the efficacy of E-mail disclaimers: Do Email Disclaimers Really Work?
Communicate how you like You are under no obligation to use any particular method of communication. If you don’t want to use email use the post. Or hand-deliver your messages (probably better to use a courier so it doesn’t look like stalking). Of course, she is free to share anything and everything you send her with anyone she likes. Unlike the lawyer, she owes you no duty of confidentiality. I think you are naive if you don’t think she shows or at least tells her new partner what her ex-partner has sent.
This would probably constitute illegal wiretapping and would certainly constitute a 4th Amendment search if conducted by law enforcement. Normally, the definition of whether something is "public" for purposes of an expectation of privacy is whether it could be detected by a human being unaided by technological enhancements from a place where someone could lawfully be to make that kind of observation. Some of the relevant cases are Katz v. U.S., 389 U.S. (1967) (tape recorder outside a public telephone booth was a search violating the expectation of privacy) and U.S. v. Karo, 468 U.S. (1984) (tracking device placed in barrel by authorities violated expectation of privacy). RFID signals are not "public" even if they are not encrypted with a private code because a device, such as the ones identified in the question, is necessary to receive them. The Wiretap Act, codified by 18 U.S. Code § 2511, is a federal law aimed at protecting privacy in communications with other persons. Typically, when you think of a "wiretap," the first thing that comes to mind is someone listening to your telephone calls. But the Act protects more than that. Under the Act, it is illegal to: intentionally or purposefully intercept, disclose, or use the contents of any wire, oral, or electronic communication through the use of a "device." The Act provides criminal and civil penalties for violations, although it creates various exceptions to when interceptions and disclosures are illegal. From here. In this circumstance, despite being passive, one is intentionally intercepting the contents of electronic communications through the use of a device. The fact that there was not in all cases an intent to communicate through, for example, an RFID chip, on a specific occasion probably does not suffice to render it not a communication.
First of all, Google's TOS says we reasonably believe that your conduct causes harm or liability to a user, third party, or Google — for example, by hacking, phishing, harassing, spamming, misleading others, or scraping content that doesn’t belong to you And you ask: But suppose a researcher, say based in UK, managed to work around them, get a big amount of data from Google searches and use it to publish some research. You're confusing methods with results. Someone uses methods to get a result, but if the results are not legal, the methods are usually illegal, too. Would the above depend on how they circumvented Google's checks (i.e., by using lots of proxies)? The words "or scraping content that doesn’t belong to you" means just that; it does not give any wiggle room for the actual method used to scrape. Could they get, theoretically, into trouble? Very much so. The researcher would have at least civil liability, and possibly criminal exposure. Would they, practically? Google can be very not kind to people who break their TOS. And Google has lots of money to spend on lawyers and court fees to enforce their TOS. Google would probably be able to easily prove the data came from their servers, and would probably have server logs to help prove it. And see user6726's answer for specific legal citations in the US and UK.
This seems to be a mix of question about law and a meta-question about this site, but I'll treat it as an on-topic question about law. The author of a question, or answer, owns the copyright to their contributions, and they can re-publish to their heart's content. Any user who posts here grants a license to SE and other users to use content posted here, so I don't have to ask you permission to quote you. As part of the permission granted by SE to use this website, you have agreed to "follow the rules" set by SE. There are many rules, some spelled out more clearly that others. For example, if you post a question, you indirectly agreed that your content can be upvoted or down-voted. Certain content can be "closed" and deleted, when the content is deemed to violate the rules in particular ways (is spam, porn, abuse, or judged to be poor-quality). Judgment (on different matters) can be rendered by community managers, moderators, or other users. The agreement is here, see especially here. If we take the post that you linked to, it is quite possible that it was deleted because it is not a general legal question, in violation of the acceptable use policy. If you want a historical analysis of your particular case, it should be asked on Law Meta.
You seem to have a solid understanding of the ePrivacy implications, but lack a fundamental insight: your organization does not have a right to achieve its mission or a right to disseminate unwanted marketing. But other people do have a right to not be subject to excessive marketing. Of course, reality is more complex, so it's probably not entirely impossible to do marketing. In your point 1, you note that some EU/EEA/UK countries distinguish ePrivacy protections between consumer and business subscribers. You can research the exact rules in the potential customer's country. This may allow you to email corporate/business accounts. I would strongly advise against messaging via Linkedin if there is a chance that the person is using that account for personal purposes like networking or hunting jobs, not just for conducting official company business. ePrivacy has markedly different rules for email marketing vs phone marketing. Whereas there are pretty strict rules for electronic messages and robocalls, manual cold calling can be OK from an ePrivacy perspective. However, many EU/EEA/UK countries have rules that go beyond ePrivacy, and may have a kind of do-not-call registry that you must respect. Of course manual calls take more effort than spamming emails, but recall the above point that you don't have a right to spam other people. Phone calls are probably the most appropriate approach when the company lists individuals' phone numbers on its website. This will at least give you a few seconds of attention with a real human, more than you can expect from an email that is likely to be caught by spam filters. Marketing via physical mail tends to have very lax rules. Note that every company/business that has a website will have to disclose its contact details including an address there, so this information is easy to acquire. However, chances are low that anyone would seriously engage with that marketing. You can consider alternatives to direct marketing, so that interested companies eventually come to you. Things like press releases, writing guest articles in industry publications, speaking at relevant conferences, working on search engine optimization, buying ads. On the GPDR aspects: GDPR and ePrivacy overlap, and it is necessary to comply with both sets of rules (GDPR likely applies here via Art 3(2)(a)). But where they potentially contradict each other, ePrivacy as the more specific law has precedence. For example, ePrivacy overrides the default GDPR legal basis rules when it comes to email marketing to existing customers (opt-out basis, no consent needed) or to using cookies (needs consent unless strictly necessary). Information that relates to corporations is not personal data, but information that relates to individual employees or to sole proprietors would typically be personal data. Since you are unlikely to obtain consent for using this data, you would need an alternative GDPR legal basis such as a "legitimate interest". Relying on a legitimate interest requires that you conduct a balancing test, weighing your interests like marketing against the recipient's interests, rights, and freedoms. Core question in this context is whether the data subject can reasonably expect their personal data to be used like this, taking into account the nature of their relationship with you. Since there is no pre-existing relationship, claims of a legitimate interest are weak to start with. However, it may be possible to argue that when a company makes employee contact details available via its website (not LinkedIn!) then relevant marketing can be reasonably expected. I would rather not rely on such arguments, though.
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.
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.
Discrimination, job application and essential requirements Is it an act of discrimination when the employer rejects your job application, given that you a) belong to a protected group and b) can demonstrate experience in all the essential job functions (as described in the job description) using the previous projects you have done, as much as it's possible objectively? For instance, the job description says "must have experience working with X, Y and Z" and you can prove that you have a lot of experience working with X, Y and Z. If not, why?
As an interviewer and a hiring manager, I can safely say that you can be rejected for a position for many reasons, even if you meet all the criteria - there may simply be someone better than you that they have also interviewed. Being rejected when meeting the criteria does not necessarily mean you were discriminated against, and in order to successfully claim discrimination you would have to show that you were rejected for a discriminatory reason. Very few companies hire the first candidate that they interview who has the relevant skills and experience - I have interviewed probably 60 candidates in the past 12 months for several positions, and we generally interview at least 5 or 6 candidates per position before making a decision. We do not, and would never consider just hiring the first candidate who interviews that meets the criteria. Some of the people we reject are of protected classes and also met the criteria - but that doesn't mean we discriminated against them, they just weren't the best candidate we interviewed. Being of a protected group and having the relevant skills and experience does not guarantee you the job, it just "guarantees" (in quotes because thats the intention of the law, and reality may differ - hence why discrimination cases do happen) that you cannot be rejected on the basis of the protected group. If you were rejected because of the protected group, and you can show that (including obviously thin reasons such as withdrawing a position and then advertising it again the next week), then thats discrimination. If you were rejected for any other reason, then that does not necessarily constitute discrimination. You could easily meet all of the criteria, have excellent experience but still come across as a candidate who would be difficult to manage (argumentative, lack of self-motivation, lack of attention to detail etc etc etc) and thus be rejected. It's not all about simply meeting the criteria, which is why we interview rather than hire on the basis of someones CV and qualifications.
Your bank is not discriminating against you. Your reasons for not having the required amount of funds pass thru your account has nothing to do with your marital status. In general, it's problematic to make a chain-of-cause-and-effect argument for discrimination. For example. Your argument is analogous to the following. My boss fired me for being late to work. But I was late to work because my child woke up late and missed the school bus; so I had to drive her to school. Therefore, my boss fired me for having children. That type of chain-of-cause-and-effect argument for discrimination just doesn't hold water. It is non sequitur and a requires a leap of logic.
This is not an NDA (non-disclosure agreement), it is a non-compete agreement. An NDA would tell you that you cannot disclose anything you did or saw at your old employer's place. A non-compete agreement is what you have here, an agreement that limits your ability to get work. If what you say is correct, then your employer is not exactly the brightest. You stay that you haven't been given a written notice, and your contract says that a "Notice of termination will only be valid if it is given in writing". So you haven't been given valid notice. There is no reason why you would sign the non-compete agreement. If they plan to fire you without notice if you don't agree, they have a problem: Your contract doesn't allow them to do that. And they have apparently not given any written notice yet. So what they can do is as soon as they decide that you are not signing, they can give you one month written notice.
Is this legal? Yes Or does it mean that employee will be in breach of his/her contract? Yes You are assuming that if the evidence is allowed to be presented then that automatically means that keeping it for that purpose is not a breach of the contract. This is not necessarily so; it can be both at the same time. That said, it is unlikely that an employer would attempt to sanction an employee for this as the courts would (rightly) see it as an attempt to pervert the course of justice. As in most things in the law it is possible for all parties in a matter to be on the wrong side of it. If you want to come to the tribunal with "clean hands" then the best thing to do is make a record (not a copy) of the relevant documents and return then to the employer. Before going to the tribunal get your solicitor to subpoena the documents that you want - they will have to produce them and you have them without breaking your contract.
Assumed: United States jurisdiction, no discrimination component to your experiences. There is not a legal limit on how much time an employer requires you to be in another city so long as the employer is complying with wage and hour laws, family leave laws, and the like. They may be in violation of their employment contract with you if the contract specified that you were being hired for a position in one city. A four-week trip does not sound like "time travelling" to me, it sounds like a temporary posting in another city. Similarly, depending on how well the contract is drafted, the state whose law governs the employment, and the company's other behavior you may be able to sue them using material misrepresentation or fraudulent statements about the position you would be taking. If you want more insight into whether you might have a case, take your contract to an attorney. In practice, however, the solution is almost certainly not a lawsuit. The solution may be to start looking for a new job, to communicate better with your boss, or to figure out how much money it would take to keep you working doing the job you are actually doing rather than the one you were hired to do, and to negotiate a salary increase. Try posting your question with a few more facts over at workplace.stackexchange.com for more insight into how to deal with the problem professionally.
Do anti discrimination provisions apply to online as well as brick and mortar retail vendors? Yes There is nothing in the Equality Act 2010 in general - nor in the definitions of Prohibited Conduct found within Part 2, Chapter 2 in particular - that excludes, exempts or otherwise makes allowances for unlawful discrimination according to what business model is being used. This view is supported by Citizens Advice who say that... The Equality Act says you mustn’t be discriminated against when you buy or receive goods, in many different places including: shops, supermarkets, market stalls or charity shops at an auction by telephone or online by catalogue or through doorstep sales.
The employer might be liable for a discrimination claim, under the doctrine of disparate impact. See Texas Department of Housing & Community Affairs v. The Inclusive Communities Project, Inc and references cited therein. The idea is that an employer can be liable absent proof of intentional discrimination when a practice disproportionately affects protected classes of individuals, and the practice is not justified by reasonable business considerations. So it would depend on why this particular state of affairs in employment came about. There is a test known as the 80% rule which attempts to quantify the notion of "under-representation" as evidence of discrimination. This test (not widely respected by the courts these days) might constitute evidence of discrimination, if a protected class is demonstrably under-represented. The current standard seems to be by comparison to random selection. In EEOC v. Sambo's of Georgia, Inc., 530 F. Supp. 86, the court found that a grooming policy had a disparate impact on members of a religion (Sikhism), and was thus contrary to Title VII of the Civil Rights Act of 1964, although a requirement to shave does not obviously discriminate on the basis of religion. This points to an important element of a successful disparate impact claim, that there has to be a policy with a causal effect. In the above scenario, there is no proposed policy that has this effect. Note that the burden of proof is on the person suing for relief – they must have a theory of something the company does that causes this hiring pattern, a practice that is discriminatory. The identified policy (whatever it might be) could be justified by a business necessity defense (Griggs v. Duke Power Co., 401 U.S. 424), by showing that the practice has a demonstrable relationship to the requirements of the job. That, b.t.w., would not excuse a racially or religiously discriminatory hiring policy for a factory manufacturing menorahs or kinaras. If a company recruiting locally in Boise ID had a 75% black work force, it would be reasonable to suspect that something was up. But legally, without showing that this results from a unjustified policy of the company, mere statistically anomalous distribution is does not sustain a claim of discrimination.
Discrimination is legal except on the basis of a protected class U.S. federal law protects individuals from discrimination or harassment based on the following nine protected classes: sex, race, age, disability, color, creed, national origin, religion, or genetic information Absent from that list is “occupation”. State law may add additional classes including sexual orientation and marital status. Private organisations are also free to add additional classes for their operations.
Are US Senate impeachment convictions reviewable by the Supreme Court Alan Dershowwitz argues that a conviction of any President by the US Senate would be unconstitutional under certain circumstances. Please see his book and his television interviews for those certain circumstances that he argues would create a unconstitutional conviction. However the circumstances that he puts forward are not what prompts me to ask the question above. Generally US citizens expect the judiciary to be the arbiter of constitutionality, with the US Supreme Court to be the final arbiter of in the event of an appeal. So, are US Senate impeachment convictions reviewable by the judiciary and or the Supreme Court In the event that the answer to the title question is "yes", have any impeachment convictions been reviewed by the Supreme Court?
The only relevant case heard by SCOTUS is Nixon v. US, 506 U.S. 224, where a federal judge was tried and convicted for actual crimes, but would not resign his position so continued to draw his salary. The key legal question was whether the matter is "justiciable" (meaning, not a political matter but a legal matter). Nixon's argument was that Senate Rule XI violates the Impeachment Trial Clause, and the court held that the question (more specifically what it means to "try") is nonjusticiable. White & Blackmun, and Souter, wrote concurring opinions (which might be called on in a subsequent impeachment case) that reminds the reader (and future court) what was not part of the holding of the court, and what might therefore allow future impeachment review. White writes The Court is of the view that the Constitution forbids us even to consider his contention. I find no such prohibition and would therefore reach the merits of the claim. I concur in the judgment because the Senate fulfilled its constitutional obligation to "try" petitioner. He observes that the Senate has very wide discretion in specifying impeachment trial procedures and because it is extremely unlikely that the Senate would abuse its discretion and insist on a procedure that could not be deemed a trial by reasonable judges. But, I would prefer not to announce an unreviewable discretion in the Senate to ignore completely the constitutional direction to "try" impeachment cases. When asked at oral argument whether that direction would be satisfied if, after a House vote to impeach, the Senate, without any procedure whatsoever, unanimously found the accused guilty of being "a bad guy," counsel for the United States answered that the Government's theory "leads me to answer that question yes." Tr. of Oral Arg. 51. Especially in light of this advice from the Solicitor General, I would not issue an invitation to the Senate to find an excuse, in the name of other pressing business, to be dismissive of its critical role in the impeachment process. Souter in his opinion states that One can, nevertheless, envision different and unusual circumstances that might justify a more searching review of impeachment proceedings. If the Senate were to act in a manner seriously threatening the integrity of its results, convicting, say, upon a coin toss, or upon a summary determination that an officer of the United States was simply" 'a bad guy,'", judicial interference might well be appropriate. In such circumstances, the Senate's action might be so far beyond the scope of its constitutional authority, and the consequent impact on the Republic so great, as to merit a judicial response despite the prudential concerns that would ordinarily counsel silence. In other words, review of an impeachment is largely but not entirely off the table, at least until SCOTUS declares that impeachments are completely unreviewable, no matter what, period (unlikely to ever happen).
The constitutional provision quoted in the question has been interpreted to require that a jury trial be available to a person accused of crime by the US Federal Government. Then accused is free to waive this right, and be tried by a judge only if s/he so chooses. The accuse is also free to waive the right to a trial altogether, and plead guilty (or "no contest" which waives a trail without an admission of guilt). The provision could reasonably be interpreted to require that if there is a trial, it be by jury. But I don't see how it could reasonably be read to require trials in all cases, and forbid guilty pleas.
The question to be answered is "did the state prove guilt beyond reasonable doubt", the answer to which should have no reasonable doubt. The interests of the defendant are sufficiently protected by the basic burden of proof requirement. The alternative that a single vote of not guilty exonerates the defendant would seriously hobble the interests of the people, and the alternative of automatic mistrial would make trials prohibitively expensive. The unanimity requirement does mean that in case of initial disagreement, parties have to re-think their positions, which is not a bad thing. The question of whethar a supermajority of guilty votes suffices for conviction was decided in a recent case, Ramos v. Louisiana, allowing conviction with a 10-2 vote. The court takes unanimity to be a basic common law right from the 14th century. Louisiana and Oregon had unconventional schemes allowing less than unanimous decisions: the reasoning behind the unanimity requirement is discussed extensively in that opinion. Since Alito, Roberts and Kagan dissented in part, the rationale for the other view is also spelled out.
It's supposed to be carte blanche, i.e. "blank check". The quotation has left out several words. You can find the full decision at https://supreme.justia.com/cases/federal/us/458/176/case.html. The complete sentence is: It thus seems that the dissent would give the courts carte blanche to impose upon the States whatever burden their various judgments indicate should be imposed.
When it can be “reasonably read both to impart a defamatory inference and to affirmatively suggest that the author intended or endorsed that inference.” Which is the standard the New York appeals court endorsed in 2014 for “defamation by implication”. So, on the face of the statements, they have to imply fraud and they have to show that the speaker intended to imply fraud. Whether they did that is up to the jury.
Generally speaking if it is substantively unconstitutional for the government to punish a certain kind of criminal conduct, then this provides a basis for a "collateral attack" on the conviction to set it aside (in a post-conviction motion in state or federal court), even if the criminal defendant serving a sentence has already appealed the conviction directly (i.e. to the court of appeals and all higher appellate court that review that court of appeals) to the fullest extent possible and lost. But this is not self-executing. Someone has to file a court case on behalf of the person incarcerated to make it happen. It does not generally entitle the criminal defendant to compensation for wrongful incarceration or to a return of fines paid, although it would end the authority of the state to incarcerate the individual going forward or the compel that individual to pay the balance of unpaid fines. There might be a right to have the case sealed, but the ruling does not automatically remove the conviction from the criminal record of the defendant. And, getting the case sealed is likely to be harder in the circumstance where all of the sentence for the unconstitutional offense has been fully served. When a past conviction does not meet the standards of current law from a procedural context, in contrast, this may be raised in pending direct appeals, but is rarely something that can be brought up in a post-decision collateral attack on the conviction unless certain other exceptions apply (e.g. sometimes if a collateral attack pending before the decision is still pending at the time of the decision or in certain extraordinary cases involving due process concerns that cast deep doubt on the validity of all convictions obtained by that means), and even in cases where it is set aside, does not pose a double jeopardy bar against a new prosecution for the crime that meets the appropriate procedural standards. The U.S. Supreme Court is currently considering the proper treatment under these rules of its holding that non-unanimous juries were an unconstitutional manner by which to convict someone of a felony, which is a procedural rule, but may fall within the exception that makes the new rule retroactive anyway. For cases on direct review, a new rule for the conduct of criminal prosecutions is to be applied retroactively to all cases, state or federal, pending on direct review or not yet final, with no exception for cases in which the new rule constitutes a ‘clear break’ with the past Justice Harlan's habeas approach was first adopted by a plurality in Teague v. Lane and then by the Court in Penry v. Lynaugh. Thus, for collateral review in federal courts of state court criminal convictions, the general rule is that new rules of constitutional interpretation—those not 'dictated by precedent existing at the time the defendant's conviction became final'—will not be applied. However, [a] new rule applies retroactively in a collateral proceeding only if (1) the rule is substantive or (2) the rule is a 'watershed rul[e] of criminal procedure' implicating the fundamental fairness and accuracy of the criminal proceeding. Put another way, a new rule will be applied in a collateral proceeding only if it places certain kinds of conduct beyond the power of the criminal law-making authority to prescribe or constitutes a new procedure[ ] without which the likelihood of an accurate conviction is seriously diminished. In Montgomery v. Louisiana, the Court extended the holding of Teague beyond the context of federal habeas review, such that when a new substantive rule of constitutional law controls the outcome of a case, state collateral review courts must give retroactive effect to that rule in the same manner as federal courts engaging in habeas review. As a result, at least with regard to the first exception, the Court has held that the Teague rule is constitutionally based, as substantive rules set forth categorical guarantees that place certain laws and punishments beyond a state’s power, making the resulting conviction or sentence . . . by definition . . . unlawful. In contrast, procedural rules are those that are aimed at enhancing the accuracy of a conviction or sentence by regulating the manner of determining the defendant’s guilt. As a consequence, with respect to a defendant who did not receive the benefit of a new procedural rule, the possibility exists that the underlying conviction or sentence may still be accurate and the defendant’s continued confinement may still be lawful under the Constitution. In this vein, the Court has described a substantive rule as one that alters the range of conduct that the law punishes, or that prohibits a certain category of punishment for a class of defendants because of their status or offense. Under the second exception it is not enough under Teague to say that a new rule is aimed at improving the accuracy of a trial. More is required. A rule that qualifies under this exception must not only improve accuracy, but also alter our understanding of the bedrock procedural elements essential to the fairness of a proceeding. From here.
As an example, POTUS does not undertake the entire pardon process on his own, instead they are preliminarily processed by the Department of Justice, which makes a recommendation. Only POTUS can "grant" the pardon, and we lack substantive information on how deeply he gets involved (does he just sign documents based on staff recommendations? does he do his own research?). I don't know what physical form Clinton's 450 pardons on January 20, 2001 took, but a president might use an autopen (Obama did use such a device). Questions have been raised and definitive answers from SCOTUS are lacking as to whether hand-to-paper signatures are demanded by the Constitution. DoJ at one point thought it was okay. This article lists the Constitutional functions which cannot be delegated: reporting to the Congress on the state of the Union; convening either or both Houses of Congress and adjourning Congress; signing and vetoing bills; receiving ambassadors and public ministers (recognition); appointing and removing ambassadors, ministers, and certain other public officers; nominating federal judges; and making recess appointments However, the Constitutional function of negotiating treaties or numerous functions as commander in chief of the armed forces is generally delegated, within the executive branch. Numerous statutory functions can be delegated (and Congress may say explicitly that some function can be delegated, in passing the law). The matter of implied power to delegate statutory function is the topic of a couple of centuries of litigation, but as an example in Williams v. United States, 42 U.S. 290 SCOTUS held that a law prohibiting the advance of public money in any case whatsoever to the disbursing officers of government except under the special direction of the President does not require the personal and ministerial performance of this duty, to be exercised in every instance by the President under his own hand. SCOTUS has not established bright lines regarding the extent of permissible delegation.
As others have said, the reason for this is that the US Constitution grants a jury trial as a right in criminal proceedings. The reason for that right to be granted is to be a check against (that is, a limitation of) the power of the government, generally, and judges, specifically. To answer your specific question of why "the judge system is not reformed and stays like this and is more vulnerable to take a wrong decision because they do not know the law, thus the verdict depends on people’s morals?" Firstly, the jury does know the law (or at least, the specific portions of the law that are relevant to the case), by the time they render their judgement. An important part of the judge's responsibility in a criminal case is to craft "jury instructions" that are given to the jury before they are sequestered for deliberations. These instructions should have an explanation of what questions they need to collectively answer, and what evidence they can and cannot consider. Secondly, there are two central dogmatic difference between the points of view that your question seems to promote or be based on, and the one generally held by the US Founding Fathers, who wrote the US Constitution. Your question seems to assume that: judges are sacrosanct, or at least trustworthy; and rule by law is the foremost concern In contrast, the general view of the US Founding Fathers was that: judges have power, and thus need to be checked (in the US system, a judge's power is checked by the prosecutor, the jury, the chief executive, and by courts of appeal); and protection of the citizenry from the power of the government is the first concern. One thing to note, is that this second point means that the judge in a US trial can actually override a criminal jury, but only in the defendant's favor.
Help with legal interpretation: Employment termination bonus repayment If you voluntarily terminate employment with the Company or for any reason fail to return from a non-job-protected leave of absence prior to one year of employment anniversary date, you will be responsible for repayment of the signing bonus in full to the Company on your last day of employment If I started working on 1st Jan 2019, till when do I need to work in order to keep full signing bonus while leaving the company. Is it 1st Jan 2020, or 1st Jan 2021 ??
It is 1 year from your employment date (the "anniversary"), so if you started on Jan 1, 2019, you can quit on or after Jan 1, 2020.
Can an employer be required to provide an escort from office to vehicle? No, at least, not on the theory articulated in the question. I can imagine some circumstances where it is conceivable that there might be a duty arising from some other source, like an OSHA regulation applied to a firing range business, or an express contract with the employee (some employers provide an escort as a matter of right in the evenings or at other high risk times, as an employee benefit, especially college and university employers, in part, because they have worker's compensation liability while an employee is still on a large campus, in part because it helps attract employees who may feel vulnerable, and in part because of an attitude that the employer wants its employees to be safe at dangerous times of day and this shows that the employer cares about them), or a court injunction related to a labor-management dispute where the employee is a scab. There is no such employer duty, but an employer does have strict liability in almost every case (there are some minor exceptions for very small employers and criminal conduct by an employee who is injured when the criminal conduct is clearly outside the scope of duty of the employee) for injuries and death in the course of employment from any cause whatsoever pretty much (including criminal actions of third-parties) which is generally fully insured by worker's compensation insurance. The exact details of when someone ceases to be at work for worker's compensation/employer liability is buried in case law and regulations (for overtime and minimum wage purposes, the standard is "portal to portal" but workers compensation/employer liability need not be identical, although once you are clearly no longer on the employer's premises and commuting after a day's work is done or before a day's work starts, you are clearly not covered). But, any place where there is employer liability at all, it would be worker's compensation covered. Usually, if the employer is required to have worker's compensation but doesn't, the employer likewise has strict liability for the same harms, but the damages that may be awarded are not limited to those that worker's compensation policies would cover. This leaves the employee with at risk travel between the office and the vehicle. It seems reasonable as well that as the employer prohibits the employees self defence, they would be responsible for the employees defence between office and some safe location (i.e. vehicle). This theory pretty much always loses. An employee walking in an ordinary, non-wartime environment without a firearm is not "at risk" in a meaningful sense, any more than someone who didn't choose to carry a firearm who goes about their daily life (or is prohibited from carrying one due to past conduct such as a felony or a domestic violence protection order or a domestic violence misdemeanor or a condition of parole, probation or bond pending criminal charges). Also, the employee is not being prohibited from engaging in any kind of self-defense or protective action whatsoever (or from asserting self-defense rights if a firearm is carried contrary to an employer rule) just from carrying a firearm at that particular moment (on pain of losing a job, not forfeiting a legal affirmative defense under criminal statutes), which is one of many means by which a person can protect themselves from crimes.
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).
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.
The first question would be whether you are an employee, or an independent contractor. There is more to that determination than how the company labels you, but that is a starting point. Based on the minimal autonomy that you imply that you have, you would probably be found to be an employee. Then there are limits on the number of hours that you can work in a week or day, which they are complying with. The employer is required to record the hours that you worked, and it is a crime to keep false records. It is also required that an employer pay for the time you work. Therefore the employer cannot legally refuse to pay you for your labor, and they cannot legally falsify records. The employer can limit your pay to 15 hours per week, if you work just 15 hours per week. They can also set ridiculous performance standards, whereby at the end of the week you will not have done what they wanted you to do. Their only recourse is to dismiss you. In response, you can file a complaint, but note that the concept of "wrongful dismissal" under the act is about entitlement to termination or severance pay. The arbitrator may find that the employer contravened the act, and can order them to rescind the termination. Or, before you get fired, you can complain and the arbitrator could order the employer to either modify their work requirements or else to pay you for the time worked. The difficult point (for you) in this case is that the act does not address employer performance expectations, and employers are generally allowed to set their own performance standards. If you have a written employment contract, there might be provisions regarding termination which could help you. Without a written contact, there is no statutory provision that prevents an employer for terminating you, but they may have to give you notice and pay for doing so, as long as you are not terminated for "just cause". Hoang v. Mann, 2014 ONSC 3762 is an Ontario case where an employee was terminated for just case based on insubordination, job performance, inability to get along with co-workers and so on. On the front of job performance, the courts have found that an employer must clearly communicate standards to employees, and give employees an opportunity to meet those standards. But they do not generally decide e.g. how many units per hour an assembly-line worker can reasonably be expected to complete.
What follows is a broad overview. I'm not an expert in this; I just have a bit of experience in this due to a tax situation my wife & I experienced a few years ago. Please do not rely on this advice except as a starting point for more Googling. Your obligations (and your assistant's) will depend on whether the assistant is an employee or an independent contractor. In general, an independent contractor is someone you hire to "get a job done"; you have minimal control over the manner, time, place, tools, etc., that the assistant uses. An employee, on the other hand, is someone you hire to come to work at a particular time and do the job a particular way. (I'm glossing over some details here; see the IRS link above for more details.) If your assistant is an independent contractor, and you pay them over a certain threshold ($600 for 2020), you must provide them with Form 1099-MISC, and file a copy with the IRS as well. Your assistant will then be liable for income taxes on this amount, as well as self-employment tax (see below.) If your assistant is actually an employee, and you pay them over a certain threshold ($600 for 2020), you are required to provide them with a W-2 form, as well as filing a copy with the IRS. In addition, if you pay them more than a higher threshold ($2200 in a tax year or $1000 in any quarter for 2020), you are responsible for withholding taxes from their paychecks, as well as paying the employer's portion of Social Security, Medicare, and/or federal unemployment taxes. How to figure these taxes is complex, but generally the employee must provide you with a completed W-4, and then you must provide them (and the IRS) with a W-2 at the end of the tax year. See Publication 15: Employer's Tax Guide for all the gory details. The self-employment tax is designed to effectively cover the employer's portion of these taxes for self-employed workers. As you might imagine, employers are often tempted to misclassify employees as "independent contractors", since this means that this tax liability gets pushed from them onto their workers, as well as just making the employer's life easier. The Feds will not take kindly to such misclassification if it is discovered. Finally, for the state of Connecticut, consult the CT 1009-MISC filing guide (if your assistant is an independent contractor) or the Connecticut employer's tax guide (if they are an employee). The distinction is pretty much the same as at the federal level.
What would the implications be if an employee were to refuse signing an amendment and insist on what was stated in the original signed contract, even if he/she knows it's a mistake? The contract is voidable unless the employer's subsequent conduct reinforces its legitimacy. The employee's attempt to take advantage of something he knew was a mistake contravenes the covenant of good faith and fair dealing on which contracts are premised. South African contract law is not an exception to this: The law of contract underpins private enterprise in South Africa and regulates it in the interest of fair dealing. The employer can resort to records of prior communications between the parties to prove that the stated compensation was intended as yearly, not monthly. Even if those records are not available in a judicial dispute, the employee would have a hard time persuading a court that the salary that was agreed upon is 12 times --or exceeds by a factor of 12-- the market rate for a job position of similar type.
Free websites to help me find influential or contentious state/local cases in the United States? I am looking for free websites that contain (potentially partial) catalogs of state and local court cases in the United States, and allows me to filter and/or sort by any of the following: The judicial vote margin for appealed cases Some kind of expert/subjective/automated/experimental measure of the case's influence Some kind of objective measure of how often the case was cited Some kind of expert/subjective/automated/experimental measure of the case's political contentiousness Does anything like this exist? My intent is to be able to look for things like "top 5 most politically sensitive cases in bla county superior court from 2000-2010." Determinations like that would be deeply subjective, but maybe subject to some kind of systematic approach?
The meta-analysis of all the dockets you propose would be a ginormous project Even – or especially – taking citations as a Metacritic, this whole idea becomes unwieldy if you go beyond SCOTUS citing itself, for the sheer number of cases you'd have to review in creating it. Let's take as an example why it works in science: the New Journal of Physics has an impact value of 3,539 in 2020. That's 3,539 recorded citations that go to articles in the journal on average per year. Assuming that this is about a tenth of the total output of all physics journals, this puts the total number of articles published by physicists on the scale of 35,000 per year. That is a somewhat manageable number created by a tight-knit community of very interlinked people. One might call their peer review process somewhat incestuous, but it allows one to make rough estimates on the total output. On the other hand, the Justia New York State docket currently has about 350,000 cases filed. That's two orders of magnitude more than the impact factor of the New Journal of Physics for New York alone, and that only accounts for the tip of the iceberg of cases that get filed in New York, as Justia does not list all cases: it only takes federal cases. If you file in a lower court, it doesn't pop up there. It also only accounts very few cases before 2000 (in fact, the first 1999 case is on page 35,225 of 35,260). However, most cases start in the lower courts and stay in lower courts. Traffic violations rarely leave the queue upwards, and small claims court is supposed to run down cases like clockwork and never to leave the low halls. In NYC, it's supposed to start twice a day 9:30 and 18:30 and attempts to get through as many cases per judge as it can. The time frame per case (anecdotal) is about 15 minutes. Assuming only one judge holds small claims for each of the two blocks and stays on the bench for about 3.5 hours, that'd be 24 cases a day per court per day, giving us a conservative estimate of at least 6,000 cases handled in a year per court. There are 11 of these courts in New York City alone, so the city alone produces about twice the output in small claims court cases as our estimate of total physics articles published in a year. And that's only the not noteworthy (and badly documented) level of small claims. Now, back to the problem at hand: New York State has (on Justia) a docket that has, in total, an order of magnitude more cases as there are articles written in physics. That is a number that could potentially be skimmed by a supercomputer and checked for references to other cases. However, we have not just the New York State court, but we also have any other state courts. In total, there are 13 Circuits and SCOTUS to skim, though the last one has heard only 993 cases between October 2007 and October 2020, which incidentally is neglectable for the number of cases to review, even if these cases have a massively higher impact. However, our numbers rapidly rise in the sum up. Taking just the cases by the circuits from Justia (which by far isn't complete, as pointed out above): 1st Circuit, ~135000 2nd Circuit, ~440000 3rd Circuit, ~615000 4th Circuit, ~480000 5th Circuit, ~705000 6th Circuit, ~455000 7th Circuit, ~380000 8th Circuit, ~295000 9th Circuit, ~925000 10th Circuit, ~205000 11th Circuit, ~800000 DC Circuit, ~60000 Federal Circuit, ~35000 That's a total of something in the ballpark of 5,530,000 cases, just in these dockets. And that is by far not the total size of all the dockets, as those are, as mentioned above, just cases that are tried in the higher courts. So, is it possible to do such a meta analysis, looking only for... let's say SCOTUS citations? No. Even assuming that we have only 993 SCOTUS cases that are citable and we only check the cases currently on Justia, we'd still review the complete filings of over five and a half million cases for any reference to any of them! The final decisions of some cases are some 150 pages long, some docket entries contain hundreds of entries, orders and documents, some contain even complete contracts as attached documents. This makes it almost impossible to make even a rough estimate of how many files would need to be sifted to sort these 993 cases by their relevancy – and that does totally ignore landmark cases that are not SCOTUS cases such as Browder v. Gayle, 142 F. Supp. 707 (1956) from the District Court for the Middle District of Alabama. Yes, it was a District Court with a panel of three that found bus segregation unconstitutional (though SCOTUS affirmed the decision as Gayle v. Browder, 352 U.S. 903 (1956)). All in all, it would take Watson and a lot of time to go on this project and it might take years.
Isn't the the Appellate Division in NJ required to uphold the ruling of the Third Circuit in such matters? It is not. There can be no conflict on procedural issues between the Third Circuit, which is interpreting federal rules of civil and appellate procedure, and a ruling of a New Jersey court which is interpreting state rules of civil and appellate procedure. Different court systems have different procedural rules. Federal rules of procedure are inapplicable in state courts. State rules of procedure are inapplicable in federal courts. The circuit split referred to is between different federal appellate court circuits interpreting the federal rules of civil and appellate procedure. But none of those rules are applicable to state courts. Furthermore, even if a question of substantive federal law were involved, the state courts of New Jersey are only required to follow precedents of the U.S. Supreme Court and higher appellate courts in the New Jersey state court system. Decisions of the Third Circuit on questions of federal law are not binding on the courts of New Jersey despite the fact that New Jersey is located in the Third Circuit, even though they are persuasive authority on questions of substantive federal law that are equally applicable in both court systems.
The primary field of research where the kind of studies you are thinking about are done is often called "empirical legal research." There is a fairly rich literature, that a substantial minority of practitioners in the relevant areas are guided by, in the area of issues related to jury trials: how jury composition influences outcomes, how juries make decisions, the difference in outcomes between jury trials and bench trials, the fact patterns that are prone to wrongful convictions or mistakes about the facts in civil cases, techniques that influence jury decision making outcomes, and the kinds of awards juries tend to make of non-economic damages in particular kinds of cases. Another area where there is a fairly rich literature that a smaller minority of practitioners reference concerns the facts that influence likelihood of success on appeal, which in turn influences the decision to appeal or not appeal a case, or to bring collateral attacks on a trial court decision (e.g. in habeas corpus review of a criminal conviction). A third area where empirical studies guide a minority of practitioners is the more general literature on negotiation which is used to influence how both transaction negotiations and settlement discussion negotiations, are conducted. In most other areas, empirical literature is used mostly to evaluate risk, either to determine its materiality in connection with worrying about it in planning a transaction, or in the early stages of a lawsuit. In these areas this is incorporated holistically into the general career experience and life experience of the attorneys involved. For example, there is an empirical literature that demonstrates that small business bankruptcies rarely successfully reorganize a business and usually result in tax creditors receiving most of the available assets, while big business bankruptcies usually do successfully reorganize (with some industries more successful than others) and tend to pay different kinds of creditors different proportions of their claims. This literature influences the decisions of individual creditors regarding what kind of cases to pursue more or less aggressively, and also influences how lawyers familiar with this literature advise clients about the risks involved in particular investments. Likewise, there is a literature on the likelihood of small business success over particular time frames with additional other factors considered (e.g. franchise v. non-franchise).
Is it true that there has never been a single case It is tough to prove a negative. I am not going to completely parse the quote but please notice that the quote states "we couldn't find" and concludes that "it doesn't happen." Given these two pieces of information I do not conclude that there has never been a single case. Rather I conclude that the speaker in your quote could not find a case therefore he concluded that there has never been a single case. It's largely impossible to determine that there has never been a single such case. We can search published opinions but that barely scratches the surface of lawsuits that are filed. It is entirely possible that someone filed a suit which was quickly dismissed. The Act provides a defense, it does not bar lawsuits. Someone might get sick from food and not know where the food came from so they sue the provider. If this happens the provider may raise the Emerson Act as a defense and escape liability to the extent applicable. But again, we will never know because it's impossible to examine every lawsuit filed in this country.
It is hard to measure accuracy in absolute terms because figuring out the truth is the problem that trials seek to solve in the first place. This is especially true of cases that go to trial. Cases that are almost sure to be resolved one way or the other by any tier of fact generally plea bargain (in criminal cases) or settle prior to trial (in civil cases). The plea bargaining rate is 90%-95% in criminal cases and less than 5% of civil cases go to trial. For better or for worse, civil jury trial have become much less common in the last half century, while criminal jury trial rates have been comparatively much more stable (criminal jury trials have become increasingly less common in federal trial courts, however, where the rate at which criminal cases go to trial is about half that of state courts). The good news is that this suggests that the accuracy of the entire process acting in the shadow of trial in most cases, is much greater than the accuracy of trials themselves, which tend to involve the hardest and closest cases. The bad news is that to the extent that trial outcomes are unpredictable, even those who are innocent or not at fault in a civil case, will sometimes reach an unfair agreed plea bargain or settlement. As a 1992 law review article comparing outcomes in civil cases between judges and juries notes, "The empirical results prove resistant to simple explanations." Some key studies summarized here concluded that: The judge and jury in the Kalven-Zeisel survey of 3,500 criminal cases agreed in 78% of the cases on whether or not to convict. When they disagreed, the judge would have convicted when the jury acquitted in 19% of the cases, and the jury convicted when the judge would have acquitted in 3% of the cases—a net leniency rate of 16%. Disagreement rates were no higher when the judge characterized the evidence as difficult than when the judge characterized it as easy, suggesting that the disagreements were not produced by the jury’s inability to understand the evidence. Disagreement rates did rise when the judge characterized the evidence as close rather than clear, indicating that disagreement cases were, at least in the judge’s view, more likely to be those cases that were susceptible to more than one defensible verdict. Primary explanations offered for the overall differences were differences in judgments about the credibility of witnesses and a different threshold of reasonable doubt. Two smaller, more recent studies using the Kalven-Zeisel method have shown remarkably similar patterns in criminal cases, obtaining 74% to 75% agreement, with a greater leniency of 13% to 20% from the jury. Studies outside the United States have shown similarly high levels of agreement between professionals and juries or lay judges in criminal cases. For the 4,000 civil trials in their judicial survey, Kalven and Zeisel obtained the same agreement rate of 78% on liability, but disagreement was almost equally divided, so that in 12% of the cases, the jury found for the plaintiff, while the judge favored the defense and in 10% of the cases, the jury found for the defense, while the judge would have made an award. Awards by juries were 20% higher on average than awards by judges. Several smaller, recent studies of civil jury cases in several locations have indicated agreement rates on liability between 63% and 77%, but it is unclear whether any overall change has occurred over time because no national study comparable with the Kalven and Zeisel study has been conducted. Because punitive damages are awarded so rarely (in roughly 3% of contract and tort cases), researchers conducting case-specific judicial surveys have not been able to compare judge and jury decisions on punitive damages. While the discrepancy between judges and juries in criminal cases (one in six cases) is quite large, this suggests that no more than 1-1.5% of criminal defendants charged with felonies in the system as a whole are inappropriately acquitted by juries, and that no more than about 0.16% of criminal defendants charged with felonies are wrongfully convicted by judges (since only about 10% of criminal trials in the U.S. are bench trials). Moreover, as discussed below, the "inappropriate acquittal" by juries rate as a share of system-wide felony cases is probably lower because there are good reasons to think that the higher conviction rate in bench trials than in jury trials has more to do with the biases of judges than with more accurate fact finding by judges. A 2010 empirical study looking at the impact of the racial composition of juries on the likelihood of convictions in felony cases in a Florida county found that statistically, a similar number of felony cases (82%) that go to trial are "easy" cases in which any finder of fact would reach the same result, but that the acquittal rate in other cases varied dramatically based upon the racial composition of the jury. This study provides further support for the hypothesis that close cases are more strongly influenced by the implicit biases of the fact finders than by their capacity to assess the facts accurately. Incidentally, this higher conviction rate is not particular to the United States, it has also been true historically in Japan during periods when it had a jury trial system, even though its legal codes use German legal codes as a starting point. I have personally had discussions with several South Korean and Japanese judges (while I was in law school and they were pursuing graduate law degrees in the U.S. while on sabbatical from their judicial positions) who say that they have a policy of alway believing the prosecutors in criminal cases and assuming as a starting point, at least, that any defense testimony that contradicts the prosecution's case is a result of lies by the defense witnesses, which doesn't speak highly for the accuracy of bench trials in criminal cases in those countries. An experienced judge argued in a law review article in the late 1980s based upon his lengthy career presiding over jury trials, that juries were more accurate. Probably the strongest argument he makes is that judges are prone to bias, in part, though what many people would now call the process of regulatory capture. Other experienced trial judges echo this positive assessment of juries as noted in a 2012 article, for example, noting that juries are often better grounded in the reality of everyday life and in community standards than judges. A 2007 study (full text here) reached a conclusion on the accuracy of jury trials in criminal cases based upon the a priori assumption that judges are at least as accurate as juries, which isn't helpful at resolving your question because it assumes the answer rather than proving it, but does shed some light on the minimum extent to which one or the other triers of fact would have reached the wrong conclusion: A new Northwestern University study shows that juries in criminal cases are reaching incorrect verdicts. The study, which looked at 271 cases in four areas of Illinois, found that as many as one in eight juries is making the wrong decision – by convicting an innocent person or acquitting a guilty one. In each case, while the jury deliberated, the judge filled out a questionnaire detailing what his or her verdict would have been had it been a bench trial. The verdicts only matched in 77 percent of cases. The study assumed that judges are at least as likely as a jury to make a correct verdict, leading to the conclusion that juries are only correct 87 percent of the time or less. The study was conducted by Bruce Spencer, a Northwestern statistics professor, and will be published in the July issue of the Journal of Empirical Legal Studies. Spencer said in a statement that it would take a much larger study to truly predict the accuracy of jury verdicts nationwide in all cases. The same 2007 study is also critically analyzed here, and notes that judges again are more likely to convict than juries in cases where defendants opt for jury trials (which they do about 90% of the time in criminal cases in state courts). A different 2007 study used evidence mostly derived from DNA based exonerations in capital rape-murder cases from the 1980s to conclude that the wrongful conviction rate in those cases following jury trials is 3.3% to 5%. Given that judges are much less likely to acquit than juries, this strongly suggests that the wrongful conviction rate for bench trials in serious criminal cases would be much higher than it is in jury trials. The methodology of the study doesn't make it possible to estimate the wrongful acquittal rate in jury trials which is further muddied by the question of the extent to which jury nullification, in the form of an acquittal of someone who is actually guilty beyond a reasonable doubt, is a legitimate exercise of mercy or is problematic - something also influenced by perceptions of where jury nullification is most common (e.g. this may disproportionately benefit police tried for crimes allegedly committed while carrying out their duties). It is worth noting, however, that juries in capital cases (i.e. those where the death penalty is a potential sentence) are systemically less pro-defendant than other juries because they are "death qualified" which is to say that people opposed to the death penalty are systemically removed for cause from the jury pool, which makes juries in capital cases more likely to convict than juries in other cases. This means that it is also probably likely that wrongful conviction rates are higher in capital cases than in other cases. Indeed, one reason that prosecutors choose to bring death penalty charges in a case is to increase the odds that a defendant will plea bargain to avoid the risk of the death penalty, and to increase the odds that the defendant will be convicted at trial, in a criminal prosecution where the evidence is factually weak compared to a typical felony case that prosecutors would bring. Yet another 2007 study concluded that: Drawing on a sample of 798 Ohio criminal justice professionals (police, prosecutors, defense attorneys, judges), the authors examine respondents’ perceptions regarding the frequency of system errors (i.e., professional error and misconduct suggested by previous research to be associated with wrongful conviction), and wrongful felony conviction. Results indicate that respondents perceive system errors to occur more than infrequently but less than moderately frequent. Respondents also perceive that wrongful felony conviction occurs in their own jurisdictions in .5% to 1% of all felony cases, and in the United States in 1% to 3% of all felony cases. Respondents, however, specify an acceptable rate of wrongful conviction to be less than .5%. A replication of this study with a survey of comparable Michigan officials published in 2008 gave rise to almost identical results. The review of literature in the 2007 paper surveying Ohio officials also notes the notable fact that 7% of convicted felons whose convictions are reversed on appeal and who are then retried before a new jury are acquitted (I don't have data breaking out the retrial results for capital convictions that are reversed on appeal and retried easily at hand right now), which provides another order of magnitude estimate of the reliability of jury trials (although, of course, cases reversed on appeal are by definition cases whose verdicts are not reliable for some specified reason, relative to cases in which convictions are not appealed or are affirmed on appeal). About 40% of criminal convictions following a trial are appealed (the appeal rate is very nearly 100% in death penalty cases). This is much higher than the rate of appeals of civil jury verdicts, in part, because convicted criminal defendants who cannot afford a lawyer are entitled to a direct appeal at state expense (although it can be pointless to do so if you already have a felony criminal record, you are likely to be released before the appeal is ruled upon after considering your sentence and time served, and your prospects of success on appeal are poor, which is the case in many minor felonies). About 8% of cases appealed in criminal cases result in a reversal of at least part of a trial court decision (although the figure is about 19% in death penalty cases). So, the odds of a criminal conviction following a trial being appealed, reversed on appeal, and then retried resulting in a conviction is roughly 0.2% (one in five hundred). There is also considerable evidence to support the hypothesis that certain facts patterns are much more prone to producing wrongful convictions than others. For example, excessive faith in eye witness identification of defendants (especially in cases of white witnesses identifying black defendants who are strangers to the witness) and scientifically unsound forms of expert testimony are particularly common causes of wrongful convictions. A 2010 review article examining 100 years of research on the question of wrongful conviction notes that "traditional sources of error (eyewitness misidentification, false confessions, perjured testimony, forensic error, tunnel vision, prosecutorial misconduct, ineffective assistance of counsel, etc.) are contributing sources, not exclusive causes, of wrongful convictions." A 1998 law review article looks at a small sample of convictions allegedly obtained with false confessions and also examines the tricky question of what "innocence" and a "wrongful conviction" really mean. For example, suppose that someone falsely confesses to facts that would make him guilty of first degree murder when in fact he was actually an accessory to manslaughter. He isn't truly "innocent" of any crime related to the death in question, but is likely to be convicted of a crime much more serious than the crime of which he is actually guilty. A 2006 law review article examining a single case in detail in the context of broader research finings comes to similar conclusions about high risk fact patterns, but throws in another - clusters of mass wrongful convictions driven by one or many deeply corrupt police officers in a single department who routinely lie and falsify evidence to obtain large numbers of wrongful convictions. A Wall Street Journal blog post from July 16, 2017 cites a Journal of Empirical Legal Research article in support of the proposition that juries get about one in six criminal cases wrong and that judges do only slightly better. Some studies have looked at indications that judges are not better than juries at accurately reaching correct outcomes that don't look at the actual outcomes themselves: In study after study, researchers have found more similarities than differences (see Robbennolt, 2006; Rowland, et al., 2010). For example: Retired judges were no better than college sophomores, teachers and other novices at spotting witness mendacity. Retired judges were no better than mock jurors at ignoring inadmissible evidence. Retired judges evince no greater understanding of the scientific principles underlying Daubert standards than do mock jurors. Moreover, social science research makes it very clear that many decisions by trial judges, federal and state, are affected by extra-legal political influences. For example: The decisions of Federal district judges, usually thought to be better trained and less susceptible to extra-legal influences than are their state counterparts, can for many case types (e.g., abortion) be predicted at a high rate of accuracy simply by knowing the judge’s appointing president. Elected state judges’ sentencing decisions change in tandem with the proximity of elections A comprehensive review of prior studies in a 2005 article reiterates almost all of the conclusions from various kinds of data reached above - i.e. juries are more lenient but their skills at assessing facts are similar to those of judges. Arguments For And Against The Jury System Unrelated To Their Accuracy A 2011 law review article reiterates that judges are far more likely to convict that juries, on average, which it argues is good even if it comes at the expense of lower accuracy. This article does not squarely address the real money question of whether judges or juries are more accurate in their decisions to convict or acquit defendants. The author argues that certainty of punishment is more important to deterring bad conduct than sentence length or the accuracy of the process. A 1981 article by John Langbein, one of the leading scholars in the field of comparing the European legal system (where serious criminal trials often involve "mixed courts" with a judge and lay judges serving together in a capacity that isn't quite a true American style jury) to the American legal system concluded that: The conclusion is that the mixed court serves the jury policies well, though not fully; and that it is a superior alternative to the indigenous nontrial devices-plea bargaining and bench trial-that have displaced the jury from routine American practice. It is also worth noting that one of the important justifications for using jury trials rather than bench trials or mixed trials, is that it enhances the institutional legitimacy of the judiciary, regardless of its accuracy, in a system where both triers of fact sometimes make mistakes. This is because in a jury trial system, an outcome that is perceived as incorrect can be blamed on the diffuse and effectively anonymous jury who cannot be held accountable, deflecting blame from judges who could be held accountable or whose bad decisions would reflect poorly on the judiciary, or the judge in question at least. It is easier to support the legitimacy of the judicial system if judges are rarely blamed for reaching the hard verdict in high stakes cases. Also, since juries deliver only a verdict, and not a detailed justification for their ruling as a judge in a bench trial must, the jury verdict, while less transparent, does allow people who might potentially agree with the result even if they wouldn't have agreed with the means by which that particular jury actually reached its decision, to give the jury the benefit of the doubt, again increasing popular acceptance of the result.
1. You need to read and utilize law textbooks, the MOST UPDATED editione. Try to access a library of a university that has a law faculty. Failing that, try a local library — but local libraries may not stock (pricey) law textbooks, or their most updated edns. I scanned Jonathan Herring, Criminal Law Text Cases Materials (2020 9 edn), beneath for you. But the NEWEST edn is 2022, 10 edn, as at May 23 2022. Herring updates his book every 2 years. Two other leading textbooks are Smith, Hogan, and Ormerod's Criminal Law (2021 16 edn), and Smith, Hogan, & Ormerod's Text, Cases, & Materials on Criminal Law (2020 13 edn). 2. Look up the Act of Parliament in the Table of Legislation. See scan beneath. 3. Finally, you shall find the cases expatiated in the body, and cited in the footnotes! See scan beneath.
Let's say I wanted to generate a report on the trends in outcomes of civil cases. Is there anywhere I could download any kind of data related to it? The parties involved, maybe information about the size of compensation, result of the case etc. The raw data is a matter of public record, but it isn't available in a downloadable format. You have to go court by court, or case by case, look at the public records, code and classify it, and then analyze the data yourself. Some summaries are available in annual reports of the federal court system and of many state court systems, but this typically looks at total dockets, and dockets by type of cases, but rarely looks at outcomes. The most detailed outcomes you are likely to get from these sources are number of cases terminated in a year (often by geographic subcategory), number of jury or bench trials with some division by type of case, number of defendants adjudicated, and number of dismissals prior to trial. The U.S. Sentencing Commission does more analysis of outcomes from detailed case data. Many professors writing articles for academic journals do it the hard way, and there are some collaborations of professors and research institutes that collect large, detailed (although not complete) databases, for example, limited to federal courts (where it is easy to get data on individual cases in PACER) or to, for example, 75 most populous counties with cooperative custodians of records. But, often you need to be an accredited member of the collaboration working on that to get access to the raw data. One commercial source is a firm called the Jury Verdict Reporter that regularly publishes detailed data on as many jury verdicts as it can, but this is quite an expensive resource to use.
This was asked and answered by KPD on the Politics stackexchange. This issue came up in a decision from an appeals court, with a judge dying before the opinion was released, leading to the following SCOTUS opinion. The short of the answer: that Judge's vote is voided. If the result of negating the deceased Justice's vote is a 4-4 tie, then the usual procedure for a 4-4 tie is invoked, which is addressed in the Q&A you link. Of course this assumes that SCOTUS will apply this to themselves, but the issue appears to be non-controversial, as it was a fairly recent decision with no dissents noted. So this assumption seems safe.
Is offering uncapped access to certain services but not others by ISPs legal under EU net neutrality laws? Some ISPs in Europe offer data plans that are capped at certain amount of GB per month. But in this europa.eu page one can read that: The best effort internet is about the equal treatment of data traffic being transmitted over the internet, i.e. that the ‘best efforts’ are made to carry data, no matter what it contains, which application transmits the data (“application-agnosticism”), where it comes from or where it goes. The benefits of the best effort internet notably include the separation between application and network layers of the internet. (emphasis added) Is it actually legal under EU law to offer Internet services that do not treat all services/apps/websites equally when it comes to data caps?
This issue has now been ruled on by the European Court of Justice, which ruled that zero rating breaks net neutrality and is unlawful. No 106/2020 : 15 September 2020 - Judgment of the Court of Justice in Joined Cases C-807/18,C-39/19 Telenor Magyarország Original answer for historical purposes: As another page in your link says, it depends: Is zero-rating allowed under the Regulation? It depends. There are different types of zero-rating practices, some of which are more problematic than others. BEREC’s Guidelines look at different examples and provide guidance on the extent to which they could be considered permissible under the Regulation. The BEREC guidelines explain that some practices are clearly prohibited – those where all applications are blocked or slowed down once the data cap is reached except for the zero-rated application(s). Others are less clear-cut and will be need to be assessed by NRAs against a number of criteria set out in the Guidelines.
No, it's not illegal... Ads are shown as a contract between the site that hosts it and the advertising company. The contract does not stipulate that customers need to buy something, in fact, the contract can't force the customer to buy anything! At best, the contract can pay the hosting site based on the ad being shown, clicked, or any sale made after it. ...but you will do exactly the opposite Advertizement is made to put your own brand into the head of people. In fact, most ads don't have any effect on people. As I am writing this, ads for a kid TV, travels to Turkey and the primetime films for the weekend on the TV-station I have on are shown. I have no intention of consuming any of these advertised products. Impact of a campaign is measured by two metrics: people reached, and people responding. People reached is measured in clicks. People responding is measured in changes in earnings or sales. Clicking the ad increases the reached rating. If the rating is bad, the ad campaign is just ineffective... which leads to the most paradoxical thing: Bad advertisement and good advertisement both lead to more advertisement - bad to level out the missing response, good to maximize the response. By clicking on the ad you just funnel more money to the ad industry. When does it get illegal? [DDOS] The only way it would become illegal is if John Doe sets up a computer - or rather a botnet - and has that network click the ads thousands of times per second. Google can handle easily 83,000 searches per second, twitter gets more than 9000 tweets that are distributed to millions of people, Tumbler and Instagram handle together about 2500 posts per second. In fact, every second, more than 100000 Gigabytes of traffic run through the net. To have an impact on one site, you need to be truly a large number of calls... and then it is called a DDOS. DDOS is illegal under the CFAA, in this case 18 UC 1030: (a)Whoever— (5) (A)knowingly causes the transmission of a program, information, code, or command, and as a result of such conduct, intentionally causes damage without authorization, to a protected computer; (b)Whoever conspires to commit or attempts to commit an offense under subsection (a) of this section shall be punished as provided in subsection (c) of this section. In the UK, you'd break the Computer Misuse Act of 1990 section 3, because denying someone else service via DDOS is unauthorized, clearly unauthorized, and prevents access to any data (the website) on any computer (the server): (1)A person is guilty of an offence if— (a)he does any unauthorised act in relation to a computer; (b)at the time when he does the act he knows that it is unauthorised; and (c)either subsection (2) or subsection (3) below applies. (2)This subsection applies if the person intends by doing the act— (b)to prevent or hinder access to any program or data held in any computer But can a DDOS be protest? [NO!] Anonymous attempted to petition to make DDOS a legal form of protest in 2013. The petition got 6,048 of the 25000 signatures needed to warrant an answer by the white house - unlike people in 2016 asking for a Death Star. At least it prompted Joshua I. James to write a research paper about the proposal in March. He too points to the CFAA and Section 5A, especially the sentence I quoted above. Among a lot of stipulations, he points out that internet protest in the shape of a DDOS would need to follow the same rules as a legal protest on the streets - which for example demands that entrance to businesses can't be blocked, and one is not allowed to harass employees and customers. According to the general rules for legal protest as given, there are still a number of challenges. First and foremost, entrances to businesses should not be blocked. In terms of DDoS, if sustained denial of service takes place, then access (entrance) to the server (business)is effectively blocked. This means that, at a minimum, sustained denial of service should be considered as a non-legal approach to protesting. Thus, he concludes sustained DDOS is per se can't be a legal protest, and even a non-sustained DDOS would impact people using the site in a way they will deem harassing - which means that even a non-permanent DDOS can't be a legal protest. And then comes the final blow: DDOS, unlike a real protest on the streets, can't, by its very nature, inform people of why there is protest, even if it were a form of protest! This means that nobody knows it is meant to be a protest and not a normal DDOS, and as it can't convey what the action is about, it can't be a proper protest.
Per Art 3(2), GDPR only applies to non-European companies when their processing activities relate to the offering of goods or services to people in Europe, or when the processing activities relate to monitoring people in Europe. However, the word “offer” of this targeting criterion requires some level of intent. It is not enough for GDPR to apply that they're marketing to someone who happens to be in Europe, but GDPR would apply if they are intentionally marketing to people who are in Europe. I don't know what they are marketing, so I don't know if that would be the case here. Even if GDPR were to apply, it would not be the most appropriate law. Yes, there's the GDPR right to erasure, which applies under some conditions (though there's a pretty absolute right to opt-out from marketing). The EU's ePrivacy Directive provides more specific rules though, in particular that every such marketing email must offer a way to unsubscribe. Other countries have comparable anti-spam laws, potentially also the home country for this online service.
can it be construed as a violation of 66F clause 2 if we try to circumvent the rate limit even though the information is on public domain? No, unless the element of intent to threaten [...] or strike terror can be proved. I'm assuming that by "clause 2" you mean the excerpt you posted. Although circumventing the limit of API calls sounds in "exceeding authorised access" and might even lead to DOS, it does not imply an intent to threaten the security/sovereignty/etc. or strike terror. The statute is premised on such intent. The fact that the information(packets) is(are) on public domain is irrelevant. For instance, an intent to strike terror and/or actually causing a DOS can involve [targeting] a public domain.
Providing they meet the basic requirements (see What is a contract and what is required for them to be valid?) then they are binding contracts. Consideration is not an issue: the site provides the content, the user provides eyeballs on it. Consent is the major stumbling block. Online Terms of Service are either presented as browsewrap or clickwrap or sign-up wrap. A browsewrap provides notice of the terms of service but there is no specific user assent to them. A clickwrap requires the user to check a box specifically about agreeing to the terms (with or without user registration). A sign-up wrap presents user registration with a "Sign up" and provides notice to the terms at the point of service but doesn't have a check button specifically for the terms. As an example, Stack Exchange provides two types of wrap. For the casual user, there is a Legal link at the bottom of the page - a browsewrap. If you sign-up, you go to a page that says "By clicking "Sign up", you agree to our terms of service, ..." - a sign-up wrap. Whether a Terms of Service is an enforcable contract depends on whether the user provided notice, whether the user gave consent and whether enforcing the agreement is conscionable. Clickwraps and sign-up wraps have the advantage over browsewraps in the first two of these. Assuming that the contract terms are unremarkable (i.e. they are within the range of "normal" for that type of contract) a clickwrap will normally create an enforcable contract - Forrest v Verizon and Motise v America Online being the relevant case law. Browsewraps are more problematic: Specht v Netscape said no contract but where the browsewrap is shown prominently and repeatedly they can form an enforceable contract - Hubbert v Dell and Cairo v CrossMedia Services. Zaltz v Jdate was a sign-up wrap and did create an enforceable contract. All of these turn on the facts of how the information was was presented to the user. For example, in Meyer v Kalanick the Second Circuit said: Where there is no evidence that the offeree had actual notice of the terms of the agreement, the offeree will still be bound by the agreement if a reasonably prudent user would be on inquiry notice of the terms.[sic] So, in general, Terms of Service are enforcable as a contract if a reasonably prudent user could, on inquiry (e.g. by clicking a link), make themselves aware of the terms. This also explains why skrinkwraps (when software came on actual physical media in a shrink-wrapped box with the terms inside) were not enforcable - a reasonably prudent user could not inform themselves of the terms without unwrapping a product they didn't yet own.
Is there any sources of information where extraction of data from a closed source application and provided to a data subject is further defined? No, the GDPR is based on "general principles" and does not concern itself with implementation details for such matters. It's possible there's EU case law on this, but I can't find any. Am I within my rights to insist on this, even if to comply they would have to do some software development? Yes you can demand it, but they don't have to comply with your demand. The information only has to be provided in a "concise, intelligible and easily accessible form, using clear and plain language." and they only have to provide the information electronically where "reasonably practical" to do so, and they only have to take "reasonable steps" to do all this per Section 52 of the Data Protection Act 2018 which implements GDPR into UK law. You can complain to the Information Commissioner's Office, and they will decide if Section 52 has been complied with or not. 52 Form of provision of information etc (1) The controller must take reasonable steps to ensure that any information that is required by this Chapter to be provided to the data subject is provided in a concise, intelligible and easily accessible form, using clear and plain language. (2) Subject to subsection (3), the information may be provided in any form, including electronic form. (3) Where information is provided in response to a request by the data subject under [the Right of access by the data subject], the controller must provide the information in the same form as the request where it is practicable to do so.
The "Contribution activity" is extracted from repositories hosted on Github. Looking at the privacy statement, Github considers itself as a hosting service for those repositories. See EU Directive 2000/31/EC Article 14 for the exact definition and conditions: Article 14 Hosting Where an information society service is provided that consists of the storage of information provided by a recipient of the service, Member States shall ensure that the service provider is not liable for the information stored at the request of a recipient of the service, on condition that: (a) the provider does not have actual knowledge of illegal activity or information and, as regards claims for damages, is not aware of facts or circumstances from which the illegal activity or information is apparent; or (b) the provider, upon obtaining such knowledge or awareness, acts expeditiously to remove or to disable access to the information. Paragraph 1 shall not apply when the recipient of the service is acting under the authority or the control of the provider. This Article shall not affect the possibility for a court or administrative authority, in accordance with Member States' legal systems, of requiring the service provider to terminate or prevent an infringement, nor does it affect the possibility for Member States of establishing procedures governing the removal or disabling of access to information. Article 2(4) GDPR defines that the GDPR does not apply (to Github) in this case This Regulation shall be without prejudice to the application of Directive 2000/31/EC, in particular of the liability rules of intermediary service providers in Articles 12 to 15 of that Directive. Extracting data from the repositories to create a nicely formatted contribution activity list, would still be considered hosting as defined at Directive 2000/31/EC, because Github does not (manually) redact or modify commits. So if you want to hide your contribution activity, you must delete the contributions. And you should not ask Github to do that, but ask the owners of the repositories. And they might have good reasons to deny your request. If an owner of a repository denies your request without a good reason, you can ask Github to do so. But Github would then probably deny that request, because they explain in their privacy statement that modifying the history is not possible: The email address you have supplied via your Git commit settings will always be associated with your commits in the Git system. If you chose to make your email address private, you should also update your Git commit settings. We are unable to change or delete data in the Git commit history — the Git software is designed to maintain a record — but we do enable you to control what information you put in that record. edit To further clarify why Article 14 of Directive 2000/31/EC applies, see case C-236/08 (Google v. Louis Vuitton) where the European Court of Justice clarifies the meaning of that article (ECLI:EU:C:2010:159): In that regard, it follows from recital 42 in the preamble to Directive 2000/31 that the exemptions from liability established in that directive cover only cases in which the activity of the information society service provider is ‘of a mere technical, automatic and passive nature’, which implies that that service provider ‘has neither knowledge of nor control over the information which is transmitted or stored’. Accordingly, in order to establish whether the liability of a referencing service provider may be limited under Article 14 of Directive 2000/31, it is necessary to examine whether the role played by that service provider is neutral, in the sense that its conduct is merely technical, automatic and passive, pointing to a lack of knowledge or control of the data which it stores. The way Github creates/shows the contribution activity is in my opinion technical, automatic and passive. That means it is not liable, and that implies that the GDPR does not directly apply, unless data is unlawful, and someone notifies Github of that: The restriction on liability set out in Article 14(1) of Directive 2000/31 applies to cases ‘[w]here an information society service is provided that consists of the storage of information provided by a recipient of the service’ and means that the provider of such a service cannot be held liable for the data which it has stored at the request of a recipient of that service unless that service provider, after having become aware, because of information supplied by an injured party or otherwise, of the unlawful nature of those data or of activities of that recipient, fails to act expeditiously to remove or to disable access to those data. Surely the GDPR might be the reason data is unlawful. But you need a reason, in particular based on Article 17 ("right to be forgotten"). For example if personal data of a 12 year old child is processed without permission of it's parent. Without such a reason the legitimate interest of the repository owner will probably prevail (who wants to keep the git history complete).
Subject to a few exceptions, such as fair dealing, copyright holders have a right to dictate how their creations are performed, communicated to the public, and reproduced. It is technically an infringement, and illegal, to download without respecting the copyright owner's terms. The Copyright Act sets a limit of $5000 for non-commercial infringement cases: 38.1 (1) (b) in a sum of not less than $100 and not more than $5,000 that the court considers just, with respect to all infringements involved in the proceedings for all works or other subject-matter, if the infringements are for non-commercial purposes. Practically, due to the fairness and reasonableness of Canadian courts and legislation, few-to-no lawsuits are brought against personal, non-commercial infringers as they are not cost-effective for rights holders. A reasonable award of, say, $150 for downloading one movie, is hardly worth the time, expense or risk to prosecute, especially if the defendant has no obvious income or assets to cover an award of damages, legal costs, etc. Even when your ISP forwards a notice from a rights holder alleging infringement, as they are required to by law, the chances of actually being sued are (currently) slim. Further, if you only download and don't upload or "make available" you may be less likely to receive such notices or threats from some rights holders, depending on how they choose to identify IP addresses of apparent infringers. For example, many rights holders, or the enforcement companies they employ, try to download infringing files through BitTorrent and accuse all peers of infringement. To catch people who only download, the rights holder would have to actually offer and distribute their own copyrighted works, and they seem more reluctant to use this approach.
Does the GDPR apply to the data subject's computers? In this answer to a GDPR question about processing conducted by an app on the user's computer I wrote: The GDPR only applies to data processed by you on your computer. Any processing that happens on the user's device is the user's responsibility, not yours. To which the OP replied: But could you explain why? Does some other part of GDPR specify that? I looked through the ICO website, but to my surprise I failed to find an answer. It looks as if the drafters of the GDPR did not consider the question. So: if I write a program which is run by the user on their own computer, and which is designed to process the user's personal information solely on that computer, does that processing make me a Data Controller for GDPR purposes? Answers must cite judicial rulings or regulations which directly address the question. Note in response to comments: there are other laws and regulations that might apply, but here I am only interested in the narrow question of whether the GDPR can be definitely ruled out as not applicable.
The GDPR applies regardless of where and how data is processed. But it is necessary to look at what the processing activities in question are, and who is the controller for these activities by determining their purposes and means. This argument is supported: by the absence of relevant exemptions in the GDPR by the GDPR's broad definition of the data controller by the ECJ's analysis in the Fashion ID case GDPR Exemptions For certain constellations (e.g. controller = natural person, purposes = purely personal or household activities) that processing is exempt from GDPR compliance (see GDPR Art 2(2)). However per GDPR Recital 18, the GDPR would still apply “to controllers or processors which provide the means for processing data for such personal or household activities.” For example, this means that I am able to use WhatsApp to process my friends' contact information for purely personal purposes because I'm exempt from the GDPR with respect to that processing, but Facebook is still subject to the GDPR regarding how they process personal data collected via WhatsApp. Already on the basis of the GDPR providing no exception for processing on someone else's computer, I disagree strongly with the answer you cited (and have already written a competing answer). It seems entirely counterfactual. How to figure out who the controller is. Per GDPR Art 4(7), controller is whoever “alone or jointly with others, determines the purposes and means of the processing of personal data”, although other laws might provide more specific criteria for individual purposes or means. We will return to that definition in the next section. The ICO has provided a checklist to figure out if you're a data controller or perhaps a joint controller. Some of the questions are aligned with the above definition, like “We decided what the purpose or outcome of the processing was to be”. Other questions are there as a contrast to the data processor role, e.g. “We have complete autonomy as to how the personal data is processed”. Analysis of the Fashion ID case (ECJ C-40/17) This judgement provides a detailed analysis of who the data controller is, and is therefore relevant to the question. Fashion ID had embedded a Facebook “Like” button on their website, thus causing the visitor's browser to transmit personal data to Facebook. Fashion ID asserted that they were not the data controller, since they had no control over what data was collected by the Like button and how it was subsequently used by Facebook. Fashion ID relied in part of the argument that they weren't the controller because processing happened on the visitor's computer. This ruling was made on the basis of the Data Protection Directive 95/46 which was repealed by the GDPR. However, since the DPD and GDPR have effectively identical definitions of “controller” and “processing”, the court's analysis remains highly relevant. In the following I'll “translate” all DPD references to the GDPR, in analogy to GDPR Art 94(2). The court found that Fashion ID was a data controller for the processing by the Like button, and that it was a joint controller with Facebook for this processing. However, Fashion ID was only a controller for those processing activities in which they played a part, not for subsequent processing of the data that was controlled by Facebook alone. Relevant details from the Judgment (ECLI:EU:C:2019:629): Paragraphs 65–66: The GDPR tries to achieve a high level of data protection through a broad definition of “controller”. Thus, an overly narrow interpretation that counteracts this goal is incompatible with the law. Paragraph 68: An entity is a controller when it exerts influence over the processing for its own purposes, thereby participating in determining the purposes and means of processing. Compare the GDPR Art 4(7) definition of “controller”. case law: C-25/17 Jehovan todistajat, ECLI:EU:C:2018:551, paragraph 68: “However, a natural or legal person who exerts influence over the processing of personal data, for his own purposes, and who participates, as a result, in the determination of the purposes and means of that processing, may be regarded as a controller”. Paragraphs 67, 69–70, 82: It is not necessary to have a single controller, there can be multiple joint controllers. The joint controllers can be involved to different degrees. You can be a joint controller without having access to the personal data. case law: C-25/17 Jehovan todistajat, ECLI:EU:C:2018:551, paragraph 69: “Furthermore, the joint responsibility of several actors for the same processing, under that provision, does not require each of them to have access to the personal data concerned”. case law: C-210/16 Wirtschaftsakademie Schleswig-Holstein, ECLI:EU:C:2018:388, paragraph: 38: “In any event, [GDPR] does not, where several operators are jointly responsible for the same processing, require each of them to have access to the personal data concerned.” Paragraphs 71–74: Processing can consist of many different individual activities. A controller might only be involved in some of them, and can only be a controller for those activities for which they (jointly) determine purposes and means of processing. Paragraphs 76–79: Fashion ID was able to determine the purposes and means of processing regarding data collection and transmission by the Like button. The act of embedding the button showed that they had decisive influence over the processing: without the embedding, the data processing would not have occurred. To summarize the relevant conclusions: someone is a data controller when they participate in determining the purposes and means of processing for some processing activity for joint controllers, this holds regardless of whether they have access to the data or participate in the processing itself one cannot be a controller for a processing activity for which they cannot determine purposes and means. Conclusion and application to the question This analysis reaffirms my competing answer to the cited answer that it is important to determine who the data controller is. The Fashion ID case shows that is important to perform this analysis on a fairly granular manner, on the level of individual processing activities. For processing on a data subject's computer by a program written by another provider, this means: some processing activities might be solely under the user's control, then they are the sole data controller (or might be exempt from GDPR) for some processing activities, the software developer might decide alone for which purposes and through which means the processing is carried out for other activities, the user and data controller might be joint controllers. This does not require explicit agreement but can result implicitly. This does not require that the software developer has access to the personal data undergoing processing. For example, a spreadsheet application might be used by an end user to process personal data on their own computer (or via a cloud application, with the same conclusions). We can consider different processing activities performed by the software: sorting, transforming, and other processing of the data in the spreadsheet is solely under the end users control, so they are the data controller (if they aren't exempt) collecting usage analytics (where those analytics signals are personal data for which the end user is the data subject) is solely under the software developers control uploading crash reports (where those reports contain personal data from the end user and contain contents from the currently opened spreadsheet) is more complicated. The software developer is definitely a controller. The end user has a dual role here as a data subject and a joint controller (if they aren't exempt) because the crash report processes personal data for which they are the controller.
Legal framework Per Articles 4(1) and 4(2) of the UK GDPR, your email address is most likely personal data (and certainly is once you notify the data controller that it belongs to you), and the storage and use of that data constitutes processing. In order to process your personal data, the data controller must establish at least one of the six lawful bases set out in Articles 6(1)(a) to 6(1)(f). It's quite clear that none of those lawful bases apply in this situation. Hence, the processing is unlawful. Next steps Start by making a request to the data controller under Articles 14(1) and 15(1) for the following: A copy of all personal data (including the email address) which they hold in relation to you. The purpose of them holding the data. The legal basis on which they hold the data. That they erase all personal data which they hold in relation to you, pursuant to Article 17(1)(d) (unlawful processing of data). Per Article 12(3), the data controller is required to respond "without undue delay", with an upper time limit of 1 month (or 2 months if they notify you of the time extension within 1 month). Sadly, most data controllers in my experience seem to interpret this to mean that 1 month is the standard time limit, even though technically this is incorrect and the standard limit is "without undue delay". Pursuant to Article 12(6) the data controller can pause the clock by asking you for additional information if they have "reasonable doubts concerning [your] identity". If you send your request from the email address in question then they can't really have "reasonable" doubts, but be aware of this possibility in any case and respond promptly to any requests to confirm your identity so that the clock resumes. Most likely they will be unable to (correctly) provide an answer to points 2 and 3 above, since they do not have a genuine purpose or legal basis. If, after the maximum deadline has expired, they have still not responded and/or erased the data, you have two options: Complain to the ICO under Article 77(1). The ICO has the power under Article 83(5) to fine the data controller up to the higher of 4% of their turnover or £17,500,000. Complaining to the ICO is free and easy and is usually recommended over option 2. Issue a claim in the County Court for a compliance order pursuant to Article 79(1) and Section 167 of the Data Protection Act 2018. You also have the right to claim compensation for "material and non-material damage" (including distress) pursuant to Article 82(1) and Section 168, but this may be unrealistic in the case of a few unwanted emails. Option 2 is not free: you will need to pay a court fee and, unless you represent yourself, legal fees. There may also be additional cost risks if you lose the case. Mentioning the above two points in your request could be an effective way to persuade them to comply in the first place.
Apparently, Yes In the ECJ's Breyer decision the final conclusion reads: Article 2(a) of Directive 95/46/EC of the European Parliament and of the Council of 24 October 1995 on the protection of individuals with regard to the processing of personal data and on the free movement of such data must be interpreted as meaning that a dynamic IP address registered by an online media services provider when a person accesses a website that the provider makes accessible to the public constitutes personal data within the meaning of that provision, in relation to that provider, where the latter has the legal means which enable it to identify the data subject with additional data which the internet service provider has about that person. It is true that in this case the decision was actually under Directive 95/46/EC, not the GDPR, but the GDPR took its definition of personal Data directly from Directive 95/46/EC, so that should make no difference. It is also true that in this case the website in question was operated by the German Federal government, an not by a private individual, or by a private business. A government might have "legal means" to link an IP address with an individual that a private actor does not. However in point 23 of the decision, the Court refered to the IP addresses as: ... stored by the Federal Republic of Germany, acting in its capacity as an online media services provider, ... which seems to indicate that the same ruels were being applied to it as would have been to a private entity. Point 44 of the decision says that: The fact that the additional data necessary to identify the user of a website are held not by the online media services provider, but by that user’s internet service provider does not appear to be such as to exclude that dynamic IP addresses registered by the online media services provider constitute personal data within the meaning of Article 2(a) of Directive 95/46. In point 47, the court says that: ... in the event of cyber attacks legal channels exist so that the online media services provider is able to contact the competent authority, so that the latter can take the steps necessary to obtain that information from the internet service provider and to bring criminal proceedings. This leads the court to point 49, where it says that; Having regard to all the foregoing considerations, ... Article 2(a) of Directive 95/46 must be interpreted as meaning that a dynamic IP address registered by an online media services provider when a person accesses a website that the provider makes accessible to the public constitutes personal data within the meaning of that provision, in relation to that provider, where the latter has the legal means which enable it to identify the data subject with additional data which the internet service provider has about that person. Nothing in the decision indicates that any particular governmental authority was considered to provide the "legal means" to get an ISP to link an IP used at a particular time to an individual. In this page from Intersoft consulting it is said that: Since the definition includes “any information,” one must assume that the term “personal data” should be as broadly interpreted as possible. ... The same also applies to IP addresses. If the controller has the legal option to oblige the provider to hand over additional information which enable him to identify the user behind the IP address, this is also personal data. In this page from eugdprcompliant.com it is said that: A much discussed topic is the IP address. The GDPR states that IP addresses should be considered personal data as it enters the scope of ‘online identifiers’. Of course, in the case of a dynamic IP address – which is changed every time a person connects to a network – there has been some legitimate debate going on as to whether it can truly lead to the identification of a person or not. The conclusion is that the GDPR does consider it as such. The logic behind this decision is relatively simple. The internet service provider (ISP) has a record of the temporary dynamic IP address and knows to whom it has been assigned. A website provider has a record of the web pages accessed by a dynamic IP address (but no other data that would lead to the identification of the person). If the two pieces information would be combined, the website provider could find the identity of the person behind a certain dynamic IP address. However, the chances of this happening are small, as the ISP has to meet certain legal obligations before it can hand the data to a website provider. The conclusion is, all IP addresses should be treated as personal data, in order to be GDPR compliant. Finally the european Commission says, on this official page: Personal data is any information that relates to an identified or identifiable living individual. Different pieces of information, which collected together can lead to the identification of a particular person, also constitute personal data. ... Examples of personal data ... an Internet Protocol (IP) address; While the case law is scanty on the point, it appears that the consensus is that IP addresses, even dynamic IP addresses, will be considered to be Personal Data under the GDPR. >
Is there any sources of information where extraction of data from a closed source application and provided to a data subject is further defined? No, the GDPR is based on "general principles" and does not concern itself with implementation details for such matters. It's possible there's EU case law on this, but I can't find any. Am I within my rights to insist on this, even if to comply they would have to do some software development? Yes you can demand it, but they don't have to comply with your demand. The information only has to be provided in a "concise, intelligible and easily accessible form, using clear and plain language." and they only have to provide the information electronically where "reasonably practical" to do so, and they only have to take "reasonable steps" to do all this per Section 52 of the Data Protection Act 2018 which implements GDPR into UK law. You can complain to the Information Commissioner's Office, and they will decide if Section 52 has been complied with or not. 52 Form of provision of information etc (1) The controller must take reasonable steps to ensure that any information that is required by this Chapter to be provided to the data subject is provided in a concise, intelligible and easily accessible form, using clear and plain language. (2) Subject to subsection (3), the information may be provided in any form, including electronic form. (3) Where information is provided in response to a request by the data subject under [the Right of access by the data subject], the controller must provide the information in the same form as the request where it is practicable to do so.
The Facebook Pixel analytics solution does not seem to support access or erasure for data subjects. While there are some GDPR compliance features, these focus on collecting consent prior to collecting data. The relationship between the pixel user and Facebook is also murky. For certain kinds of data, Facebook acts as the data processor only, and the user has all the responsibility as the data controller. For other kinds of data, Facebook and the Pixel user are joint controllers, and therefore jointly responsible. This lack of features doesn't necessarily mean that Facebook Pixel is in violation of the GDPR, since the GDPR Right to Erasure only applies under certain circumstances. However, it is really difficult to argue that a website or app that integrates Facebook Pixel would be compliant. It is also rather dubious that Facebook could be compliant themselves, since their pixels will also collect data about persons who are not Facebook members. While these problems are most apparent with the Facebook Pixel since it's explicitly intended for tracking, this problem also applies to any other embeds provided by Facebook, such as like buttons. This was the subject of the Fashion ID case, in which the ECJ determined (in 2019) that the site operator is a joint controller with regards to data collection on the website by the Facebook embed. This effectively means that third party embeds can only be loaded after the website visitor has given consent for sharing data with Facebook. The tracking of non-users by Facebook was seen as especially problematic in Belgium, where Facebook had been banned from collecting such data already in 2015 (which was upheld in 2018). Since this was pre-GDPR, FB is currently litigating whether Belgium can continue enforcing their ban. I expect that Belgium will prevail with their ban. While this has no immediate consequences for Pixel users, this would make it more likely that Pixel users could be sued or fined successfully. From an advertiser perspective, Facebook does have valuable data that make the integration of Facebook Pixel an attractive proposition. However, other analytics solutions are much easier to bring into compliance. This is ultimately a business decision: will the better understanding of your ad spend on Facebook outweigh the risk and effort of integrating the Pixel?
Think of a website that has gives no option for the users to delete what they have posted -but still the users can delete their account completely. That's easy - this is exactly how all StackExchange sites (including this one) work :-). See for example: How does deleting work? on meta.SE. Is it against the right to erasure mentioned here as a part of GDPR? No, it is not (otherwise StackExchange would be in rather big trouble). The "right to be forgotten" is subject to limitations. Most importantly, it only applies to personal data. Personal data is defined as (GDPR, art.4): any information relating to an identified or identifiable natural person (‘data subject’) If what you posted contains no personal information about you, it is not "relating to" you. The details are complicated (as usual, see e.g. The GDPR: What exactly is personal data?), but "personal data" is things about you (your name, your address, your sexual history, maybe even your IP address). On the other hand, if someone asks how to solve a programming problem, and you write an answer explaining what API to call, that answer is not personal data. In addition to that, even personal data may be retained if the data controller has a need to retain that information. This is also covered in article 4. For example, the controller may retain information "for the establishment, exercise or defence of legal claims" - otherwise you could buy something online without paying, and then ask the seller to forget about your purchases so they cannot collect the outstanding payment. So, in summary: A website will need to allow users to delete or hide personal data that they posted - such as their user profile information, or personal information in their posts. That does not mean they are allowed to delete entire posts - it is enough if personal information is redacted or anonymized. The website may be allowed to retain that information (hidden) if they can show legitimate interest - for example billing information, or posts that are the subject of a lawsuit. The StackExchange network, for example, covers this by allowing users to: disassociate posts from their account delete their account entirely (thus effectively disassociating all posts from personal information) asking a moderator for redaction of personal data
Belgium enacted an implementing law, the Act of 30th July 2018 on the protection of natural persons with regard to the processing of personal data. This, along with the GDPR, are the key legislative references that relate to your question. On 5th September 2017 the ECHR judged that it "considers that States should ensure that, when an employer takes measures to monitor employees' communications, these measures are accompanied by adequate and sufficient safeguards against abuse". This case set a precedent relevant to employee monitoring in Belgium. This is most definitely a data protection or privacy law matter and the DPO should be consulted. If they have to do research, that shouldn't be your concern as that is their job. The company must support the DPO in what they need to do that job, as such is literally written into the GDPR. Furthermore, in this case it would, by my evaluation, be necessary to conduct a Data Protection Impact Assessment (DPIA) for the monitoring activity, and if one has been done, it should document the recommendations and requirements or what is already in place. You as an individual may also ask a question of the Data Protection Authority: (NL) https://www.gegevensbeschermingsautoriteit.be/verzoek-klacht-indienen (FR) https://www.autoriteprotectiondonnees.be/introduire-une-requete-une-plainte You might ask them about your position and liability as an employee, but I would be more concerned, if I were you, with verifying that your actions are above board rather than trying to cover your ass just in case they aren't. Do the right thing, even if that means questioning the direction you've been given. AD logons still identify the person logging on, and may include source IP, which is specifically listed in the GDPR as within the scope of 'personal data'. So while there may be a legitimate need to process such data, it needs to be gone about in the right way. Actions taken by an employee are taken by the organisation in terms of processing personal data, so whatever you are asked or ordered to do, will be done by the company. If you are being offered no legal justification for doing so, you might document the direction you are given and question it respectfully, pointing out that if found to be unlawful, it is the company that would be in trouble, all while knowing that should there be for example an unfair dismissal, you have a record of who asked you to do what, how you challenged or questioned it, and what was the outcome.
Overview The GDPR requires data controllers (DCs) to exercise reasonable care when responding to an access, modification, or deletion request, to ensure that it comes from the actual Data Subject (person whose data is involved, here a DS). The GDPR does not specify just what methods must or may be used to ensure that an access (or other) request comes from the DS. It does say, in Article 12, that "additional information" may be requested from the DS by the DC for this purpose that is "necessary to confirm the identity" of the DS. If a DC receives data for identification purposes, it must be used only for those purposes, and retained no longer than needed. Personal Data (PD) in general must be limited according to article 5, so that data is used only for the purposes it was collected for, retained for no longer than needed, adn appropriately secured against unauthorized use or access. The DC is responsible for adhering to these limitations. Recitals 57, 59, and 77 (quoted below) confirm this, and discuss identification. If a DC violates these restrictions, it is subject to the same enforcement as it would be for violating any other GDPR provision. If a DS thinks the data requested to support identification of the DS is excessive, the DS may first complain to the DC, and then to the relevant supervisory authority if the response from the DC is not acceptable (allow at least 1 month for a response). But perhaps knowing that the GDPR forbids the DC from distributing or using this data except for the purpose it was collected, that is, to identify the DS, and from retaining it longer than need be, might offer some reassurance. A DS could also ask the DC what is the minimum data needed for identification, and redact data beyond this. The DC might need more than name and address, but not all that is on a bank statement or other ID document. GDPR Sources Article 12 (section 6) of the GDPR reads: Without prejudice to Article 11, where the controller has reasonable doubts concerning the identity of the natural person making the request referred to in Articles 15 to 21, the controller may request the provision of additional information necessary to confirm the identity of the data subject. That includes access requests. Paragraph 1 of Article 11 reads: If the purposes for which a controller processes personal data do not or do no longer require the identification of a data subject by the controller, the controller shall not be obliged to maintain, acquire or process additional information in order to identify the data subject for the sole purpose of complying with this Regulation. Paragraph 1(b) of article 5 specifies that personal data shall be : collected for specified, explicit and legitimate purposes and not further processed in a manner that is incompatible with those purposes; Paragraph 1(c) of art 5 specifies that such data shall be: limited to what is necessary in relation to the purposes for which they are processed ... Paragraph 1(e) of art 5 specifies that such data shall be; kept in a form which permits identification of data subjects for no longer than is necessary for the purposes for which the personal data are processed; [emphasis added] Paragraph 1(f) of art 5 further specifies that such data shall be: processed in a manner that ensures appropriate security of the personal data, including protection against unauthorised or unlawful processing Recital 59 reads: Modalities should be provided for facilitating the exercise of the data subject’s rights under this Regulation, including mechanisms to request and, if applicable, obtain, free of charge, in particular, access to and rectification or erasure of personal data and the exercise of the right to object. The controller should also provide means for requests to be made electronically, especially where personal data are processed by electronic means. The controller should be obliged to respond to requests from the data subject without undue delay and at the latest within one month and to give reasons where the controller does not intend to comply with any such requests. Recital 57 reads: If the personal data processed by a controller do not permit the controller to identify a natural person, the data controller should not be obliged to acquire additional information in order to identify the data subject for the sole purpose of complying with any provision of this Regulation. However, the controller should not refuse to take additional information provided by the data subject in order to support the exercise of his or her rights. 3Identification should include the digital identification of a data subject, for example through authentication mechanism such as the same credentials, used by the data subject to log-in to the on-line service offered by the data controller. Recital 77 reads: Guidance on the implementation of appropriate measures and on the demonstration of compliance by the controller or the processor, especially as regards the identification of the risk related to the processing, their assessment in terms of origin, nature, likelihood and severity, and the identification of best practices to mitigate the risk, could be provided in particular by means of approved codes of conduct, approved certifications, guidelines provided by the Board or indications provided by a data protection officer. The Board may also issue guidelines on processing operations that are considered to be unlikely to result in a high risk to the rights and freedoms of natural persons and indicate what measures may be sufficient in such cases to address such risk.
Can an out of state driver's license be used to verify DOB in Illinois for a state ID? The DMV page to apply for a state ID or driver's license in Illinois states that you need to bring proof of your date of birth to obtain an ID card. It links to an acceptable documents PDF which under Group B specifies that an "Illinois Driver's License" is one acceptable form of identification among a handful of others. It does not list out of state identification. Below this list it states Group B documents must contain the applicant’s full name and complete date of birth and must be verifiable. To be verifiable, it must be possible to contact the regulatory authority to confirm the authenticity of the document. The PDF specifically says "Illinois Driver's License" but my out of state license lists my full name, date of birth, and it certainly seems like it should be verifiable by their definition. Can an out of state license be used as proof of date of birth? If it cannot be used, why?
The PDF you linked also lists "REAL ID Driver’s License/ID Card" as an acceptable document in Group B. So, it seems that an out-of-state driver's license may be used to verify DOB, but only if it complies with the REAL ID requirements. Apparently, all 50 states are now issuing REAL IDs, but only 38% of all licenses nationwide are currently REAL ID compliant.
The following answers are based upon general U.S. law, I have not personally confirmed that they apply in Illinois in particular under its adoption law, or each of its welfare benefits programs, or its wrongful death statute. There is no affirmative duty of a mother to inform a father or potential father of the existence of his child, at least outside (1) the context of relinquishment of parental rights in anticipation of an adoption (where there may be a statutory notice requirement in some cases), (2) applications for certain kinds of welfare benefits (where identification of a father is required for some programs), and (3) possibly in the context of a lawsuit for the wrongful death of a child in which both parents are frequently vested with authority to bring the suit. Identification of a father on a birth certificate is not mandatory (and not infrequently omitted). In an adoption case, due process often requires some effort "reasonably calculated to give notice" to the father of the proceeding relinquishing parental rights, although failure to do so is generally not a jurisdictional defect that renders the adoption void ab initio. There is also generally a requirement to affirmatively state in adoption proceeding if the father is, or might be, a member of a Native American tribe, as that goes to the jurisdictional issue of the applicability of the federal Indian Child Welfare Act, which requires notice, at a minimum, to the father's Indian tribe, even if notice cannot be given to the father. There is a presumption that a child born to a woman married to a husband is the child of the husband and after a certain number of years, for certain purposes (such as child support). This presumption is usually conclusive and cannot be rebutted even by DNA evidence to the contrary, on the theory that the husband is the psychological parent of the child and has assumed that responsibility, and in order to discourage after the fact denials of paternity simply to avoid child support when paternity was never disputed. There is also a presumption that a birth certificate's statement of paternity is correct, although this is in often not a conclusive presumption. And, birth certificates are a matter of public record, so a man can search the vital statistics records of a state to see if anyone has identified him as a father even if he has not been told of that fact, arguably giving him constructive knowledge of his paternity in that case. But, the identity of the person who is the child's father, or of persons who could be the child's father, is not privileged (other than under the 5th Amendment right against self-incrimination where applicable), and so, a woman can generally be legally compelled to disclose this information by subpoena or in response to discovery in litigation. For example, a woman under the age of consent at the time her child was conceived can be incarcerated for contempt of court for failing to disclose the name of the father in connection with a criminal prosecution of a suspected father of the child for statutory rape.
Your friend can get into a lot of trouble for this. Those stickers were given to you for renewing your registration. The stickers are meant to be a quick way for police to tell whether your license plates are still valid, but applying them does not make the plates valid - they are only stickers that have no legal meaning as standalone devices. You still need the registration renewal recorded in the state's system for your particular license plate, which can only be done by going and renewing the registration at the DMV, not by buying stickers. Without the stickers, your friend would only be guilty of driving with an expired registration and subject to relevant punishments for that. However, with stickers purchased from someone else, he is also adding an additional gross misdemeanor in Minnesota for intent to escape tax, which can additionally include up to a year in jail and a $3,000 fine on top of the usual $115 fine for the expired registration.
"the birthdate is on or after November 14, 1986" refers to your birthdate (the birthdate of the parent is irrelevant). "Citizen at birth" means that, if the conditions describe hold, the person has been a citizen ever since they were born, and there is no requirement for parents to register their citizen children as citizens. Mention of age 18 is relevant in case a person's parents are not married to each other at the time of birth. A person who is a citizen at birth does not (technically) have to apply for a Certificate of Citizenship but if you want to document your citizenship, you have to file that form (but simply applying for a US Passport is much simpler and more useful). Since you are at least 18, you can file it on your own, otherwise the ​U.S.​ citizen ​parent or ​legal guardian must submit the application (which is another way that 18 becomes relevant).
The situation in Texas is unclear. It is worth mentioning Texas as a state where the law may require statutory authorization in order to copyright state documents. Although the statute does not explicitly state such as a requirement, it can be inferred from an attorney general opinion. At a bare minimum, the Department of Health, the State Preservation Board, the Water Development Board, the Department of Motor Vehicles, and county governments all have statutory authority to hold copyrights. In your specific case, there's an additional complication. Something is only a work of the State of Texas if one of the following is true: 1) it was created by a government employee as part of their job duties, or 2) it was a work for hire. It's quite likely that neither of the above is true for a student newspaper, rendering the question of Texas-owned copyrights irrelevant.
What are the documents or paperwork which can prove someone is an Indian citizen? As is often the case, it depends on the context: who is seeking to prove the person's Indian citizenship? For what purpose? How did the person become an Indian citizen? For example, if the person became Indian by naturalization, a naturalization certificate would usually be necessary. If a person became Indian by birth then evidence establishing the relevant facts will be needed, and this evidence will typically include a birth certificate. We can see that a passport isn't necessary to prove citizenship because a first-time passport applicant needs to prove citizenship in the application. Whatever documents are acceptable for this must therefore constitute proof of citizenship. But there is always the possibility that an Indian citizen in possession of any document, including a passport, does something that causes the automatic loss of Indian nationality, such as naturalizing in a foreign country. At that point, the former Indian citizen will be in possession of documents that appear to show Indian citizenship without actually being an Indian citizen. Therefore, we can establish that no document or set of documents can be conclusive proof of Indian citizenship. Depending on the context, the person who needs to be convinced of a person's Indian citizenship may or may not need to take into account the likelihood that the person has somehow done something that would cause loss of citizenship. An airline agent boarding a passenger for an international flight to India will be satisfied by the passport. The immigration officer processing the passenger on arrival might however make a brief inquiry into possible expatriating acts. A judge in a court case may go as far as to undertake an intensive legal-factual analysis in which documents play a limited role, if any. Thus, the answer to your question What is the sure shot way of proving citizenship of India? is that there is none. There is always the possibility that a good-faith attempt to prove the citizenship of an Indian citizen will fail. There is always the possibility of a noncitizen having documents that were issued legitimately and purport to show that the person is an Indian citizen. In the 2013 case, it appears that the passports were issued in error. The court did not rule that passports cannot be used to prove Indian citizenship but that it "may not be enough to prove you are an Indian citizen if you were born after July 1, 1987" (quoting the Times of India here, not the court).
I assume that "in Oregon" means that the donor (transferor) and recipient (transferee) are both in Oregon, also that neither party happens to be a licensed gun dealer. You turn to ORS 166.435. The answer (reflecting the logic of the statute) is "No", with some exceptions. There are conditions (subsections 2 and 3) where it is allowed if certain restrictions are satisfied. But you don't have to abide by those restrictions if subsection 4 is the case. Apart from transfers to and from the government, you can freely transfer a firearm under subsection (4)c to a spouse, domestic partner, parent, stepparent, child, stepchild, sibling, grandparent, grandchild, aunt, uncle, first cousin, niece, nephew, or spouse or domestic partner any of the above. And under (4d), because of the death of firearm owner if "conducted or facilitated by a personal representative" (probate) or trustee as created in a will and transferee is one of those relatives. Not a friend, not a second cousin, not an ex-spouse, definitely not a stranger. Otherwise, you have to comply with subsection (2-3). That means, you do the transfer through a licensed dealer and you must request a background check (you do not have to ascertain that the check was done). Under federal law (Firearm Owners’ Protection Act of 1986), you tell the police, they check if you are precluded by law from gun ownership, then they forget that you asked, they don't keep a record of transfers. It is illegal for a minor to possess a firearm ([ORS 166.250])3, but there is no prohibition against a minor owning a firearm. There are also specific exemptions where a minor can possess a firearm (e.g. temporarily for hunting or target practice).
Overview The GDPR requires data controllers (DCs) to exercise reasonable care when responding to an access, modification, or deletion request, to ensure that it comes from the actual Data Subject (person whose data is involved, here a DS). The GDPR does not specify just what methods must or may be used to ensure that an access (or other) request comes from the DS. It does say, in Article 12, that "additional information" may be requested from the DS by the DC for this purpose that is "necessary to confirm the identity" of the DS. If a DC receives data for identification purposes, it must be used only for those purposes, and retained no longer than needed. Personal Data (PD) in general must be limited according to article 5, so that data is used only for the purposes it was collected for, retained for no longer than needed, adn appropriately secured against unauthorized use or access. The DC is responsible for adhering to these limitations. Recitals 57, 59, and 77 (quoted below) confirm this, and discuss identification. If a DC violates these restrictions, it is subject to the same enforcement as it would be for violating any other GDPR provision. If a DS thinks the data requested to support identification of the DS is excessive, the DS may first complain to the DC, and then to the relevant supervisory authority if the response from the DC is not acceptable (allow at least 1 month for a response). But perhaps knowing that the GDPR forbids the DC from distributing or using this data except for the purpose it was collected, that is, to identify the DS, and from retaining it longer than need be, might offer some reassurance. A DS could also ask the DC what is the minimum data needed for identification, and redact data beyond this. The DC might need more than name and address, but not all that is on a bank statement or other ID document. GDPR Sources Article 12 (section 6) of the GDPR reads: Without prejudice to Article 11, where the controller has reasonable doubts concerning the identity of the natural person making the request referred to in Articles 15 to 21, the controller may request the provision of additional information necessary to confirm the identity of the data subject. That includes access requests. Paragraph 1 of Article 11 reads: If the purposes for which a controller processes personal data do not or do no longer require the identification of a data subject by the controller, the controller shall not be obliged to maintain, acquire or process additional information in order to identify the data subject for the sole purpose of complying with this Regulation. Paragraph 1(b) of article 5 specifies that personal data shall be : collected for specified, explicit and legitimate purposes and not further processed in a manner that is incompatible with those purposes; Paragraph 1(c) of art 5 specifies that such data shall be: limited to what is necessary in relation to the purposes for which they are processed ... Paragraph 1(e) of art 5 specifies that such data shall be; kept in a form which permits identification of data subjects for no longer than is necessary for the purposes for which the personal data are processed; [emphasis added] Paragraph 1(f) of art 5 further specifies that such data shall be: processed in a manner that ensures appropriate security of the personal data, including protection against unauthorised or unlawful processing Recital 59 reads: Modalities should be provided for facilitating the exercise of the data subject’s rights under this Regulation, including mechanisms to request and, if applicable, obtain, free of charge, in particular, access to and rectification or erasure of personal data and the exercise of the right to object. The controller should also provide means for requests to be made electronically, especially where personal data are processed by electronic means. The controller should be obliged to respond to requests from the data subject without undue delay and at the latest within one month and to give reasons where the controller does not intend to comply with any such requests. Recital 57 reads: If the personal data processed by a controller do not permit the controller to identify a natural person, the data controller should not be obliged to acquire additional information in order to identify the data subject for the sole purpose of complying with any provision of this Regulation. However, the controller should not refuse to take additional information provided by the data subject in order to support the exercise of his or her rights. 3Identification should include the digital identification of a data subject, for example through authentication mechanism such as the same credentials, used by the data subject to log-in to the on-line service offered by the data controller. Recital 77 reads: Guidance on the implementation of appropriate measures and on the demonstration of compliance by the controller or the processor, especially as regards the identification of the risk related to the processing, their assessment in terms of origin, nature, likelihood and severity, and the identification of best practices to mitigate the risk, could be provided in particular by means of approved codes of conduct, approved certifications, guidelines provided by the Board or indications provided by a data protection officer. The Board may also issue guidelines on processing operations that are considered to be unlikely to result in a high risk to the rights and freedoms of natural persons and indicate what measures may be sufficient in such cases to address such risk.
Paying off fines to enable voting is buying votes? In Florida felons have to pay off all their fines in order to regain their right to vote. An organization is offering to pay off the fines of Florida felons so they can vote. Some people are claiming that this violates 18 U.S. Code § 597 (Expenditures to influence voting): Whoever makes or offers to make an expenditure to any person, either to vote or withhold his vote, or to vote for or against any candidate; It seems to me that this is not a violation of that law, since the organization neither requires that the felon vote for a specific candidate nor even that they vote at all. However, I am not a lawyer. There's also the Florida law Title IX Chapter 104 Section 061 (2): No person shall directly or indirectly give or promise anything of value to another intending thereby to buy that person’s or another’s vote or to corruptly influence that person or another in casting his or her vote. Again, I don't think that paying to enable someone to vote is either buying that person's vote or corruptly influencing that person, but again I am not a lawyer.
You analysis is correct. The claim that this is illegal election tampering bribery is just baseless election year fear mongering.
Because an "Order, Resolution, or Vote" is not the same as a Bill, and does not become a law. Thus the procedure for presentation, leading to signing, pocket acceptance, veto, or pocket veto, does not apply to Orders, Resolutions, or Votes. Therefore it is repeated to indicate that it applies to those legislative acts also. A "Vote", in the sense used here is a legislative decision or action that is neither a Bill nor a resolution. For example, the decision on when to adjourn to, that is, when Congress will come back into session after an adornment, is a Vote. A "Bill" is a proposed law. If it is passed by Congress and not vetoed, or if any veto is overridden, it becomes a law. Other legislative actions do not become laws, but otherwise go through much the same procedure. Note that some legislative actions do notneed the "Concurrence of the Senate and House of Representatives". For example, when the House votes on a new Speaker, it is a vote of the House only, and neither the Senate nor the President has a say.
I am assuming you are not the councilor. Civil matter you have no standing. The councilor does. Maybe the hotel bar does. I can’t think of anyone else who does. Criminal matter If a crime was committed in DC, the DC prosecutor is under no obligation to prosecute it. As a political matter, if you were a citizen of DC you could complain and try to get the prosecutor voted out next election. Political matter As a citizen of your city, it is a political matter: You call your councilman* or any city councilman really and ask them to begin impeachment or whatever similar action you have there. Then next election to try to get the mayor voted out. If you are unsatisfied with the council, try to get them voted out also. The cost of investigation is a cost of running a government. Someone could have chosen not to spend seven grand investigating a hundred bucks, but they did it. *Note this is called petitioning for redress which is the right that the current SCOTUS nominee could not recall off the top of her head.
The potential problem is if there is a form which you had to sign which says "I am a US citizen", and you signed the form (who reads the fine print, anyhow?). Unfortunately, that statement is false, and there are consequences for making a false statement. However, that law penalizes false statements with the intent to deceive, not mistaken statements. Nevertheless, this is a matter that a professional really needs to deal with. If there was no form and they didn't verbally ask you to assert that you are a citizen, then there is less of a problem (for you), but still one needs to be extremely cautious in dealing with the court. [Addendum] It is highly likely that the form contained wording like "swear" or "certify" and mentions "perjury", so the error would be in the ballpark of perjury. Perjury is making "a false statement under oath or swears to the truth of a false statement previously made and the statement is required or authorized by law to be made under oath". Aggravated perjury is perjury which "is made during or in connection with an official proceeding and is material". The term "material" means "matters; is not inconsequential". The consequence of a non-citizen improperly serving on a jury is that a mistrial has occurred, which is not inconsequential. Aggravated felony is a third degree felony. The penal code says that An individual adjudged guilty of a felony of the third degree shall be punished by imprisonment in the Texas Department of Criminal Justice for any term of not more than 10 years or less than 2 years. (b) In addition to imprisonment, an individual adjudged guilty of a felony of the third degree may be punished by a fine not to exceed $10,000. I must emphasize that an essential element is "intent to deceive and with knowledge of the statement's meaning", an element that cannot be present if there is no awareness of such a statement. Thus an innocent mistake could be legally excused. When you become aware that a statement made under oath was false (assuming such a statement was made), then in maintaining the falsehood, that would be intentional deceit. This is why it is necessary to consult with a lawyer. On the Houston form, you would have to check the "are a US citizen" box. The Fort Bend county form has you certify and sign on the front page: it does not require you to certify that you are a US citizen, only to certify (and sign) if you are not – so if you failed to read the back side, that isn't a literally false statement. I can't locate an online form for Tarrant county, so dunno if that out is available.
No. The relevant provision of the United States Constitution is Article II, Section 2, Clause 1 which states in the pertinent part: The President . . . shall have Power to Grant Reprieves and Pardons for Offences against the United States, except in Cases of Impeachment. The correct conclusion flows pretty directly from the definition of a "reprieve" and a "pardon", both of which, in the ordinary senses of these words refer to granting forgiveness for acts that have already occurred. One of the leading cases on point which supports this view is Ex parte Garland, 59 U.S. (18 How.) 307, 380 (1855), which states: The power thus conferred is unlimited, with the exception stated. It extends to every offence known to the law, and may be exercised at any time after its commission, either before legal proceedings are taken, or during their pendency, or after conviction and judgment. This power of the President is not subject to legislative control. Congress can neither limit the effect of his pardon, nor exclude from its exercise any class of offenders. The benign prerogative of mercy reposed in him cannot be fettered by any legislative restrictions. Despite its antiquity, this case remains good law and has been applied repeatedly in subsequent cases (although few on the right of a President to pardon future crimes which just hasn't come up). Other Observations The President's pardon power is limited to federal crimes, so no President may pardon or commute a state or foreign conviction. The nature of the pardon power, if any, with respect to state and local crimes is governed by each respective state constitution and varies rather considerably. The power in the U.S. Constitution is broader than that is some state constitutions. For example, the corresponding provision of the Colorado Constitution, applicable to convictions entered by the state of Colorado, does not allow crimes to be pardoned prior to a conviction. Article IV, Section 7, of the Colorado Constitution provides: "The governor shall have the power to grant reprieves, commutations and pardons after conviction, for all offenses except treason * * *." The History Of The Pardon Power One of the most thorough and up to date reviews of the scope and nature of the federal pardon power can be found in the law review article, Todd David Peterson, "Congressional Power Over Pardon and Amnesty: Legislative Authority In The Shadow of Presidential Prerogative" 38 Wake Forest L. Rev. 1225 (2003). In particular, it has an interesting historical overview of the power at pages 1228-1235 (pagination and footnotes omitted): The President's pardon power derives from the authority that had been invested in English kings since the end of the first millennium. Although the King possessed plenary power to grant pardons, over the years Parliament imposed specific limitations on the pardon power in order to avoid perceived abuses. For example, the Habeas Corpus Act of 1679 made it an offense for any person to imprison an English subject outside of the country and, in order to avoid an evasion of the writ, Parliament prohibited the King from granting a pardon for violation of the statute. Nevertheless, English courts frequently took an absolutist view of the King's pardon power. Thus, in Godden v. Hales, the Lord Chief Justice upheld a royal pardon on the ground that the Kings of England were absolute sovereigns; . . . the laws were the King's laws; . . . the King had a power to dispense with any of the laws of Government as he saw necessity for it; . . . he was sole judge of that necessity; that no act of Parliament could take away that power. The Parliament, however, persisted in its efforts to rein in the pardon power and, in 1700, adopted the Act of Settlement, which stated that "no pardon under the great seal of England [shall] be pleadable to an impeachment by the commons in Parliament." This limitation was enforced against the King, although it did not apply to pardons granted to relieve punishments imposed after the impeachment of an official. The royal pardon prerogative was imported into the American colonies whose charters gave the leaders substantial authority to pardon offenses. At the Constitutional Convention of 1787, neither the Virginia plan nor the New Jersey plan contained a pardon power. Nevertheless, at the insistence of Charles Pinckney, Alexander Hamilton, and John Rutledge, a pardon clause similar to the English Act of Settlement of 1700 was added to the draft constitution. Thus, the first report of the Committee on Detail proposed that the clause read: "He [the President] shall have power to grant reprieves and pardons; but his pardon shall not be pleadable in bar of an impeachment." The issue of legislative control over the pardon process was addressed directly by an amendment proposed by Roger Sherman of Connecticut. James Madison's journal notes that "Mr. Sherman moved to amend the power to grant reprieves and pardon' so as to readto grant reprieves until the ensuing session of the Senate, and pardons with consent of the Senate.'" George Mason argued that the Senate already possessed too much authority, and the proposed amendment was rejected by a vote of eight to one. The convention did approve a motion to insert "except in cases of impeachment" after pardon and remove the words "but his pardon shall not be pleadable in bar." Luther Martin then sought to limit the President's power to grant pre-conviction pardons by inserting the words "after conviction," following the words "reprieves and pardons." Martin, however, withdrew his motion after James Wilson argued that "pardon before conviction might be necessary, in order to obtain the testimony of accomplices." Edmund Randolph then offered an amendment to exclude "cases of treason" from the pardoning power. This proposed amendment was defeated, although its exclusion was later to prove controversial. Thus, although the framers realized that the pardon power was subject to potential abuse by the President, they declined to place any limitations on the President's pardon power or grant the legislature any authority to check potential presidential abuses. The debates following the convention's passage of the Constitution reveal more about the framers' views on the pardon power. In the Federalist 74, Alexander Hamilton attempted to respond to the criticism that the President could pardon his accomplices in a case of treason. Hamilton acknowledged that "there are strong reasons to be assigned for requiring in this particular the concurrence of [the legislative] body or of a part of it." Hamilton argued, however, that the reasons against such legislative authority outweighed any in its favor: "[i]t is not to be doubted that a single man of prudence and good sense, is better fitted, in delicate conjunctures, to balance the motives, which may plead for and against the remission of the punishment, than any numerous body whatever." In particular, Hamilton argued, in the case of large scale seditions that attracted significant popular support, we might expect to see the representation of the people tainted with the same spirit, which had given birth to the offense. And when parties were pretty equally matched, the secret sympathy of the friends and favorers of the condemned person, availing itself of the good nature and weakness of others, might frequently bestow impunity where the terror of an example was necessary. Thus, Hamilton argued not only that the power was properly reposed in the President, but that it would be dangerous to grant such power to Congress. Finally, Hamilton argued that it was appropriate to grant the President pardon power in order to ensure that the authority could be exercised with appropriate dispatch: "In seasons of insurrection or rebellion, there are often critical moments, when a well timed offer of pardon to the insurgents or rebels may restore the tranquility of the commonwealth; and which, if suffered to pass unimproved, it may never be possible afterwards to recall. The dilatory process of convening the Legislature, or one of its branches, for the purpose of obtaining its sanction to the measure, would frequently be the occasion of letting slip the golden opportunity. The loss of a week, a day, an hour, may sometimes be fatal. If it should be observed that a discretionary power with a view to such contingencies might be occasionally conferred upon the President; it may be answered in the first place, that it is questionable whether, in a limited constitution, that power could be delegated by law; and in the second place, that it would generally be impolitic before-hand to take any step which might hold out the prospect of impunity." There was little debate about the pardoning power during the state ratifying conventions. George Mason continued to argue that the power should not be given to the President. An opponent in New York suggested that pardons for treason should not be allowed without congressional consent. Ultimately, the Constitution was adopted without any express limitation on the President's pardoning power. The Supreme Court has on a number of occasions discussed the general scope of the pardoning power. For the most part, with exceptions to be discussed later, these decisions contain broad dicta concerning the unfettered nature of the President's power and the inability of Congress to impose any legislative restrictions on it. For example, in United States v. Wilson, the Court held that a pardon must be pleaded in order to be effective. Chief Justice Marshall wrote that the [C]onstitution gives to the [P]resident, in general terms, "the power to grant reprieves and pardons for offences against the United States." As this power had been exercised from time immemorial by the executive of that nation whose language is our language, and to whose judicial institutions ours bear a close resemblance; we adopt their principles respecting the operation and effect of a pardon, and look into their books for the rules prescribing the manner in which it is to be used by the person who would avail himself of it. Marshall further defined the pardon as an act of grace, proceeding from the power entrusted with the execution of the laws, which exempts the individual, on whom it is bestowed, from the punishment the law inflicts for a crime he has committed. It is the private, though official act of the executive magistrate, delivered to the individual for whose benefit it is intended, and not communicated officially to the court. In Ex parte Wells, the Supreme Court considered whether the President could grant a conditional pardon in the form of commutation of a death sentence to a sentence of life imprisonment. The Court noted that pursuant to the Pardon Clause, the President has granted reprieves and pardons since the commencement of the present government. Sundry provisions have been enacted, regulating its exercise for the army and navy, in virtue of the constitutional power of [C]ongress to make rules and regulations for the government of the army and navy. No statute has ever been passed regulating it in cases of conviction by the civil authorities. In such cases, the President has acted exclusively under the power as it is expressed in the [C]onstitution. The Court noted, however, that "[t]here are also pardons grantable as of common right, without any exercise of the king's discretion; as where a statute creating an offence, or enacting penalties for its future punishment, holds out a promise of immunity to accomplices to aid in the conviction of their associates. When accomplices do so voluntarily, they have a right absolutely to a pardon . . . ." Thus, at least in dicta, the Court recognized Congress's authority to regulate clemency in the military and to adopt statutes granting immunity for cooperation in a criminal investigation. In Ex parte Garland, the Court spoke in sweeping dicta about the exclusive power of the President over pardon and amnesty. In Garland, the Court considered the issue whether a former Confederate senator would be permitted to be a member of the Supreme Court Bar without taking the statutorily required oath that he had never voluntarily given aid or comfort to the confederacy. The petitioner had received a presidential pardon and argued that the pardon exempted him from the requirements of the oath to which he could not truthfully subscribe. The Court held that it was "not within the constitutional power of Congress thus to inflict punishment beyond the reach of executive clemency," and therefore, the petitioner was entitled to membership in the Bar. In the course of the opinion, the Court broadly defined the President's pardon power: "The power thus conferred is unlimited, with the exception stated. It extends to every offence known to the law, and may be exercised at any time after its commission, either before legal proceedings are taken, or during their pendency, or after conviction and judgment. This power of the President is not subject to legislative control. Congress can neither limit the effect of his pardon, nor exclude from its exercise any class of offenders. The benign prerogative of mercy reposed in him cannot be fettered by any legislative restrictions." In Ex parte Grossman, the Court considered whether the President's pardon power extended to criminal contempts of court. The Court upheld the President's power to issue such pardons based on the history of royal pardons for contempt in England. The Court also looked to the long history of presidential pardons of criminal contempts of court. In responding to the argument that a presidential pardon of contempt of court would interfere with the ability of the federal courts to protect their own decrees, Chief Justice Taft noted that the Constitution provides a number of powers to the branches which give them the ability to check the other branches of government. With respect to the pardon power, the Court stated: "[t]he executive can reprieve or pardon all offenses after their commission, either before trial, during trial or after trial, by individuals, or by classes, conditionally or absolutely, and this without modification or regulation by Congress." The Court also noted that the President exercised the pardon power without any significant judicial check on his pardoning authority: "It is a check entrusted to the executive for special cases. To exercise it to the extent of destroying the deterrent effect of judicial punishment would be to pervert it; but whoever is to make it useful must have full discretion to exercise it. Our Constitution confers this discretion on the highest officer in the nation in confidence that he will not abuse it. An abuse in pardoning contempts would certainly embarrass courts, but it is questionable how much more it would lessen their effectiveness than a wholesale pardon of other offenses. If we could conjure up in our minds a President willing to paralyze courts by pardoning all criminal contempts, why not a President ordering a general jail delivery?" In Biddle v. Perovich, Justice Holmes wrote an opinion for the Court in which he upheld the President's conditional pardon of a convict sentenced to death on the condition that his sentence be commuted to life imprisonment. Justice Holmes suggested a different rationale for the pardon power than Chief Justice Marshall had enunciated early in the 19th century. Rather than being a private act of grace that must be accepted and proffered to the court by the one pardoned, Justice Holmes saw the President's pardon as serving public policy ends: "A pardon in our days is not a private act of grace from an individual happening to possess power. It is a part of the Constitutional scheme. When granted it is the determination of the ultimate authority that the public welfare will be better served by inflicting less than what the judgment fixed. . . . Just as the original punishment would be imposed without regard to the prisoner's consent and in the teeth of his will, whether he liked it or not, the public welfare, not his consent, determines what shall be done."
There is usually a law that could be stretched to cover such a case. In Washington, RCW 9A.28.030 says A person is guilty of criminal solicitation when, with intent to promote or facilitate the commission of a crime, he or she offers to give or gives money or other thing of value to another to engage in specific conduct which would constitute such crime or which would establish complicity of such other person in its commission or attempted commission had such crime been attempted or committed. The "intent" of the law is to punish people for saying "I'll give you $5000 to kill Smith". But just looking at the text, if you give someone money to encourage them to engage in a specific kind of criminal conduct (e.g. beating people up), then you've violated the law. So, handing a guy $5,000 and saying "I think you should be rewarded for your act" could easily be construed as promoting the future commission of the same or similar crime.
Legal Representation: You have the right to represent yourself in a legal proceeding, but you cannot assign that right to anyone that you choose, only to certain approved individuals. Vote: You can vote, and you cannot assign that right to another. Jail Sentence: You can (indeed must) serve a jail sentence or be executed for a capital crime yourself, but you cannot allow another person to do that on your behalf. Military Draft: When we had the draft (most recently), you could not authorize another person to serve in your stead. Marriage: You can marry your neighbor's sister (if she is not related to you), but you cannot transfer that right to your neighbor (who is the brother of the intended bride). These are different things from committing suicide, but it's not clear exactly what concept of exclusive sovereignty you're getting at.
I'm assuming you are talking about "warrants in debt" and not arrest warrants. A warrant in debt is that the creditor has filed with a court for the repayment of a debt. The court will then issue a judgement (in default if you do not appear) either for the creditor or the debtor. After that, the creditor can then (if they win) seek things such as garnishment to repay the debt. Now in the UK, they have accepted the "Electronic Communications Act of 2000" which means that a Qualified Electronic Signature (QES) is as legally binding as a "wet ink" signature. Non-QES signatures may also be binding, but that requires additional evidence. Let's take an example of a small personal loan. Let's say you apply electronically for a loan of X amount. The loan is approved and the money is transferred into your bank account electronically. You spend the money but make no attempt to repay the loan. First the bank will make attempts to collect the debt via normal means, then they may sell the debt to a debt collector. The debt collector will apply for a "warrant in debt" to take you to court for the amount (possibly with fees). If you do not appear, a default judgement will be applied to you. If you signed the loan application with a QES compliant system, that signature is all the debt collector will need to show that you accepted the debt and the repayment terms. If you did not sign with a QES system, they can still submit the application but they may have to prove other things, like: Your intent to obtain money for some purpose Your action in keeping/spending the money No action on your part to return or rectify the transfer Any payments you may have made towards the loan (shows that you acknowledge the loan and terms) So no, as of at least 2000 most countries accept some type of electronic signature to be legally binding. An entirely different topic would be if the debt is legal without the paperwork. Many debt collection agencies buy debt in bulk that may not be much more than an Excel sheet with the amounts and names/addresses and other personal information. A lot of times the entire debt "paper trail" is not transferred with these debt purchases so a debt collector may have purchased $10 million worth of debt for $50,000 that is nothing more than an Excel sheet. I believe in the US this has held up, but I'm not sure about the UK/rest of the world. What the YouTube people may be saying is that they don't have anything regarding the debt as far as binding paperwork goes. That may be something completely different.
Is it legal for a public US university to advise its employees to purchase from businesses owned by people of color? A public US university I'm familiar with is promoting an anti-racism initiative. As part of this initiative, a web article posted on the university's diversity web portal (which was advertised in an email newsletter to the university community) contains a list of suggested actions that employees and departments can take to advance the cause of anti-racism. One of the actions on the list is to support businesses owned by people of color. The recommendation is accompanied by links to various lists of black-owned businesses in the region. Is it legal for a public US university administration to advise its employees to patronize businesses owned by people of a specific race, both in their private lives and in the transaction of official university business?
Advising employees to take some lawful action is legal, and is speech protected by the US Constitution. Campaigning for a political candidate could jeopardize the university's tax-exempt status, but there is no law requiring a university, even a government university, to remain politically neutral. That alone answers the question. Whether or not the university could itself pursue racially-weighted business policies depends on what they are doing and what state it is in. It is generally legal to adopt policies that address discrimination, but 9 states have laws banning affirmative action. The cases Grutter v. Bollinger and Gratz v. Bollinger establish that "blanket policies" run counter to the requirements of the 14th Amendment, but race can be used as a factor in making decisions. Here is a list or affirmative action related decisions in the US. As applied to a state's affirmative action programs, the standard of legality would be having a clear goal of limited scope without other workable race-neutral means to achieve it.
Were two black men legally removed from a Philadelphia Starbucks? Maybe - its complicated. The crime of trespass in Pennsylvania relevantly involves: 3503 (b) Defiant trespasser.-- (1) A person commits an offense if, knowing that he is not licensed or privileged to do so, he enters or remains in any place as to which notice against trespass is given by: (i) actual communication to the actor; At face value, the store manager asked them to leave and by refusing to do so they committed the crime. However: (c) Defenses.--It is a defense to prosecution under this section that: (2) the premises were at the time open to members of the public and the actor complied with all lawful conditions imposed on access to or remaining in the premises; or If the condition imposed was "buy something or get out" then that would be a lawful condition and trespass would have been committed. If the condition was "because you're black" then that would be an unlawful condition and trespass would not have been committed. Now, the evil and insidious thing about unlawful discrimination is that there are lots of perfectly lawful masquerades that it can wear. Indeed, except in egregious cases, the unlawful discrimination can only be inferred by a holistic look at a large number of interactions to see where any particular one falls on the scale. That said, this particular case feels like racial discrimination. With respect to Starbucks, if they could show evidence that it routinely asks people of all ethnicities who did not make a purchase to leave then this would not be racial discrimination - just bad business practice. However, given the particular business model of providing a place to rest along with an opportunity to buy sub-standard coffee it seems unlikely that this was the case (I'm Australian so I completely fail to understand why Americans insist on drinking bad coffee). With respect to the police, this is a little less clear. It is not their job to determine how a court (or DA) might decide a case: its their job to determine if they have probable cause to believe a crime is or has been committed. They have a store manager who has asked people to leave and people who are refusing to do so - probable cause for trespass. That said, police have discretion as to how to handle the situation: they could talk to the manager, they could ask the patrons to leave or they could arrest them. They can use their discretion however they like: unless it is based on unlawful discrimination. Which brings us back to the beginning.
Since this apparently amends the law giving colleges and universities the power to adopt and enforced various regulations, what it really means is that if such an institution adopts a rule in violation of this law, it may not legally enforce that law. It might also give an affected student a right to sue if such a rule is adopted and enforced. As a comment by ohwilleke mentions, such a law might well authorize a court to issue an injunction forbidding the institution from enforcing the kind of rule prohibited by the law. Note that it is not at all uncommon to have "or else" provisions in different sections of the law. For example Section 123 of the (hypothetical) New France state code might prohibit having a faked driver's license, section 124 prohibit obtaining a license through false or misleading statements on nthe application, and section 458 say "anyone who violates sections 123, 124, 125, or 126 shall be fined up to $2,000, or imprisoned for up to 1 year, or both, as a court may think just". Thus it is not always easy to find what penalties, if any, apply to a code section.
In the US at least, discrimination is legal (and sometimes even required) unless it is discrimination against specific, protected characteristics, and even then it is sometimes allowable if it is "necessary". Income, whether of an individual or that individual's family, is not in any list of protected characteristics. As such, discrimination upon it is fully legal.
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.
In general, employers in the United States are free to fire you for your speech. The First Amendment does not apply to anyone except the government (other than a narrow set of circumstances where private parties act on behalf of the government or take on government roles, like when private universities employ campus police). If the officer was being fired from a job at a private company, this would not be an interesting question -- the answer would clearly be "no, there is no First Amendment claim here." That’s not to say labor laws might not come into play (for instance, federal law prohibits firing an employee for organizing a union, and some states prohibit firing for off-duty political speech); however, labor law protections exist by statute and are not derived from the First Amendment. What makes this interesting is that the government is involved. Unlike private employers, government agencies are bound by the First Amendment. In Pickering v. Board of Education, the Supreme Court held that this does restrict them in their role as employer and that they can't necessarily fire an employee for speech. Pickering imposes a balancing test, where the harm to the employee's First Amendment rights is weighed against the government's interest in efficient operation. Courts have given particular leeway to police departments punishing speech that would undermine public trust and confidence in the department. A police officer expressing racist views, even privately, can seriously hamper the effectiveness of the department if the speech gets linked back to them. For instance, see Pappas v. Giuliani, where the Second Circuit upheld the firing of an NYPD officer for anonymously mailing racist diatribes from home in his off-duty time. Another answer suggests that the main question is a public safety one: whether the officer could be trusted to carry out his duties without bias. But that's not the only legitimate consideration for the government employer. The courts have repeatedly held that public perception of an agency is a legitimate concern, especially when it comes to agencies (like the police) whose job requires maintaining good relations with the community. In Pappas, the officer was assigned as a computer operator who had no contact with the public, but he was still a police officer whose speech had a high potential to undermine NYPD community relations.
The spectrum of "illegal" is broad. One way in which racial epithets are (indirectly) illegal is via anti-discrimination laws, indeed labeled "harassment" by the EEOC Harassment is unwelcome conduct that is based on race, color, religion, sex (including sexual orientation, gender identity, or pregnancy), national origin, older age (beginning at age 40), disability, or genetic information (including family medical history). Harassment becomes unlawful where 1) enduring the offensive conduct becomes a condition of continued employment, or 2) the conduct is severe or pervasive enough to create a work environment that a reasonable person would consider intimidating, hostile, or abusive. Anti-discrimination laws also prohibit harassment against individuals in retaliation for filing a discrimination charge, testifying, or participating in any way in an investigation, proceeding, or lawsuit under these laws; or opposing employment practices that they reasonably believe discriminate against individuals, in violation of these laws. If an employer tolerates racial epithets, they are likely to be the target of a harassment lawsuit. There is no limit on who utters the epithet, thus a customer can be the trigger for a suit. In cases not involving supervisory employees, liability arises if the employer "knew, or should have known about the harassment and failed to take prompt and appropriate corrective action". Analogously, racial epithets in educational institutions are actionable. Framed in terms of a random epithet by a non-employee or campus visitor (where the institution has minimal leverage over the offender), the institution must act, when it becomes aware of such circumstances arising, and cannot just say "What can we do??". A second (remote) possibility is through the fighting words doctrine, that the government can limit speech that is "likely to incite immediate violence or retaliation by the recipients of the words". This arose initially in Chaplinsky v. New Hampshire – one of the holdings was that The Court notices judicially that the appellations "damned racketeer" and "damned Fascist" are epithets likely to provoke the average person to retaliation, and thereby cause a breach of the peace. There have been numerous refinements of the doctrine over the decades, so the mere utterance of a racial epithet would not run afoul of properly-restrained "breach of peace" laws. One of the two most-relevant current opinions is Brandenburg v. Ohio, 395 U.S. 444, where the court held that the government cannot forbid advocacy of the use of force or of law violation except where such advocacy is directed to inciting or producing imminent lawless action and is likely to incite or produce such action but uttering an epithet is not advocacy of force or law violation. The second is R.A.V. v. City of St. Paul, 505 US 377 where defendant was charged with violating an ordinance that prohibits the display of a symbol which one knows or has reason to know "arouses anger, alarm or resentment in others on the basis of race, color, creed, religion or gender" SCOTUS ruled that "the First Amendment does not permit a state to use content discrimination to achieve a compelling interest if it is not necessary to achieve that interest" (emphasis added), holding that A few limited categories of speech, such as obscenity, defamation, and fighting words, may be regulated because of their constitutionally proscribable content. However, these categories are not entirely invisible to the Constitution, and government may not regulate them based on hostility, or favoritism, towards a nonproscribable message they contain. Thus the regulation of "fighting words" may not be based on nonproscribable content. It may, however, be underinclusive, addressing some offensive instances and leaving other, equally offensive, ones alone, so long as the selective proscription is not based on content, or there is no realistic possibility that regulation of ideas is afoot. A further holding is that the law is is facially unconstitutional because it imposes special prohibitions on those speakers who express views on the disfavored subjects of "race, color, creed, religion or gender." At the same time, it permits displays containing abusive invective if they are not addressed to those topics. Moreover, in its practical operation the ordinance goes beyond mere content, to actual viewpoint, discrimination. The court has not clearly identified a context in which a law against a racial epithet would be constitutional, they have simply identified other bars that would have to be cleared for such a law to be permissible. No utterance, devoid of context, is illegal, so to discover where such an utterance could be part of a prosecutions, we would need a lot of specific context in the hypothetical.
It may be discrimination, but it is not discrimination based upon any reason that the company is prohibited from engaging in. This conduct is legal in pretty much all U.S. jurisdictions.
If Google wins Google v. Oracle America then would creating API compatible software clones be legal? As of this writing, the Google v. Oracle America case over some of the Java APIs is set for argument on Wednesday, October 7, 2020 in the US Supreme court. If Google wins the case will that mean that it will be legal to make API compatible clones of software? That is, would the creation of an API compatible clone of a different developer platform, say a popular game engine such as the Unity game engine, be legal? I'm imagining someone creating a platform where programs originally written against one platform, could be easily ported to a different platform in a similar manner that programs that only relied on the Java APIs Google re-implemented could be easily ported to Android. One could imagine giving developers a better platform licensing deal, (maybe even making the new platform open-source,) or providing other incentives to switch to the new platform. If Google wins the case, do we know whether or not examples like this one would definitely be affected, or, definitely would need further legislation? Or would it depend on exactly how the decision is reached?
We can't really know until the ruling is made. The Supreme Court might issue a ruling that encompasses all software APIs, or may predicate its ruling on this more specific situation, e.g. that because Oracle's library is so extensive its structure can be copyrighted even if that does not necessarily mean that any individual function signature can be copyrighted. They could also decide based on something unrelated to the heart of the copyright question - skimming through the petition for a writ of certiorari, they could make a decision based on the original implied license from Sun, for example. Hopefully their decision will answer the copyright question of function declarations completely, but it isn't required to.
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.
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.
If you are producing and selling it, that is an absolute bar to patentability by anyone else (this is known as prior art). So if you are using it very publicly before they file, they can't get the patent.
The reason for this is simple: You can’t install C or C++. C or C++ is just a programming language and C/C++ code compiles to machine code. Machine code can directly be executed by the processor (CPU) in your computer. Java, however, is normally compiled to byte-code only a Java Virtual Machine can execute. And this Java virtual machine is what you get from Oracle and Oracle wants you to accept a license agreement. You likely also have accepted some kind of license agreement when you began using or bought your computer. That’s the same you did for the Java Virtual Machine, but this time for your whole computer, which includes the processor that is responsible for executing the machine code. Java in this context also refers to the Java libraries that ship alongside the JVM. While C or C++ also have standard libraries they are part of your operating system and you have agreed to a license covering them when you installed your operating system (or began using it).
Monopoly is a trademark of Parker Brothers. You would need to get permission to use that trademark. The artwork of the game is copyrighted and cannot be duplicated without violating that copyright. In general, the labels meaning phrases like "Go to Jail" and "New York Avenue" are probably copyrighted and some court decisions have decided that labels are a copyrightable element. However, there is some gray area. The game mechanics are not copyrightable and can be duplicated. What this means is that if you clone the game and use new labels (like new property names and card titles) then you are probably fine. You would have to make a novel board design. If you clone the game, but use the game's labels, then you could potentially lose in court. Of course, remember that corporations will sometimes sue just to intimidate people, even if they have a losing case. Just because your clone is non-infringing doesn't mean they won't sue you. It costs them money to sue people, so if your clone is obscure or not used by many people it could fly under the radar and be ignored by the company. If your clone was a success and became widely used, that would significantly increase the chance you could get sued. In most cases a company will threaten infringers before they sue them, because it is a lot cheaper to threaten somebody than sue them. Therefore, you could make your clone and just plan on discontinuing it if they threaten you. Of course, there is a small risk they would sue you anyway. If you made no money then you are probably safe because it would be a lot harder for them to argue that you commercially damaged them if you made no money.
It does mean that you cannot reuse any parts of the source code, even small simple ones. You would have to rebuild the code from scratch. There is a significant chance that the code would be "substantially similar" to the code that you were hired to build, also that if anybody else were to write a bubble sort or 24-to-am/pm conversion routine, it would look the same, where even variable names (which should describe function) are the same or very similar. In case of an infringement lawsuit, you would have to defend yourself by showing that there are only a few ways to code a given function. Copyright protects only the "expression", not the abstract idea. A linked list is an idea, which can't be protected by copyright; same with recursion, pointers, stacks, object-oriented programming... Anything that involves copy and paste is infringement. If you re-read the copyrighted code and then try to reconstruct it, you probably crossed the infringement line. If you remember the problems and solutions and accidentally write somewhat similar code, that is probably on the safe side. From the perspective of the programmer not wanting to always reinvent the wheel, it would be most useful to make a distinction in the contract between "the essentials of the customer's program" versus "incidental utility work". The difficulty will arise in saying specifically what is essential vs. incidental. For instance, I know that if I were to hire you to develop a speech-recognition system, low-level audio-acquisition and encoding would not be essential to my purpose, whereas DSP parsing routines would be the center of my interest. The programmer would then want to retain recycling rights to all non-essential code.
I'm assuming that you are not seeking to change the license, and so it will remain GPLv3. As long as you've built on the original software, that license still applies. You also need to keep the previous copyright notices, including the names of the original people. Assuming that, everything you're doing is legal, which is what's on topic here. There is some etiquette around forks (which is what you're doing), which would be on topic at the Open Source Stack Exchange. I'm puzzled by your desire to have a different license text. You can't change the license from GPLv3, so that has to stay the same. (If the original has GPLv3 "or, at your option, any later version", you can drop the any other version text if you like.)
Sell art prints online: copyright? Say I would like to sell hand framed art prints, for decorations, on e.g. ebay. I have some example posters and so on, mainly modern art works from various modern art gallery's, often in the form of posters I have mocked up myself, with added text. It won't be recent works, mainly things like Picasso or David Hockney. What is the copyright situation? Do I need to pay someone if a customer buys a print?
You need permission from the copyright holder(s) to make the prints at all unless it falls under some fair use doctrine or is a work in Public Domain. If permission is granted, it would presumably involve you paying money on some negotiated basis. An artist might flatly refuse to give permission to your plan to use their art as a component of your art.
Although the exact answer should depend on the country you are, in general private copies of copyrighted works are allowed. General rules are: You need to have got the work in a legitimate way. That is, that you have purchased a copy of the work with permission from copyright owners or you have got the work from an act of public distribution authorised by copyright owners - if you got it from a website that is not making a copyright infringement itself, you are in the second case. That you don't make a collective or commercial use of the work. (I took these rules from Spanish Intellectual Property law (article 31), but most countries have similar rules, specially in the European Union. Anyway, the exact limits of private copying exception may differ). Since private copying might have an economic effect, some countries collect private copying levies to compensate copyright owners - probably you have already paid for those when purchasing the printer. Therefore, you can print a book downloaded from a website (unless the site is hosting the work without authorization of the copyright owners, as pirate sites do) for your own use. You can't sell the copies or made a collective use of them. Although reach of collective use might be hard to assess, I would suggest that if you want all the people in your class have the book, send them the link so that any one could print their own copy. Update about the USA As the OP has now specified now their country I update the answer with a comment, although an additional answer by anybody more knowledgeable on US law would be great. I'm quite sure that for practical purposes the result is that you can print such a book anywhere in the world. However, I don't know which laws regulates that in the US. Google doesn't return meaningful results for "private copy usa", so I suppose it is know there by another name. Furthermore, statutes in common law countries tend to be less explicit and there might be no case law applicable. For example, I nobody printing a copy of a pdf for himself to read at home has ever been challenged in court in the USA, there might be no explicit rule about the subject.
You might be able to use a site like the Internet Archive to preserve the TOC even after the site is shut down. The real liability trap here is if the site does not have the authority to give you this license. If a user uploads a photo that they do not own, and you use it, you are infringing the copyright of the original owner. Innocent infringement is not a defense to liability (although it may reduce damages in some cases.)
BAD idea It is one thing to upload the phonebook and associated pictures for use of the owner of the phonebook. It isn't a fair use of the phonebook pictures - and you might not have a license anyway, as some people associate photos with numbers that they don't have a license to associate with anyway. But what if instead of a photo of the person, the first photo someone associated with the person is a photo of something like... crack cocaine, a photo of someone in a very compromising situation, just genitals, or some other thing that is just as tasteless or possibly criminal to share? In that case, your company is possibly committing defamation, and in case sharing or possessing of the image itself is illegal, your company is now the actor and liable. Depending on the content of the picture, distribution of pornographic material (possibly even underage material of that sort) could be up that alley just as much as hate speech through symbols, usage of banned symbols (such as swastikas in Gernamy) and many many others.
No The artwork is all covered by copyright that, in Japan, lasts for 70 years after the death of the last artist. As employees of Squaresoft, the artists don’t own the copyright, Squaresoft (or it’s heirs or assignees do). So, the copyright currently vests with the successor company Square Enix. They are the only organisation with the right to make or licence derivatives. While they currently don’t want to, they might in 10 or 20 or 40 years and any work you made would damage the profitability of that hypothetical project. So it isn’t fair use. So you can’t do it.
Don't get hung up on unauthorized resale. That only prohibits unauthorized resale. Authorized resale is ok. From http://www.justice.gov/usam/criminal-resource-manual-1854-copyright-infringement-first-sale-doctrine: The first sale doctrine, codified at 17 U.S.C. § 109, provides that an individual who knowingly purchases a copy of a copyrighted work from the copyright holder receives the right to sell, display or otherwise dispose of that particular copy, notwithstanding the interests of the copyright owner. The right to distribute ends, however, once the owner has sold that particular copy. See 17 U.S.C. § 109(a) & (c). Since the first sale doctrine never protects a defendant who makes unauthorized reproductions of a copyrighted work, the first sale doctrine cannot be a successful defense in cases that allege infringing reproduction.
If you used some creative work of mine without my permission (I'm the copyright holder, and you have no license giving you permission) then I can sue you to make you stop using my work, to get payment for damages, and to get payment for statutory damages. If you used my work because someone else told you wrongly that you had a license, that's very unfortunate for you, but is no reason why I wouldn't or shouldn't sue you. Obviously in this situation that third party did something badly wrong. I can sue both of you together to make sure that I get payment from whoever has deeper pockets. You can also sue that third party if you think that their lying, or being mistaken, about a non-existing license caused you damages, or if there is a contract or something that makes them responsible.
Not very novel What you are talking about is a derivative work. This is arguably the most famous example: It's an interesting example because Leonardo da Vinci did not have copyright in the original but Marcel Duchamp and Francis Picabia do have copyright in the derivative. Even though the changes are physically small, they are enough. A crucial factor in current legal analysis of derivative works is transformativeness, largely as a result of the Supreme Court's 1994 decision in Campbell v. Acuff-Rose Music, Inc. The Court's opinion emphasized the importance of transformativeness in its fair use analysis of the parody of "Oh, Pretty Woman" involved in the Campbell case. In parody, as the Court explained, the transformativeness is the new insight that readers, listeners, or viewers gain from the parodic treatment of the original work. As the Court pointed out, the words of the parody "derisively demonstrat[e] how bland and banal the Orbison [Pretty Woman] song" is. For an author to have copyright in the derivative they must: Meet the (low) threshold of originality for copyright to exist. Make their derivative lawfully - either because they have permission or because their use falls under an exception to copyright like fair use or fair dealing. However, they do not have copyright in the original elements. For example, I could take the Mona Lisa and give her different clothes, a different background or a hat I will not be infringing their copyright. If I give her a different style of moustache? However, there is an issue with "I have copyright on the contents of the post" when you don't. Even if your work is derivative, you do not have copyright in the original parts and do not have the right to licence them. So, for example, this post is a derivative work of the Wikipedia page linked to above and I have copyright in my original contributions because: They meet the threshold of originality I have permission to make the derivative either through the Wikipedia licence or because my use is fair use. I can give Stack Exchange a licence for my work but I cannot give them a licence for the original work including, for example, the image and quote above. So, someone could quote my entire answer subject to the licence or fair work, but they couldn't copy just the image or quote.
Can a NDA define that, any information disclosed is incorrect and invalid? Can a non-disclosure agreement specify that, after signing, any information disclosed or will be disclosed to any third party without permission is invalid, incorrect, and not factual, and this agreement overrules any other agreements? Background: Alice and Bob signed a NDA regarding The Project. Without permission, Bob disclosed The Project to Alice's competitor Cindy. Cindy therefore initiated a lawsuit (for example, a patent trolling lawsuit) against Alice. Can Alice use the abovementioned clause to reaffirm that the information disclosed by Bob is not facts? From my limited understanding, Alice can only punish Bob for breaching contract but she cannot protect herself from patent trolling suit with that NDA.
Against Bob: yes; Against Cindy: no I'm going to borrow @Trish's example because it's a good one although the conclusions they reach are wrong. Alice made a green box. Bob signs an NDA never to tell anyone that Alice made a green box, and there is a clause in it that if the NDA is breached, the box is red. Bob tells Cindy that Alice made a green box. Cindy has a patent on making green boxes. Cindy sues Alice and in the lawsuit puts Bob on the stand. Situation 1 So, the box is objectively green and objectively a breach of Cindy's patent on green boxes. Bob is on the stand and is required to answer questions honestly and no contract can prevent him from doing so. He testifies that the box is green. This would be a breach of contract except that a clause that requires a breach of the law (perjury in this case) is void for public policy reasons so Bob cannot be sued for this. However, he can be sued for the initial breach - he may have a public policy defense here because Alice was breaking the law, however, it’s easy enough to construct a scenario where Alice was innocent but suffered loss from Bob’s disclosure. Cindy can say what she likes because she is not bound by the NDA. Cindy wins, Alice loses. Situation 2 Cindy dies - after a long and happy life so we won't grieve too much. To Bob's surprise, he inherits Cindy's green box patent of which he was previously in complete ignorance of. Bob sues Alice for breaching Cindy's now his, patent. So, the box is objectively green and objectively a breach of Cindy's patent on green boxes. However, Bob agreed with Alice in the contract that the box is red and so, legally for matters between Alice and Bob the box is legally red (notwithstanding that everyone knows it's green) and is not in breach of Bob's patent. This sort of stuff has a name - a legal fiction. Adoption is a legal fiction - adoptive parents are (legally) parents; biological parents of adopted children are (legally) strangers. Alice wins, Bob loses.
would it be interpreted in favor of the person who did not draft the terms? Yes, provided that the interpretation is reasonable. That is known as the doctrine of contra proferentem. Here, the term "deliverables and associated documents" might entail a contradiction if that term [allegedly or literally] encompasses "source code or content". That depends on what definition(s) of "deliverables and associated documents" can be adduced from the contract. The term could refer to items that are not "source code or content", such as the binary files (i.e., executables and DLLs), instructions & documentation on how to operate and troubleshoot the application, and so forth. In that case, there would be no contradiction because there is no overlap between these items and the source code. if term A) is written on line 10 and term B) is written on line 11, is it resonable to assume term B) takes precedence or modifies term A? No. The sequence of clauses/terms itself does not determine which one outweighs or qualifies the other. Instead, the language used in the contract is indicative of the parties' intent and therefore how the terms of that contract relate to each other.
False statements are generally protected by the First Amendment. If the video was an obvious gag or work of fiction, in which a reasonable person would understand that you were not truly endorsed, your false statement would almost certainly be protected by the First Amendment. But many false statements are not protected, typically because of their negative effects on other parties. Classic examples include defamation, perjury, and fraud. A lie about an endorsement could easily fall on either side of that line. If you are making the video in a context in which reasonable viewers would be led to believe that you truly were endorsed by that company, I could easily imagine a set of circumstances that would lead to liability: If you're releasing the video as part of a commercial endeavor, you're looking at possible claims for false advertising, unfair competition, and trademark violations (false designation, dilution, etc.). If your video is harmful to the company's reputation, you're facing a potential claim for product disparagement or trade libel. These are the corporate equivalents of the libel actions most people are more familiar with, and they generally require proving the same kinds of facts. A right of publicity/misappropriation of identity action is possible but very unlikely. Most states are very stingy about allowing businesses to bring these claims, so this one would probably be very jurisdiction-specific. Proving the case generally requires the company to show (1) that you made a commercial use of their identity, (2) that they did not authorize it, and (3) that the use caused economic harm. Beyond those, there's a whole host of business torts that I could try to squeeze this into but that are probably less likely given the hypothetical you've presented. I'd also note that your assumption about proving damages is not well-founded. Especially among the largest companies, businesses are very protective of their brands, and they invest absurd amounts of money to protect them. Pick any company with a high enough profile that someone would want to fake their endorsement, and I'd be willing to bet that their legal department could pretty quickly prepare a detailed estimate of the related damage to their brand. If a case went to trial, you'd normally expect to see an economist present an expert report calculating damages, which would begin (but not end) with any unjust enrichment you experienced because people thought you had the company's endorsement.
It means that the agreement lasts for 6 months under which confidential information (CI) provided must be kept secret for 3 years. So lets say you signed this agreement on January 1, 2018. Any CI materials provided between Jan-1 2018 to Jun-30 2018 must be kept confidential up until January 1, 2021 (3 years from the effective date). However if you received a CI material on July 1, 2018 the NDA would have expired and you would not be obligated to keep it confidential at all. These types of short-term NDA's require careful oversight because it is easy to forget that the NDA has expired and start providing CI to third parties not obligated to keep them confidential because the NDA expired. So, in short, it means that anything provided as CI during the 6-month term of the NDA must be kept confidential for 3 years. After 6 months the NDA is no longer in effect and care must be taken in exchange of CI to third parties.
Unless you were operating under a non-disclosure agreement he (and you) can use any information that he learned unless it violates IP law. It sound like what you told him is generic (if expert) views on high-level approaches to software design. That is, you didn't give him slabs of code that you own the copyright for or disclose trade secrets that you own. That sort of advice is freely usable by him. There is a reason that consultants in every field don't give away their advice before signing the contract. Now you know what it is.
As you have agreed, by contract, not to reverse engineer the product, technically it would be a "breach of contract" to do so, assuming such terms are enforceable where you live (or wherever the EULA selects as the choice of forum).
If you have a contract with another party, you can in principle sue them for damages if they breach the contract. Since you mentioned Stackoverflow, we would look at that contract, here. There is a bunch of stuff you can't do, and a bunch of stuff you can do. One thing that you will note is that their liability is highly limited (big print §9 Limitation of Liability). Also note in §4: Stack Overflow reserves the right to refuse, suspend or terminate your access to the public Network if it determines, in its sole discretion, that you have in any way violated these Public Network Terms or are otherwise ineligible to access or use the Network or Services. If your actions are determined by us to violate these Public Network Terms, Stack Overflow may, in its sole discretion, try to remediate that violation by working with you individually, but is under no obligation to do so, and if any such remediation efforts are unsuccessful (in Stack Overflow’s sole discretion), then Stack Overflow may revoke your rights to the Network. So they get to ban you, if they decided that your actions warrant. If you try to sue them, they will win because of this clause.
Games can be protected by patent. You get some protection through copyright, but only on things like artwork and the precise text of the rules; someone could copy the ideas of the game with different artwork and not violate your copyright. You would need a patent in each country you want to protect it in. In general patents are expensive and complicated. Here is some general guidance on the relevant law in the USA, and how it applies to video games. If you hire a developer you can do so with a non-disclosure agreement (NDA). This is a contract requiring them to keep your ideas secret. Here is an article about using NDAs when hiring a contractor, but its a complicated area of law and you might be better hiring a lawyer to draft one for you.
Clarifying Escape Clause for Rental Agreement I've recently moved into an apartment in LA, and I'm on the lease with two other co-tenants. For a variety of reasons, I'm planning on moving out (it's a long story), even though all three of us tenants are on the lease until June of next year. Conveniently, though, there is an escape clause: Escape Clause: If the Premises are not vacated by the current renter and all personal property removed therefrom by the Start Date, either the Renter or Owner may terminate this Agreement by written notice to the other, all deposits for, or payments of other charges, shall be refunded except for payment for verification of credit, and neither Renter nor Owner shall have any further liability to the other. And it turns out, a previous roommate (whom I'm replacing on the new lease) left a whole bunch of her stuff, many of which I didn't expect. Could this be used to enforce this escape clause? I am extremely tempted to do so now, but there are a few concerns: 1. Proving that those are "her" property left behind (and not "given" to others) I believe I can do this with proper documentation, but it is a concern. 2. Must I prove that her leftover property causes any "habitability problems?" According to a lawyer I spoke to, it seems like it's a clause intended for the cases where the previous renter really hasn't moved out because then, the new renter can't move in. 3. "And" statement: the conditional is phrased as a "if not A and B" where A=premises are vacated by the Start Date, and B=all personal property removed from [the place]. A lawyer was adamant that not A and not B both must be satisfied instead of just not A or not B (which is equivalent to not (A and B)). And since not A is not true (the roommate did move out), the whole clause is not applicable. Is this true? 4. Is there a time limit for when I can apply this clause? I would like to wait until I find another suitable place to move into, but by then, what if this clause doesn't apply anymore? 5. Some suggested that this clause might only be applicable when a group of roommates moved into a new apartment (i.e. when the lease is "new") and not when a new person replaces old roommate. Is this true? 6. Are there any other loopholes you foresee in this clause? Thanks
I assume you are already living there? No, you can't use that clause, specifically because the "previous renter" is the person(s) who occupied the apartment prior to your moving in (the "start date", or the first date that your lease is valid). That clause doesn't allow you to break the lease if one of the current renters vacates the apartment and leaves their stuff. This only means that if the apartment was not ready for you to occupy due to the previous tenant not vacating, that you are allowed to walk away from the lease without any payments (other than a credit verification fee). This pretty much requires you to not "move in" in the first place. If you've already moved in, you don't have a legal leg to stand on since you deemed the property fit to move in (and should have done a walk-through prior to accepting the condition of the apartment). If this is you "getting on" the lease, and the lease specifically says that you are being added and your "start date" is some date in the future that you intend to move in, you may have a leg to stand on since this is more like sub-letting individual rooms with a common area. It isn't clear to me if this is the case for you. Once the other person is off the lease they have basically abandoned their property and you may be able to dispose of it, or have the leasing company dispose of it.
Your question seems to be about abandoned property and whether Missouri’s statute on disposing of property after a tenant abandons his/her property applies. See Mo. Rev. State. Ann. § 441.065 (“Abandonment of premises, disposition of remaining property.”) Assuming there was no agreement (in writing or orally) for the 19 year-old to pay rent, he was most likely a guest and not a tenant. As a guest, landlord-tenant laws, would not apply to the property that that was left at the nice family’s house. The definitions section of Missouri’s landlord-tenant statutes (and common sense) support this analysis. See Mo. Rev. Stat. Ann. § 441.005. Therefore, the issue them becomes did the 19 year abandon his property? To that question, I think the answer is yes. Missouri Courts have defined the test for “abandoned property” in Herron v. Whiteside, 782 S.W.2d 414, 416 (Mo. App. W. Dist. 1989), stating: Abandonment is the voluntary relinquishment of ownership so that the property ceases to be the property of any person and becomes the subject of appropriation by the first taker. Wirth v. Heavey, 508 S.W.2d 263, 267 (Mo.App.1974). Abandonment of property requires intent plus an act. Id. A sufficient act is one that manifests a conscious purpose and intention of the owner of personal property neither to use nor to retake the property into his possession. Id. Intention to abandon may be inferred from strong and convincing evidence and may be shown by conduct clearly inconsistent with any intention to retain and continue the use or ownership of the property. Herron, 782 S.W.2d at 416. So to synthesize that passage from Herron, the court is saying that there is a 2 part test for determining if property is abandoned. Did the person intend to abandon the property? Did they commit some act to show this intention? If the answer is yes, to both, they the “first taker” or person that gets possession after the property is abandoned is the new owner. Here, it seems that the 19 year-old intended to abandon the property. He left without explaining why and stated that he would not unload the property if the nice family tried to return it (implying he would not accept the property back). Looking at the second part, him moving without giving notice, and telling the nice family that he won’t accept delivery of the property are both acts showing his intent to abandon the property.
The wording of the original lease and the renewal form are vital here. The Texas Property code, Title 8, chapter 92 is the relevant state law for residential tenancies. It neither forbids nor guarantees a right of renewal. That is left up to the lease agreement. However, it does require a landlord to provide a tenant with a copy of any signed lease promptly. Specifically Sec. 92.024. LANDLORD'S DUTY TO PROVIDE COPY OF LEASE provides that: (a) Not later than the third business day after the date the lease is signed by each party to the lease, a landlord shall provide at least one complete copy of the lease to at least one tenant who is a party to the lease. ... c) A landlord's failure to provide a complete copy of the lease as described by Subsection (a) or (b) does not invalidate the lease or, subject to Subsection (d), prevent the landlord from prosecuting or defending a legal action or proceeding to enforce the lease. (d) A landlord may not continue to prosecute and a court shall abate an action to enforce the lease, other than an action for nonpayment of rent, only until the landlord provides to a tenant a complete copy of the lease if the tenant submits to the court evidence in a plea in abatement or otherwise that the landlord failed to comply with Subsection (a) or (b). (e) A landlord may comply with this section by providing to a tenant a complete copy of the lease: (1) in a paper format; (2) in an electronic format if requested by the tenant; or (3) by e-mail if the parties have communicated by e-mail regarding the lease. Sec. 92.003 provides that: (a) In a lawsuit by a tenant under either a written or oral lease for a dwelling or in a suit to enforce a legal obligation of the owner as landlord of the dwelling, the owner's agent for service of process is determined according to this section. (b) If written notice of the name and business street address of the company that manages the dwelling has been given to the tenant, the management company is the owner's sole agent for service of process. (c) If Subsection (b) does not apply, the owner's management company, on-premise manager, or rent collector serving the dwelling is the owner's authorized agent for service of process unless the owner's name and business street address have been furnished in writing to the tenant. Dallas municipal law prohibits retaliating against a tenant who complains about improper conditions or requests maintenance, but says nothing about lease renewals. Under ordinary contract law, an offer and acceptance makes a contract, unless the parties have previously agreed otherwise. Moreover, demonstrable practice can make or confirm a contract. If the tenant has paid rent for either March or April in reliance on the renewal agreement, and at the specified renewal rate, and that rent has been accepted, that may well constitute ratification (and thus execution) of the renewed lease. This is if the new lease would hav started before the April rent was due. So the tenant may well have the right to enforce the terms specified in the February renewal form. However, this will depend on what those terms are, and also what renewal provisions, if any, were in the original lease. It might be a good idea to send a letter to the landlord and manager, saying that the renewal form that you signed constitutes an acceptance of their offer, and thus a binding contract, and asking for a signed copy as per section 92.024, mentioning the section number. If it were me, I would send such a letter by both email and USPS certified mail, to both the manager and the landlord, if I had both addresses. I would keep a copy of any communications, and make them all in writing from now on (email is writing, legally). In any case the tenant would be wise to continue to pay rent on time in the amount specified on the renewal form, by some traceable means such as a check, money order, or credit card. I would be sure to use a method the original lease listed as acceptable, or that had been used in the past, except for cash. If I used a check, I would write "payment in full for rent of {address} for {month}" on the back The tenant would be wise to consult a local lawyer who specializes in tenant's cases, there seem to be quite a few. There is a local housing crisis center. It offers regular (twice a month) legal clinics with volunteer lawyers, and can be reached at 214-828-4244 or [email protected]. Such a center might be able to recommend local lawyers. Often an initial consultation with a lawyer on such a matter is free or at a low charge. It would probably be a good idea for the tenant to take some action fairly promptly. 15 U.S. Code Chapter 96 (the federal e-sign act) (section 7001) provides that: (a) In general -- Notwithstanding any statute, regulation, or other rule of law (other than this subchapter and subchapter II), with respect to any transaction in or affecting interstate or foreign commerce— (1) a signature, contract, or other record relating to such transaction may not be denied legal effect, validity, or enforceability solely because it is in electronic form; and (2) a contract relating to such transaction may not be denied legal effect, validity, or enforceability solely because an electronic signature or electronic record was used in its formation. Also the UNIFORM ELECTRONIC TRANSACTIONS ACT (1999), which has been adopted by Texas, allows but does not require the use of electronic signatures. Thus the tenant;s email response ought to be a vald means of forming a contract.
british-columbia All of this is from the Residential Tenancy Act and related decisions from the Residential Tenancy Branch (a delegate of the director). A tenant is entitled to exclusive possession subject only to the landlord's limited right of entry, described next. As long as there is a tenancy, the landlord cannot enter unless: the tenant consents, or the landlord gives 24 hours notice and enters between 8am and 9pm (up to monthly), or the landlord is providing agreed-upon housekeeping services, or the landlord has an order of the director authorizing entry, or the tenant has abandonned the unit, or an emergency exists. If satisfied that the landlord will enter other than as authorized above, the director can authorize the tenant to change the locks. If a landlord does not comply with the Act, the director can make orders to give effect to the tenant's rights, and can award compensation. One such possible award, where the tenant can establish that the landlord is trespassing contrary to the permitted entry described above, is retroactive rent decrease, consistent with the loss of a right to exclusive possession.
There is nothing in that contract that says anything about 3 months notice period. The 3 months is the legal default for contracts that do not expire on their own, unlike yours, that has all properties of a limited time contract. I would personally see the detailed description of how you can end this contract as overriding any legal default. But as always, with this specific contract in the original language, you need to see a lawyer to know for sure. Your contract clearly states: you can leave your appartment whenever you want, even before the agreed upon time. If you leave between the 15th and the end of a month, you have to pay for that month in full. If you leave between the 1st and the 14th of the month, you have to pay the fair share of the rent for the days you where there. So for example, on a 30 day month if you lived there for 10 days, you still have to pay a third of the rent and the landlord will return the rest if you paid for the month in advance. If you live there for 16 days, you have to pay for the full month and nothing will be returned if you paid for the month in advance. Please note that you need to "hand over" the vacated rental object during normal business hours. So don't go in there on the evening of the 14th at 16:59. And don't try to "hand it over" when you haven't moved your stuff out yet. At the hand over, you give the keys to the landlord and that is it, it is the last thing you do. Very likely your landlord will want to have a look at the rental object while you are there, so they can make sure it is all in order, you did not damage it or did not leave any of your stuff. Generally speaking, there is nothing your landlord could do to you if you decide to leave early. They cannot make you leave even earlier or any other retaliatory shenanigans you may have heard of in other countries. In Germany, such contracts are not adversarial. You don't need to keep it a secret to the last second. If you know you want to leave on a certain date, inform your land lord, make an appointment for the "hand over" well in advance and save yourself (and them) all the stress from doing things last minute.
Owners can't be evicted from their own property. That's one of the fundamental rights of real estate ownership. You may have a contractual basis for a lawsuit that either leads to payment or provides for forfeiture of their share, but that relies on the details of your specific case and will require specific legal advice from your own lawyer.
The terms of the lease are subject to Ohio's law. The only option for a tenant terminating a rental agreement is ORC 5321.07(B)(3), in response to failure to fulfill obligations under 5321.04. Those obligations relate to safety and health, keeping things in good working order, not abusing access and privacy rights. There is no obligation to make the tenant happy. As a general rule, when you sell real estate, rental agreements transfer from seller to buyer. If they did not, tenants could be evicted as trespassers or rents could be raised massively within the period of the lease. The tenant's obligation remains the same, and it has simply been transferred to another person.
You signed a contract where you agree to not have pets and the landlord agreed to let you live there. If you decide to not follow your end of the deal, the landlord might not either. In simple terms, you can get evicted. There is probably a clause in the contract to the effect of "you will get evicted if you don't follow these rules". Depending on contract and local law, you may also be fined, forced to remove the pet, or have your security deposit withheld. One reason landlords don't want pets is that pets leave odors and fur in the apartment, requiring costly cleaning. Not to mention some cats love tearing up the carpeting and otherwise destroying the property. Thus the deposit is used to "repair the damage" caused by the pet. Some landlords charge an additional pet fee for tenants with animals, so if you secretly keep a pet you are cheating them out of the fee as well. If you want the cat for several months or more, then you probably shouldn't try to hide it from the landlord. There is a big risk you will be discovered and suffer repercussions. The landlord may also refuse to renew your lease later. In theory, and depending on your tenant, you could claim that the cat was there for a day and it will be removed right away. But as I said, landlords are concerned more about the damage to their property than policing you, so once the landlord gets suspicious (probably already happened since you asked him about it) they could inspect the place and demand you pay for damage regardless of how long the cat was supposedly there. Well being of the cat is unlikely to create an exception to the contract. However, you could have some recourse by claiming that the cat is an emotional support animal and vital to your well being. I am not familiar with the process for this in Austria, but presumably it will involve paperwork from a psychologist verifying the fact. Simply saying you really like the cat and don't want to give it away will not be a sufficient reason - you initially agreed to not have pets, so it can be argued that you should not have taken one in to begin with. I love cats too, but you probably shouldn't do it if your landlord already told you no. You could end up in a situation where you are forced to put the cat in a shelter, which wouldn't be good for the cat. If your landlord won't budge, your best option is to move somewhere else.
Employer suddenly decided to use finger prints for clocking in and out. Can I refuse? I work in a retail store with about 20 staff members. Usually 3-8 work at a time. The job isn't meant to be permanent and pays close to minimum wage. All of a sudden they are adding a fingerprint scanner to clock people in and out. My question is, if I refuse to give them my fingerprints, can they do anything? My contract says I must give 2 weeks notice to quit but given how they sprung this on us, this wouldn't be possible. Given the COVID pandemic, this sure seems like a strange time to be implementing such a thing.
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.
Asking as such is hardly ever illegal. Any stranger can ask you to pick up their kids from school, like you always can tell them where to go. What I guess you are actually asking is whether the PI can require you to do it. No they probably cannot: it would have nothing to do with the matter of your contract or nature of your professional relationship with them. However, if they are in the position of power, they will have discretion in making decisions that will affect you. Whereas you legally can tell them where to get off, it might be good idea to attempt some interpersonal workplace tactics first.
According to the Washington State Department of Labor & Industries, Under 14 years old In most cases, you need a superior court’s permission for minors under 14 to work. Minors under 14 who are allowed to work must follow the 14-15 year old requirements below. Which may or may not be easy to get. Also: For Employers Employers must complete and sign a Parent/School Authorization form before giving it to the teen’s parents and the school the teen attends for their signatures. The form must be renewed annually by Sept. 30. Employers also must have a minor work permit. This permit is available from the state Department of Revenue/Business License Service and must be renewed every year. Employers can obtain a minor work variance to extend daily and total hours per week with an application to L&I. So there's some extra paperwork all-around.
tl;dr: If you are not satisfied with the service provided by the restaurant, you should take your business elsewhere and write negative, but honest reviews of the establishment. That will over time solve the problem as well without legal intervention. To answer your question if the restaurant can refuse service if you don't tip is actually a much more difficult question than it might sound. I can't find any case law on this subject, such practice is however perhaps more widespread than commonly expected and my interpretation of the law is that they in most cases actually can, at least if they demand payment up front as take-away services often do. It is for example a 'well known fact' that if you don't tip the waiters at the Oktoberfest, they will usually ignore you and don't take any further orders. It is a dirty and unfair way to conduct business, but not necessarily a violation of law. Even if a tip indeed is legally defined as a voluntary donation by the customer, there is in German law also the concept of 'freedom of contract'. Contrary to popular belief, restaurants and other businesses in Germany are not obligated to serve or accept a customer as long as they don't violate other laws, e.g. anti-discrimantory laws and they don't even need any particular reason for doing so. If you want to enter a club or fancy establishment and the bouncer doesn't like your face, he will make use of this right, refuse you entry and be fully within his legal rights to do so. When you order food for take-away, your order must first be interpreted as a contract offer and the restaurant can, albeit with some restrictions, in most cases freely decide to accept your offer and enter a contract which binds them to deliver food, or they can simply refuse your offer and return any payment you may have done in advance.
Don't do it. It is of course breach of contract when you signed a contract with no intention to fulfil it. However, you are talking about Germany. German employers take a very dim view of this. While a UK employer would say "good riddance" and do nothing, many German employers would see that as a personal insult. It's something that you just don't do in Germany. There's a good chance that they will do what they can to make you miserable if you do this. For example, inform authorities that you just cancelled your contract which may get a visa cancelled. Or tell the company that you want to start with, which will also take a very dim view of this. Or sue you for damages, not because they want to get the money, but to make you miserable. On the other hand, if they send you a contract, and you sign it, you have a contract.
Financial institutions in the US are subject to regulations that restrict what sorts of things non-licensed employees can talk about with clients and advice they can give about structuring accounts and payments in ways that might avoid triggering money laundering alarms. I think this employee was being cautious about getting into a gray area and phrased the reason they couldn't talk about it poorly. The reason they were restricted from giving you an answer could be a legality, but not necessarily because they are giving you legal advice.
Does this amount to the employer potentially paying the employee to lie to them, to no ultimate legal effect? Or will the employee have a problem if they end up with an obligation to sign a statement that is not in agreement with reality? Neither. Contract law contemplates a party's subsequent inability to comply with the terms that were established at the formation of the contract. In the Restatement (Second) of Contracts, this is referred to as supervening impracticability. See, for instance, the Restatement at § 261. In the hypothetical scenario you outline, the loss of a company laptop renders the employee's promise (namely, "to return any company-issued computers or devices") impracticable. Instead, the circumstances may entitle the employer to restitution (by the employee) for what the employee now is literally unable to return. That would be cognizable as compliance in substance.
I am not a lawyer: If they sue you it will probably be for fraud, then the DA will investigate and can easily find out who you are. If they can prove that you signed the contract is another story. If the clause in the contract is valid yet another. Getting a lawyer might be wise, especially if your visa depends on a clean legal record. Have you talked to them yet? If you can afford it, you or your new company could pay off he months salary to the old company. In my opinion it's fair, they probably turned down a lot of other applicants an will either need to search again or find a good temp to replace you. Think there was something that you cannot quit a contract before it starts, but another option would be to start working for them and then realizing during the test period that it's a bad match. However, best lawyer up! Search for "Kündigung vor Beschäftigungsbeginn" (Cancellation before the start of employment) Quick google suggests that they might be right if they have it in the contract, but the lawyer will know for sure. Look for someone who does "Arbeitsrecht".
To what extent can the government saying "we won't prosecute X" be used as a defense? Suppose the DOJ says that they won't prosecute anybody for doing X. John Doe then does X, and the DOJ prosecutes Doe for it. Can John successfully use the defense of "the DOJ said they wouldn't prosecute"? If so, what are the limitations of that defense?
The short answer is "yes". There is U.S. Supreme Court authority that supports this position, In particular, United States v. Laub, 385 U.S. 475 (1967), Cox v. Louisiana, 379 U.S. 599 (1965), and Raley v. Ohio, 360 U.S. 423 (1959), stand for the proposition that a defendant may not be punished for actions taken in good faith reliance upon authoritative assurances that he will not be punished for those actions. If the U.S. Department of Justice (or a U.S. Attorney with jurisdiction over the place the offense was committed) (hereinafter DOJ) says this, people who reasonably rely on that pronouncement can't be prosecuted until a different policy is announced and people who acted in reliance on the previous DOJ position are given a reasonable opportunity to change their conduct in response to the newly announced policy. The statement does have to be a publicly announced policy (or a policy personally communicated to the defendant or his counsel), and not just a de facto reality in terms of prosecutions not being brought in the past, or a secret, unannounced policy (or, for example, an unofficial and offhand statement of the U.S. Attorney General at a party that does not amount to a policy statement). Of course, the defense doesn't protect you if the DOJ says it won't prosecute if you do X, but you do X times Y which goes beyond the safe harbor created by the DOJ pronouncement. For example, the DOJ might say that they will not prosecute conduct involving marijuana offenses that is legal under state law, if it does not violate any other laws, and also meets certain conditions found in federal law (e.g. no offenses within 1000 feet of a school) that the DOJ chooses not to refrain from enforcing. But, if the DOJ then publicly says that it will start enforcing federal law without exceptions on July 1, 2021 and has rescinded its prior policy, a reasonable time in advance, then this defense ceases for conduct after that date. What constitutes reasonable notice would depend upon the facts and circumstances. The DOJ can also reach a binding agreement not to prosecute a particular instance of conduct by a particular person irrevocably in connection with plea bargaining type agreements, with respect to offenses of which the DOJ has jurisdiction (but not necessarily prosecutions by a different government such as a state government or the government of another country, for which the DOJ is not an authorized representative). For example, suppose that a mail carrier is killed by a resident of a home claiming to have acted in self-defense in Denver, Colorado. The DOJ could reach an irrevocable agreement with the resident to accept a plea bargain to a misdemeanor charge of not paying the tax due on the sale of the firearm from a non-compliant gun shop, dismissing forever the charge of murder of a federal post office employee. But that agreement would not bar the District Attorney in Denver from bringing murder charges twenty years later under state law prohibiting murder of human beings in the State of Colorado. For the defendant resident to prevent that from happening definitively, an agreement from the State of Colorado's District Attorney in Denver, or the Colorado Attorney General, would also be required.
In the US, they would not be automatically prosecuted. The prosecutor would have to find out about the testimony, decide to prosecute, and go through all the normal processes they otherwise would, but they have an additional piece of evidence. Per the 5th Amendment to the US Constitution, a witness cannot be forced to answer a question that would incriminate them. If the question was objected to on this ground and the objection overruled, the witness' answer would not be admissible against that witness at trial, and the prosecutor would have to prove the case using other evidence.
I suspect that you would not be convicted in the present case, because the jury would be sympathetic to the plight of the person being dragged out and unsympathetic to the behavior of the draggers. However, we should set aside the emotional elements of a jury trial and focus on legal principles. The basic question is whether a person has the right to use force to defend against an unlawful battery: "a person is privileged to use such force as reasonably appears necessary to defend him or herself against an apparent threat of unlawful and immediate violence from another". This right to defense also extends to defense of others. But it has to appear to be to unlawful, which is to say, you have to reasonably believe that the force used against the victim is unlawful. If a couple of thugs try to drag a person away, then an observer probably has a reasonable belief that this is an unlawful battery. But if a couple of police officers are observed dragging a person away (arresting him), apparently acting officially, the force used (up to a point) is apparently lawful and would not constitute battery of the victim. For defensive force against police to be lawful, the forced used by the police must be excessive. The outcome then depends on what a reasonable person would conclude (this is where the jury or judge makes a rather subjective decision). If a reasonable person would conclude that the assailants are acting lawfully in arresting the person, then a higher bar must be clear to justifiably use force in defense of others. Wearing a jacket that says "Police" favors the "appears lawful" side (though if you happened to know for a fact that the person wearing the jacket is not a police officer, then the "police exception" would not be applicable). In the relevant case, the facts point to the appearance of a lawful arrest (even if were to turn out to be judged unlawful). In the case that this is an apparent arrest, it would have to be the case that a reasonable person would find the force used to be excessive. Generally speaking, force used by officers is held to be reasonable, except in some cases where it is not. See for example the matter of Eric Garner, where the officers involved were not indicted. On the third hand, in this case, it might matter what the actual legal status of the "officers" is (they are not Chicago police).
Since you asked, and it's a perfectly legitimate question, here's why it doesn't violate the Fifth Amendment (from Garner v. US): The Fifth Amendment doesn't say "you can't be made to say anything that hurts you." It says "no person...shall be compelled in any criminal case to be a witness against himself." The only time Fifth Amendment protection applies is if you are being forced by the government to make a statement that could open you up to an accusation or conviction of a criminal offense. It's fairly broad (if it would help prove any aspect of the charge, you can claim immunity), but it's also restricted (you can't claim it unless it really would tend to incriminate you). That means that you could only argue the Fifth Amendment if your tax return might help prove a criminal case against you (the fact that disclosing income leads to you needing to pay tax does not qualify as "self-incrimination"). But the amount of income is not one of those things that might incriminate you -- you can get income through all sorts of ways. The thing that is incriminating is revealing the source of the income, and you can claim Fifth Amendment privilege for that. So: The only time you could possibly claim privilege is if you were being forced into a statement that might tend to incriminate you in a criminal proceeding. A statement that makes you liable for tax doesn't mean it might incriminate you. Filing an income tax return isn't inherently incriminating. The fact that you have income not included in any other part of the return (illegal income goes under "other income") doesn't imply you've committed a crime -- lots of people have other income. The amount of income can't be incriminating. The source can be, but you can claim Fifth Amendment privilege for that if it might incriminate you. And lawful income under "other income" still might give rise to a reasonable fear of prosecution, so the fact that you're justified in claiming Fifth Amendment privilege in source of income doesn't mean you're guilty of a crime. Note that there are cases where you are flat-out exempt from filing tax returns under the Fifth Amendment: Marchetti v. US and Grosso v. US found that registration and tax on gambling could be blocked by a Fifth Amendment claim, which didn't even have to be asserted at time of filing, because merely filing the special return would establish you as a gambler (heavily regulated/often criminalized at the state level). The difference with the normal income tax form is that everyone (just about) files one, and so filing it doesn't mean you're a criminal. If there was a separate line along the lines of "Income from Illegal Drug Sales," that might be one thing (anything other than $0 is inherently incriminating). But all the questions are broad, and have many legal sources of income associated with them.
In the United States, prohibition against double jeopardy is a constitutional protection. As long as one was actually at jeopardy for an offence by a particular sovereign, that sovereign may not subsequently prosecute the accused for the same wrong. In other jurisdictions, such as the U.K., it has a less strict form, even though generally, special pleas of autrefois acquit would be available. It is also not the case that after an apparent "confession" in public that there is "no doubt" about a person's guilt. No evidence is "certain" in law without being tested in court. Also, you propose: you were tried for murder and acquitted - then you go out and publicly admit that they were wrong, you did actually murder that person This does not put the acquittal into question. The prosecution failed to prove the case beyond a reasonable doubt. This means at law that one is deemed to be not guilty. Your scenario does not show that the trier of fact was "wrong" about the prosecution failing to prove its case beyond a reasonable doubt. This is not an avenue by which the prosecution can challenge an acquittal. If a properly instructed trier of fact finds that that the prosecution did not prove its case beyond a reasonable doubt, this conclusion is unassailable. You ask "where is the justice?" The justice of a system is assessed by its application across the totality of cases. Given that a system of prosecuting and judging that is run through humans will inevitably produce errors, the law has developed to promote a measure of "justice" across the entirety of the cases that are disposed of by the court rather than to futilely attempt to ensure the "correct" result in every particular case. The rule against double jeopardy has arisen out of this systemic concern for justice. It does not purport to secure the "correct" result in every case.
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.
In order to challenge a search at trial via an evidence suppression motion, the particular defendant has to have Fourth Amendment "standing"1 with respect to that search: Rakas v. Illinois, 439 U.S. 128 (1978). From the syllabus: Fourth Amendment rights are personal rights which ... may not be vicariously asserted ... a person aggrieved by an illegal search and seizure only through the introduction of damaging evidence secured by a search of a third person's premises or property has not had any of his Fourth Amendment rights infringed. Subject to the various exemptions to the exclusionary rule discussed at this question, the evidence in your scenario would not be admissible against Bob, but would be admissible against Rob. This does not necessarily mean that Bob would go free. As noted in that other question, if police/prosecution have other evidence, independently gathered, or sufficiently attenuated from the illegal search, they may still have a case against Bob. This also doesn't mean that an unconstitutional search of a person who will not even be prosecuted is without a remedy. See this answer for a discussion of civil remedies available for a person who has suffered an unconstitutional search. 1. The Court has distanced itself from the term "standing" in this context, so I am using it somewhat colloquially as it is still in common usage in this sense. The Court instead just conceives of whether the defendent even experienced a Fourth Amendment search; the notion of standing is either redundant with or subsumed by such analysis.
Laws are different around the world and you didn't bother to state your location, but typically no- this is not how the system works. What would be the point? There's no defendant. You, the plaintiff would argue against thin air and then what? The court rules in your favour, declares this illegal, and nothing happens because there's no defendant. Is it so you can use this ruling if you find out later? Pretty sneaky. Let's look into how this would actually work. You bring up a case- Jackson vs a mannequin or something. You make your arguments. The defense makes literally no defense. The judge rules in your favour, with a result of nothing as there is no defendent. Next, you find the culprit and bring a case against them. You point out that this is illegal because we came to that decision last week. What's that defendant? An argument against it being illegal? Too bad, the decision has been made. When I posted this answer, it was before the "Nyah, I was ranting about government spying but was deliberately vague- aren't I clever?" comment and I assumed it was against, say, a neighbour but it doesn't really matter. You cannot have a system that makes a judgement without a defendant so it can be applied later.
Stealing a wealthy man's sperm to collect child support Mary works as a maid for billionaire investor Maxwell Baron III. They live in New York. Mary always dreamed of marrying rich. However, perhaps because of her modest family background, no millionaire seemed to pay attention to her. One day, while cleaning Mr. Baron's bathroom, Mary finds a used condom in the trash bin. Her mind starts to race. "What if I use this condom...," she ponders. Knowing that this would be her only chance to have a billionaire baby, she inseminates herself with Maxwell Baron's sperm. Nine months later, the baby is born. Mary immediately sues Mr. Baron for child support. Baron orders a DNA test to determine the baby's paternity as he is confident that the result will come out negative. Surprisingly, however, the test turns out to be positive. Mary is now asking for 20 million dollars in child support for baby Maxwell IV. What are Mr. Baron's options?
If we restrict ourselves to legal options, he can hire a lawyer, which is what he should have done rather than "ordering a DNA test". As a general rule, the minute you get served with a lawsuit, you should hire an attorney, especially if you are a billionaire. He should not volunteer to get in this position by volunteering for the test. But given that he did let it get this far, and now it is a legal fact that he is the father of the child, his newly-hired attorney would try to put the best face on this mess that he can. It's not a foregone conclusion that a child would be entitled to $20M. Also, is that per month? The amount that the court would order depends on the particular state's law. I assume this is in Washington state since you didn't say otherwise (subsequent change of venue notwithstanding). The calculation is based on a maximum joint income of $12,000 per month. The mother cannot just quit her day job: the courts can impute income to her. I assume that she makes $3,000 per month, which is a low-ball figure. His obligation would be about $1180 / month, which works out to be about a quarter million total over the life of the support order. The courts do not have the authority to award $20M, nor do they have the authority to order a lump sum. They can award $1180, and this can be increased or decreased depending on circumstances. The attorney would also argue that he is legally not the father, because under the law, this is "assisted reproduction" since it does not the result of sexual intercourse, and mere sperm donors are not legally deemed top be parents. Incidentally, the benefit of "marrying rich" are distinct from the benefits of a rich baby-daddy. Child support is for the support of the child, not the benefit of the mother. The attorney could therefore persuade Mary to accept a lesser amount, no questions asked, to dispose of the problem. The net financial benefit of this dumbass scheme is probably substantially negative for her. A third option is to hire detectives to prove that this was a fraudulent action, which would lead to her imprisonment.
It depends on the jurisdiction. The term you are looking for is “paternity fraud”, and depending on where you are in the world, you can challenge paternity even after accepting the child as your own. The wikipedia page lists several examples where the man has been successful. It also lists several examples where the man has been unsuccessful and has been ordered to continue paying child support.
Like a lot of Scottish criminal law, there's no specific legislation, but it is illegal through common law. This was also true in the rest of the UK until the 1800s, when statutes were passed with the aim of making abortion law clearer (generally forbidding it). This didn't extend to Scotland leaving much of its abortion law unclear. The 24 weeks limit that the Scotsman article references is from Section 1 of the Abortion Act 1967 (as amended). This act did apply to Scotland. The act specifies conditions under which abortion within the first 24 weeks is legal, and that it is always legal when there is grave risk to the woman's health. When the circumstances of the pregnancy fall outside the provisions of the act, the existing Scottish common law prevails. For further information, this UN document provides a good summary of abortion law in the UK.
I am going to convert a set of comments into an answer. Please note, IANAL, especially in your jurisdiction. You are asking the wrong question. The Court is not specifically ordering your father to make more money; it is ordering him to support his ex-wife (XW) at a level similar to what she enjoyed during the 20-year marriage. This is not outlandish. In fact, it would be typical of a divorce in the old days, when the mother (1) was likely to have custody of any minor children and (2) was likely to have not worked outside the home, at least, not in a high-skill job. It's less typical today, since these conditions are less common now. He can do this by continuing to work to make more money, or by giving her most of his pension, or by selling off his land, etc. How is his issue. However, your father is making no attempt to improve his situation, and as I will discuss below, this doesn't seem unprecedented. Even though XW has hired an attorney, he has not, using the excuse it is too expensive—while the XW’s capable attorney takes him to the cleaners. Penny wise pound foolish. This is a serious error. He has not entered into a formal custody arrangement. XW could appear at any time demanding at least half-time custody, for whatever reason. This is a serious error. He has taken on unofficial sole custody of the minor child (your half-sister, I suppose), without asking for child support, even though this would substantially offset the alimony to XW. He could probably get this even before the full court hearing, although, again, IANAL, and he needs a local lawyer to handle such a petition. This is a very serious error. He allowed XW to present what you feel is an unrealistic picture of his income based on his second job. Now, depending on your father's age, maybe lowering the standard of living and retiring on a pension is unrealistic. But did your father make any attempt to show that XW had worked before or during the marriage or had marketable skills? At least in some jurisdictions, alimony would be reduced by what the Court feels XW should contribute to her own upkeep. Since she isn't taking care of children, she can't use them as an excuse to stay home. This is a serious error. He could also explain that since he was now in charge of the minor child, it was unfair to ask him to work far from home (more common with the sexes reversed, but not unheard of). Did he introduce a more complete income history showing that the second job was recent, intended to be temporary, away from home, and he detested it? Or did he just let XW bring in her version, unopposed? A lawyer would have introduced this argument if it is valid where you live. This is a serious error, that must be remedied before the final hearing. My first thought was that your father is still in shock from XW leaving him and petitioning for divorce, but on re-reading your description of why he took the second job, frankly, he seems to arrange his life to get pushed around and then whine about it. You need not indulge this. Tell him to get a divorce lawyer, not go around looking for someone to sympathize over the bad deal he got after "saving" money representing himself.
This isn't about bullying at all, this is about Virginia being a "one-party" state. Virginia Law 19.2-62 outlines that: B.2 It shall not be a criminal offense under this chapter for a person to intercept a wire, electronic or oral communication, where such person is a party to the communication or one of the parties to the communication has given prior consent to such interception. However what is not said in the article is that the daughter didn't know that the recording device was in the backpack. This means that the mother did not get consent from either party being recorded (it isn't clear that a minor could give consent anyway), and is therefore in violation of 19.2-62. The (US) law has been quite clear on "two wrongs don't make a right", the mother was not getting satisfaction through other channels, but that does not mean she is right in violating the law in pursuit of justice. This is still very much in the early stages of this particular case, but I'm willing to bet that the mother will see very little if any punishment in this matter. As for why the DA doesn't prosecute the children (or their parents) for the bullying, this really depends on what kind of bullying is subject here. If the children are verbally bullying, this may not be a crime (yes, it is morally wrong, but may not be a crime). It isn't to say though that the children in this case haven't been reprimanded according to State law, at least the subject of the bullying has been moved to a different class as a result. Unless the bullying reaches a physical level, most State laws require the schools to deal with the bullying directly (through moving children to different classes, suspensions, expelling, etc), so the DA doesn't typically get involved until physical injury occurs.
Can a divorced man win a downward modification of alimony and/or child support if he were tricked into a marriage by a child that wasn't his? The couple then gets divorced and the wife sues for alimony and child support. Will the man likely be able to get reduced child support and/or alimony on the claim that he was tricked into a marriage he would not otherwise have undertaken? Generally speaking, marriages induced by fraud about anything other than the extreme case of fraud involving who someone is marrying in the act of marriage itself (i.e. someone believed they were marrying John Smith from Denver but actually was married to John Smith from Los Angeles, whom they had never met before, because the marriage ceremony was conducted with disguises and they didn't look closely at the marriage certificate), has no impact on marital rights. Evidence regarding fraud to induce a marriage wouldn't even be admissible at trial because it wouldn't be legally relevant. This has no impact on alimony. Paternity can be contested by filing a paternity suit within the statute of limitations for doing so which varies from jurisdiction to jurisdiction (usually within two to five years of the child's birth). If the husband prevails in a timely paternity contest, child support will not be owed. Otherwise, actual genetic paternity would be irrelevant. In California, the statute of limitations to disavow paternity of a child born to one's wife is two years from the date of birth. N.B. I am making some interpretations of inexact language in the question. It says: The couple then gets divorced and the wife sues for alimony and child support. But I assume that what is really meant is that one or both of the members of the couple file for divorce and that in the course of the divorce proceeding the wife seeks alimony and child support. If the divorce proceeding is concluded without an adjudication of paternity that would usually preclude a later lawsuit to disavow paternity.
They cannot force a contract on you after the fact. You should leave these numbskulls alone, they are clearly up to something that makes them likely to be sued. I am adding the following: it's not illegal as far as I know to declare anything you want to a person as long as it isn't a threat. "You are now beholden to give me your firstborn makle child." lol, no.
Usually, a family law lawyer would handle a matter like this one. I am refraining from prejudging the outcome on the merits.
Is it copyright infringement if I make a work of art that has already been made before? Take modern art, for example. People draw a circle and call it art, and apparently it automatically has a copyright after it's made. Then I come along and draw another circle and call that art, and it looks very similar. Would that be against the law because someone has already made it before, or can I use it if I have proof that I didn't copy their art? And keep in mind I don't know much about this because the only law experience I have is from Wikipedia.
This sounds like a case where there can be differences as to if something is a design that can be copyrighted or if it is a matter of a trademark held by the artist who drew the circle. If someone began a copyright infringement action against you, claiming copyright of the shape of a circle, your defense could be the Threshold of originality (Wikipedia). The threshold of originality is a concept in copyright law (Wikipedia) that is used to assess whether a particular work can be copyrighted. It is used to distinguish works that are sufficiently original to warrant copyright protection from those that are not. In this context, "originality" refers to "coming from someone as the originator/author" (insofar as it somehow reflects the author's personality), rather than "never having occurred or existed before" (which would amount to the protection of something new, as in patent protection). Obviously, circles, squares, triangles, pyramids, etc., even straight lines, have all existed for a long time. Simple shapes can, of course, be included as part of a more complex design, and that design as a whole is copyrighted as soon as you complete the design. You don't need to claim copyright; you already have it. If you did a design that was fairly simple and were accused of copyright infringement, it might come down to a court case to determine the threshold of the threshold of originality. Now, if you did a painting of a circle that looked like another painting of a circle, then you could be accused of trademark infringement, because the artist you allegedly copied could say that they have such a distinctive style that is is their trademark. A trademark, trade mark, or trade-mark is a recognizable sign, design, or expression which identifies products or services of a particular source from those of others...Trademarks (Wikipedia) Trademarks are also designs, of course, but are protected in a different method different than copyrights. So many decisions about copyright infringement come down to the judgement and opinions of a jury, because of the fungibility of what exactly constitutes originality and what constitutes a copy, part of a copy or a derivative. Trademark infringement hinges on how recognizable that design as a mark is and if there can be confusions between the two. For a much more in depth outline of copyright, see I have a question about copyright. What should I read before I ask it? - Law Meta Stack Exchange.
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.
It is illegal to make copies of copyrighted materials without license. In the case of software, obviously it will be illegal to make copies by copying and installing the software without a license, but we are not talking about that. If I have a legitimate license of say Photoshop, and I start the application, parts or all of the code will be loaded into the RAM of my computer, which is a copy. According to copyright law, it is legal for me to make that copy. You are allowed to copy legitimately owned software into RAM to execute it. If your copy of Photoshop is illegal, and you start the application, the copy that is made into RAM is again copyright infringement. Having read the software license for the software that you get when you buy a Mac, it seems that if you steal my computer and just start the operating system, you are committing copyright infringement, and it seems that if you buy such a stolen computer and just start the operating system, you are committing copyright infringement as well, because the license that I received when I purchased the computer covers anyone using it with my permission, and covers anyone who legally buys the computer from me, but doesn't cover a thief. Now does this affect the work that you did? No, you have the full copyright on your work. Copyright law doesn't require that your tools are all used legitimately.
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.
If soemoen sues you for infringement of a design copyright, it would be a valid defense that the plaintiff had in fact taken the design elements from your prior work, or indeed from the work of a third party, and so had no valid copyright. Proving this may be easy or hard, depending on the specifics of the situation. Registration will prove that your work existed and you claimed it as original on a specific date. It would not be a perfect defense: if the other party claimed that you had copied prior to that date an infringement action could proceed. The effect of registration is somewhat different in US law and the law of various EU countries. In the US, for one thing, one must register before bringing an infringement suit, and the date of registration may affect the availability of statutory damages, and of an award of the costs and fees for bringing suit. Note that the protection offered by a design copyright is limited: copyright will never protect an ide3a or concept, and so only the specific expression of a design can be protected by copyright. What this means will vary in particular cases. Specific artwork or logos will each carry its own copyright, and if they are original creations of yours, you can register them. (These would not be design copyrights, but ordinary copyrights.) You can also obtain a single registration for the website as a whole. It is very unusual for one who copies a work, or elements of that work, to then sue the original creator for infringement. Given the existence of archive services, it is often fairly easy to prove how a site looked on a particular date. Ensuring that your site has been archived as soon as possible would make it easier to show that it was not copied from a later work. Some services will archive a particular site on request.
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.
There are now 2 works. An original, abandoned work, and a new, derivative work. The original creator owns the copyright over the original, and the new person owns copyright over the derivative he created. In your scenario, it will be the new creator, who will have the right to sue, if the gpl of the new work has been infringed
You can do whatever you like with posts made after you change the rules - you have to leave the previous stuff alone. The contributors' have accepted the terms of the licence: They own the copyright or have permission from the copyright holder to post it (the promise) They agree that it can be edited altered or removed CC-BY-SA allows people to copy the stuff off the website and republish it - this is way outside what the contributors agreed to. These people have given permission for their work to be altered but not copied.
How can I find glass cutting patents? How can I find glass cutting patents? Apparently they use a different numbering system than ordinary patents. For example, according to glass collectors, the following patent was registered: 63,795 / “Exotic Flower” / William P. Moran / 18 Jan 1923 / 15 Jan 1924 However, U.S. patent 63795 does not correspond to this patent.
The reason why I could not find the patent is that there are several different kinds of patents. Mechanical patents, for example, are "utility" patents. The cut glass pattern referenced in the question is not a utility patent, it is a design patent. Each patent type has its own numbering system. To search for a design patent, typically a "D" is inserted before the patent number, like "D63795". This results in the correct patent being discovered:
Trivial is hard to judge after the fact due to hindsight bias. Once you know the answer to a riddle it seems obvious but you couldn’t figure it out without already knowing it. The criteria for get a patent in the US does not include the word or concept “trivial”. It does include non-obviousness. To reduce hindsight bias an examiner needs to follow a process of identifying all sub- components of an invention in the prior art and then making a good argument as to how someone of ordinary skill in the field would be motivated to put them together. Also there is no measure of improvement over past technology required for a patent. A trivial improvement in cost or performance is fine. Actually no objective improvement is required at all. An existing solution might work as well or better than your invention. That means probably no one will buy it but if it is novel and not obvious one can get a patent.
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.
A U.S. answer. In the US there is nothing about this that automatically makes the patent invalid. They listed all the inventors as required. How did they handle not having a signed declaration from you? If they forged your signature that can be fraud on the office. Alternatively they could have said you had some agreement with them that justified them saying they tried to reach you but couldn’t (sometimes ok under the AIA law but not earlier) and therefore filed without your signature. However, depending on the details, you might want to help them fix that up in retrospect and enjoy being exactly equal co-owners with ABC Ptd Ltd. In the U.S. all rights flow from the inventors and the default is they can each make, sell, import, etc, and can each license with no consulting or accounting to each other, a horrible arrangement. This puts them in a bad position commercially and they might give you much money or royalty stream for you to agree to a different arrangement. In the rest of the world the applicant is often more important than the inventors so this is a U.S. only answer.
Yes you can do this in the UK. Section 60 of the Patents Act 1977 has a specific carve-out for this kind of activity: (5) An act which, apart from this subsection, would constitute an infringement of a patent for an invention shall not do so if; (a) it is done privately and for purposes which are not commercial; (b) it is done for experimental purposes relating to the subject-matter of the invention; So if you build and operate your laser without selling anything you are in the clear. You can also experiment with potential improvements. There is no such thing as a "global patent": patents are issued in each country and the national law of each country applies (except for Europe). If an inventor wants patent protection in lots of countries they have to file for a patent in each country. So if this laser is patented only in the USA and you are in the UK then you could make and sell as many lasers as you wanted, as long as you didn't export them to the USA. And vice-versa for a UK patent and a USA engineer.
This supposes that the patentable concept can’t be learned form the operation of the whole program and hiding the invention while making use of the invention in public is not a disclosure. However, in the US there is a famous case In re Blaisdell, 242 F.2d 779, 783, 113 USPQ 289, 292 (CCPA 1957); Hall v. Macneale, 107 U.S. 90, 96-97 (1882); Ex parte Kuklo, 25 USPQ2d 1387, 1390 (Bd. Pat. App. & Inter. 1992) that concluded a public demonstration that didn’t expose the inner workings did start the clock on a bar to patentability. See previous question https://patents.stackexchange.com/questions/20886/would-the-demonstration-of-an-invention-be-considered-public-disclosure The answer (from me) has the caveat that this is a pre-AIA case and courts might come to a different answer under that current law. The U.S. has viewed public use, especially commercial public use, as disqualifying (after a grace period) but the rest of the world puts its emphasis on actual disclosure of the inventive concept so this result might be different elsewhere. One thought experiment would be to analogize with an article in a widely available journal with the words Don’t read the article that starts on page 19 on the cover. From a disclosure point of view I do not think that is different from it being possible, but illegal, to read.
What you are missing is that the original copyright holder can give permission to make derivative works with strings attached. There is no automatic right to derive something from a copyrighted work. Those strings could include constraints on what you create in the process of making the derivative work. Yes it is a string limiting what you can do with something you own, but you would have been warned in the license and had the choice to start from scratch. People do create work-alike software with no copyright strings using two teams and a "clean room" design process. It is a lot harder than modifying something another person has developed. Also, law and someone's understanding of morals need not be aligned at all. And, in patent law, just creating something all by yourself from scratch does not give you ownership. If someone else did it first and got a patent you can't make the item you might think you own. IP law is complex and looking for "fundamentals" may not get you anywhere.
Can only be done one way and has been done - not novel; you can only think of one way to do it and don't know if it has done that way or at all, may be is patentable. From one example it is hard to give a general answer that might apply to a case you might actually be thinking about. One can not get a patent on something that is not novel or is obvious (using U.S. patent law concepts) or not useful. Novelty is judged by trying to find a single reference, published before the filing date, that contains all elements of the claimed invention. An examiner can't just say "that is the way I would have solved the problem" or "everybody knows that already". This is to make the test for novelty more objective and give the applicant something tangible to argue against. Next consider obviousness. The examiner can't just say "seems obvious to me". Besides the problem that it is far from objective, there is a strong psychological effect called "hindsight bias". Once you know a solution, it seems obvious even if you would never have come up with it independently. To assert a rejection based on obviousness an examiner needs to find one or more references that, together, have all the elements in a claimed invention. That part is pretty objective. Then they need to argue that a (fictitious) person of ordinary skill in the art would think to combine those references to achieve the claimed invention. A POSITA knows everything that was ever published anywhere at any time in any language in the relevant field or specifically relevant to the problem from an other field and is of median/average skill in the field. There are rare cases where the problem was never recognized and the recognition of the problem is an important part of the invention. In that case the solution might be obvious once the problem was (inventively) identified. That would still not be an obvious invention. Your example might fit into this. In the rest-of-the-world obviousness is replaced by "having an inventive step", not exactly the same concept. And the rules of what can be considered prior art different. A third criteria is "useful" in the U.S. It is somewhat analogous to "industrial applicability" in the rest of the world. Until about 2000 this was a trivial hurdle in the U.S. As long it was not a law of nature (abstract), something completely done in your head or a perpetual motion machine, it was probably useful. There have been many rulings since then that have put more and more things in the "abstract" category and if it's abstract its not useful. This is the basis of the "you can't patent software" mantra. There are plenty of things that look like software that get patented but it is getting harder.
Can my landlord legally not let me do my anmeldung in Germany? I really need to do my anmeldung so I can start working and get health insurance in Germany now (during corona). I moved out of a youth hostel once it shut down and me and two others found a room for rent which is sort of a hotel that had been converted to an apartment during corona, since they lost their customers. The landlord says anmeldung is not possible here, but I was wondering if that is fair, since we are paying to be here, and it is now basically impossible for us to get our anmeldung without moving and paying somewhere else (or even double paying). I can’t generate income without my anmeldung.
No, they can't. They are required by law to issue a Einzugsbestätigung when your indended stay is longer than 3 months when staying in a hostel or pension or another form of temporary accommodation. The rule for temporary residence (up to 3 months) have many exceptions Youth Hostel are exempted Hotels, Pensions have a simplified registration (Hotel registration) For long term residence in Hostel, Pension etc. (everything more than 3 months), the standard rules apply registration after 3 months plus 14 days at the latest may be done earlier, if the extended stay exceeds 3 months This sample assumes the person is not registered elsewere in Germany. For those who are registered elsewhere in Germany 6 months apply instead of 3 months A Einzugsbestätigung (Confirmation of moving in) must be issued by the landlord when registering. Should the landlord refuse to issue a Einzugsbestätigung, you are required to report this to registry office immediately to avoid paying a fine. In pratical terms, you should go to the office personally and tell them that you want to register but landlord refuse to issue a Einzugsbestätigung. When moving a permanent residence, registration within 14 days is required. Die „Hotelmeldepflicht“ 3. Abgrenzung zur allgemeinen Meldepflicht ... Allerdings greift für eine Beherbergungsstätte diese allgemeine Meldepflicht lediglich dann ein, wenn eine der beiden folgenden Fallgruppen vorliegt: Fallgruppe 1: Die aufgenommene Person ist nicht für eine Wohnung im Inland gemeldet und ihr Aufenthalt überschreitet die Dauer von drei Monaten. Dann muss sie sich bei der Meldebehörde ganz regulär anmelden und zwar binnen zwei Wochen, nachdem der Zeitraum von drei Monaten überschritten wurde. (Fall des § 29 Abs. 1 Satz 2 BMG). Eine Anmeldung schon vor Ablauf der genannten Zeitgrenzen ist möglich, sofern von vornherein ein darüber hinausgehender Aufenthalt beabsichtigt ist. ... 3. Differentiation from the general reporting obligation ... However, this general reporting obligation only applies to an accommodation facility if one of the two following groups of cases applies: Case group 1: The admitted person is not registered for an apartment in Germany and their stay exceeds three months. Then they have to register with the registration authority in the normal way, within two weeks after the period of three months has been exceeded. (Case of Section 29 Paragraph 1 Sentence 2 BMG). It is possible to register before the specified time limits have expired, provided that a longer stay is planned from the outset. ... Meldegesetz – Einzugsbestätigung Weigert sich Ihr Vermieter oder Wohnungsgeber, Ihnen die Bestätigung auszustellen, müssen Sie dies umgehend der zuständigen Meldebehörde mitteilen (§ 19 Abs. 2 BMG). Nur so laufen Sie nicht Gefahr, ein Bußgeld zahlen zu müssen. Denn wer seinen Pflichten nicht nachkommt, riskiert ein Bußgeld von bis zu 1.000 Euro (§ 54 Abs. 2 Nr. 1, Abs. 3 BMG). If your landlord or the landlord refuses to issue you the confirmation, you must notify the competent registration authority immediately (Section 19 (2) BMG). This is the only way you do not run the risk of having to pay a fine. Because anyone who does not meet his obligations risks a fine of up to 1,000 euros (Section 54, Paragraph 2, No. 1, Paragraph 3 BMG). Sources: Die „Hotelmeldepflicht“ | rehm. Beste Antwort Section 29 - Special registration requirement for commercial accommodations Meldegesetz – Muss ich dem Amt eine Einzugsbestätigung vorlegen? - Finanztip Section 19 - Cooperation by the supplier of the residence Section 54 - Provisions on administrative fines
Note that, criminals are not allowed to apply for a German citizenship, so I don't know whether the German government would consider being a deserter as a being criminal. First of all, they would deny a criminal German citizenry, but that goes only for crimes, that are also illegal in Germany (Sec. 12a § 2 Nationality Act, § 12a Abs. 2 StAG). Were you - for instance - convicted for muder you couldn't become a German citizen. Desertion in that sense however is not a criminal offence in Germany, so you're good. Regarding double citizenship, Sec. 12 § 1 2nd sentence no. 2 Nationality Act (§ 12 Abs. 1 S. 2 Nr. 2 StAG) allows you to keep your original citizenship, if the country of origin "regularly refuses to grant release from citizenship", which should be the case here. Therefore, you could become a German citizen according to Sec. 10 Nationality Act (§ 10 StAG).
When the fixed term ends, you have two options if you want to stay. The first option is that you and the landlord can sign a new tenancy agreement, with a new fixed term. This new agreement replaces the old one at the end of the current fixed term, so the landlord is free to make changes, including proposing any number for the rent - and you are free to reject it. Alternatively, when the fixed term ends, if you don't sign a new agreement, and you don't leave, the tenancy automatically* becomes a Statutory Periodic Tenancy - often called a rolling contract. This has no fixed term, which means that if you want to leave, you have to give 1 month's notice, while if the landlord wants you to leave, they must give 2 months' notice. Apart from that, the terms of the existing contract, including the rent review clause mentioned in the question, remain in force. The rent review clause suggests that the landlord can unilaterally impose a rent increase after the fixed term ends, but only up to the amount specified. Hence, without signing a new agreement, any increase beyond that would not be allowed. Also, it doesn't appear to make any mention of future rent increases, which suggests that the default rules for rolling contracts will apply, in that the landlord can propose a rent increase, which you can accept or reject. Failing that, the landlord can impose one via a Section 13 Notice, but only once a year. If you feel the requested rent is unreasonable, you can challenge this, and a tribunal will make a ruling based on the state of the property and the rents for similar properties in the area. (* If the tenancy has any provisions relating to what happens once the fixed term ends, then the tenancy may become a Contractual Periodic Tenancy. However, unless those provisions relate to rent, then they may not be relevant here.)
germany Visitors in hotels must be registered and the hotel must keep the paperwork for a certain duration. According to §29 Bundesmeldegesetz, foreigners who are required to be named in their registry need to show an identity document (groups might have summary listings for some). There are some optional simplifications. Paying by credit card may count as identity verification. From context where this law is placed, it is not about interpersonal issues in the hotel. Germany requires all residents to register with their municipality of residence, and registering hotel visitors closes loopholes. §28 immediately before this is about sailors on river barges, §32 is about hospitals.
There is no legislation in Germany that explicitly states how long you have to wait in such a situation. First let's look what happened: According to your work contract, you are obligated to be available for work and follow the directions of your employer. Let's not go into nuances of the latter duty, because they depend on what type of work you are doing. Your employer is obligated to pay you if you fulfill your duties. What happened is called Annahmeverzug (default of acceptance) in German civil law (§ 615 BGB): Kommt der Dienstberechtigte mit der Annahme der Dienste in Verzug, so kann der Verpflichtete für die infolge des Verzugs nicht geleisteten Dienste die vereinbarte Vergütung verlangen, ohne zur Nachleistung verpflichtet zu sein. Er muss sich jedoch den Wert desjenigen anrechnen lassen, was er infolge des Unterbleibens der Dienstleistung erspart oder durch anderweitige Verwendung seiner Dienste erwirbt oder zu erwerben böswillig unterlässt. … English translation: If the person entitled to services is in default in accepting the services, then the party owing the services may demand the agreed remuneration for the services not rendered as the result of the default without being obliged to provide cure. However, he must allow to be credited against him what he saves as a result of not performing the services or acquires or wilfully fails to acquire through use of his employment elsewhere. … If your employer doesn't enable you to work, they have to pay you for your time. You don't have to make up that time. If you save money by not working or had the opportunity to earn money by other means1 during that time, this can be deducted from your pay. Now, the question is how you fulfill your duty of being available for work. This depends on the specifics and really can only be answered by a lawyer or court (and IANAL). You do not need to endure hardships but have to accept reasonable inconveniences. Thus, you can leave if waiting becomes more than an inconvenience (usually that will be caused by weather or by bodily functions). If you leave, you should still be available for work unless that becomes unreasonable, e.g., because you could use that time to earn money by other means. 1 Usually, it can be safely assumed that you don't have that opportunity. However, a daytaler might easily have that opportunity.
It is not correct to say that "Gutenberg is banned in Germany". A German court ruled that Project Gutenberg (US) could not provide copies of 18 works to addresses in Germany. PGLF (the foundation that runs Project Gutenberg) decided to block all access from Germany, because similar claims might be made about other works, leading to added legal expense in Germany. PGLF is said to be appealing the German Court's decision. Many works in the PG collection are clearly out of copyright in Germany, under German law. Providing those works would not infringe German copyright. As long as the PG license is complied with (and it is quite permissive) I see no legal problem with such works, but anyone planning to start a business or service reproducing such works would be wise to consult a lawyer with knowledge of copyright law in that person's country. Note that there are PG affiliates in several countries, including Germany and Australia, that operate under their own local copyright rules, and are run separately, and have different collections of works.
Firstly, your "apartment" doesn't prohibit anything; Your tenancy contract does. A terminology nitpick, but one that can shed some light on what is actually happening. TLDR: Your right to bear arms isn't being infringed, its being traded away. An unreasonable trade may be invalidated by the courts. Firearms restrictions are far less likely to be voided than speech content limitations. Yes, you have the right to bear arms(whatever exact meaning of that is). You also have the right to voluntarily agree to a binding agreement limiting that right, in exchange for a consideration. Compare a Non-Disclosure Agreement (NDA). You have the right to freedom in your speech: you also have the right to agree to binding limits on your freedom of speech, in return for consideration (such as money or access to information). Every contract is structured in the same general way: Party A agrees to do or avoid doing certain things, in exchange for Party B agreeing to do or avoid doing certain things. So, in essence, what the apartment contract says is, that you agree to do or not do some things (including paying rent), in return for your landlord temporarily granting you some rights(such as the right to reside(generally exclusive), the right to control the space, etc. ), and imposing some obligations on themselves (which vary from place to place). In your case, one of the things that you are trading is a limitation on your right to bear arms(note that you can still bear arms, just not on the property in question). Now one thing to note is that courts have the power to enforce contracts; they also have the power to void contracts, in part or in full, if they are illegal or "unconscionable". In general, restricting (the content of) speech is not reasonable (e.g. having a general noise level restriction is reasonable), so is more likely to be struck down than one restricting firearms on the rented property.
You have the legal (contractual) obligation to pay the amount that you owe for your meal. The restaurant can refuse to accept a particular kind of payment, such as check, cash, credit cards (generally or brand-specific), various cash-transfer programs, foreign currency, bitcoin or ridiculous numbers of pennies. There is no requirement that they do today what they did yesterday. If you have in your possession only a Discover card, and if they are unwilling to accept service barter as payment (washing dishes is classical), then you would have a debt to the restaurant which you must pay in a reasonable time, using an acceptable medium (such as cash, unless they don't accept cash). They cannot make it impossible or highly burdensome for you to discharge your obligation (e.g. they cannot demand Krugerrands or Mongolian ᠲᠥᠭᠦᠷᠢᠭ as the alternative payment, unless you are in Mongolia). You were given advance notice of this possibility of non-acceptance, yet you willfully proffered a card that you knew that they were not likely to accept a second time. Your hands were not clean, and if this had gone to court, you could not expect mercy from the court on the grounds that you were surprised that they didn't accept your card.
Is a US (New York) police officer allowed to take your keys at a traffic stop? So I was browsing Reddit earlier and came across this video of someone on a motorcycle lane splitting in New York (which is illegal there), when a police officer swerved into the path of the rider to stop them and pull them over. But before the biker could get out of the middle of traffic, the police officer had already taken the bikers keys without asking for consent. So in short, my question is this: Is a US police officer (New York specifically) allowed to take your car/ bike keys without asking for consent first? If this is state specific, it would be awesome to see a list of states where this is legal/ illegal Edit: I should've mentioned that, yes, taking the key to ensure the motorcycle is immobilized and cannot run (as motorcycles/ motorcyclists tend to do more oftencitation needed) is probably the reason as to why. But I'm not asking about why the police officer did it
The policeman ordered, right as he took a step out of his car "Turn it off!" - which is a lawful demand to prevent the biker from possibly kicking the gas and running. As the driver did not seem to comply (from the policeman's PoV) during his walk over to the bike, he enforced the order himself by turning off the bike and confiscating the key for the moment. Having made it safe that the driver couldn't leg it, he guided traffic around him so he could get to the side of the road. We don't know what happened after the driver reached the curb to be lectured and/or arrested, the bike could be impounded or the confiscation might be temporary. So all we can do here is discuss the action of demanding that a motor vehicle be turned off, the doing of such and taking the keys. Demanding a vehicle to be shut off is standard procedure in police stop, as it is ensuring the safety of everybody involved. In a somewhat recent case (trying to find it again!), a driver did not shut off the car and had to stand on the brake to keep it where it was. As commands came conflicting (keep your hands where we can see them, get out of the car!) and he could not comply or the car would jump forward and ram somewhere, things escalated and the driver was shot. But back to the first step. Was the stop lawful? ACLU in NY tells us: Police may stop and briefly detain you only if there is reasonable suspicion that you committed, are committing, or are about to commit a crime. Don’t bad-mouth a police officer or run away, even if you believe what is happening is unreasonable. That could lead to your arrest. There was a crime committed: Splitting is illegal in NY (among others: Section 1122, overtaking on the right), so the stop was justified under NY CPL 140.50. From my own experience, it is not uncommon for bikers to try to evade police by swerving back into traffic and using their higher mobility to get away. On its face, this makes it reasonable to demand the bike be shut off as the policeman advanced, and I'd like to congratulate the officer for taking the less escalating step and just turning the bike off himself on the noncompliance instead of drawing his gun and possibly escalating it to a use of force. Most lawyers suggest to drivers pulled over to do things akin to "After you brought your car to a complete stop [on the curb], roll down your window and shut off the engine". Like this one. Possibly confiscating the keys might be an overreach by the policeman, but the demand to turn it off clearly is not.
The police are never permitted to break the law. However, the law that gives them their powers may make other laws not applicable to them in the course of their duties. If a law is not applicable to them; how can they break it?
new-york-state No. New York's DUI law forbids the operation of a motor vehicle when your "ability to operate such motor vehicle is impaired by the consumption of alcohol", but it defines "motor vehicle" to exclude "electrically-driven mobility assistance devices operated or driven by a person with a disability." If you are using a wheelchair because of a disability, you are therefore not subject to the DUI statute.
It's not an interrogation Nothing makes Mr. Hansen a police investigator. He is a private person talking with another private person. His testimony or the recording of the interview might or might not be admissible in trial, that's for the court to decide. But Miranda warnings are only needed when you are under arrest or when you are in a custodial interrogation. Hansen, agent of the police? There's arguments that Hansen might or might not have acted as an agent of the police, and in one case he was deputized. However, that does not change that for Miranda you need an arrest or custodial interrogation (e.g. where one is not free to leave). As far as I am aware, none of the people interviewed was in such a situation and technically free to go at any time - making Miranda not required.
To be very straightforward, yes, a police department would very likely have records of their past interactions with you in the form of police reports. They cannot just throw them away because it's been scrubbed from your public record. They detail the interactions the police officer had with you. That being said, those records would not show up in a general inquiry into your record, because those records are meant to protect the officer and the department as a reference point they can go back to in case some dispute arose in the future. If a police officer really wanted to find them, they'd have to do a bit of digging for them. The difficulty in finding them would depend on what system the particular police department uses to store those records. Smaller departments may just file them in a cabinet somewhere, whereas larger ones may actually have their own searchable database. But a traffic cop out on the street is only gonna see what you're seeing at the DMV - nothing. There is also a formal NCIC database, but traffic violations would never end up in there. That is a national database that basically stores red flag persons of interest (think stolen vehicles, sex offenders, and gang members). Sometimes multiple departments within a state will share their information with each other, but a department's database is usually kept to that department only. Also keep in mind court records. The court case that had a violation removed under such and such conditions is still gonna be a public record. Those records would generally be available to a judge overseeing your case so if you repeatedly end up in court for the same thing, they're gonna know and they're gonna stop scrubbing it from your record or offerring certain options because you're clearly not learning your lesson. Many laws allow you to have one offense stricken per year and similar stuff like that, but that kind of stuff doesn't just permanently disappear. They have to keep record of it in order to know you've already had your once per year etc. Also a note about parking violations: not all of those are actually issued by police. If it was issued by a private firm then that is not something that would ever show up on your record. It would just be in a database somewhere with whatever private firm issued the fine. Those kind of tickets get sent to collections and hurt your credit score if you don't pay them, rather than affecting your driving record.
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.
Note: I am not familiar with Washington law, but I can make an educated guess as to what is happening here. I am guessing that the couple in question are the joint registered owners of the motor vehicle. In many jurisdictions, motor vehicles are treated differently from "normal" things, they are treated as inherently dangerous and thus ownership carries a certain set of responsibilities. (Similar to e.g. owning a firearm, which carries with it certain restrictions on how it can be stored, for example.) One of those responsibilities is to keep track of who is operating the motor vehicle. Therefore, unless the operator of the motor vehicle can clearly be identified without incurring unreasonable cost, tickets for traffic violations are generally addressed to the registered owner, who can then forward them to the responsible operator. (Note that "unreasonable cost" does not have to be monetary. It could also be an invasion of privacy: it is less invasive to just ask the owner to identify the operator than to e.g. surveil the owner's property to find out who is using the vehicle or run facial recognition against the owner's family, friends, and colleagues.) In many jurisdictions, there is a form attached to the ticket (or downloadable from some website) which will look something like this: I accept the ticket: [ ] I do not accept the ticket [ ] because … I was operating the vehicle, but I did not run the red light [ ] I was not operating the vehicle [ ] … the vehicle was operated by: name ___, address ___ … I do not know who was operating the vehicle at that time [ ] If you claim not to know who was operating the vehicle at the time in question, that might have other consequences. In some jurisdictions, you can then be ordered to keep a logbook, for example. If the vehicle then gets caught again and you again claim to now know who was operating it, or you cannot produce the logbook, you might get fined for violating the court order to keep a logbook.
In addition to the general considerations of (1) who is allowed to use non-deadly physical force to maintain order in a shop (which I think that one could do if "deputized" by the property owner or to protect the property of another as well), and (2) the use of non-deadly physical force to make a citizen's arrest (which many of these scenarios would justify as the disorder would be a crime if committed by an adult), (3) I suspect that there is also some point at which a bystander may intervene to prevent harms associated with an unsupervised minor being at large and in need of supervision. Generally speaking, intervention with the minimum reasonable non-deadly physical force to prevent property damage, or an assault, or a threat, is going to be permissible. As to the third reason: for a mentally normal ten-year-old that might be a stretch; for a four-year-old or a clearly impaired older child it might not. One could approach the child, say, "where's your mom or dad", "do you have a babysitter or sibling around?", "what is your name?", or "are you lost?" and detain the child until a satisfactory answer is provided or a suitable authority arrives, to prevent the problem of a child being lost, abducted or hurt by the child's own actions. It would be quite hard for a parent, guardian or babysitter to complain about this kind of conduct when the child was unsupervised and is released as soon as you confirm that this really is a responsible adult or older minor who is responsible for the child. It would be important in doing so to not secret away or isolate the child, to try to determine the location of the child's caretaker, to refrain from doing anything that would harm the child, and to seek assistance from an authority within a reasonable time. Typically, if no caretaker appeared, a cop would come and the cop would oversee the situation until a social worker could come. For example, Colorado has the following statute that would apply once a cop arrived (omitting lengthy provisions that apply to newborn children): § 19-3-401. Taking children into custody (1) A child may be taken into temporary custody by a law enforcement officer without order of the court: (a) When the child is abandoned, lost, or seriously endangered in such child's surroundings or seriously endangers others and immediate removal appears to be necessary for such child's protection or the protection of others; (b) When there are reasonable grounds to believe that such child has run away or escaped from such child's parents, guardian, or legal custodian and the child's parents, guardian, or legal custodian has not made a report to a law enforcement agency that the child has run away from home; . . . (1.3) A child shall be taken into temporary custody by a law enforcement officer without order of the court when there are reasonable grounds to believe the child has run away from the child's parents, guardian, or legal custodian and the child's parents, guardian, or legal custodian has made a report to a law enforcement agency that the child has run away from home. (1.5) An emergency exists and a child is seriously endangered as described in paragraph (a) of subsection (1) of this section whenever the safety or well-being of a child is immediately at issue and there is no other reasonable way to protect the child without removing the child from the child's home. If such an emergency exists, a child shall be removed from such child's home and placed in protective custody regardless of whether reasonable efforts to preserve the family have been made. (2) The taking of a child into temporary custody under this section shall not be deemed an arrest, nor shall it constitute a police record. A child is considered neglected or dependent under circumstances including the following (provisions related to drug or alcohol abuse by parents omitted): § 19-3-102. Neglected or dependent child (1) A child is neglected or dependent if: (a) A parent, guardian, or legal custodian has abandoned the child or has subjected him or her to mistreatment or abuse or a parent, guardian, or legal custodian has suffered or allowed another to mistreat or abuse the child without taking lawful means to stop such mistreatment or abuse and prevent it from recurring; (b) The child lacks proper parental care through the actions or omissions of the parent, guardian, or legal custodian; (c) The child's environment is injurious to his or her welfare; (d) A parent, guardian, or legal custodian fails or refuses to provide the child with proper or necessary subsistence, education, medical care, or any other care necessary for his or her health, guidance, or well-being; (e) The child is homeless, without proper care, or not domiciled with his or her parent, guardian, or legal custodian through no fault of such parent, guardian, or legal custodian; (f) The child has run away from home or is otherwise beyond the control of his or her parent, guardian, or legal custodian; I don't have easily at hand legal authority authorizing a third-party who is not a law enforcement officer to take custody of a dependent or neglected child until a law enforcement officer arrives, but I strongly suspect from the context that this is allowed either under common law, or a statute that I have not located, or some legal fiction (e.g., that the citizen is implicitly deputized by the law enforcement officer after the fact), or simply as a matter of custom and ordinary practice not codified in any authoritative legal source.
Is it illegal if someone posts a photo of me that was taken by their front doorbell without me knowing? I was given an address from someone who owes me money. I went to the address and rung the door bell, a lady answered the door. I asked if Tom was there, she replied no and no Tom lives here. I apologized to the lady and explained to her that I was given this address by someone that owes me money, and that he had obviously misled me. I said sorry again and went on my way. About two hours later a friend of mine called me and said that someone had posted a photo of me on Facebook asking if anyone new me. My friend knew the person who posted the photo, so they phoned him and told him he new me and I was kosher so remove the photo, which he has now done. So was it illegal for him to post that photo taken of me without me knowing about it?
If this was anywhere in the United States, it was perfectly legal to post the photo. The First Amendment allows people to freely share information, including pictures. People commonly believe that they have the authority to control who takes a picture of them and under what circumstances, but that is generally false. Anyone with a camera is generally free to photograph anyone or anything they want out in public. You've also used the copyright tag on your question. The person who took the picture owns the copyright. Since that's the owner, there's presumably no problem with her posting it. Instead, it would be illegal for you to post that photo without obtaining a license from the homeowner.
You are processing the users IP address in order to carry out the translation to a physical location (see my comment for the technical issues with that) and an IP address is most certainly considered personal information, so yes under the GDPR you are going to need a published policy because you are both data controller and data processor. You need to inform the user of what you are doing, and you need to tell them of the legal basis for the processing (there are several under the GDPR, of which consent is only one - but in your case its going to be the easiest to justify). If you use a third party service for the location translation, you also need to inform the user of that and make available the third party services data processing policy.
someone I spoke with said "there is to be no recording of this or any other calls". Must I follow this instruction? Although, in Canada, there is no requirement on you to obtain consent to make recording, this explicit objection creates a hurdle. If you simply ignore the objection and record the conversation anyway without letting the objecting party know, you may give them a ground for a claim under the breach of confidence doctrine. The safest move would be to reply: No. There will be recording of this and any other calls. It will be then up to them to hang up. If they don't, they lose all grounds for any claims.
In essence, Schwab is stating that they are not a law enforcement agency and they have neither the interest nor the legal right to pursue criminals. They state that they will assist law enforcement but also tell you that, from their experience, law enforcement while they have the legal right also don't have any interest in doing so. This is completely correct. I'm not going to comment on what you should do to protect yourself from identity theft. With respect to the reverse transfer: you are on very shaky legal ground here - you transferred funds without authorization and you are not legally allowed to do this even to recover your own losses. If you had limited this to just recovering your own funds then you would be extremely unlikely to be prosecuted but by taking more than was yours you have technically committed a theft of your own. That said, it seems unlikely that law enforcement will be interested - Schwab are not making a complaint and I doubt that the original thief will - for obvious reasons. However, its possible (even likely) that this was not the thief's bank account - this is likely to be an innocent third party's account that the thief was using to obfuscate their crime. If so, the money you took (both the original amount and the extra $50) you took actually belongs to that innocent party - your money had probably spent very little time in that account.
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.
PIPA has a dispute resolution process. See page 39 of the guidance document. The judge in your current case may have the power to award you damages under PIPA, but most likely not. You are probably best served by using the information as evidence that the guy is a bad person, has little regard for the laws, openly defied PIPA, etc. However, if he's smart he will say that you consented. Look at pages 5 and 6 of that document that you linked to. Unless you protested when you handed him your license and watched him photograph it, it's hard for you to say that you did not provide implied or verbal consent. This is especially true when coupled with the PIPA dispute resolution which start with you attempting to resolve this issue before filing a complaint. In summary, it might help you demonstrate a pattern of bad behavior but your current legal dispute is not the place to resolve your privacy issue.
Per GDPR Art 79, you can sue data controllers if you consider your rights to have been violated. Where you have suffered damages due to GDPR infringements, you also have a right to compensation per Art 82. However, your rights may not have been violate as far as the GDPR is concerned. Under the GDPR any kind of personal data processing needs a clear purpose, and that purpose needs a legal basis. One possible legal basis is consent, but there also are others (such as legitimate interest). Just because you didn't consent doesn't mean that your rights have been violated. Where processing is based on legitimate interest, you can object to that processing of your personal data – but your rights must be balanced against that legitimate interest (Art 21). If your friends post a photo and you only appear in the background, your friends' legitimate interest to post that photo likely outweighs your rights. In practice, suing Facebook because of GDPR infringement is not a sensible way to achieve the outcomes that you likely want. First, this is expensive. Second, it is arguable whether Facebook or your friends should be the defendant. Third, removal of existing data won't prevent the processing of new data in the future. It would be more sensible to treat this as an interpersonal rather than a legal problem, and to talk with your friends so that they don't include you in their photos that they would like to share online. I've focussed on photos because their situation is fairly clear. Voice snippets might not count as personal data when you are not identifiable in them. Personal assistant apps should not be listening continuously, but only start recording when a wake-word is recognized.
The California Constitution gives you the right to privacy, but your neighbor also has the right to have cameras on his house. https://oag.ca.gov/privacy/privacy-laws That means that it is up to the courts to balance those rights. If you did go to court, the judge would have to look at the cameras and decide if they significantly violated your right to privacy in regard to audio and video. Just because the camera can see part or all of your yard doesn't make them illegal, because the neighbor has the right to record his property and may not be able to avoid recording your yard. If the cameras can be re-positioned to only see your neighbor's yard the judge might order that. You would have to show it would not violate his right to record while it substantially violates your right to privacy though. Audio is different because it can pick up conversations. California requires you to notify people when you record their conversations in a place where they would be expected to be private. If the camera is recording your conversations, that would be illegal.
Why is Front Running markets not treated as insider trading? Front-Running is described in the book Flashboys and relies on an information advantage, that is apparently provided by the exchanges to a select few. Is said practice somehow different from insider trading?
It’s not insider trading Insider trading refers to leveraging private information that you only know because of your “insider” position. Front running is using information that is publicly available, albeit for a fee. Buying information that anyone can buy is not insider trading.
I'm going to focus on one part of your question, because I think it is informative to the entire question: "By publishing those data in a copyrighted book are they now in the public domain?" Insofar as copyright is concerned, the "facts" are simply never copyrightable. What is copyrightable is the expression of the fact. So you publish a book and it contains many facts. You retain copyright over how you expressed the facts, meaning the word choice, format of presentation and so on. The discussion of this point always leads people to ask the following two questions: What if the "facts" are closely related to the way they are expressed? For example, a phonebook contains "facts" about phone numbers. The individual numbers are not subject to copyright. But if the way they were organized was clever (i.e. not merely alphabetical) the presentation may be copyrighted. Doesn't that line get blurred? Why doesn't "the presentation order" count as a "fact?" It does get blurred! And courts use nuanced case law and judgment to figure out which side of the line a given thing is. However, one backstop is that if AN EXPRESSION is so closely related to the IDEA BEING EXPRESSED that the IDEA cannot be otherwise expressed, then then the EXPRESSION is not subject to copyright protection. To answer your specific questions: The book is subject to copyright. The facts in the book are not. Someone else could publish a book with the same measurements so long as they are expressing the facts with sufficient difference from the original. I'm not familiar with CUSIP numbers. However, there are two things to say here. (A) it sounds like you are describing a contractual relationship between the people who have the numbers. This is not governed by copyright; it is governed by contract between the parties. If these numbers could be treated as a "trade secret" they might be protected IP in that way. But given that they are likely circulated at least a bit, they don't seem like candidates for "trade secret" protection. To your question, "what is the effect of one person leaking?" If "trade secret" law was doing any "work" here... then yes, the trade secret would be undone once the information was public. But like I said, its likely this is actually all about contracts not intellectual property protection. (B) The "facts" of "which number is associated with which instrument" is likely NOT subject to copyright at any time. The specific numbering code COULD BE copyrighted, but in reality is almost certainly TOO CLOSELY tied to the IDEA being expressed to be copyrighted. Could the number be expressed otherwise? If not, then its likely not protected by copyright. -- Big take away here: You seem to be confused about the concept of "facts" getting into the public domain. That's not exactly what copyright is about. Copyright would protect the expression of facts. An expression can become public domain if it is sufficiently old or if the creator designates it as public domain work. But simply "putting something out there" does nothing to alter the copyright status of the thing.
No The bank is not pretending in any way that the money received from depositors is guaranteed. If they had done, then that would be deceptive marketing. The bank held itself out to be a bank and to provide the services that a bank provides. They are allowed to assume that their customers know how banking works. It is clear that you do not because both explanations you have provided are wrong.
Yes it is perfectly legal. Good luck finding investors for a such an indebted company, though. (Not disclosing the contract to potential inverstors would be illegal.)
You don't have to pay anything to participate. The picks offered as part of Streak for the Cash are not statistically 50/50. There are often picks with vegas lines that correspond to 60-70% for one of the sides. The test for whether something is a game of chance is not simply checking whether the options are 50/50.
They can't simply keep the money; that's against the law. But in a situation like this, it's easy to get lost in the bureaucracy. The company may be in violation of different laws, re: For Your Information | United States Department of Labor, so you can try pointing this out in another email or letter. The threat of the Feds or other enforcement agency looking into the matter may make something happen. Or, try this: find the CEO (or a similarly high-ranked executive) on LinkedIn; many have open messaging in interest of good PR. Message/email them and carefully (and nicely) explain the situation. (A CEO will likely have an assistant monitoring their LinkedIn account. But, there are many stories of Steve Jobs, Bill Gates and Jeff Bezos personally responding to emails.) Someone will make it happen and the employees who have not been helpful will be in hot water.
There is nothing wrong with paying in cash; there is something wrong about hiding a transaction that relates to a taxable event. Cash makes that easier.
You can have as many people with the same job title as you wish. You can have more than one CEO as well, although that would be weird and confusing. Nothing prohibits this and CTO isn't even a traditional and core executive title anyway. This will be confusing to everyone involved, as grammatically and in the common English language usage of the word, a C-level officer is usually singular, so the people with that title may resent the fact that they don't really hold the post that their title implies, but tough. By way of comparison, it isn't unusual for big banks to have hundreds of vice presidents. Also, third parties are entitled to assume in a legally binding way that everyone with the title CTO has the authority associated with that title, even if that isn't the case, under the agency principle of "apparent authority". So, the more C-level officers you have, the easier it is for the company to be legally bound by actions they take and the harder it is to assert centralized control over company operations.
CEOs can't sell stock without risking imprisonment? From what I understand if a CEO sells stock in their company and the stock price then goes down significantly within less than a year, they can get indicted for "insider trading" and face 5 to 10 years in jail. Does this basically mean that a CEO basically has to hold onto stock indefinitely and only sell when they are sure the company is not facing a decline? So, basically sell and pray the company does not tank?
Insiders, such as a CEO, are allowed set up predetermined trading plans to avoid accusations of insider trading: Rule 10b5-1 is established by the Securities Exchange Commission (SEC) to allow insiders of publicly traded corporations to set up a trading plan for selling stocks they own. Rule 10b5-1 allows major holders to sell a predetermined number of shares at a predetermined time. Many corporate executives use 10b5-1 plans to avoid accusations of insider trading. See also: What constitutes illegal insider trading What is insider trading exactly?
There is nothing illegal with doing this (absent specific contractual terms or industry regulations to the contrary in particular cases, e.g. in the case of export controlled high technology products). This is called operating a wholesale business or operating as a broker. Lots of legitimate legal businesses have this business model.
Generally not. A judge in sentencing has a number of options subject to the statute or common law. A fine may be one option, imprisonment another. Others include community service, a suspended sentence or death. What they choose is (subject to appeal or commutation) what you do. You can't substitute one for the other.
Yes, but there is a risk If a company persistently violates the law, the regulator can go to court to get an injunction for them and their agents to stop. If they don’t they are now in contempt of court and the fines for that are much steeper. Also, the people in contempt can be jailed until the contempt stops.
The shareholders can change who is the company director, but the company director runs the company (until he or she resigns or is forced to sign by the shareholders). So the company director is who has the say what happens in the company. If the contract is between Fred and John Smith directly, then I would expect John Smith to give the orders and to pay Fred. However, Tom is company director, so he can order Fred to stay off the company premises. He can't order Fred what to do, since there is no contract between Fred and the company, and the company won't pay Fred if it doesn't want to - it's up to John Smith to pay Fred from his own pocket. The whole setup is highly unusual. I would assume that the situation is unsatisfactory for everyone involved, so likely they will agree that the contract between John Smith and Fred is cancelled, that there is a new contract between Small Company Ltd and Fred, and from then on the company director gives the orders.
In general, a seller may make different and inconsistent sales terms with different customers on whatever basis the seller chooses. In some jurisdictions, for some kinds of transactions, specific laws may regulate this. They may require similar treatment, or advertised prices, or whatever. I do not know of any such laws governing the sale of oil, but there might be some. This will depend on the exact jurisdiction (country, state/province, and perhaps city or other locality). Please edit the question to specify the jurisdiction if you want a more specific answer. Price discrimination on the basis of membership in a protected class under anti-discrimination laws, such as race or religion under US federal laws, would be illegal. Proving that the basis was unlawful might be hard, however.
The constitution does not actually forbid "abusing a position for financial gain", and thus it is left to the political process to address any such actions (voting for a different candidate), or the legislative process (defining certain acts as forbidden) – or, the impeachment process. The court system in the US does not have the power to decide on their own what politicians can and can't do, if there is no underlying law. It is within congressional power to define limits on the act of any politician, for example Congress could pass a law requiring the President and Vice-President to have no business interests or stocks during their term of office; they could require that of cabinet members or members of Congress. Such a law would, of course, either require presidential approval or else sufficient support in the houses of congress to override a veto. There are various limits on what government folks can do. 18 USC 202(c) is an example of a limit on the limits: Except as otherwise provided in such sections, the terms “officer” and “employee” in sections 203, 205, 207 through 209, and 218 of this title shall not include the President, the Vice President, a Member of Congress, or a Federal judge It is possible that a president could engage in a criminal act such as theft, and that is not permitted and would be grounds for impeachment. The president does not, however, have the power to e.g. unilaterally send all government hotel business to a certain hotel company, nor can he declare that 10% of all government expenditures must be deposited in his personal bank account, so the mechanisms whereby corrupt rules of certain other nations can get away with that is that those executives have vastly more power in their countries than POTUS does. With congressional support, though, such acts could come about. If it did, it would not be too surprising if SCOTUS ruled based on common law and considerations of justice that such a law / act was illegal, but it would not be a textualist argument.
There is usually a law that could be stretched to cover such a case. In Washington, RCW 9A.28.030 says A person is guilty of criminal solicitation when, with intent to promote or facilitate the commission of a crime, he or she offers to give or gives money or other thing of value to another to engage in specific conduct which would constitute such crime or which would establish complicity of such other person in its commission or attempted commission had such crime been attempted or committed. The "intent" of the law is to punish people for saying "I'll give you $5000 to kill Smith". But just looking at the text, if you give someone money to encourage them to engage in a specific kind of criminal conduct (e.g. beating people up), then you've violated the law. So, handing a guy $5,000 and saying "I think you should be rewarded for your act" could easily be construed as promoting the future commission of the same or similar crime.
If I discover information about a company through personal investigation can I act on it without being guilty of insider trading? Let's say I'm a skilled PI who has, through detailed investigation followed a paper trail back and discovered that Soylent Green is people! (err..spoiler warning?) I am now aware of information that is not public knowledge, but I have not 'stolen' it from a company, as I have generated this knowledge through personal investigation and research. However, I was only able to prove something was wrong after capturing photos while doing surveillance of a suspected location, so my knowledge is not just deduction from publicly available records. I'm now in the process of trying to get the local news agency to take me seriously and warn everyone about the news. However, while I do this I also decide to short sell Soylent LTD, after all I need to cover my own business expenses somehow. If it's relevant let's say I have strong evidence that my investigation and leaking of the knowledge was originally done out of an honest intent to warn people about the company, since intent of leaking information seems to matter in case law (the 2014 court case). Could I be found guilty of unlawful insider trading for short selling the companies stocks?
This is not insider trading To be an insider in the USA you must be a company officer, director or a beneficial owner of more than 10% of a class of the company's equity securities. You aren’t any of those. Or you are an “insider” if you trade based on non-public information in breach of a position of trust. The company’s lawyers and accountants, for example. Or if you obtain the information from an “insider” where the insider is behaving unlawfully, leaking it to you for example. You are not an insider if you receive non-public information outside a position of trust, for example, if you hear the CEO and COO discussing precisely why they won’t eat the company’s product at the table next to you in the cafe. In any event, the information you describe is public assuming your “investigation and research” was conducted lawfully. For example, by going through their trash or observing their operations from a place where you are permitted to be. Just because it took a lot of effort to collect it and analyse it to reach your conclusion doesn’t make it non-public.
Possibly, but probably not. Personal data is any information relating to an identifiable person. The statement “Alice is sick” is information, and relates to Alice who is identifiable. Processing personal data is not inherently illegal, but does require a legal basis per Art 6 GDPR, such as a legitimate interest. Here, the information is data concerning health, processing of which is prohibited unless one of the explicit exceptions applies (such as explicit consent, or legal obligations). So it is legitimate to have concerns on whether disclosure of this information would be legal. If these rules were breached, that would be on the data controller. Here, the company would be the data controller, not Bob (unless Bob acted against training and instructions and processed the personal data for his own purposes). However, GDPR probably doesn't apply to this specific interaction. In Art 2(1), the GDPR says that This Regulation applies to the processing of personal data wholly or partly by automated means and to the processing other than by automated means of personal data which form part of a filing system or are intended to form part of a filing system. A conversation itself would not be subject to GDPR rules – there is no filing system or similar structured data involved. What GDPR would prevent is to keep records on Alice's health status, but doesn't necessarily prevent talking about it informally. For example, the EUR 35.3M fine against H&M in Germany was imposed not because managers talked with employees about personal matters, but because they then maintained detailed files about those personal matters. Data controllers are responsible though for ensuring security and compliance through appropriate technical and organizational measures (TOMs). TOMs can include things such as non-disclosure agreements and training for staff. If Bob acts against such training, there could be repercussions along the Bob–Company employment relationship. But that would mostly be an employment law thing, not so much a GDPR thing.
In the UK and USA (and I imagine other jurisdictions) there have been laws that explicitly provide for orders obliging entities to (A) provide access or information and (B) keep the order secret. For example, in the USA the Stored Communications Act, Fair Credit Reporting Act and Right to Financial Privacy Act authorise the FBI to issue National Security Letters (Wikipedia, EFF, EPIC, Lawfare). These are an administrative subpoena, without prior approval from a judge, for meta-information (e.g. phone numbers dialed or email recipients addressed but not the content) of communications relevant to national security investigations. They typically contain a non-disclosure requirement prohibiting the recipient of the NSL from disclosing its existence or the FBI's demands. There have been challenges on First Amendment grounds to the non-disclosure aspect but, so far as I'm aware, they have all ultimately failed. Some of their non-disclosure requirements may eventually expire under other laws. In response, so-called 'warrant canaries' (Wikipedia) have been developed (and gone a bit further than the original idea) - these are intended to allow entities to relatively passively warn of such an order having been received if not the detail of the order. However, they can be legally risky in that they might be seen by a court as trying to circumvent the non-disclosure requirement and therefore breaking it.
See the answer to this question. It is remotely possible that it will show up, but the new S.C. law also says that an employer cannot use that information. On the other hand, that law is not yet effective (it becomes effective Dec. 27 2018), so for the rest of the year, the information could be used, if an employer obtains is. There is a law-enforcement exception that arrests can always be used against you if you apply for a law-enforcement related job. Under the current law (has been in effect for a while), the record is "under seal", so revealing the record in the course of a background check would be a violation of the relevant court order. The law specifies a punishment for illegal disclosure: A person who intentionally violates this subsection is guilty of a misdemeanor, and, upon conviction, must be fined not more than one hundred dollars or imprisoned not more than thirty days, or both. however, accidental disclosure is not a crime. You might think that you could at least sue them for accidental disclosure, but the law also says Unless there is an act of gross negligence or intentional misconduct, nothing in this section gives rise to a claim for damages against the State, a state employee, a political subdivision of the State, an employee of a political subdivision of the State, a public officer, or other persons. If the government person who releases the information intentionally does so, you can sue. Perhaps an accidental release could be found to be grossly negligent: that would depend on the circumstances.
While German law indeed requires providing correct contact information it does not require the recipient to answer queries. It is there so that you can submit legal notifications. In your case I wouldn't be so sure that the information is not correct. However, even if the contact information is incorrect, there is not much you can do about it. This is reserved to the following groups by § 8 Abs. 3 UWG: every competitor; associations with legal personality which exist for the promotion of commercial or of independent professional interests, so far as a considerable number of entrepreneurs belong thereto, and which distribute goods or services of the same or similar type on the same market, provided such associations are actually in a position, particularly in terms of their personnel, material and financial resources, to pursue the tasks, under their memoranda of association, of promoting commercial or independent professional interests, and so far as the contravention affects the interests of their members; qualified entities that prove that they are entered on the list of qualified entities pursuant to section 4 of the Injunctions Act or on the list of the Commission of the European Communities pursuant to Article 4 of Directive 98/27/EC of the European Parliament and of the Council of 19 May 1998 on injunctions for the protection of consumer interests (OJ Number L 166 page 51); Chambers of Industry and Commerce or Craft Chambers. Unless you are a competitor you are out of luck. The hoster or other providers can't do anything and don't need to, as they are not required to check legality of their user's websites. It doesn't really matter where you are by the way for these laws.
No. In the United States, lying is not a crime. Unless it is done: under oath (in which case it's called perjury) or to a law enforcement agent conducting an investigation (in which case it's called obstruction). There are also the civil torts of slander (oral) and libel (written) if someone lies and damages the reputation or business interests of a person or company. Collectively, and without distinction, these are called defamation. Lying also has a close cousin — the civil tort of fraud — which usually applies to inducement into a transaction or a contract. There are also consumer protection statutes (federal and state) that deal with truth in advertising, truth in lending, lemon laws, etc. But those are primarily civil statutes and the last two are pretty far afield from your question. But none of that applies to the Facebook case you described. So, no.
There are two different kinds of transactions that are implicated by your question. The first is a stock stock split. This simply turns 1 share into X shares and trades out existing shares for new shares. This has no economic effect and is simply done for the convenience of trading shares for prices that are easy to work work on a practical basis, for example, in software listing stock prices. The second is an initial public offering, which, confusingly, means not just the first time that newly issued stock is sold to the public by the issuer, but any time that newly issued stock is sold to the public by the issuer. The possibility of dilution is real in this situation. Abuse of that possibility is primarily managed through the fact that the Board of Directors whose approval is required to issue new stock and sell it to the public, have a fiduciary duty to the company to sell the new stock at a price commensurate with the fair market value of the currently outstanding stock. If the Board of Directors breaches that fiduciary duty to the company, then shareholders may bring what is called a derivative action to enforce the duty that the Board of Directors breached to the company. Lawsuits of this kind make up a significant share of the total volume of cases in the Delaware Chancery Court, a state court in the U.S. state of Delaware where most large publicly held companies are organized. These cases are also often litigated in the state courts of New York State and of California, both of which are also popular states for publicly held companies to be incorporated in. Also, keep in mind that the Board of Directors is elected by the existing shareholders, and while most publicly held companies have "Soviet style ballots" in director elections from a pre-set slate of candidates, a proxy fight to run a competing slate of candidates is allowed is existing shareholders are unhappy with their performance. Normally, as a matter of practical reality, the Board of Directors is quite responsive to coalitions of shareholders with substantial holdings who care about the value of their shares as opposed to political issues only tangentially related to the company. A Board of Directors is usually aligned with the interests of the existing shareholders and doesn't have an incentive to screw them over by diluting the value of their shares. People who don't like how a Board is running a publicly held company usually sell their shares and invest in some other company instead, rather than risk being diluted. SEC approval and approval from state securities regulators is also required for an initial public offering (including a subsequent offering of new shares by a public company) but that approval requires only full disclosure of the transaction and the company's financial situation, and cannot be denied on the basis that the transaction is unfair to existing or to new shareholders on account of the price of the offer. It is allowed because the whole purpose of a publicly held company is to raise capital to engage in business activities. When a publicly held company needs more money to do something it has several choices: An initial public offering of corporate bonds. An initial public offering of new stock. A private loan from a bank or affluent individual. Options 1 and 3 increase the debt to equity ratio of the company and increase the company's risk of default on existing loans, while imposing a minimum cashflow requirement that it may not be able to fulfill in the event of a short term economic disruption (like the current pandemic). In the case of a very big investment, there may simply be no lender who has the capacity to lend enough money privately. Option 2 makes the company more creditworthy and can be economically desirable to existing shareholders is the shares are sold at a price that makes it a cheaper source of capital than borrowing money at the interest rates currently available to the company. If the capital raised makes possible an investment that increases profits for the company by a greater percentage than the existing shareholder's interests are diluted, it is a good deal for existing shareholders.
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.
Can Trump legally sell stocks on Friday, tweet about imposing tariffs on Sunday and then buy more of the stocks back on Monday? Trump could have made a lot of money by selling stocks before tweeting about imposing tariffs on China and then buying more of them back when the price of the stocks has dropped. Would this fall under the ban on insider trading, or does insider trading only apply to confidential information about companies?
There is no statutory definition of insider trading, and the question of who is included is answered by the SEC. It includes "Government employees who traded based on confidential information they learned because of their employment with the government". Under 5 USC 2105, POTUS is an "employee", though that is w.r.t. Title 5 and insider trading laws are under Title 15. But as it happens, the Title 15 definition of "executive branch employee" assigns the Title 5 definition of "employee" to "executive branch employee" and explicitly lists POTUS. Pub. L. No. 112-105, §§ 9(b)(1) explicitly says Executive branch employees, judicial officers, and judicial employees are not exempt from the insider trading prohibitions arising under the securities laws, including section 10(b) of the Securities Exchange Act of 1934 and Rule 10b–5 thereunder. Insider trading laws are not limited to "information about company X", they are framed in terms of non-public information, which could include information about a country: "no executive branch employee may use nonpublic information derived from such person’s position as an executive branch employee or gained from the performance of such person’s official responsibilities as a means for making a private profit".
If it’s relevant, yes However, Twitter’s position is that they have disclosed all the data that the contract requires them to disclose. It is likely that case will turn on whether they have or not. Data they haven’t disclosed is not relevant to answering that question.
The short answer is generally yes, but also.... it depends. The long answer is also... it depends. The first question is what (or who) is actually being sanctioned, second who is impacted by the sanction, third what is the specific sanction? There are a variety of different types of sanctions, sanctions against the state, businesses, people, etc. Most sanctions for example are against specific people, or conduct like investment or movement of capital, not necessarily the purchase of goods. I go into further discussion below, but for the quicker answer to your specific question, unless the person you are buying from is directly sanctioned or the subject of sanctions, or the entities specifically involved in the sale of goods (export company, vessel, etc) are directly sanctioned (or Russian companies operated in Crimea), yes it would be legal to purchase. So yes, unless the specific item you are buying/ entity you are buying it from is specifically sanctioned it would be legal, it is not particularly common for sanctions to prohibit the purchase of goods by consumers, unless there is a unique circumstance. Here is the 2-3 page overview of U.S. sanctions on Russia: https://sgp.fas.org/crs/row/IF10779.pdf As to the further discussion. For example see below, many current sanctions are against government officials; Or in the case of EO 13685 from 2014 concerning the occupation of Crimea many of the sanctions imposed aren't strictly against Russia, but instead prohibits U.S. business, trade, or investment in occupied Crimea. EO 13685 excerpt: Section 1. (a) The following are prohibited:(i) new investment in the Crimea region of Ukraine by a United States person, wherever located; (ii) the importation into the United States, directly or indirectly, of any goods, services, or technology from the Crimea region of Ukraine; (iii) the exportation, reexportation, sale, or supply, directly or indirectly, from the United States, or by a United States person, wherever located, of any goods, services, or technology to the Crimea region of Ukraine; and (iv) any approval, financing, facilitation, or guarantee by a United States person, wherever located, of a transaction by a foreign person where the transaction by that foreign person would be prohibited by this section if performed by a United States person or within the United States. (b) The prohibitions in subsection (a) of this section apply except to the extent provided by statutes, or in regulations, orders, directives, or licenses that may be issued pursuant to this order, and notwithstanding any contract entered into or any license or permit granted prior to the effective date of this order. (And even then sanctions may apply, unless they don't...) CRS Report: The United States has imposed sanctions related to Russia’s invasion of Ukraine on at least 735 individuals, entities, vessels, and aircraft that OFAC has placed on its Specially Designated Nationals List (SDN) or Sectoral Sanctions Identification List (SSI) (see Table 1 and Table B-1). The basis for most of these sanctions is a series of four executive orders (E.O.s 13660, 13661, 13662, and 13685) that President Obama issued in 2014.15 In addition, the Department of Commerce’s BIS denies export licenses for military, dual-use, or energy-related goods to designated end users, most of which also are subject to Treasury-administered sanctions. Two of President Obama’s Ukraine-related E.O.s target specific objectionable behavior. E.O. 13660 provides for sanctions against those the President determines have undermined democratic processes or institutions in Ukraine; undermined Ukraine’s peace, security, stability, sovereignty, or territorial integrity; misappropriated Ukrainian state assets; or illegally asserted governmental authority over any part of Ukraine. E.O. 13685 prohibits U.S. business, trade, or investment in occupied Crimea and provides for sanctions against those the President determines have operated in, or been the leader of an entity operating in, occupied Crimea. The other two E.O.s provide for sanctions against a broader range of targets. E.O. 13661 provides for sanctions against Russian government officials, those who offer them support, and those operating in the Russian arms sector. E.O. 13662 provides for sanctions against individuals and entities that operate in key sectors of the Russian economy, as determined by the Secretary of the Treasury. https://sgp.fas.org/crs/row/R45415.pdf https://www.trade.gov/country-commercial-guides/russia-sanctions See further references below: https://www.federalregister.gov/documents/2014/12/24/2014-30323/blocking-property-of-certain-persons-and-prohibiting-certain-transactions-with-respect-to-the-crimea https://home.treasury.gov/policy-issues/financial-sanctions/faqs/topic/1576 https://home.treasury.gov/policy-issues/financial-sanctions/sanctions-programs-and-country-information/ukraine-russia-related-sanctions https://home.treasury.gov/system/files/126/ukraine_overview_of_sanctions.pdf
Yes, you're allowed to pay someone to keep quiet, as long as whatever they're keeping quiet about isn't evidence of a crime. Companies can do this too, and quite often do. Offering to keep quiet in exchange for money may well constitute blackmail. But that doesn't appear to be an issue here.
First of all, this is not insider trading: insider trading is using non-public information to trade a publicly tradable security. What this could be is misuse of confidential information - a civil tort. The disclaimer does not create a legally binding contract for a number of reasons but it does alert the recipient that the information is confidential: if they use it then they can be sued for damages (probably successfully). However, given the nature of the information, it is almost impossible for your friend not to act on it and Company B should realise this. Legally he is doing the right thing, consulting a lawyer and informing Company B of its colossally massive stuff up. Ethically he may need to withdraw from the negotiations.
You'll note that Maryland governor Larry Hogan was sued and ended up settling over Facebook deleted comments and blocks. And a judge ruled that Trump can't block comments on Twitter. So it seems there's an evolving consensus that politicians can't simply block or delete social media comments for differing viewpoints.
It seems that your friend is taking part in a multi-level marketing scheme. However, this does not necessarily exclude a pyramid or snow ball scheme. Both can be illegal in Germany and Switzerland under the respective unfair business practices codes, because the systems do not rely on the sales of goods and services, but on the continuous recruitment of further sales persons. To clarify whether your friend's system is illegal, you could report the scheme to the competent watchdogs. In Germany the "Zentrale zur Bekämpfung unlauteren Wettbewerbs" in Bad Homburg is recommendable. As the company is operating from Switzerland, German law not be applicable without more. Therefore also contacting the Swiss authorities may be advisable. This seems to be the "Staatssekretariat für Wirtschaft SECO" in Bern.
Is this legal? Generally yes, unless it unlawfully exceeds the scope of the license. Also, if it is, how can I check if it's permitted by the original store's EULA? Read the whole EULA, focusing on terms related to resale, assignment, and transferability.
Can a president legally issue an executive order prohibiting someone form becoming the next president? Source President Donald Trump ramped up attacks against his opponent, Joe Biden, calling Biden the "dumbest of all candidates," and went so far as to declare, "maybe I'll sign an executive order that you cannot have him as your president." Would that be legal?
Under the Constitution, the president has to be a natural born citizen of the US, a resident for 14 years (relevant in the early years), and 35 years of age or older. Any action to preclude a candidate has to be based on these qualifications. Art. II of the constitution spells out the powers of the executive branch. His primary power is to carry out laws enacted by Congress, therefore executive orders have to be based on some statute, or specific Constitutional authority (e.g. as commander-in-chief). No law allows the president to nullify the fact that Biden is a natural born citizen of the US, a resident for many time 14 years, and 35 years old. Congress has not passed a law declaring that Biden has been previously impeached and removed from office (another way to stop a person from being elected). There being no such authority, an order to that effect would not be legal. In addition, executive orders give orders within the executive branch, and the executive branch isn't in charge of certifying the next president: POTUS cannot give orders to the House of Representatives, or to the Supreme Court.
First of all, as noted in the comments, Babylon Bee is SATIRE. It's not intended to be news, just entertainment. But the real question is whether or not a President COULD do such a thing. Or perhaps better, could a President attempt to do something like this. If a President did attempt to do this, it would be totally without precedent and also without any constitutional authority. Since the US Constitution enumerates the powers between the branches and gives the President only the authority to appoint, with the advice of the Senate, a SCOTUS justice, trying to change things by giving an existing justice 2 votes would almost certainly be immediately challenged by the Senate. It also seems unlikely that such an action would be upheld as constitutional. Of course this is all speculative since nothing of this nature has happened.
This is an interesting question. Requirement to "Qualify" The relevant provision seems to be subsection (b) of the Presidential Succession Act of 1947 (codified at 3 USC 19. That subsection provides that: (b) If, at the time when under subsection (a) of this section a Speaker is to begin the discharge of the powers and duties of the office of President, there is no Speaker, or the Speaker fails to qualify as Acting President, then the President pro tempore of the Senate shall, upon his resignation as President pro tempore and as Senator, act as President. Thus a Speaker would not become acting President unless the Speaker "qualifies". I believe this would include fulfilling all the requirements for a President, including the minimum age, and the requirement that the President be a "natural born citizen". Subsection (d)(1) further provides that: If, by reason of death, resignation, removal from office, inability, or failure to qualify, there is no President pro tempore to act as President under subsection (b) of this section, then the officer of the United States who is highest on the following list, and who is not under disability to discharge the powers and duties of the office of President shall act as President: Secretary of State, Secretary of the Treasury, Secretary of Defense, Attorney General, Secretary of the Interior, Secretary of Agriculture, Secretary of Commerce, Secretary of Labor, Secretary of Health and Human Services, Secretary of Housing and Urban Development, Secretary of Transportation, Secretary of Energy, Secretary of Education, Secretary of Veterans Affairs, Secretary of Homeland Security. The Act has never been invoked, nor have either of the two prior Presidential Succession Acts, so there is no case law or precedent available. The Wikipedia article on the Act describes the history of all three versions, and the times when an invocation might have occurred. Questioned Constitutionality The Wikipedia article quotes a statement by Judge M. Miller Baker made during a September 2003 joint hearing before the U.S. Senate's Committee on Rules and Administration and Committee on the Judiciary. This statement argues that the Act as currently written is unconstitutional. The statement reads: The 1947 Act is probably unconstitutional because it appears that the Speaker of the House and the President pro tempore of the Senate are not "Officers" eligible to act as President within the meaning of the Succession Clause. This is because in referring to an "Officer", the Succession Clause, taken in its context in Section 1 of Article II, probably refers to an "Officer of the United States", a term of art under the Constitution, rather than any officer, which would include legislative and state officers referred to in the Constitution (e.g., the reference to state militia officers found in Article I, Section 8). In the very next section of Article II, the President is empowered to "require the Opinion, in writing, of the principal Officer in each of the executive Departments" and to appoint, by and with the advice and consent of the Senate, "Officers of the United States". These are the "Officers" to whom the Succession Clause probably refers. This contextual reading is confirmed by Madison's notes from the Constitutional Convention, which reveal that the Convention's Committee of Style, which had no authority to make substantive changes, substituted "Officer" in the Succession Clause in place of "Officer of the United States", probably because the Committee considered the full phrase redundant.[1] Since the Act has never been invoked, this contention has never been tested in a court. Given the 25th Amendment's provisions for filling a vacancy in the office of Vice-President, the likelihood of the act ever being invoked is much reduced. Notes [1]: "Ensuring the Continuity of the United States Government: The Presidency". Prepared Statement of M. Miller Baker, Joint Hearing Before the Committee on Rules and Administration and the Committee on the Judiciary, United States Senate. September 16, 2003. Archived from the original on January 14, 2021. Retrieved July 11, 2018 – via GlobalSecurity.org. [This citation is copied from the Wikipedia article.]
The US Constitution Art. 1 §3 cl. 4 says The Vice President of the United States shall be President of the Senate, but shall have no Vote, unless they be equally divided. No clause of the Constitution limits how a person can vote in the Senate (or the House). Congress has not enacted any legislation that addresses this question, and nothing in the Constitution empowers Congress to limit the right to vote. Art 1 §5 cl. 2 says Each House may determine the Rules of its Proceedings, punish its Members for disorderly Behaviour, and, with the Concurrence of two thirds, expel a Member. That is, the Senate can set up rules for how it will conduct business. The Senate is not empowered to exclude a member's right to vote, they with a supermajority they can expel a member (or convict and remove a vice-president, given an impeachment from the House). It should also be remembered that the VP is not a member of the Senate, the VP has a limited right to vote which is granted by the Constitution, and which cannot be taken away except by constitutional amendment. Harris would therefore be empowered to vote for herself, under the tie-breaker clause.
It's actually simpler than you might expect: If you intend to spend more than US$5000 (which is nearly certain) you must fill out and file a Federal Election Commission (FEC) Form 2. There are 50 states that you now need to consider getting on their ballots. There is no requirement that you register in all of them but if you don't then you may have trouble winning the required electoral majority. The problem here is that every state has its own requirements but usually it's gathering signatures as required in that state's regulations. This is where you need an "organization" of some sort to gather signatures and get you properly placed on the ballots in all 50 states of all of the states you think you need to be on. The above assumes that you meet the US Constitution's criteria for a President. To my knowledge, President Trump, while he has make some statements to that effect, has not officially filed any forms at the federal or state level for the next presidential election so far. But anyone can say or imply that they are running and they may be but until the forms are filed it's not official.
Under article II, section 1 of the Constitution: In Case of the Removal of the President from Office, or of his Death, Resignation, or Inability to discharge the Powers and Duties of the said Office, the Same shall devolve on the Vice President, and the Congress may by Law provide for the Case of Removal, Death, Resignation or Inability, both of the President and Vice President, declaring what Officer shall then act as President, and such Officer shall act accordingly, until the Disability be removed, or a President shall be elected. The 25th Amendment doesn't cover the case of the President and Vice-President becoming incapacitated simultaneously, so instead the original section of the Constitution can be consulted. And unlike the 25th Amendment, this is quite clear: Congress passes a law deciding who the acting President is. The current law is the Presidential Succession Act of 1947.
Not directly However, a President who is unable to discharge their duties (by being on vacation or otherwise) can be dealt with by either: the vice-President and Cabinet invoking the 25th amendment and declaring the President unable to perform their duties, by the House impeaching the President for the “high crime and misdemeanour” of not doing her job. If convicted by the Senate, the person is no longer President.
There is no legal process whereby a demand can be made that POTUS nominate or consider a specific individual for some appointment such as a court position. There can be no law prescribing how such nominations come about, other than The Constitution which says that POTUS shall nominate, and by and with the Advice and Consent of the Senate, shall appoint Ambassadors, other public Ministers and Consuls, Judges of the supreme Court, and all other Officers of the United States, whose Appointments are not herein otherwise provided for, and which shall be established by Law Congress does not have the power to pass laws limiting how POTUS makes nominations, therefore whatever POTUS wants to do in this respect is a non-justiciable matter.
Amenities I do not use but am being required to pay for Can a landlord force tenants to pay for a service they did not request/enroll in? I am specifically asking about the $12/month package service that the landlord now says is not optional. Also, they require all tenants to have a renter's insurance policy (which I have), but now they are charging me $10/month to use their renter insurance. Do I have to use their insurance? Do I have to pay for a package service if I don't want the service?
It depends on whether the lease requires it. If the lease requires you to have renter's insurance, you have to have renter's insurance. If it requires you to have a specific company's renter's insurance, you have to have the specific company's renter's insurance. If you don't do that, you have violated the terms of the lease and can typically be evicted. If you comply with the terms of the lease by having some renter's insurance and they still want you to have a specific brand of insurance, you have not violated the terms of the lease, and you cannot be evicted for such. They cannot "bill you" just because they want to change the terms of the lease -- that requires your agreement, or they can unilaterally change the lease terms at the end of the current period. The same goes for package service (I don't even understand what a monthly package service charge would mean).
Under the Residental Tenancies Act of 2004, the landlord is obligated to carry out necessary repairs to both the structure and interior of the dwelling. The Act provides that this obligation (as with others) cannot be "varied, modified, or restricted" by a rental contract. Meanwhile, the tenant is obligated to not do any act that would cause a deterioration in the condition the dwelling was in at the commencement of the tenancy (with "normal wear and tear" explicitly disclaimed from the tenant's responsibilities). The landlord is not obligated to repair damages caused by the tenant violating that obligation. So the landlord is generally responsible for repairs (and, in fact, if the tenant had needed to arrange for the door to be repaired themself, they would have been able to deduct the cost from rent). If the tenant had broken the door, it would have been a breach of their responsibilities. But if a neighbor, or even the tenant's partner, had broken the door, it would not have violated the tenant's obligation and so the landlord would remain responsible for the repair.
What's the legality of this situation? It's unlawful and you should seek support for it. That document you linked to appears to have resources that could help you, such as support lines and counselling centres, etc. Am I being discriminated against by these landlords(companies)? I would say so. It sounds like you're being discriminated against on grounds of race and ethnic origin. It appears to violate the General Equal Treatment Act. However, I do want to stress that there may be completely reasonable factors as to why landlords are rejecting your appointment requests. For example, it would not be discriminatory to refuse housing on the basis that you don't have the appropriate income, or you have a poor credit rating, or you don't have any previous rental references. It can be very difficult to prove discrimination if any of the above factors apply, since the landlord could simply cite one of those reasons instead.
Has this contract been translated (badly) from another language because the construction of the clause is cumbersome and confusing? Does the contract say that I can have guests over 1 night without charge? Without charge, yes. However "Without Landlord's prior written consent, Tenant has no excuse to accommodate ..." so you need the landlord's permission for overnight guests. If so does it only start charging on nights after the first? No, if a person stays more than 1 night (with the landlords permission) then this triggers the landlord's right to charge. See below for how much they can charge. Is it supposed to be 10% of monthly rent $137 per guest per night? "With temporary commendation, day-based, and additional 10% of rent each person is applied." The term is ambiguous, I can see three ways that this would be interpreted: If you have a guest who stays more than 1 night in a month they can charge 10% for that guest for that month (i.e. 2 to 31 days all for the same price). For 2 people for 2 days this would be $1,400 x 10% x 2 = $280. They can charge 10% of the monthly rent per night that the guest stays. $1,400 x 10% x 2 x 2 = $560 As, 1 except the rent would be pro-rata. $1,400 x 10% x 2 x 2/31 = $18.06 Assuming that the landlord put forward this contract the interpretation adopted in the absence of other evidence would be the one least advantageous to the landlord i.e. 3. However, there is other evidence - the landlord accepts that the rate is pro-rata - he has just failed to account for the 10%, so 3. again. How is overnight defined? Well, is it defined in the contract or by the law where you are? If not, it would take its normal English usage - "for the duration of the night". If they arrive before sunset and leave after sunrise the next day then they have stayed overnight. What if they came over at 9am and slept in the day? It says nothing about requiring your guests to sleep. If they party overnight then they are overnight guests. If they sleep all day but don't stay overnight they are not overnight guests. What about 2 am? If sunrise is after 2am then this is not overnight.
If this requirement was not made before rendering the service, you are under no obligation to accept the term. You and the service provider must now find an agreeable method of payment. You still owe the provider but if you are compelled to pay then the provider will be compelled to be more accommodating in their allowed payment methods (cash, at least). As a general rule, if you are providing a service for any significant amount of money, you should require payment up front or at least a deposit and payments at milestones. Especially if you're 7,000 miles away from your client and put any restrictions on method of payment.
Most leases have a provision allowing a landlord to make entry without notice in an emergency, but the better course of action, as noted in a comment by @BlueDogRanch, is to call the police and ask them to make a "welfare check." You would ordinarily be permitted to cooperate with police by unlocking doors in furtherance of their welfare check. The police are trained to do this properly in a way that properly balances the need to aid someone who is sick or ill, the need to preserve evidence if there was a death or crime that needs to be understood legally, and to protect the legitimate privacy interests of the tenant. You are not. You could incur liability for failing to prevent death or aggravating injury, could be wrongfully implicated if physical evidence from you contaminates the scene or you destroy evidence showing the true cause, and could be sued for invading the tenant's privacy if it was found that you entry was unreasonable and that it wasn't really an emergency, which is always easier to conclude with 20/20 hindsight. As it is, your biggest potential source of liability is delaying in calling the police seeking a welfare check. They often respond quite quickly to these by the way, although it is not the very highest priority for law enforcement.
No If you breach the contract that may allow the rental company to terminate it (among other things), however, termination would need to be communicated to the customer. Only if they kept it after that, with the intention of permanently depriving the company of it, are they stealing it.
Your rights and responsibilities in this realm are a matter of local law, sometimes down to the level of the city, plus whatever is stipulated in the lease. In San Francisco, for example, No Person shall have upon any premises or real property owned, occupied or controlled by him, or her, or it any public nuisance [which includes] Any visible or otherwise demonstrable mold or mildew in the interiors of any buildings or facilities This does not say whether the owner or the occupant is liable for remediating the situation. Shower mold is gross but not a health hazard (the SF ordinance just lumps all mold into one category). Since you have no written lease, there is no automatic clean-up requirement. There might be a law requiring a tenant to clean the premise to its original condition, for instance in Washington, tenant must Upon termination and vacation, restore the premises to their initial condition except for reasonable wear and tear or conditions caused by failure of the landlord to comply with his or her obligations under this chapter. Landlord duties are here: there is no duty to provide ventilation. However, the bathtub appears to be in a common area and not your particular unit. The landlord duties also require the landlord to Keep any shared or common areas reasonably clean, sanitary, and safe from defects increasing the hazards of fire or accident so in Washington, it's his problem and not yours. In general, even if a tenant is responsible for some form of cleanup, that does not constitute legal license for a facility upgrade. It might cost a couple hundred dollars to hire a person to wash ordinary mold accumulation, and does not justify getting a $5,000 new tub. Since this is in a common area, you would not be solely liable for whatever the damage was. The part where you say "crack in a common bath tub" is a large red flag: it suggests to me that somebody negligently broke the bathtub, and then caused behind-the-wall damage by letting water infiltrate without notifying the landlord. If you broke the tub and let it rot, you could be liable. If the tub was broken already and the landlord didn't bother to do anything about it, that is his negligence. The three questions that you should try to answer are: (1) what are the duties of landlord and tenant in my jurisdiction, (2) what was the actual harm done, and who did it, (3) what is the ordinary cost of whatever repair was done.
What options does a lawyer have if a client admits he is guilty but doesn't want to admit it to the court? This question is inspired by this question. If a client tells his lawyer he is guilty of the crime but does not want to admit it to the judge, what options does the lawyer have? Must the lawyer admit it to the judge or is he not allowed to do so, and still must help the client? For example, if someone is a suspect in a shooting and he hires a lawyer and says, "that gun they found was the one I used to shoot the victim, what can you do to get me out of this?", what options would the lawyer have?
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".
(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.
You don't need to have an existing relationship with a lawyer to refuse to talk to the police. You can tell the police you want a lawyer before answering questions. Generally speaking, this should result in the police leaving you alone, giving you time to reach out to an attorney on your own timeline. This is of course a bit more complicated if you've already been arrested, but in most cases, you'll still be able to make calls out of jail to try to find a lawyer. If you have serious concerns about this kind of situation, having an attorney on retainer would be a good idea. The business end of the transaction is fairly simple. You would likely sign an engagement agreement with the lawyer in which you agree to pay a modest sum -- $500 or $1,000, imagine, and the lawyer would agree to take your calls when they come in and swoop in to deal with the police as necessary. The lawyer would be required to place your money in a trust account and not touch it until you call him to use his services. If you're expecting the lawyer to go further by actually appearing in court for you, filing motions, defending you at trial, etc., the retainer would likely be substantially higher.
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.
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.
The potential problem is if there is a form which you had to sign which says "I am a US citizen", and you signed the form (who reads the fine print, anyhow?). Unfortunately, that statement is false, and there are consequences for making a false statement. However, that law penalizes false statements with the intent to deceive, not mistaken statements. Nevertheless, this is a matter that a professional really needs to deal with. If there was no form and they didn't verbally ask you to assert that you are a citizen, then there is less of a problem (for you), but still one needs to be extremely cautious in dealing with the court. [Addendum] It is highly likely that the form contained wording like "swear" or "certify" and mentions "perjury", so the error would be in the ballpark of perjury. Perjury is making "a false statement under oath or swears to the truth of a false statement previously made and the statement is required or authorized by law to be made under oath". Aggravated perjury is perjury which "is made during or in connection with an official proceeding and is material". The term "material" means "matters; is not inconsequential". The consequence of a non-citizen improperly serving on a jury is that a mistrial has occurred, which is not inconsequential. Aggravated felony is a third degree felony. The penal code says that An individual adjudged guilty of a felony of the third degree shall be punished by imprisonment in the Texas Department of Criminal Justice for any term of not more than 10 years or less than 2 years. (b) In addition to imprisonment, an individual adjudged guilty of a felony of the third degree may be punished by a fine not to exceed $10,000. I must emphasize that an essential element is "intent to deceive and with knowledge of the statement's meaning", an element that cannot be present if there is no awareness of such a statement. Thus an innocent mistake could be legally excused. When you become aware that a statement made under oath was false (assuming such a statement was made), then in maintaining the falsehood, that would be intentional deceit. This is why it is necessary to consult with a lawyer. On the Houston form, you would have to check the "are a US citizen" box. The Fort Bend county form has you certify and sign on the front page: it does not require you to certify that you are a US citizen, only to certify (and sign) if you are not – so if you failed to read the back side, that isn't a literally false statement. I can't locate an online form for Tarrant county, so dunno if that out is available.
Your attorney can file a lawsuit against the other driver, and legal liability can be determined in court. Your want to let an attorney do this, because the one thing that keeps you from being (expensively) counter-sued for defamation is that you didn't name the driver and insurance company. It is extremely unlikely that the other driver accused you of liability ("liable" is a legal conclusion, not a fact). Instead, there is a dispute over the facts. During the trial, both sides get to present their evidence and the judge will determine who is actually liable. If you are found liable, your insurance company may have to pay up. If the other guy is found liable, his company will have to pay up. Or, fault can be split 50-50 (in which case you will be out of luck because you don't have collision insurance to cover your losses). If the insurance company believes that the facts support their client and that you will lose in court, they are not going to volunteer to pay your losses. If they believe that the facts support you, or are closer to 50-50 w.r.t. fault, they are unlikely to volunteer to give you money. If the driver makes a material plainly false statement to his insurance company, they might have recourse against him. Lying under oath is perjury which is a criminal offense. But mis-remembering facts or having incorrect beliefs is not a crime and won't lead to any legal problems for the driver. The belief that you are not at fault is not a lie. If the facts are as cut and dried as you make them out to be, the matter will be easily sorted out in court.
Your question is very broad, but yes, there innumerable ways that the actions of a victim/complainant can result in a not-guilty verdict. I'll list some. Contemporaneous consent to contact. If the victim/complainant consented to the contact, then the offence of assault or sexual assault will not have been committed. Self-defence. If the victim gave the accused reasonable grounds to believe that the victim was about to use force against the accused, then depending on the circumstances, it might not be an offence for the accused to take certain actions against the victim for the purpose of defending themself (the accused). The provocation defence that is based on conduct of the victim. See Criminal Code, s. 232, which can result in a not-guilty verdict for murder.
Could leaking insider information eliminate insider trader concerns? Suppose I possess some non-public information about Company X. I want to trade Company X's stock for reasons unrelated to the information (e.g. I believe the stock market as a whole is going to tank soon and I want to get out of the market). This insider knowledge is preventing me from selling my shares of Company X. If I leak this information publicly and the information becomes widely reported, have I eliminated concern for being prosecuted for insider trading? (For the purposes of the question, I am ignoring any legal or moral liability for leaking the information alone.)
No, because leaking is also a form of insider trading if the person you leak to takes advantage of the information. Even if you leaked it in a public forum you still have to wait 6 months before it is considered truly public knowledge, and by that time you might have learned something else. If you think that Company X is going to be pulled down along with the rest of the market then your best bet is to short (or buy "put" options on) a representative basket of shares other than Company X. This has the advantage of being 100% legal without having to wait.
Depends on the specific terms in the NDA, but the short answer is that the News Services didn't sign the NDA, and have no contractual obligation to keep mum. Most NDA's I've signed or had others sign are very clear about the personal liability, and the conditions under which the proprietary intellectual property can be discussed. In the case of leaks, the injured party would have to identify the leaker, and that person would be liable. (Still a difficult proposition b/c most reporters won't give up sources unless you drag them in front of a Grand Jury, and often not even then.)
I assume you're talking about corporations, not LLCs ("limited liability companies"). LLCs aren't corporations and don't issue shares of stock, and in any event Facebook is a corporation. Information relating to the shares of a corporation is typically outlined in the articles of incorporation, but practices and governing law varies by state and by corporation. Delaware, where most large US corporations are incorporated, requires the certificate of incorporation to list the total number of shares to be issued and the number of shares in each class, as well as information about the "powers, preferences and rights, and the qualifications, limitations or restrictions" of the share classes. See 8 Del. C. § 102(a)(4). Facebook's October 2010 articles of incorporation can be found here, and information about its classes of stock can be found in Article IV.
Prove my work is not a trade secret violation Please don't. It's not your job to prove your innocence. The burden is on them to be specific, explain fully, and prove specific claims about your actions. In other words, don't justify, don't explain, and don't defend yourself to them. It's actually best you do not say anything to them, and just forward the letter to your legal counsel (Since you're selling software to be used in the medical field, I assume you already have some kind of legal counsel). For instance, even saying something as innocuous as "Managing patients, Exams, Bills etc are all public knowledge." could be used against you. Because it establishes the fact that you've been working on those features with them and that you've been working on those features with your new company (which doesn't necessarily follow, for all they know, you could have purchased a library module from someone else with those exact features). In other words, even if you were to reply with such an innocuous-sounding statement, you could be saving them months of cross-border discovery and litigation about some of their claims (even if you believed you were being entirely reasonable by defending yourself). But at the same time, don't take what I'm saying to mean that you should lie to them about which features you recently worked on. When I say that you shouldn't be talking to them. I mean that you should not be talking to them. You shouldn't be engaging with them and you shouldn't be giving them any shred of information whatsoever (implied or otherwise). It's not your job to make their job any easier. Do not reply to them. Don't even acknowledge the receipt of the letter (unless you already did by signing for it, which can't be helped). Use a legal intermediary. Give the letter to your own legal counsel (whether you signed for the letter, or not) and leave any reply to him or her (assuming he/she thinks this warning letter even warrants a response). And if this former employer gives you a phone call, kindly refer them to your legal counsel without saying another word.
Yes and no. [note, the following is all written about US law. In other jurisdictions laws are, of course, different (though usually not drastically so.)] In the US there are (at least) three different bodies of law that might apply to code: copyright, patents, trade secrets. Copyright covers original expression. Anything you write is automatically, immediately protected under copyright. The copyright applies to the code itself, and anything "derived" from that code. It's up to the courts to decide exactly what "derived" means. One case that's long been viewed as a landmark in this area is Gates Rubber v. Bando Chemicals. The Court of Appeals for the tenth Circuit decision includes a section titled: "The Test for Determining Whether the Copyright of a Computer Program Has Been Infringed." Note that you can register a copyright, and that can be worthwhile, such as helping recover some damages you can't otherwise. Patents are quite different from copyrights. Where a copyright covers expression of an idea, a patent covers a specific invention. Rather than being awarded automatically, a patent has to be applied for, and awarded only after the patent office has determined that there's no relevant prior art to prevent it from being awarded. A patent, however, covers things like somebody else independently discovering/inventing what's covered by the patent. A trade secret could (at least theoretically) apply to some process or procedure embodied in the code. A trade secret mostly applies to a situation where (for example) you're trying to form an alliance with some other company, and in the process tell them things you don't tell the general public. If you've identified the fact that what you're telling them is a trade secret, and they then tell a competitor (or the general public, etc.) or more generally use that information in any way other than the originally intended purpose, it could constitute a trade secret violation. As a side-note: patents and copyright fall under federal law, so they're basically uniform nation-wide. Trade secrets mostly fall under state law, so the exact details vary by state. Absent a reason to believe otherwise, I'd guess your interest here is primarily in copyright infringement. The key here would be showing that one piece of code was derived from the other. That is, it specifically would not apply in a case where there were only a limited number of ways of doing something, so anybody who wanted to do that had to use one of those ways. Since this would not indicate actual derivation, it would not indicate copyright violation.
Not all disclosures are disparagements, an NDA will typically cover the release of any private information, whether positive or negative. Publishing the company's future product plans might violate an NDA but would not be disparagement. Not all disparagements are disclosures, a negative opinion does not require the release of any private information. Making a blog post stating your opinion that the company's CEO is incompetent or that their products are overpriced is likely not disclosing any private information that would be covered by an NDA, but is disparagement.
Yes In New York Times Co. v. United States, 403 U.S. 713 (1971) (aka the Pentagon Papers case) The court specifically permitted public disclosure in national newspapers of information that had been officially classified. This was, of course a request for an injunction, not a criminal proceeding, but it is hard rto imagine that a criminal proceeding could have succeeded after the decision, and in fact no prosecution was attempted. At the start of the unsigned opinion, the court wrote: We granted certiorari in these cases in which the United States seeks to enjoin the New York Times and the Washington Post from publishing the contents of a classified study entitled "History of U.S. Decision-Making Process on Viet Nam Policy." (emphasis added) This makes it clear that the content of the "papers" wa officially classified. In concurrence, Justice Black (joined by Douglas) wrote: I adhere to the view that the Government's case against the Washington Post should have been dismissed, and that the injunction against the New York Times should have been vacated without oral argument when the cases were first presented to this Court. I believe that every moment's continuance of the injunctions against these newspapers amounts to a flagrant, indefensible, and continuing violation of the First Amendment. The question asks: I am wondering if everyone who leaks classified military documents are going to be charged criminally by the U.S. government Even when such charges are constitutionally permitted, the government has the authority not to proceed with them, if it so chooses, for whatever reason it sees fit. Specific laws 18 USC § 793 prohibits conveying various information about the national defense, military equipment, or preparations for war: with intent or reason to believe that the information is to be used to the injury of the United States, or to the advantage of any foreign nation § 793 does not refer to classification status at all, and it has no explicit excptions, but it would not apply where ther is no "intent or reason to believe" the information will harm the US or help another country. 18 USC § 794 has an intent requirement simialr to that of 793, but covers different kinds of information. Some of its provisions apply only in wartime, and then the required intent is that the information "will be communicated to the enemy". Again classification is not mentioned. 18 USC § 795 Covers making images of "vital military and naval installations or equipment" protected by order of the President. Permission of the relevant military commander is required. No exceptions are listed. 18 USC § 796 is similar to § 795 but limited to images obtained by use of aircraft. No exceptions are listed. 18 USC § 797 prohibits publication of images taken in violation of § 795, unless approved by a censor. It is in form a prior restraint. No exceptions are listed. 18 USC § 798 Prohibits disclosure of information about cryptographic systems. No exceptions are listed, but I think there is caselaw limiting the coverage of this section. 18 USC § 799 prohibits violation of NASA security regulations.
That is a very broad clause, broader than the default US rule for copyright, for example. (I know the question asked about the UK, I just happen to know the US copyright rule.) It would seem on the face of it to include independent research on a subject totally unrelated to the person's employment, done off the company's premises and not during normal work hours, but while the person was an employee.. Indeed it would arguably include the copyright to a novel written off premises and during off hours. Use of "course of employment" (instead of "term") would improve the provision. so would "as a part of his or her employment" or "closely related to the subject of his or her employment". Another possible restriction would be "Using the Company's facilities and/or equipment, or during normal working hours". However, my experience is that an employer will have drafted whatever language it uses through its company lawyer, and will be quite unwilling to alter it in any way. A prospective employee will probably be faced with a take-it-or-leave-it choice unless that person is a nearly indispensable figure to the company. One could send the company a certified letter saying, "When i signed the contract agreeing to {company language} I did not intend to include any developments made off company premises, not using company equipment, and unrelated to the subject or scope of my employment. I retain full rights to any such developments." Such a letter would help establish that there was no meeting of the minds to assign such non-employment-related developments or IP to the Company. How much weight it would have if the rights to such developments were the subject of a court case I am not sure.
If you want to study the basics of law, where should you start? Should you focus on memorizing the individual laws, or read court cases, or come up with scenarios? Should you study from the point of view of a lawyer or an individual citizen? What if laws change? What is most applicable to real life? Most importantly: where can you find all this information? Are there textbooks, or do you have to comb through the internet yourself, or is there a website where all this information is organized? Thank you T_T
If you want to study the basics of law, where should you start? Don't try memorizing individual laws. That would be a waste of energy, in part because --as you rightly point out-- laws change. There are many introductory books. Law 101, by Jay M. Feinman, is an excellent starting point. The next step --broadly speaking-- consists of reading court decisions (aka court opinions). Opinions released by upper (aka reviewing) courts are available online for free. If you are interested in jurisdictions in the US, Leagle.com is one of many very good resources; EU cases are available here; and so forth. Acquainting yourself with court opinions is quite beneficial. First, court opinions [collaterally] teach how to formulate one's legal positions. Rather than merely being formulaic and a copycat, a litigant is to convey that his legal position is more consistent (compared to the adversary) with the laws and underlying doctrines. His points are easier to get across by adapting his presentation thereof to how courts are used to handle the legal principles involved. Second, court opinions identify the statutes that are relevant to the type of disputes that arise between parties. This is indicative of importance that a statute or procedural rule entails in relation to other laws. Third, court opinions reflect how statutes, rules, and doctrines are interpreted. Oftentimes the way how legislation is worded leads "laypeople" to have misconceptions on the interpretation of laws and rules, when in reality these are construed usually in a much narrower way. Law journals are a good source once you have gained some background in law and are interested in a sort of monograph about a topic that is new to you. But, as explained above, court opinions also serve that purpose (perhaps less scholarly). Having a legal dictionary is always a good idea. Courts in the US oftentimes quote definitions from Black's Law Dictionary for crucial terms which statutory law does not define. What is most applicable to real life? Without knowing whether you are interested in a particular field, it is safe to say that contract law is the most applicable. Entering contracts is part of our everyday life even if laypeople don't notice it when they purchase goods & services, reach an agreement, or engage in a course of conduct which reasonably fosters expectations. And good news is that the principles of contract law are largely similar among modern jurisdictions, including the America (the continent, not just the USA), many member states of the EU, and Asian countries. The Restatement (Second) of Contracts is a very useful formulation of contract law. Courts in the US very often cite the Restatement for premising their decisions on contract disputes. In countries with a civil law system, the principles of contract law are usually formulated in one or multiple sections of the [countries'] Civil Code. Procedural law (aka rules of criminal or civil procedure) is also highly applicable: Large portions thereof apply to all disputes which are brought to court. To a great extent these rules are very similar across the jurisdictions of one same country, but the litigant ought too ensure his compliance with the rules lest he loses the case for a technicality. Lastly, procedural law can be remarkably boring unless the person anticipates he will be involved in litigation.
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.
First off, let me confirm that this text accurately describes the reality. Second, this is less far afield from the common law than you would think. If you are in a jurisdiction without any binding case law on a particular point, a so called "question of first impression", you then turn to persuasive authority. Persuasive authority includes case law that is binding in some other jurisdiction and legal scholarship, often in the form of a treatise or commentary. And, it is much easier to find an answer in a treatise which is carefully arranged on a subject matter basis, than to do case law research from other jurisdictions. This is particularly true when you have not devoted a lot of time to learning how to find the needle of the law you want in the haystack of the mountain of decided cases on all available subject. The very difficult task of case law research was only possible on more than an isolated hit or miss basis at all in common law systems where case law matters in the years before the 1980s when computerized case law word searching started to become possible at an affordable to lawyers price, because a lot of full time institutional actors devote a great deal of time and money to developing and maintaining tools like digests, citation indexes, and annotations to statutes to allow practitioners to locate that case law. If court decisions don't serve as binding precedents, those institutions aren't developed. For example, in common law countries, until very recently, there were no good resources for locating trial court decisions and rulings in state courts which handle the bulk of litigation, but whose rulings are not binding precedents. (Electronic record keeping in trial courts has changed the economics of this practice and made it much more common to publish trial court decisions and to index them appropriately.) So, if persuasive authority in your legal system in the form of non-binding case law is hard to find because it wasn't worth the money for the legal system to collectively develop the resources to publish and index it on a systematic basis for an audience of pretty much the entire legal profession, the other form of persuasive authority, legal treatises, becomes much more influential by default. You see something similar in very early legal opinion writing by American judges before the institutions necessary to systemically utilize case law precedents was developed. Judges were constantly citing treatises like Blackstone, which is something they rarely do now, because that was what was on their bookshelf. Further, there are feedback effects. Smart people who wish to influence the law for society without going the legislative route in common law countries will often seek careers as judges. But, absent the psychic perk of influencing the law and making a difference in society, a lot of the most ambitious people in the judiciary in a common law system will choose instead to go the route of academia and seek to become law professors where they can have a similar influence, while earning similar pay and having more time off and freedom to pursue your own personal and professional interests. So, in systems where legal precedents aren't binding, people who might otherwise be inclined to write probing legal opinions that develop legal concepts are less inclined to become judges, and the people who do become judges care more about getting the right result and less about explaining their decisions in a way that will influence future judges in the same circumstances. Finally, consider that many civil law legal systems involve countries with a lot less appellate litigation than the United States (currently 330 million people with more than 200 years of case law), or the UK (currently 60 million people with about 1000 years of case law), or India (more than 1 billion people with a couple of centuries of case law, since colonial precedents have relevance). Suppose that you live in Denmark or Belgium or Portugal or Costa Rica or South Korea, where your population is much lower and your time frame during which your legal system has been in place is not as long. In a situation like that, half a dozen or a dozen leading legal scholars can publish treatises over ten or twenty years that are going to cover, somewhere, the lion's share of the pressing issues in the legal system, and there is probably only one law school in the entire country, so it is quite likely that most of the lawyers in the entire country took contracts or property or family law from the the same people in law school, which makes them predisposed to consider a treatise written by that professor a credible one in that area of law. And, all other sources are a comparative vacuum. If you are a judge, why cite non-binding precedents from your fellow non-specialist judge in a country that simply has no precedents in many areas of law and has fewer carefully reasoned ones, when you could instead look for guidance from the person who taught you this area of law in the first place and literally "wrote the book" and who was probably consulted by the government in any recent amendments to relevant civil code or statute of broad general applicability. And, once you start out using those methods, it becomes habitual and legal treatises become very influential.
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.
Not successfully It is not required that a person knows they are dealing with an agent of the principal rather than the principal directly - an agent speaks with the principal’s voice. Robert has consented to allow Elizabeth to act as his agent. It actually doesn’t matter if he consented before she acted or afterwards, he has agreed to be bound by Elizabeth’s actions. Rachel & Jared have agreed to enter the lease and indicated as much by signing the document. It doesn’t matter who signed it for the landlord or even if it was signed - leases have to be in writing but there is no common law rule that they need to be signed.
Most of your examples don't seem to be so much self-contradictory, as limited to a subset of the obvious meaning for purposes of a particular law. When a term has a specific meaning within a particular field or context, it is often called a "term of art". For example "Fair use" is a term of art in US Copyright law, and "Under color of law" is a term of art in US civil rights law. "Standing" is a term of art in most common-law jurisdictions. But a term of art is usually somewhat broadly understood, and is not limited to one particular law or section of law. I would just call such a thing a "specially defined term" or just say "Q as defined for purposes of the XYZ law".
There may be a purpose to have laws which are impossible to follow. (I'm neither a lawyer nor a politician, following points are what I like to call qualified hearsay - they come from qualified people I know personally but were given as a remark or during a chat over a cup of coffee and therefore are not easily substantiable with rigorous sources. You can treat them as a hypothetical ideas for your thought experiments.) Everybody is implicitly guilty Confident citizens and transparent law is the worst enemy of totalitarian regime. You learn to live with ingrained feeling that there surely is something you are guilty of. Merely being addressed by police makes you nervous and malleable; should you stand up against oppression, it is easy for the state apparat to detain or convict you of one or more default offenses. A good example would be the law present in many, if not all, socialist bloc countries saying that knowing of a comrade having commited an offense or merely planing to and not reporting it to authorities is an offense in itself. Whether you did or did not know would be determined by the authorities. Make your laws very strict with a hope thay they will be followed at least to a degree Not laws in themselves, but standards (technical norms) regarding nuclear power stations in the former Soviet Union were strict to the point where they were technically impossible to follow given the state of the art. For example the standards for manufacture of high pressure pipes would state very low level of material impurities that when the actual manufactured material contained twice the level of impurities the pipe will still be very safe to operate. In a centrally planned economy with ever more ambitious production projections and declared zero need for contingency this was one of several ways how to create a bit of a wiggle room. (Source: I once worked for a nuclear power research institute supporting Soviet technology and was told this by an expert on stainless steel.) So there you have a bit of an illustration what may happen if a law is intentionally impossible to follow. Since you labelled your question 'United States', I believe the follow-up question is why would anyone want to propose such a law.
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 illegal for a store to advertise a product and then never sell it? Suppose (Store) is planning to sell (Product) at price $N. (Store) puts up a display inside the store for (Product), say an image and a price tag. (Product) is correctly listed as out of stock and (Store) never accepts any orders, preorders, or money for (Product). After three months of trying unsuccessfully to get stock, (Store) decides to give up and pulls (Product) from the shelves. (Customer) saw the display and really wanted to buy (Product) from (Store) for $N. Does (Customer) have any claim or recourse against (Store)? Does it matter if (Product) was available in other stores or just never produced at all? Does it matter if other stores have (Product) but charge more than $N? Just for the record, this is not a reference to any actual product or store.
Does (Customer) have any claim or recourse against (Store)? No. The store's conduct altogether preempts a finding of unconscionable tactics. The store's conduct would not be found in violation of Oregon's Unfair Trade Practices Act (UTPA). See ORS 646.605(9) et seq. (I am not verifying the multitude of cross-references in the UTPA, but the language of explicit items gives a general idea of what types of conduct the statute sanctions) The store's decision to decline orders, preorders or money for the product impliedly alerts customers not to grow premature expectations on acquiring the product. Also the store's disclaimer of out of stock weakens a customer's possible allegation that customer relied on a promise of availability of the product. Accordingly, the store prevents a customer from credibly arguing that he incurred losses as a result of the store's conduct. Does it matter if (Product) was available in other stores or just never produced at all? Does it matter if other stores have (Product) but charge more than $N? No. The fact that the store [unsuccessfully] attempted to get stock indicates that the shortage --and hence the failure to supply the product-- is not willful. This implies that the matter is not actionable even if the customer "suffered an ascertainable loss of money or property". See ORS 646.605(10) and .638. That being said, it is noteworthy 646.683(8)(a) lowers the requirement of willfulness [of violation] to one of recklessness in the context of class actions.
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!"
Are online stores supposed to state the true “order cost”/value of an order on the package/envelope for the customs? Yes Is it common practice to slash 10x off of the price for the customs to not add various fees? Common? Probably no. Uncommon? Also, probably no. Isn't that illegal? Yes Of course, they can claim it was a mistake if ever found out, but if they do it consistently, that seems difficult... Not to mention there must be electronic proof of how much each order actually cost the customer? Yes Look, robbing banks is illegal but people still rob banks. Similarly, ripping off HM Revenue & Customs is illegal but people still do that too. In fact, far more people do that than rob banks.
The band's logo can be protected by both copyright and trademark. The band's name is probably only protected as a trademark. Trademark would not apply to your personal use, because to infringe a trademark, you need to "use" the mark, and "use" in trademark law generally means selling an item that has the mark on it. As far as trademark law is concerned, no sale means no infringement. Copyright protects the exclusive right of the owner to copy a "work" (it's much more complex than that, but we don't need to get into the details here). Copyright probably applies because you would "copy" the logo, which under copyright law is something only the copyright owner can do (absent authorization from the copyright owner). You would therefore theoretically be infringing copyright by copying the bands logo on a shirt or something you want to wear yourself. That said, while I agree with the first answer that fair use may apply in theory, there would never ever be such a complex discussion about fair use in this case... because in fact there's absolutely no chance an individual would get fined or sued for having copied a band's logo and name on something he/she wants to wear his/herself. Getting sued by the band The band will not notice. If you're lucky enough to meet the band (or somebody close to the band) in person while you are wearing your garment, they would either not notice or not care. At worst, they'll ask you where you bought it in case they suspect you bought it from someone who illegally sells fake merch. Even then, all of this seems very unlikely. If you are extremely unlikely and the band notices it and sues you (and finds a lawyer to take a case like that to court), my inclination is to think the judge would be extremely mad with the band (and its lawyer) for losing the court's time with such a trivial matter. No judge would allow lawyers to waste the court's time pleading such a complex thing as fair use in a case like that. Getting fined The police would not notice either, because the only time the police cares about copyright is when somebody makes a complaint (nobody would make a complaint about you), except when they seize containers full of copyright infringing stuff (that is destined to be illegally sold for profit) in a port or at a border somewhere. The only possible scenario where I could imagine that there would be legal consequences is if you wear a t-shirt with the bands logo in a YouTube video (or in a picture) where the only thing that you see basically is the bands logo on your t-shirt. Even this scenario is extremely far fetched, but let's say the video becomes popular and the band notices. Well, the likeliest scenario is that they would file a DMCA notice and get YouTube to take down the video, with very little chances that there would be more important consequences to you. Have fun!
I think the law there is quite clear - you have 14 days to return the goods for a full refund, except for digital content, which you can't return once you started downloading it. That's what it says. The arguments that you try to give were quite obvious to the law makers. I think you can assume they were aware that "digital content does not have a physical form". Now if you purchased, but haven't downloaded or started downloading yet, then obviously you can get your money back. You came up with some theory that this is a "visual vanity item". You can't see it unless you download it. Once you download it, that's it. If you don't download it, you can return it. Let me repeat this: Your fancy analogies mean nothing. There are in the EU laws about being allowed to return goods for a refund. There's the general rule for buying in a store (no right other what the store offers voluntarily), online purchases (some days to return), and online purchases of digital goods (no return once you started downloading). That's the law. Your attempts at redefining the situation are totally pointless. The law says what it says. What you try to redefine doesn't mean one thing. The law clearly distinguishes several situations, and analogies don't count. What happens counts. You bought from a digital item from an online store that needs to be downloaded. And as soon as you start downloading, there is your right to return it gone. And your reasons for wanting to return the goods are completely irrelevant. You don't need any reasons, and having reasons doesn't help you.
Generally not. There is a notion in copyright law called the first-sale doctrine in which after a particular copy of a copyrighted work is legitimately sold, the purchaser can sell, lend, lease, give away, or otherwise dispose of the copy as he sees fit. Copyright does not give the copyright holder exclusive rights to authorize resales. See 17 U.S.C. § 109 for the relevant US law; in other countries the same principle is sometimes called exhaustion of rights. There are limits to the doctrine. In the US, it does not allow for for-profit software rental (for most software) or musical record rentals. Moreover, software companies noticed the part where the doctrine applies to a transfer of title (i.e. an actual sale). If you read a typical software EULA, it is generally quite explicit that the software was licensed to you instead of sold; this is why. Courts in the US have often enforced these provisions (particularly if the license imposes limits like "you can't resell it"); European courts have, as far as I know, been far less willing to accept that argument. However, as a general rule resale is specifically not forbidden by copyright.
The US federal Robinson-Patman Act applies only to a sale of tangible goods to different retailers at different prices in interstate commerce. See "Robinson-Patman Act" at investopedia. What is described in the question is not a sale of tangible goods, nor is it a sale to different retailers at different prices. Bait-and-switch selling schemes are prohibited by laws in most US states, and by US FTC regulations. But the fact pattern described in the question does not seem to exactly fit the usual definition of a bait-and-switch selling scheme. Knowingly advertising a product with no intention of selling it at the advertised price might well constitute false advertising, at least in some jurisdictions. It is not clear, at least to me, from the question why the company acts as it does. What benefit does it hope to gain from advertising the lower price? Intention is often important in bait-and-switch and false advertising cases.
Under U.S. copyright law, the First Sale Doctrine protects such conduct. As the U.S. Justice Department explains: The first sale doctrine, codified at 17 U.S.C. § 109, provides that an individual who knowingly purchases a copy of a copyrighted work from the copyright holder receives the right to sell, display or otherwise dispose of that particular copy, notwithstanding the interests of the copyright owner. The right to distribute ends, however, once the owner has sold that particular copy. See 17 U.S.C. § 109(a) & (c). U.S. law with respect to the First Sale Doctrine is typical, and copyright law is fairly uniform internationally due to some relevant intellectual property treaties. But there are hundreds of countries in the world, and some of them might not include the First Sale Doctrine in their jurisprudence. For example, I do not know how this would be handled under the laws of the People's Republic of China, or under Islamic law.
How can I liquidate alcohol as part of an estate in the US? If I'm the executor of an estate for a person that was the sole proprietor of a bar/restaurant that is stocked with bottles of booze and kegs of beer is there any legal way to sell it to generate cash for the estate?
With forms AT-108 and AT-900 the license may be transferred to the personal representative and then the entire stock can be liquidated to any other license holding establishment. Licenses may be transferred by completion of Form AT-108, at no charge during the license year from one person to a court-appointed receiver as a result of foreclosure or proceedings to avoid bankruptcy, or to a trustee when the licensee enters bankruptcy, or to the personal representative or surviving spouse upon the death of the licensee. If a retail licensee becomes disabled, the municipality may, upon application, transfer the license to the licensee’s spouse if that spouse complies with all of the requirements under this chapter applicable to original applicants, except that the spouse is exempt from payment of the license fee for the year in which the transfer takes place (sec. 125.04(12)(b)). Tax 8.81 Transfer of retail liquor stocks. (1) No licensed retailer shall transfer his or her intoxicating liquor stock, upon selling or liquidating the business, without first completing a stock transfer form listing an inventory of the entire stock to be transferred. The inventory must list quantities, brands, container sizes and other information as the department may require and shall be signed by both the buyer and the seller. One copy is to be retained by the seller, the other copy shall be retained by the buyer on the licensed premises and available for inspection at all times by representatives of the department. (2) A licensed retailer may sell his or her entire sealed liquor stock in a liquidating transaction to any other licensed retailer providing the conditions in sub. (1) are met.
Try the phone or email contacts at Florida Department of Law Enforcement - Home. The state of Florida doesn't appear to maintain a statewide officer registry, but that department should be able to verify someone is or isn't a officer in conjunction with the police department closest to your location. If this neighbor is threatening or attempting to enforce the law while not showing ID that proves he/she is an officer, that's serious, and you should call the local police department. Talking about being a LEO while drinking beer at a BBQ is less serious, but still could be a third degree felony. See Statutes & Constitution - Florida State Statutes: 843.08 False personation.—A person who falsely assumes or pretends to be a firefighter, sheriff, officer of the Florida Highway Patrol, officer of the Fish and Wildlife Conservation Commission, fire or arson investigator of the Department of Financial Services, officer of the Department of Financial Services, officer of the Department of Corrections, correctional probation officer, deputy sheriff, state attorney or assistant state attorney, statewide prosecutor or assistant statewide prosecutor, state attorney investigator, coroner, police officer, lottery special agent or lottery investigator, beverage enforcement agent, or watchman, or any member of the Florida Commission on Offender Review and any administrative aide or supervisor employed by the commission, or any personnel or representative of the Department of Law Enforcement, or a federal law enforcement officer as defined in s. 901.1505, and takes upon himself or herself to act as such, or to require any other person to aid or assist him or her in a matter pertaining to the duty of any such officer, commits a felony of the third degree,
I don't know what you mean by "own a person's DNA", but analogous to owning a car or picture, you can't own a person, which is what would be required to have complete ownership of all of a person's DNA. You can legally own a sample of a person's DNA, for example by buying or bartering tissue, or if you are given tissue. If you grab a handful of hair from a person and pull it out, it is not legally yours, and you can be required to return it. If you lose, misplace or abandon tissue (or a knife), then the finder could end up owning it, depending on the circumstances. Tissue in the trash is more complicated since there may be municipal laws preventing dumpster-diving. Setting aside any such municipal codes, if you abandon your property, someone else can claim it. Hair on the floor of a barbershop, or in the trash, is a good example abandonment: it could also be an example of trespassing, in case the barber objects to you gathering samples from his floor. The 4th Amendment cannot be used to secure your DNA: it could be used to prevent securing DNA, if the intended application is compelled blood drawing. The ruling in Maryland v. King did not say that "your DNA can be taken and entered into a national database if you are ever arrested, rightly or wrongly, and for whatever reason", since that was an objection to the majority ruling given in the dissent, not part of the actual ruling. Maybe that will end up being true, but that hasn't been determined to be the law yet. With a warrant, the police can take a tissue sample, and not wait for you to throw a tissue sample in the trash. They can also take a cheek swab from an arrestee just like they can take a photo or fingerprints (that's what Maryland v. King says). Once we've settled the matter of obtaining a DNA sample, the concept of ownership might be relevant if a party could restrict others from using that DNA pattern. But DNA is not subject to patent or copyright, so once I know your DNA pattern, you cannot legally prevent me from using that information. However, you might, if I gave you a sample as part of a contract, and there is a clause in that contract that prevents the other party from ever using that information.
There are no rules against private sales of firearms in Arizona. If you (or your mother) own the guns, you can sell them to anyone you like unless you have reason to believe they are a prohibited possessor. There is no legal requirement for you to validate their identity. There is no limit on the number of guns you can sell to one person. A bill of sale is optional. You don't need a lawyer and, honestly, I'm not sure what a lawyer would do to help you sell a gun. The laws, being what they are, lead some to conclude that this must be how prohibited possessors get their guns. It's not. Most "illegal" guns are bought through straw purchases in which a person with a clean record buys a gun for someone who is not legally allowed to own one. You can work through a licensed dealer if it makes you feel better. If you don't want to use a dealer, you can simply require that a buyer have a concealed carry license as evidence that they are not a prohibited possessor. The CCW is not a surefire way to guarantee anything though. Personally, I would transact a private party sale with individuals via a dealer. You're in AZ. There is no shortage of gun buyers! At the risk of breaking site rules, you can also list guns online. For example, www.gunbroker.com is a popular site and follows an eBay-style bid structure (I have no affiliation to them). This model ensures that you get market price for the gun rather than trusting that a dealer is going to give you a fair price (they won't; they make their money buying cheap and selling at market rate).
Possibly In most contracts, the parties sign in their capacity as people (or agents for other people). However, some contracts are signed in the capacity as the owner of a piece of land and the contract transfers with the land. The liability rests with the current owner and, if unpaid, creates a lien over the property. These are particularly common in contracts with utilities or where the contract involves the a structure on the land. Surprise, surprise, the situation you describe involves both. You need to refer back to your contract for the land as these types of contracts are usually disclosed (unless they are a function of local law because everyone just knows - I don't know anything about Pa. law on this) and the original contract with the gas company. Your settlement may have also involved you paying a figure to purchase the gas in the tank as at the date of settlement. For example, in new-south-wales, council rates and water rates attach to the land as a matter of law and the vendor pays the purchaser for any amount they have paid in advance (or vice-versa if they are in arrears). Electricity and piped gas don't; the vendor ends their account on or before settlement and the buyer opens a new account on or after settlement and each pays for their own use. Propane for portable bottles doesn't but for fixed installations does as a matter of contract with the gas company.
There is no general law making it illegal to lie about debts, or anything else. It is illegal to lie to a law enforcement officer in the course of an investigation. (And of course it is illegal to lie in court testimony or when otherwise under oath.) But it is in no way unlawful to decline to answer, unless a proper court order has been obtained, or other lawful means of compelling an answer. I would expect any law office to respond to such a question with something like "Am I/we being investigated? If so, send the appropriate notice and our lawyer will consider what we should tell you. If not, tell us what information you want, and we will consider and provide a written response in due course." If a taxpayer has been found to be delinquent in paying taxes, in some cases a court order may be obtained seizing assets, including unpaid debts. But no IRS agent can make such a claim on the spot, and indeed for a client to make such a payment without such a court order, or the order of an IRS tribunal (or the creditor's written consent) would itself be unlawful and would subject the lawyer to a suit by the PI (Private Investigator). When the lawyer pays a service provider, a 1099 must be filed with the IRS. If the PI is a corporation, a different form is used, but a record of payment is still required. As failure to timely file such a form is a violation of the tax code, an accusation of paying without filing would permit the lawyer to decline to answer under the Fifth amendment. If the lawyer did pay and did file a 1099 or other documentation, the IRS would know what had been payed, and would not need to confront the PI. Also, as the comment by Hilmar points out, a PI would be likely to use the cash accounting method, and so would own no tax on work performed but unpaid (as yet). So unless the IRS agent thinks the PI was paid "off-the books" and is intentionally failing to report the payment, there would be no point to such a question. And if that were he case, the lawyer would be very likely to decline to answer. I find the story quite implausible.
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.)
You make spending a night in the house within, say, 3 months of your death, a condition of the bequest In general, while conditions in wills are ethically questionable, there is generally no legal impediment. They are binding unless: it violates the rule of law; it is uncertain or impossible to fulfil; or it is contrary to established public policy. Assuming you own the house in question (and still own it when you die) and the house still exists (e.g. it hasn’t burned down) then the condition would be enforceable. As for your second question: No. See What happens if a person is thought to be dead and their estate is administered, and then they turn up alive? Also, if you actually faked you death, rather than just being missing, you’re going to jail for fraud.
Does the 1st Amendment let the government ban an app? This article says that President Trump will ban the popular apps WeChat and TikTok. On the other hand the Bernstein case established (at least in the 9th Circuit) that computer software is speech. The government chose not to appeal that case at the Supreme Court, so in theory this is still unsettled outside the 9th Circuit, but lets assume for the moment that other courts will go along with this. Can the executive issue a ban on these applications? The justifications given are: Chinese companies are gathering information on US citizens, and the Chinese government could gain access to this information and use it nefarious ways. The Chinese government could impose use these apps to promote its view of the world to US citizens. However it seems to me unlikely that this would survive Strict Scrutiny Any national security concerns could be addressed by more narrowly tailored means, such as a warning notice and a ban on use by government employees or contractors with security clearance. A ban which has the side effect of preventing teenagers from uploading 15 second dance clips would not seem to be narrowly tailored. As for Chinese propaganda, I would have thought that the 1st Amendment gives the same free speech rights to the Chinese government that it gives to any other person. I've read this answer and the linked Lawfare articles which explain that the executive has the power to block commercial transactions on national security grounds, but those laws would seem to fall before the First Amendment. The Bernstein case was likewise about the power of the executive to limit speech for national security, and that argument failed. So: could a 1st Amendment argument be used to overturn this proposed ban? Edit (posted after user6726's answer): This article on TechDirt argues that the ban is in violation of the 1st Amendment. In addition to the "code is speech" argument, it also argues that banning security updates from people who already have the app will weaken security rather than strengthening it, and: The claim is "to protect national security." We already knew that was bogus, and all of the info anyone can get from TikTok is already widely available for purchase. Edit 2: this question is being overtaken by events. A group of WeChat users have obtained a preliminary injunction on the grounds that the ban impacts their 1st Amendment rights.
The 9th Circuit decision actually held that the challenged regulations constitute a prior restraint on speech that offends the First Amendment which is not the same as saying that computer software is speech. A crucial differentiation is that by prohibiting talking about the technology, the regulations imposed a "prepublication licensing scheme that burdens scientific expression", which distinguishes the TikTok case from talking about cryptography. The regulations burden business transactions, which have for a long time not been protected by strict scrutiny. The first hill one would have to climb would be showing that there is a real First Amendment issue. There is no First Amendment right for the Chinese government to spy on Americans. The second issue is whether narrow tailoring means that if someone can come up with an alternative to an outright ban, then the regulation is not narrowly-enough tailored. We may eventually get a clearer guideline on that, since state governments have imposed very many restrictions on constitutional liberties, in order to prevent the spread of covid, when a less restrictive action would be warning people that this is a dangerous disease. Many restrictions have survived strict scrutiny because they were believed to be necessary to achieve that governmental end. The executive order identifies the compelling government interest: TikTok automatically captures vast swaths of information from its users, including Internet and other network activity information such as location data and browsing and search histories. This data collection threatens to allow the Chinese Communist Party access to Americans’ personal and proprietary information — potentially allowing China to track the locations of Federal employees and contractors, build dossiers of personal information for blackmail, and conduct corporate espionage. In light of that, it is hard to see that a warning notice would be effective in the face of this threat. Seizing the company and its IP and handing it over to Microsoft would be a less restrictive measure that would probably be as effective and would be protective of the First Amendment rights of teenagers, but it would also be somewhat outside the scope of current US law, so it isn't an actual alternative. I conclude that the ban is the least restrictive effective response to the threat. But it is not entirely clear what the constitutional rules are regarding effectiveness of alternatives (does 20% less restrictive compel a 10% less effective solution?).
The courts of Washington will not apply the law of Tennessee in an action somehow involving something about Tennessee, they will apply the laws of Washington. If neither end of the conversation is in an all-party state, no party has standing to sue under the laws of some other state. If a person in Idaho calls a person in Oregon and the call is routed through Washington state, neither party can sue under Washington law. In all 50 states, there is an "exception" to the consent requirement when the "interception" is due to routing / switching, otherwise it would be illegal to call from house to house if you don't have a single wire between the houses (never the case). No state has a law that imposes two-party state law in calls that pass through a two-party state. The federal wiretapping law say you may not intercept any wire, oral, or electronic communications without consent, then sets up the definitions to encode the exceptions. For example, "aural transfer" is a transfer containing the human voice at any point between and including the point of origin and the point of reception (anticipating the need for connections), and "intercept" means "acquisition of the contents of any wire, electronic, or oral communication through the use of any electronic, mechanical, or other device" (a hearing aid is a device). But then "electronic, mechanical, or other device" is further defined to exclude a hearing aid, or also they exclude any telephone or telegraph instrument, equipment or facility, or any component thereof, (i) furnished to the subscriber or user by a provider of wire or electronic communication service in the ordinary course of its business and being used by the subscriber or user in the ordinary course of its business or furnished by such subscriber or user for connection to the facilities of such service and used in the ordinary course of its business; or (ii) being used by a provider of wire or electronic communication service in the ordinary course of its business, or by an investigative or law enforcement officer in the ordinary course of his duties which is a good thing since the telephone is a device, and the switching system is a system used to make a phone call possible, but it intercepts under the ordinary meaning of intercept. Intercept has a specific, narrow meaning. The law of Florida is very similar
IANAL, and as @GeorgeBailey suggests, you should ask one. That said, some aspects of your question are directly addressable with what we know. Does US law states anything about this? Yes. Federally this falls under the Wiretap Act, 18 U.S.C. §2511. Workplace monitoring generally falls under either the "System Administrator Exception" or under Consent. In general, continuing past a banner constitutes consent. Does company policy enforcement with such a warning over ride the right to not be subject to surveillance? In general, yes. You don't need to use the companies network if you don't want to consent - and they don't need to hire you if you don't want to use their network. But it's their network, and their rules apply. There are some nuances, and courts have found that the wording of the notice has made a difference in some cases, but overall, if the systems are properly posted with banners, then the employer may capture communications. See the "Bannering and Consent" section of this article from cybertelecom.org, e.g.: Even if no clicking is required, a user who sees the banner before logging on to the network has received notice of the monitoring. By using the network in light of the notice, the user impliedly consents to monitoring pursuant to 18 U.S.C. § 2511(2)(c)-(d). Note that stored data is covered by different laws than communications. It's a nuance. Is it ethical to sniff all the data without giving any other warning than the logon banner? "Ethical" is a very different question than "Legal", and largely more subjective. Most employers require signed consent for monitoring as a condition of employment, and use banners thereafter. That is ethical by my definition, in that it meets or exceeds the requirements of the law, and does not mislead or use subterfuge. The tone of your question suggests you find it distasteful, and therefore probably it violates your personal code of ethics.
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.
I don't think any appellate court has given an opinion on whether encryption creates a reasonable expectation of privacy. This is not surprising as only recently has it come to light that the government may have weakened encryption protocols and asked for backdoors in order to aid in decryption. However, Orin Kerr, professor of Law at George Washington University School of Law wrote this article in 2001. He argues that encryption does not create a reasonable expectation of privacy. He says: the Fourth Amendment regulates access, not understanding. Once you introduce your communication into third party systems (or the garbage :P), they may give it up to the government. If the government happens to be able to understand that communication, so be it. He shows how this conclusion is consistent with how the courts have ruled on "reassembly of shredded documents, recovery of deleted files, and the translation of foreign languages". Note that the reasonable expectation of privacy test is only one of the tests used to determine whether a search or seizure is reasonable. Another test is the "trespass" test which deems an interaction to be a search per se if there is a trespass on a person's personal effects. It was used before Katz and was reiterated recently in US v Jones (2012). Regardless, your question is still meaningful because the two tests are used alongside each other.
An Art 15 Subject Access Request (SAR) “shall not adversely affect the rights and freedoms of others.” It would be a grave violation of privacy for an email provider to search its users' account contents. It is therefore likely that the email provider would refuse to fulfil that subject request, unless required to perform a search via a court order. Instead, the SAR could be directed to the account holder (Alice or Dave), if they are subject to the GDPR. Depending on the exact legal framework, emails might be protected under confidentiality of communications rules, making such searches similarly illegal to wiretapping. At least in germany, I am fairly certain that an email provider would be criminally liable if they were to disclose emails from their users' email accounts to a third party.
This page lists the highlights of case law regarding prior restraint and the First Amendment. Two pertinent cases are New York Times Co. v. United States, where the court held that despite the potential harm of publishing the revealed information, the prior restraint doctrine was more important (the government cannot prohibit speech before it happens). Reno v. ACLU affirms that even if a publication might cause harm to a class of people, that (limited) harm does not justify universally prohibiting the speech. There is no criminal penalty arising from the government censoring speech. A civil lawsuit – "section 1983" – is possible against an official who illegally attempts to suppress expression contra the First Amendment. The award might be just a dollar if the person so oppressed cannot prove actual damage. Technically, the sky is the limit, and it just depends on how outrageous the jury finds the government's action. If the government were to order suppression of opposition to its policies, we could easily be in the territory of world-record awards for violation of civil rights.
There are a number of specific limitation on what can be made criminal in US law, derived from constitutional protection. Specific Rights Expressions of free speech, for example, cannot be made criminal, although there can be laws which regulate or impact speech to a degree. Similarly, the establishment clause of the First Amendment prohibits a law requiring people to attend a particular church, and he free Exercise clause prohibits any criminal penalties for any religious practice or lack of practice. Most of the other provisions of the Bill of right would impose similar limitations. The legislature cannot criminalize what people have a constitutional right to do. Thre are also specific limitations not in the bill of rights, such as the prohibition of Ex Post Facto laws, the right to trial by jury, and the constitutional limitation of Treason laws. Rational Basis Beyond that the Due Process clause of the 5th and the parallel clause of the 14th impose limits on criminal law generally. Criminal laws must have (at least) a rational basis. The legislature cannot just prohibit picking up papers because they felt like it, they must have articulated a problem and a plausible reason why a given law would address it. If they don't the law may be overturned as unconstitutional. If a law is challenged as being unconstitutional, it will currently either be subject to rational basis analysis, or to one of the stricter levels. However a law which cannot pass rational basis analysis will not survive intermediate scrutiny or strict scrutiny either. Laws which appear to invade one of the enumerated rights, or a right that the Court has deemed "fundamental" are normally tested under either strict or intermediate scrutiny. According to the the Wikipedia article: Courts applying rational basis review seek to determine whether a law is "rationally related" to a "legitimate" government interest, whether real or hypothetical. The higher levels of scrutiny are intermediate scrutiny and strict scrutiny. ... laws implicating unenumerated rights that the Supreme Court has not recognized as fundamental receive rational basis review. ... In modern constitutional law, the rational basis test is applied to constitutional challenges of both federal law and state law (via the Fourteenth Amendment). This test also applies to both legislative and executive action whether those actions be of a substantive or procedural nature. The rational basis test prohibits the government from imposing restrictions on liberty that are irrational or arbitrary, or drawing distinctions between persons in a manner that serves no constitutionally legitimate end. ... A court applying rational basis review will virtually always uphold a challenged law unless every conceivable justification for it is a grossly illogical non sequitur. (See Killian, Johnny H., George A. Costello, & Kenneth R. Thomas, co-eds., The Constitution of the United States of America: Analysis and Interpretation: Analysis of Cases Decided by the Supreme Court of the United States to June 28, 2002, by Congressional Research Service, Library of Congress (Senate Document No. 108-17, 108th Congress, 2d Session) and specifically Romer v. Evans, 517 U.S. 620 (1996) at 635) Rational Basis analysis became accepted after the demise of "substantive Due Process", mostly in a civil, rather than criminal context. A version of it was suggested in Lochner v. New York 198 U.S. 45 (1905), in the dissent by Justice Holmes. It was adopted as governing in [*Nebbia v. New York * In United States Department of Agriculture v. Moreno 413 U.S. 528 (1973) The Court overturned, on a rational basis scrutiny, a law excluding households consisting of unrelated people from the Federal Food Stamp program, writing: [A] bare congressional desire to harm a politically unpopular group cannot constitute a legitimate governmental interest. Specific cases In Eisenstadt v. Baird 405 U.S. 438 (1972) a law that criminalized the distribution of contraceptives to unmarried persons was overturned on a rational basis review. Similar cases are now generally treated with intermediate scrutiny. In James v. Strange 407 U.S. 128 (1972). a Kansas law reclaiming payments for public defenders was overturens on rational basis review as “an impermissible burden on the right to counsel established in Gideon v. Wainwright." In Bowers v. Hardwick 478 U.S. 186 (1986), rational basis analysis was employed to sustain a statute criminalizing homosexual activity. However, this was later overturned.. Vagueness Also under Due Process, vague laws are prohibited. If a reasonable person cannot tell from the law what is or is not illegal, the law can be overturned for vagueness. Procedural protections Then there are procedural limits, also largely derived from the Due Process clause(s). A law cannot automatically convict people without a genuine hearing, in which a person can present a defense to an independent, impartial judge or jury. A law cannot impose duties which are flatly impossible to perform. A law cannot impose punishments which are considered unreasonable for the seriousness of the crime (as evaluated by judges). Other Limits There are other limits as well, it would take a book to list them all in detail. But those are some of the more frequently applied ones.
On the legality of replacing international transfers with intranational ones Here is a fictional story based on this question. Andrey is a Russian programmer residing in Germany who makes regular wire transfers to his father, Boris, who resides in Russia. Chris & Dasha, a married couple, also reside in Germany. Dasha is Russian and would like to wire money from her Russian bank account to her husband's German bank account. Pictorially, we have two international transfers. However, if Andrey and Chris became acquainted, we could have two intranational transfers instead, as depicted below. Boris and Chris would receive the same amounts as before. Would this be legal? I am interested not only in the pair of jurisdictions Germany-Russia, but also UK-Russia, US-Russia, or X-Y in which jurisdictions X and Y are chosen so that this thought experiment is interesting (in some sense). Some thoughts and other (subsequent) questions: If Andrey and Chris do know each other, Andrey's transfer to Chris can perhaps be viewed as a donation to an acquaintance. However, Dasha does not know Boris. Could her transfer be viewed as a donation as well? If Andrey and Chris do not know each other but only know of each other, Andrey's transfer to Chris is somewhat equivalent to Dasha's transfer to Boris, though subject to the laws of Germany. It certainly is not the case that these intranational transfers are payment for goods or services. If they cannot be viewed as donations either, could they be viewed as money laundering?
Would this be legal? Probably at this scale. Not necessarily extrapolated to a large commercial operation involving more parties. At some point it becomes a payment system and a financial enterprise that becomes subject to financial regulation. Could her transfer be viewed as a donation as well? This is not a donation transaction and efforts to characterize it in that fashion would probably be disregarded by authorities. Could they be viewed as money laundering? The core element of money laundering is an effort to conceal the source of the funds for some purpose. It isn't clear if that would or would not be a motive. Other considerations A fairly common way to handle this kind of situation that is similar to what you suggest is called correspondent banking. Each side has an account in Russia and an account in Germany. Most day to day transfers happen by directing that money go from one German account to another German account, or from one Russian account to another Russian account. The big benefit of correspondent banking, aside from being transparent, is that it avoids currency exchange risks, fees and considerations for small, ordinary transactions. Of course, it simply isn't difficult or expensive to simply wire money from Russia to Germany, and vice versa, now and then. There are not strict currency controls, although there are some potential disclosure requirements. One reason for you, or authorities to worry about characterization of the transactions as money laundering is that if you have nothing to hide, simple wire transfers would be the usual and ordinary way of handling matters.
switzerland "Gutgläubiger Erwerb gestohlener Dinge" (buying of stolen goods in good faith) is a big topic in law. Different jurisdictions handle it differently, but most European (civil law) systems have some kind of rule that accept the ownership of a buyer in such a case. Here is a good article that compares different jurisdictions on exactly such an issue. Luxury watches are a kind of art. According to Swiss law (Art 934 ZGB), the item must be returned when discovered within 5 years of the theft. However, the rightful owner must pay for any expenses you had. Since the theft was more than 5 years ago, the watch is, in my opinion, rightfully yours. Since Blancpain is in Switzerland, they are obviously bound to Swiss law. Also, they are not the police, so they cannot seize an item. They can only safekeep it and report to the authorities. I would also contact a lawyer for help. It seems to me like a case you should win.
It seems that your friend is taking part in a multi-level marketing scheme. However, this does not necessarily exclude a pyramid or snow ball scheme. Both can be illegal in Germany and Switzerland under the respective unfair business practices codes, because the systems do not rely on the sales of goods and services, but on the continuous recruitment of further sales persons. To clarify whether your friend's system is illegal, you could report the scheme to the competent watchdogs. In Germany the "Zentrale zur Bekämpfung unlauteren Wettbewerbs" in Bad Homburg is recommendable. As the company is operating from Switzerland, German law not be applicable without more. Therefore also contacting the Swiss authorities may be advisable. This seems to be the "Staatssekretariat für Wirtschaft SECO" in Bern.
It might possibly be illegal. For criminal law, usually you need to obey the laws of three countries: The country you are a national of (by personality principle) The country from where you make the sale (by territoriality principle) The country that hosts the attacked interest (by territoriality principle) Then it depends on the jurisdiction (and other factors) whether the sale is legal or not. I'll use the example of my country, Czech Republic. There is a crime called "Unauthorized access to a computer system or data storage device". For example, you commit this crime by exploiting a vulnerability in a web application and copying the web owner's data on your computer. It is also codified that whoever wilfully facilitates the committing of a crime by providing the criminal with resources (such as the exploit) is considered to have also committed the crime. For this to apply, you must have known or expected that the exploit will be used to commit a crime. The courts would decide this.
Question: Do I need a EU passport or EU ID card to legally work in the EU (or establish that I have the right to work in the EU)? Or is a certificate of citizenship sufficient? Legally, your right to work is not contingent on this and there is no Europe-wide rule that makes holding any document mandatory. Importantly, if you do start working anyway, you are not committing a crime and cannot possibly be banned or forced to leave the country. You do have the right to work from the day you became an EU citizen and if any doubt arises down the line, you should be able to clear it up later. In practice, employers are sometimes supposed to check you are allowed to work (and for that would require some proof of your citizenship) but they don't necessarily need a passport or ID. What's typical on the other hand is that you have to provide an official proof of address (in the countries where you have to register your address with the authorities) and the local social security, insurance, or national tax number. Both of these will require dealing with the authorities and will be considerably more difficult, if not downright impossible, without a national ID card or passport (in fact it can even be difficult with a passport). I worked in multiple EU countries and I don't recall always having to present my ID to employers. I recall at least one instance (in Germany) where I could start working without one (it had just been stolen) and another one (in the Netherlands) where I started on the day after I arrived, without official address nor tax number (BSN). In both cases, I was expected to solve these issues within the first month and you risk a fine if you don't register within a week or two but it was neither illegal nor impossible to start working before all the formalities were completed. None of this means I would be completely comfortable about being months without a passport. But the main issue for you will be entering the country and what your employer's HR department is prepared to tolerate, not any sort of legal obligation to hold a passport to work. Note that in one of the cases I described above I went to the local consulate to get an emergency passport. It wouldn't have been possible back in my country of citizenship but there are some special procedures when you reside abroad. These rules change all the time and depend on your country of citizenship but that could be worth a try.
The ECHR protocols are not meant (and not generally understood) to prohibit taxation or fines by the state in accordance with the rule of law. See e.g. this explanation by the Council of Europe. As to the specific question, this explanation enumerates shares and leases as property, and the text makes it clear that bank accounts or cash would also be covered: [...] in the general interest or to secure the payment of taxes or penalties; [...]
It is not necessarily a crime to do this, but the gift to you and from you to Betty would be disregarded and treated as if gift directly from Alice to Betty, if the IRS knew all of the facts. A gift implies a donative intent directed at you. When there is an understanding that you are acting at Alice's direction, you aren't receiving a gift, you are acting as Alice's agent. This said, this scheme, or the alternative it seeks to prevent, has no impact on Betty, because gift taxes are imposed on the donor rather than the recipient of the gift. And, in most cases, a gift in excess of the $14,000 per person per year gift tax exemption will have only a minimal impact. This is because each person is entitled to make a combination of gifts in excess of the exemption during life and transfers to non-spouses and non-charities at death of $11,200,000 per lifetime (adjusted annually for inflation). Usually, all that is necessary if the limit is exceeded is for the donor to file form 706 (a federal gift tax return) at the same time as the donor's income tax return, and this form is very simple if the only gifts given are cash gifts. Transfers to a U.S. citizen spouse are gift and estate tax free, as are gifts to foreign and domestic charities. Spouses who file a Form 709 in a year may treat gifts given by one spouse as actually given half by each spouse. If someone dies not having used their entire $11,200,000 (adjusted for inflation) lifetime exemption, their surviving spouse, if any, inherits that unused portion and can use it at their death in addition to their own lifetime exemption. So, Alice and Betty are trying to evade a tax law that is easy and trouble free to comply with, and may provide future benefits by documenting the intent of the parties with respect to a large gift (so that someone doesn't later try to characterize it as a loan or contribution to a trust estate, for example). While it isn't a crime, it is ill advised and won't benefit them materially in the end.
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.
Guidelines to claim right to use physical force as self defense? I was wondering what constitutes a provocation to which it is justifiable to use force as self defense. For example, if someone came a slapped you on the face but did not proceed hitting you (at which point it could be claimed he no longer presented threatening force to you), would it be okay to punch him and not be legally liable? Or if someone started getting in your face but not really touch you, would it be legally okay to punch them to get them out of your face? What are some examples of provocation that the law would be sympathetic with the target using physical force against? In general, what are some guidelines, in the U.S., to know when it is okay to respond with physical force? Is ANY violence (e.g. a humiliating act like slapping somebody) enough to exempt the victim from ... beating the c**p out of or shooting the perpetrator? At which point does shooting the perpetrator becomes fair game because their actions constituted a legitimate threat?
The general rule is that using force in self-defense is justified if the person using the force reasonably believes it immediately is necessary to prevent the unlawful use of force against themselves or a third party. Deadly force is not generally justified except in response to a reasonable fear of deadly force, or to prevent certain violent crimes (like rape, kidnapping, robbery, etc.) Force is not justified in retaliation. In some states, if you're not at home (or maybe even then), you also have a duty to retreat before you can use deadly force in self-defense. So, for your specific questions: If they hit you once but aren't continuing to hit you, it's illegal to hit them back. You can only use force to defend yourself, not to get even. If someone gets in your face without touching you, you might be allowed to use force, but it depends on the circumstances. You don't have to wait for someone to hit you, but you can't sucker-punch someone because you want more space in a mosh pit. Your use of force needs to be something you reasonably believe to be necessary to stop/prevent their unlawful use of force. It also needs to be proportional to the force you're defending against; you can meet deadly force with deadly force, but shooting someone to stop them from slapping you is murder. Likewise, no one's going to believe that you really thought you had to beat the crap out of someone in order to stop them from slapping you, or that it's in any way proportionate to what they did. Deadly force is not allowed in defense of a person unless you reasonably think deadly force is needed to prevent the unlawful use of deadly force, or to prevent one of a few crimes being committed against them. Depending on the state, it might be presumptively justified if the person is trying to forcibly break into your occupied house, car, or place of business, but that's state-dependent.
First, as Mark Johnson said. Second, the job of police and prosecutors is not to put people into jail, their job is to put guilty people into jail. If you go to the police and tell them that you beat up a person, then before they investigate, they know that either you are guilty of assault, or you mistakenly believe that you are guilty of assault, or you are a phantasist who enjoys confessing non-existing crimes to the police. The police will either investigate which one it is, and may prosecute you either for assault or for wasting police time, or they may decide based on your behaviour that there was never any assault and not investigate further. I suspect they will at least question you about details of the claimed assault, to decide whether the crime is real or not.
england-and-wales It depends on Alice's belief about who Mallory is and what Mallory is doing and whether Alice's force was reasonable. If Alice is aware that Mallory's action is lawful, then Alice cannot use force to protect Bob. Is Mallory a doctor who is lawfully withdrawing treatment? (You say there is "no law allowing Mallory to disconnect Bob's life support" but I'm not aware of a jurisdiction that requires indefinite treatment regardless of the circumstances.) If Alice honestly believes Mallory is attempting to unlawfully kill Bob, Alice can use force to protect Bob. Is Bob on life support because of Mallory's previous attempt on his life; is Mallory a hitman, a vengeful spouse or some other person with no lawful reason to kill Bob? Crown Prosecution Service guidance: Self-Defence and the Prevention of Crime: Self-defence is available as a defence to crimes committed by use of force. The basic principles of self-defence are set out in Palmer v R, [1971] AC 814; approved in R v McInnes, 55 Cr App R 551: "It is both good law and good sense that a man who is attacked may defend himself. It is both good law and good sense that he may do, but only do, what is reasonably necessary." The common law approach as expressed in Palmer v R is also relevant to the application of section 3 Criminal Law Act 1967: "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." ... In assessing the reasonableness of the force used, prosecutors should ask two questions: was the use of force necessary in the circumstances, i.e. Was there a need for any force at all?; and was the force used reasonable in the circumstances? The courts have indicated that both questions are to be answered on the basis of the facts as the accused honestly believed them to be (R v Williams (G) 78 Cr App R 276), (R. v Oatbridge, 94 Cr App R 367). To that extent it is a subjective test. There is, however, an objective element to the test. The jury must then go on to ask themselves whether, on the basis of the facts as the accused believed them to be, a reasonable person would regard the force used as reasonable or excessive.
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.
Yes. The principle caselaw is R v Hayward (1908) 21 Cox 692 A husband and wife had an argument that led to the husband chasing his wife out into the street. The wife collapsed during this altercation and died. Whist the husband did not physically touch her, he did shout threats at her. The wife was found to have been suffering from an abnormality of the thyroid gland that neither was aware of that meant that fright or shock could cause death if combined with physical exertion. The husband was charged with manslaughter. [...] The husband was found guilty of manslaughter. No actual proof of violence was necessary as long as the defendant’s unlawful act, which was the threat of violence, caused her fright leading to her death. The criminal law acknowledges that an assailant must take their victim as they find them... Source And... The defendant chased his wife out of the house shouting threats at her. She collapsed and died. He did not physically touch her. She was suffering from a rare thyroid condition which could lead to death where physical exertion was accompanied by fright and panic. Both the defendant and his wife were unaware she had this condition. Held: The defendant was liable for constructive manslaughter as his unlawful act (assault) caused death. The egg shell (thin) skull rule applied. He was therefore fully liable despite the fact an ordinary person of reasonable fortitude would not have died in such circumstances... Source
Battery – offensive, nonconsensual contact with another person – is a crime unless it is justifiable. There are numerous justifications, and the standards for them can vary. For example, self-defense is a justification for battery, and the standard is usually the "reasonable person." I.e., would a reasonable person in the position feel that force was necessary to defend against imminent injury, and was the force used reasonable and proportional to the perceived threat? Force can be used to effect a lawful arrest. The standards for arrest are different for police officers. For example, police typically need only have "probable cause" (i.e., a justifiable belief that a person likely committed a crime) to effect an arrest, and at the point police are typically allowed to use any force necessary to effect the arrest. On the other hand, "citizens' arrests" are typically limited to more serious suspected crimes and, in practice if not in theory, subject to higher levels of scrutiny. So, for example, a cop grabbing the person being chased from a store would almost certainly be immune to charges of battery. A bystander doing the same thing would have to be prepared to justify his interference in civil, if not criminal, court. Some jurisdictions accord a higher right to use force to owners of property. For example, "shopkeeper's privilege" allows merchants to use reasonable force to detain individuals they reasonably believe to have stolen from them. "Castle doctrine" allows people to use lethal force against any intruder in their residence. In the bus fare scenario you describe the bus driver is guilty of battery. Even if a prosecutor declined to charge him for the crime, the victim of that battery could sue the driver civilly. Likewise, the passenger who chose to subsequently attack the bus driver is guilty of battery, because (presumably) there was no ongoing physical threat once he was off the bus.
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.
This question and many related ones are analysed in detail by Eugene Volokh, in a long paper that is worth reading in its entirety if you are interested in the topic. The [Supreme] Court has offered “speech integral to [illegal] conduct” as one of the “well-defined and narrowly limited classes of speech” excluded from First Amendment protection. But if this exception is indeed to be well defined and narrowly limited, courts need to explain and cabin its scope. This Article — the first, to my knowledge, to consider the exception in depth — aims to help with that task. On threats, he says: Companies are generally barred from firing employees for voting for a union, and unions are generally barred from retaliating against employees for their speech. The Court therefore concluded that speech that threatens unlawful retaliation is itself unlawful. On blackmail, he says: [...] telling black citizens “stop shopping at white-owned stores or we’ll publicize your behavior to your neighbors and fellow church members” is similarly constitutionally protected. On the other hand, “vote for this civil rights bill or I’ll disclose that you cheated on your wife” is likely unprotected. In general the line where the First Amendment protections end and criminal speech begins is surprisingly vague. General advice to avoid self-incrimination by not answering questions from the police is clearly protected. Threatening a witness with violence is clearly not. In between are shades of grey.
Do I (witness) have to respond to email from defendant's lawyer? I witnessed (heard) an alleged crime a long while back and was recorded as a witness by the police. Recently, I received an email from the defendant's lawyer requesting contact information and asking me to answer some questions. Do I have to respond? Does the report I gave to the police not qualify as all the information the lawyer would need? Is this just more helpful information for the lawyer? I understand that I could be subpoenaed as a witness if the case goes to trial, but do I need to respond to lawyers before then?
You don’t have to talk to the lawyer However, if you don’t it’s very likely you will be subpoenaed. Then you’ll have to talk to them at a time and place of their choosing rather one that’s mutually agreed.
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?
I run CourtListener.com and RECAP and I hear this question from time to time. It depends a little on what kinds of data you're after. Some folks need court data in real time as it's published by the courts, other folks just want to follow particular cases, etc. I think your options are A commercial provider. Maybe Lexis or Bloomberg? I admit I don't know these options particularly well, but it's probably an option. You could use our services, depending on your needs. In the RECAP Archive, we have millions of documents. We get a lot of these from journalists that use our RECAP Extensions, so if it's stuff that's in the news, it can work particularly well. We also do bulk downloads of court data for researchers, but I'm guessing that's probably not your use case. I think the final option is to use a gift card from Visa or another provider. I think if you have a friend in the US, you could buy one, send it there, and they could send you photos of the card to help you out. If this is to gain PACER access and if you need an American address, we could probably lend you our address (we're a non-profit, this is part of our mission, and not a big deal).
"Legal problem" is too vague to be included. "Investigation" needs a bit of refining; "lawsuit" is relatively simple (as long as you mean "actual lawsuit" not "idea that maybe we could sue"). There is no central list of all lawsuits against a given party, but you could theoretically check every jurisdiction to see if there is a lawsuit. That's a really big list, maybe in the millions if you want to be complete. You can use ordinary Google search to find announced lawsuits, typically by government agencies. Finding investigations is even more difficult: you will not be able to determine what investigations I am conducting. Even determining the existence of investigations by police including e.g. the FBI is hard to do. A government attorney is the one most likely to reveal that they are investigating some party with the intent to sue them. Again, you can't get a complete list, you can use Google to get an indication of who has announced an investigation (your results will generally not say whether the investigation was closed, unless you pursue that question as well).
The first thing it depends on is where you live. The US has no law requiring niceness, but perhaps niceness-enforcement exists somewhere in the world. The second thing it depends on is exactly what he does, where and how. If he comes into people's houses uninvited and starts harassing them, that is generally a crime. If he makes nasty remarks to people walking down the street, you can't even sue him. If the person commits in a crime, you can report him anonymously. However, for there to be any prosecution, someone will have to testify in court: anonymous criminal testimony is inadmissible in the US. If there is no crime, just a potential civil action, the part would hire an attorney to file a complaint, etc. and that party would be named (not anonymous), would have to testify, and would also have to have been harmed. The police will not get involved in a civil dispute. Based just on what you have said here, your attorney would very likely say that there is no case to be pursued, and your only solution is to ignore him.
Basically, it is up to the court. The relevant law is the Police and Criminal Evidence Act (PACE). You don't give much in the way of specifics, but it sounds like you confessed something to the police at the side of the road immediately after the accident, and now wish to dispute that confession. If you are taken to court and the police want to introduce your confession as evidence then you (through your lawyer) can ask the court to rule it out. You may be able to do so on a number of grounds. Was the confession properly recorded at the time? Were you treated in an oppressive manner, such that you felt you had to say what the police wanted to hear. Did you think you might get more favourable treatment if you said what the police wanted? For instance, did you think you might be allowed to go home once they were satisfied? Were you given a proper rest, or were you in a mental state that might cause you to say things without understanding the consequences (it sounds like this would be your main argument, but consider the others too). [Edit] If you needed medical treatment that would also be relevant. Were you properly cautioned (that speech beginning "You do not have to say anything...") before the police asked you questions. If you think you may be facing criminal charges then you should get yourself a lawyer sooner rather than later. A lawyer will know all about this and be able to navigate the relevant legal processes on your behalf. A bit of background: back in the 1970s the police frequently attributed incriminating statements to suspects when arrested, such as "Its a fair cop, guv", or "Who ratted on us?". The rules in PACE were made to stop such "verballing".
The appeals court has found that the county court judge made a decision that was consistent with the evidence that was presented at trial. As such, the decision is sound. It appears that the defendant tried to present additional/different evidence or different arguments about the law in the appeal than they did at trial - this is not permitted. As to responsibility, the defendant and their legal team were responsible for deciding how to run their case and what evidence to present and what arguments to run. What evidence to present and how to present it and what submissions to make on the law is a tactical decision for each party. You can get it wrong. That doesn't let you try again on appeal. If your barrister has been negligent, and that directly caused you to lose, you can sue your barrister. In terms of interpreting a particular paragraph of a judgement, the appeals court may or may not make comment on a particular paragraph but the reasons, while important, are not really subject to interpretation other than that. A judgement will give orders, these should be very precise and not open to interpretation - things like "the defendant will pay X to the plaintiff" or "the case is dismissed" etc.
In the US, they would not be automatically prosecuted. The prosecutor would have to find out about the testimony, decide to prosecute, and go through all the normal processes they otherwise would, but they have an additional piece of evidence. Per the 5th Amendment to the US Constitution, a witness cannot be forced to answer a question that would incriminate them. If the question was objected to on this ground and the objection overruled, the witness' answer would not be admissible against that witness at trial, and the prosecutor would have to prove the case using other evidence.
D&D Manual Copyright I'm working on a program for D&D enthusiasts that helps dungeon masters keep track of their characters and streamline battles. I want to transcribe the all the monster data in the Monster Manual so my program can automatically deal damage and so players could look up monster data within the program itself. Would that be violating copyright law if I did that? Edit 1: To clarify, I'm not planning on making any money off of this(Ad revenue or otherwise).
Let’s work it through Is the work copyright? Yes. Are you making a copy or a derivative work? Yes. Do you have permission? No. At this point, it is prima facie copyright violation. However, various copyright laws have defences for breach. You don’t say where you are but as the USA is the most permissive in this regard we’ll use the USA. If it’s not legal there, it’s not legal anywhere. If it is legal there, it’s still likely to be not legal everywhere else. is it fair use? Almost certainly not. Wizards of the Coast (the copyright owner) already do this. While this service is free for creatures from the Monster Manual, it does drive traffic to their web site where they sell stuff. They also licence (presumably for money) others to do the same. Your usage would negatively affect the copyright owners market. This counts against fair use. Because it’s already being done, your work has virtually nil transformative value. This counts against fair use. You are copying a substantial part of the work. This counts against fair use. You are not using it commercially but neither is it for educational use. This is unlikely to matter. On balance: not fair use. TL;DR This is copyright violation.
I would argue that no, there is no copyright for the restored work. Independent copyright is only possible for any original material added, as previously discussed on this site. In this case, the added work was a technical process rather than a creative process, and technical processes cannot be protected by copyright. Copyright licenses would therefore be ineffective. However, I believe one could still impose a license based on owning the copy as opposed to the copyright (contract might be a better term in this case). However, if a third party managed to obtain a copy through some other avenue, any such contract would not be binding on them and nothing could be enforced against them unlike with copyright laws. Another way a license might be imposed is through patent protections, as technical processes can be protected via patents. However, I'm not as familiar with patent law, and this doesn't appear to be the claim being made.
The DMCA prohibits circumvention of technological measures that effectively control access to a copyrighted work. So you can't legally "crack" the software, period -- even if you own a disc containing the software and have a valid license to use it, a license to use the work is not authorization to circumvent access controls. So if the disc is copy-protected, by my understanding of the DMCA, you're kinda screwed. (The company might be willing to provide you a replacement copy, even if only to maintain the illusion that the software is "licensed, not sold". But you can't make one yourself.) Likewise, if you have a copy of the disc but have lost the license key, you're screwed. Even if you could prove beyond any doubt that you are the licensee, there's not any law i'm aware of that would compel the copyright owner to provide you another license key. And courts have held that distribution of license keys without authorization is a violation of the DMCA. So whoever might provide you another key, if they're not the copyright holder, has broken the law. If you managed to copy the disc from a friend (without circumventing any kind of copy protection), and had your own license key, you might be in a better position. Many EULAs allow you to make a backup copy. Even if they didn't, copyright law does, so there's a possible case for fair use.
No The artwork is all covered by copyright that, in Japan, lasts for 70 years after the death of the last artist. As employees of Squaresoft, the artists don’t own the copyright, Squaresoft (or it’s heirs or assignees do). So, the copyright currently vests with the successor company Square Enix. They are the only organisation with the right to make or licence derivatives. While they currently don’t want to, they might in 10 or 20 or 40 years and any work you made would damage the profitability of that hypothetical project. So it isn’t fair use. So you can’t do it.
Yes, such a site can be created without infringing copyright Facts about the game are facts.They are not protected by copyright. Criticism of, and comment about the game, is an activity protected by the US First Amendment. Making such comments is very likely to be fair use under US copyright law. In general the author of a work, such as a book or a game, or the maker of a product, has no right to grant or withhold permission to discuss or comment on the work. This is true not only under US law, but also in the law of most countries (perhaps of all countries). The name of the game might well be protected as a trademark. But that does not allow the trademark owner to prevent discussion of the game, clearly identified by the name of of the game. As long as nothing is being sold or rented, or advertised for sale or rental under that name, and there is no attempt to claim that the site is sponsored or approved by the trademark owner, and there is no likelihood of confusion, there is no trademark infringement. This is true under US law, and under the trademark laws of most other countries. A wiki is a specific technology. It can be used for community discussion, or for a company's internal documentation, or for any of many other purposes. Wikipedia has popularized this technology. Not all community discussion sites are wikis, however, nor are all wikis for community discussion. Just as not all novels are books printed on paper, and not all books are novels. In any case, setting up a wiki about a topic such as a game, a movie, or a novel does not require permission from the owner or creator of the game or of any trademarks associated with the game or work. The same would be true for a discussion forum about such a game or work that is not a wiki. If a wiki uses excessive quotes from game dialog, or uses the game's logo without permission, or reproduces other game assets, such as character art, maps, and the like without permission, that might be copyright infringement.
No, this is not true. Copyright can be enforced selectively. You are confusing copyright with trademark. Company can lose its trademark if they aren't protecting it. All the meanwhile they can choose to ignore some copyright infringement while enforcing their rights on others with no legal problems what-so-ever. In order to illustrate the difference: for example, if someone would make a clone of Super Mario and would call their clone as well "Super Mario" and maybe even would call themselves "Nintendo", even if they have programmed the whole game by themselves from scratch and the art and music would be all different, they wouldn't be infringing the copyright but challenging protected trademarks. In your case, the naming was identical, the art and everything was too similar to the original and therefore the clone was challenging the trademark that needs constant protecting.
There is no case law as yet However, the most likely situation is that there is no copyright in the original works because they are computer-generated. There is certainly copyright in the code that created the art but the output of that code, the art itself, would probably not be subject to copyright. Copyright only exists in art created by humans. The US Ninth Circuit has held that animals cannot create copyrighted works. Subsequently, the US Copyright office has rejected applications for registration (a prerequisite to a suit in the US) of computer-generated art because it “lacks the human authorship necessary to support a copyright claim.” While this position has not been tested in the courts, I don't think they are any more likely to grant copyright to a program than they were to a monkey. What's going on? The OP states that there is litigation: there isn't. What there is, is a DCMA takedown request from Larva Labs. If this is complied with that will be the end of the matter; if it isn't then there may be litigation. However, before Larva Labs could sue CryptoPunks in the US they would first need to get a writ of mandamus to force the USCO to register it. If they try and fail then there will be a legally binding court decision that Larva Labs don't own the copyright in any of their computer-generated art. Which kills their business model and, presumably, them. This would be a very high-risk move. They may choose to sue in a jurisdiction where registration is not a prerequisite, however, that court would still need to be satisfied that there was a copyright that could be breached. So that's just a different take on the same problem. I have ignored the issue of NFTs as these are legally problematic in their own right and irrelevant to the main question. However, the NFT and the artwork are not the same thing.
It does mean that you cannot reuse any parts of the source code, even small simple ones. You would have to rebuild the code from scratch. There is a significant chance that the code would be "substantially similar" to the code that you were hired to build, also that if anybody else were to write a bubble sort or 24-to-am/pm conversion routine, it would look the same, where even variable names (which should describe function) are the same or very similar. In case of an infringement lawsuit, you would have to defend yourself by showing that there are only a few ways to code a given function. Copyright protects only the "expression", not the abstract idea. A linked list is an idea, which can't be protected by copyright; same with recursion, pointers, stacks, object-oriented programming... Anything that involves copy and paste is infringement. If you re-read the copyrighted code and then try to reconstruct it, you probably crossed the infringement line. If you remember the problems and solutions and accidentally write somewhat similar code, that is probably on the safe side. From the perspective of the programmer not wanting to always reinvent the wheel, it would be most useful to make a distinction in the contract between "the essentials of the customer's program" versus "incidental utility work". The difficulty will arise in saying specifically what is essential vs. incidental. For instance, I know that if I were to hire you to develop a speech-recognition system, low-level audio-acquisition and encoding would not be essential to my purpose, whereas DSP parsing routines would be the center of my interest. The programmer would then want to retain recycling rights to all non-essential code.
What licence should I use for my portfolio website? I'm a computer scientist. I would want to show the projects I've made along the years, my curriculum vitae and the good points that some of my former customers and employers have written about my project and myself. What licence should I display in the footer of my website? I think I don't want MIT or something else that would be open-source. I would rather prefer a proprietary licence.
What licence should I display in the footer of my website? None unless you want people to copy and reuse the content. The content (except for mere facts) will be protected by copyright regardless. When you expect people to want to copy and reuse it, it makes sense to tell them in advance under what conditions they can do it (instead of being bothered by their questions). This is what displaying a licence is for. If you were a visual designer then a licence would make sense as visuals are likely to be wanted to be copied and used. But a CV, list of projects and comments from customers are probably not likely to be wanted for reuse and distribution, though it is ultimately for you to decide. If you think someone will want to copy and further distribute your content, you'll need to figure out under what conditions you want to allow it, and then search for a licence that fits. If none found, just create your own.
are there any safeguards you could take to preemptively block such behavior, such as a disclaimer inside the book cover that reads something like The safeguard you outline would be overridden as soon as the author enters any contract that requires assignment of copyright. (I would not delve in the differences between licensing and copyright assignment because that hypothetical author is dealing with a contract of adhesion which readily requires assignment; the author has no option to change the ToS to allow for licensing only) Under contract law, one of the essential prerequisites is that the conditions of a contract be entered knowingly and willfully. By deliberately clicking on a ToS page to move forward with the uploading a copyrighted work, the author is signaling his awareness and acceptance of the ToS. The fact that the author chose not to read the ToS is irrelevant and very unlikely to strike whatever entitlements the website owner formulated in the accepted ToS. For the same reason, the author's safeguard disclaimer does not bind the website owner: It cannot be said that the website owner was aware of that disclaimer at the time of the formation of contract between the author and the website owner. That is, the website owner did not knowingly and willfully accepted the author's safeguard. The website owner is not even expected to know about any safeguards which one of its potential user intends to establish. The length of a ToS document is also irrelevant because the website owner has the valid argument that "the user-author could have skimmed through the ToS or do a search (via Control-Find) of keywords such as 'copyright' or 'property', whence any allegation of 'inadvertent' assignment of copyright is untenable". Is there a way to protect your IP from inadvertently being licensed/stolen/assigned via TOS "agreements", without having to waste your life reading huge one-sided online "contracts" that are "subject to change without notice" anyway? Yes. That consists of not uploading one's works in such platforms. In contract law that would be expressed as "declining an exchange of considerations". There are many other alternatives for an author to promote his work without being required to assign copyright.
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.
You can't You agreed: by submitting Materials in any form to the Company, in addition to other provisions of the Terms, you automatically grant Company a royalty-free, world-wide, irrevocable, non-exclusive, and assignable right and license to use, copy, reproduce, modify, adapt, publish, edit, translate, create derivative works from, transmit, distribute, publicly display and publicly perform such Materials for the purpose of displaying and promoting the Materials on any website operated by, and in any related marketing materials produced by, the Company and its affiliates. They can keep and use your data forever and give it to whoever they want. The clause you quote doesn't alter that. All it says is that once a year, if you ask, they will tell you what information they shared and with whom. If they feel like it they will tell you how to get the information deleted.
You don't need the copyright. You need a license that allows you to use the artwork. If there was no agreement in writing or verbally about a payment, then she owns the copyright on all the artwork she created, and you have no license. Publishing your app without copyright or license would be legally very dangerous; it would actually be copyright infringement. You have no right to demand the copyright or a license. You can persuade the designer, usually by paying money, or by paying some percentage of the income from the app, to give you the copyright or a license to use the graphics. And you definitely want things in writing. How to get a license? You find the person, send her a letter asking for a license, which would be for example a letter saying "I hereby grant s1ddok the non-exclusive right to include the artwork listed below, to which I hold the copyright, in the applications XXX and YYY, and to sell copies of those applications including the artwork, in exchange for a payment of $ZZZ" or something similar. She may do this if offered an appropriate amount money, or a percentage of the sales or profits, or some amount per application downloaded. A copyright transfer is a bit more complicated (especially if she is abroad) and will also cost you more, because copyright transfer means she loses the right to her own works.
You would first have to find out if publishing a book was "for commercial purposes". I can write a book and publish it as a hobby. Next you check if there is any copyright infringement. It doesn't sound like there is. Using your website as a tool to create these diagrams doesn't give you copyright unless the result contains your own copyrighted work. So at best there is a violation of your terms and conditions for your website. You can sue about that, but might have to specify damages. If you allow commercial use say for a fee of $1,000, that would give you grounds to claim damages. Or if someone used your website so excessively that it costs you money, that would be damages.
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.
Negotiate a licence Of course, your chance of doing so are not good - computer game companies routinely pay millions to use trademarks like this (and they usually get exclusive rights) and that’s probably out of your price range. Stopping you doing what you want to do without paying for the privilege is effectively what trademarks exist to do. If the usage was incidental and clearly used Star Trek IP to identify Star Trek products, like the usage in The Big Bang Theory TV show, then that’s OK. However, your usage is using Star Trek as the core of the product and that’s not OK. Others have suggested that the trademark owner may not pursue you - that’s unlikely. Unlike copyright, trademarks that are not defended can be lost - this trademark is worth billions, they will happily spend tens of thousands to grind you into the dust.
Can I use the image of Dracula or Frankenstein in my ad or logo? I want to use the iconic symbol of Dracula or Frankenstein for my logo, or at least some ads. Without using the name Dracula/Frankenstein. Is that ok or the "image" of them is also a trademark?
Dracula and Frankenstein are public domain. Images of them may not be. Bram Stoker died in 1912 and Mary Shelly in 1851; their work entered the public domain in the UK in 1982 and 1931 respectively. However, many images and video of the characters are still under copyright. So, Frankenstein (or more accurately Frankenstein’s Monster) as Shelly described him can be used as an image. However, the image of the monster in the public imagination owes more to the 1931 film than to the book and AFIK is still under copyright. So if you draw Frankenstein based on Shelly’s writing, that’s fine. If your image draws from Boris Karloff, that’s copyright infringement. The issue of trademark only comes up if someone is using it in trade or commerce and your usage is confusing.
I suspect contract law will affect the ability to do this. Terms like "USB" and the associated logos etc are intellectual property (trademarks, copyrights, etc) owned by the USB Consortium. If you don't comply with their terms, you probably cannot describe your product as a USB product. THE USB-IF LOGOS MAY BE USED ONLY IN CONJUNCTION WITH PRODUCTS WHICH HAVE PASSED USB-IF COMPLIANCE TESTING AND ARE CURRENTLY ON THE INTEGRATORS LIST. THIS REQUIRES THAT THE COMPANY BE ASSIGNED A USB VENDOR ID NUMBER.
The trivial answer is yes, at least under certain circumstances, as the example you give shows. First, the concept of substrings is not particularly useful in trademark law. IF that were the case, then we wouldn't be able to have a company called "Gaudiest Clothing Brand" because it contains the substring audi. But, you might say, what about looking at words instead of characters, as with the example of "Linux" and "The Linux Foundation." In that case, I offer the example of "Target," which is a word found in literally thousands of US trademarks. You'll notice that the first item on this list where word mark is simply target, rather than a phrase containing that word, doesn't even belong to the well known chain of stores. This brings us to another important aspect of trademark protection, which is that the mark's purpose is to identify a producer of goods, a provider of services, or particular goods or services themselves. You could probably start a bookstore called McDonald's, unless you're near Redmond, Washington, but you certainly would not be able to use that name for a chain of hamburger-based fast food restaurants. Back to the subject of Linux, one possible explanation here is therefore that Linux is a trademark for an operating system, while The Linux Foundation is a trademark for a non-profit foundation that is concerned with the operating system. The trademarks don't represent competing entities. Consider, for example, the disclaimer on volkswagenownersclub.com: VolkswagenOwnersClub.com is an independent media publication. VolkswagenOwnersClub.com and its owners are not affiliated with or endorsed by Volkswagen AG or Volkswagen of America, Inc. Volkswagen is a registered trademark of Volkswagen AG. All rights reserved. All information Copyright 2006-2010 (Also consider, for example, the case of Apple Corps, Ltd. and Apple Computer, Inc..) As far as I can tell, however, "Volkswagen Owners' Club" is not directly relevant to this question, because it is not a registered trademark, and the question concerns two registered trademarks. I am not sure whether two such trademarks could coexist if there were an adversarial relationship between their owners. In this case, hwoever, the trademarks are used together because the owners have a collegial relationship. They work for a common goal, the promotion of the product identified by one of the trademarks. The foundation's use of the trademark is therefore undoubtedly with permission. In fact, the Linux foundation is Linus Torvalds' employer, and one of the foundation's purposes is to manage the Linux trademark that Torvalds owns. Now the question of derivative trademarks, such as My Linux is clouded by the fact that Linux is an open source operating system. In principle, you can't modify a product and then sell it using its original trademark unless you have permission. For example, I don't suppose I could rebottle Coca-Cola with some added salt and pepper and sell it as *Phoog's Coca-Cola" unless I had permission from the owner of the trademark. With Linux being an open-source project, however, the terms of the open source license probably explicitly permit people to use the trademark under certain restrictions if they offer, for example, a customized distribution of Linux
The use may constitute trademark infringement if it implies sponsorship or endorsement I'm going to assume US jurisdiction for this question, because you've not provided one, and you haven't provided enough car manufacturer names to suggest that this wouldn't apply to the US. I'll also only cover Federal law (the cases were tried in state courts), so be aware that there may be additional responsibilities under state law that I don't examine here. 15 U.S. Code § 1114: (1) Any person who shall, without the consent of the registrant— (a) use in commerce any reproduction, counterfeit, copy, or colorable imitation of a registered mark in connection with the sale, offering for sale, distribution, or advertising of any goods or services on or in connection with which such use is likely to cause confusion, or to cause mistake, or to deceive; or (b) reproduce, counterfeit, copy, or colorably imitate a registered mark and apply such reproduction, counterfeit, copy, or colorable imitation to labels, signs, prints, packages, wrappers, receptacles or advertisements intended to be used in commerce upon or in connection with the sale, offering for sale, distribution, or advertising of goods or services on or in connection with which such use is likely to cause confusion, or to cause mistake, or to deceive, shall be liable in a civil action by the registrant for the remedies hereinafter provided. Under subsection (b) hereof, the registrant shall not be entitled to recover profits or damages unless the acts have been committed with knowledge that such imitation is intended to be used to cause confusion, or to cause mistake, or to deceive. 15 U.S. Code § 1125: (1) Any person who, on or in connection with any goods or services, or any container for goods, uses in commerce any word, term, name, symbol, or device, or any combination thereof, or any false designation of origin, false or misleading description of fact, or false or misleading representation of fact, which— (A) is likely to cause confusion, or to cause mistake, or to deceive as to the affiliation, connection, or association of such person with another person, or as to the origin, sponsorship, or approval of his or her goods, services, or commercial activities by another person, or (B) in commercial advertising or promotion, misrepresents the nature, characteristics, qualities, or geographic origin of his or her or another person’s goods, services, or commercial activities, shall be liable in a civil action by any person who believes that he or she is or is likely to be damaged by such act. These actions - the use of the trademarked manufacturer logo within the app - is likely to constitute trademark infringement, if the trademark owner's permission is not sought prior to publication, and the use of the trademark is likely to cause confusion as to the source, sponsorship or approval of the goods. What this means, is that if the trademarks are used in such a way that a reasonable person is likely to think that: The product is an official product from the owner/brand associated with the trademark; The product is sponsored by the owner/brand associated with the trademark; or The product is approved or endorsed by the owner/brand associated with the trademark. Then an action in trademark infringement may be brought by the trademark owner. Consider the following two cases: Polaroid Corp. v. Polarad Elect. Corp., 287 F.2d 492 (2d Cir. 1961) In this case, judgement was made for the defendant, as the defendant's field was not considered close enough to the plaintiff's for there to be a likely chance of confusion. AMF, Inc. v. Sleekcraft Boats, 599 F.2d 341 (9th Cir. 1979) In this case the trial judge decided that the trademarks Slickcraft and Sleekcraft were unlikely to cause confusion. This ruling was overturned on appeal and an injunction was ordered by the court. Possible defenses Nominative use of a mark When a mark is used solely to identify a product, this use is privileged. A descriptive mark used for its primary purpose Descriptive marks are a subtype of trademarks, which are descriptive in nature but have acquired a secondary meaning. Here, using a descriptive mark for its primary purpose has been found not to constitute infringement. General First Amendment protection Satire and parody are generally recognized as defenses if the primary purpose of the use is not directly commercial. If the products are not similar enough to be likely to cause confusion; and The use does not imply endorsement, sponsorship or approval of the product by the trademark owner then it should be fine. It seems that the situation in the question above would not give rise to confusion (unless the car manufacturer also develops an app, for instance), the second issue - endorsement - should be avoided. Many programs will have a legal section that includes ownership information and disclaims any association with the trademark owner(s). I have not been able to locate any cases where the effect of these sections have been tested. Further reading Overview of Trademark Law
Fair use is always a fact-driven issue, and the details matter. That said, copying a single ad in order to criticism the ad, or comment on it, is very likely to be found to be fair use. If only a section of the ad were shown, to illuminate the point being made, that would make a fair use holding more likely. Or if the entire ad was shown in low resolution's for context, and a detail shown in higher resolution, that would also help. Such an ad is largely factual, not creative in the way that a work of fiction or fine art is, which leans toward fair use. Such a reproduction of the ad will not serve as a replacement, nor harm the market for the ad, which leans toward fair use. The use seems to be transformative, which leans significantly toward fair use. If the whole ad is shown that leans somewhat against fair use, but that does not prevent the use being held to be fair use. As for trademark protection, that is not likely to be an issue. Trademarks are protected against being used in trade (also known as "in commerce") without permission. This means using the mark to label, identify, or advertise a product or service of the same general type as the product the mark is properly associated with. Using the mark, or a similar mark, in such a way that people are likely to be confused into thinking that a product or service came from the same source as the mark, or approved, endorsed or sponsored by the mark owner, is usually infringement. Using the mark to discuss the product or service, and in particular using it as the name of the product or service, is nominative use. Nominative use is not infringement. Using an ad that includes trademarks to discuss the associated product is a form of nominative use.
Yes, you may The layout of the board and its appearance are not protected by copyright, because they are not expressions or any other type of copyrightable content. Even if they were (say if some protested art was displayed on the board) you are displaying this for instructional purposes, and not harming any market for the board, so fair use is likely to apply (in the U.S.). The device could be protected by patent, but you are not copying or imitating the board, nor showing anyone how to do so, so that would not apply. You are not selling or advertising the board, nor knock-offs of it, so trademark protection would not apply, even if a protected trademark is visible on th board. Just in case, be sure to make clear that your video is not authorized or endorsed by the maker of the board.
It's more likely a trademark problem than copyright but it's not easy to identify which legal theory the mark owner would use to enforce compliance with their rules. My first thought was initial interest confusion. But if a person sees the logo what are they going to confuse it with? It's not a typical case where an infringing competitor uses the other's trademark to confuse buyers into buying the infringer's goods. Perhaps if buyers are confused they might NOT click a link because they don't recognize it. In this case Facebook loses a click. But they don't have a right that click so that's a stretch also. The misuse they claim is probably dilution. If someone makes a particularly crappy modification it could be argued that this tarnishes the brand. No confusion is needed for dilution, all that is required is that the mark must be "famous" and used by the infringer in way that causes the dilution of the distinctive quality of the mark. This is known as tarnishment. Tarnishment occurs when the plaintiff's trademark is likened to products of low quality, or is portrayed in a negative context. Deere & Co. v. MTD Prods., 41 F.3d 39, 43 (2d Cir. 1994). See Louis Vuitton vs Chewy Vuiton where Louis Vittuon lost when Chewy Vuiton got summary judgment. ...the Federal Trademark Dilution Act (FTDA), 15 U.S.C. § 1125(c)... provides that the owner of a famous mark can enjoin "another person's commercial use in commerce of a mark or trade name, if such use begins after the mark has become famous and causes dilution of the distinctive quality of the mark. But the Supreme Court has held that the dilution statute "unambiguously requires a showing of actual dilution, rather than a likelihood of dilution." Moseley v. Secret Catalogue, Inc., 537 U.S. 418, 433, 123 S. Ct. 1115, 155 L. Ed. 2d 1 (2003) So this requires that messing with logos actually diminishes a brand and that the company can prove it. I don't know of a case where any of these social media companies tried to enforce their rules. I came across a few blog posts about these rules indicating that the authors had contacted the companies, asking about enforcement theories; no social media company had replied to any of those bloggers.
The text and content (including all diagrams and illustrations) of the 1847 work (and of any other work published in 1847) are in the public domain in the US and everywhere in the world. You may freely use them verbatim or in any modified form that you wish. You are not even legally required to credit your source, although not to do so would be unethical, in my view. The version by Nicholas Rougeux that is linked to in the question has the licensing statement: Posters and website design are copyright Nicholas Rougeux. All other content and diagrams are under the Creative Commons Attribution-ShareAlike 4.0 International license (CC BY-SA 4.0). This will not apply to any content copied from the 1847 version, of course. You may use any of the new content and diagrams so released, or make and use derivative works based on those elements, provided that you comply with the CC BY-SA 4.0 license. This has a number of provisions, but the major ones are that you must release your work under the same license, must acknowledge your source work, and must not impose any additional conditions or restrictions on users of your derived work. These are spelled out in sections 3.a and 3.b of the license (linked above). Please read the full terms if you intend to use this license. If this procedure will satisfy your purpose, you do not need any further permission from Nicholas Rougeux, nor to pay any fees or royalties to him. If you do not choose to place your work under a CC BY-SA 4.0 license, then you must not use the diagrams from Rougeux's version, nor modified versions directly based on them, nor an overall design clearly and directly based on the original design of that version, unless you secure permission from Rougeux (or the current copyright holder of Rougeux's version, whoever that may be). Given that Rougeux chose to release under a CC BY-SA 4.0 license, he may well be unwilling to grant permission under a different license, but that is his choice to make. Exception: in the US, you may use content from the Rougeux version to the limited extent permitted by fair use. This is not likely to cover the use of all or a large number of diagrams, particularly for a competing version of the same base work. Without specific information on how much content you would be using from that version, and how similar it would be to the original, no one can reliably determine if fair use would apply or not, but fair use is most likely to apply when a strictly limited amount of content is reused, and particularly when it is used for a different purpose than the original. Also, fair use is a strictly US legal content, and a work that might be held to be fair use by a US court might be considered an infringement by the courts of some other counties. Other countries have their own exceptions to copyright which are different in scope and terms from fair use. Many of them are significantly narrower. Note that a work posted to the internet is in effect published in all countries, and a copyright holder might choose to sue in any country s/he pleases. US courts might well enforce such a judgement even if it would not have been the judgement of a US court. Rogeux (or any other creator of a new edition) can have no copyright in elements already present in Byrne's 1847 work. Any similarity to Rogeux's work that is because of a similarity to Byrne's 1847 work is not copyright infringement. But any new elements introduced by Rogeux (or anyone else), including the manner of adding interactivity to a diagram, may well be protected by copyright (although the idea of having an interactive version of the diagram will not be). Any new or significantly modified text or diagrams introduced in a later version will be protected. As to any other versions of the 1847 "Byrne's Euclid" that may have been published, the publishers gain no copyright over the original 1847 work or any of its elements, including text, diagrams, or color scheme. Provided you do not use any original content newly introduced in such editions, you do not need to secure any permission from, or pay any fee to, the copyright holders of such editions. However, you may not use any such original content, or modified versions clearly based on such original content, without permission, unless an exception to copyright, such as fair use, applies. All that I said above about fair use would then apply. A copyright holder may grant or refuse permission to use a protected work or create a derivative work on any terms that s/he chooses, and charge any fee or royalty rate s/he thinks proper. Lack of response to a request for permission must be treated as if the response was "No".
How far does parody go in copyright laws in Canada? I'm wondering how far does parody go in Canadian copyright act? Is copying someone else's open source code and modifying it then protecting it considered as infringement? The code is from a unregistered organisation. Thanks!
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.
Assuming Chegg own the copyright, then they can restrict the activities that copyright protects The statement you quote is no more or less than the rights granted to them by copyright law. Basically, it's their stuff, they get to decide how you can use it. However, that does not necessarily mean that the uses that you have nominated are prohibited. For that, we would have to look at the specific fair use or fair dealing exemptions to copyright protection where you are. It's likely that both of your usage scenarios would meet fair use and probably fair dealing (which is harder to meet). You may also find that, buried somewhere in those massive terms of use, is something that deals with this directly.
You are required to provide a copyright notice on your work, such as putting (c) rhino 2016 in the liner notes. Nothing precludes you from licensing that copyright in any way you want, such as Creative Commons. As long as you aren't in violation of the last sentence (your work is not primarily the samples, and you actually made a song with them), then others should be able to use your work with no restrictions other than what you yourself place on the work. The purpose of requiring a copyright notice on derivative works is to give notice of who the actual author is and distance the original author from the derivative work. If you take their samples and make a song that is later at the center of a lawsuit (copyright, defamation, etc), the the copyright notice will hopefully steer people first to the derivative author and not the original author. That is the purpose of the clause in the copyright grant above.
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.
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.
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.
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).
Both Bob and Charles are liable for infringement in the US. The fact that Charles had no idea that Bob was an infringer is not a defense, but it mitigates the statutory damages consequences for him. Either party can negotiate with Alice after the fact for a license, and Alice can grant either party but not the other permission to copy. The terms of the license that Alice gives Bob could either allow CCo reposting, or some more restrictive redistribution right. If the license requires a notice prohibiting further redistribution and Bob omits that notification, Bob will have breached the terms of the license in omitting the notification, so we're back to square 1. If Alice fails to specify a no-redistribution notification condition on Bob's reposting, Alice may have granted an implied license to the world, a matter which has to be determined by the courts.
Why do lawyers ask "Is it not true that ..." I am aware of this previous related question Alternative to "Isn't it true that...?" when questioning witnesses The most upvoted answer to that question gave alternative ways of speaking. My question is about why the, "Did you not ..., " and "Is it not true ..." formula came about in the first place and whether it has some specific justification or advantage. I am currently watching a TV-recorded trial from the USA. The prosecutor consistently asks questions such as, "Is it not true that on February 14th, you [performed some action]? or "Did you not say that ..." It seems to me that answering Yes or No to such a question gives the same logical meaning, e.g. Did you not say that Humpty Dumpty was an egg? Please answer Yes or No. The answer could be "Yes (you are correct that I did not say that)" or "No (I did not say that)." Question Is this form merely traditional or is there some legal or psychological logic that makes the question somehow more effective than the straight versions as, "Did you say that Humpty Dumpty was an egg?"
While it is hard to say with respect to the exact phrasing and psychology, this is one common way to pose what is called a "leading question" which is usually only allowed in cases of cross-examination or examinations of a hostile witness. A leading question is a question which clearly suggests an answer. The reason that leading questions are allowed with witnesses presumed by be hostile to the lawyer asking the question is that it forces the witness to commit to, or to disagree with, an exactly worded proposition. If asked an open ended question, as a lawyer must when questioning a friendly witness in direct examination, a hostile witness might be prone to respond with "weasel words" that are not truly responsive to the fine detail of a point that the lawyer asking the question wants the witness to testify regarding. "Did you not ..., " and "Is it not true ..." are phrases that turn an assertion of fact that the lawyer wants someone to agree or disagree with into a question.
There is no legal requirement that a jury be composed of people demographically like the defendant (or the plaintiff), there is simply a requirement that the selection process give all kinds of people an equal chance at being empaneled. So being a different race or gender from one of the parties is not prima facie evidence of a biased jury. The statement that "The jury asked a question because some invoices were not attached to a statement and wanted to impeach the victim's testimony" is somewhat puzzling, since Georgia is widely cited as a state where jurors are forbidden to ask questions. Let us suppose though that jurors manage to communicate an interest in knowing a fact, such as "Do you have an invoice for X?", then the judge could decide whether that is a proper question. At that point, it moves from being a jury matter to a legal judge matter, and if the question was itself highly prejudicial, the case could be overturned on appeal. Alternatively, the way in which the question was framed by the jury could be proof of bias, e.g. "Please ask that lying %@!^* defendant to prove her ridiculous story". The defense attorney has entered an objection (if you don't object, you can't appeal), and perhaps if the question was legally improper then the verdict could be set aside. If the attorney failed to move for mistrial (if the question proves blatant bias) then that's the end of the matter, except for a possible action against the attorney. The implied questions about attorney conduct are hard to understand. An attorney may refuse to engage in a futile legal act, but this does not preclude an individual from seeking another attorney to file a motion or even attempting to file a motion on one's own (which is probably a futile act). However, I also assume that the victim did not have her own attorney and that this was a case between two insurance companies about individuals – a third party claim. In this case, the attorney represents the insurance company, not the victim, and has to be responsible to the interests of the insurance company. The attorney thus is obligated to not cost the insurance company a packet of money if there is no realistic chance of getting anything in return. The alternative would have been be to engage (and pay) your (her) own attorney.
Yes. Juries aren't terribly accurate. There is an irreducible chance that no matter how clear the outcome should be that the jury will get it wrong. Based upon a review of the academic literature on wrongful convictions and inaccurate acquittals, I generally tell my clients that this is about 10%. Many people think that this is a low end estimate. Also, sometimes a jury will acquit a defendant in a case where they think that the defendant was actually legally guilty because of extraordinary circumstances, and so the jury will disregard the law and acquit. This practice is called "jury nullification." And, as other answers have noted, sometimes the prosecution or the judicial system screws up for reasons that are unforeseeable, after a not guilty plea, in a way that makes proving your guilt difficult or impossible. Basically, if you "roll the dice" there is some non-zero chance you will be acquitted, while if you plead guilty, there is none. Also, sometimes court decisions will change the law in way favorable to you after the trial, and as long as your case is still on direct appeal from the conviction, you can benefit from those changes in the law, which you cannot if you simply plead guilty without any concessions. Likewise, if you are innocent and the evidence is currently strongly against you, but you wish to preserve the ability to later attack the conviction based upon future newly discovered evidence, not pleading guilty is generally necessary to preserve that option. Another circumstance where going to trial but losing can still be worth it, is where there are extenuating circumstances that make your conduct understandable, even if it is not a legally valid defense. Getting these facts in front of the judge in a fuller fashion, as a trial can make possible, can convince the judge that while you are legally guilty, that you deserve leniency. Going to trial typically results in a longer sentence, even without a plea bargain, however, so going forward with a hopeless trial is rarely a good move.
It doesn't really matter exactly what the judge says as long as it's clear whether the judge is sustaining or overruling the objection. With that said, in movies you'll rarely see the person asking the question get to respond to the objection, but you'll notice in the trial that happens in most cases. For example, if one party objects that a question calls for hearsay, the examiner may defend their question by pointing out that the statement is not offered for the truth of the matter asserted, or that it falls into one of the hearsay exceptions. At that point the judge is responding to both parties and someone else or possibly multiple people have spoken since the objection was originally raised, so she might specify that she's "overruling the objection" as opposed to just saying overruled, so it just makes it clearer on the record what she's ruling about. It's worth noting as well that she might need to specify which objection she's sustaining if more than one objection is raised. In this trial both hearsay and relevance objections have been raised at the same time, and the judge might specify that she's sustaining e.g. only relevance. This can tell the examiner whether they are free to keep going down the same line of questioning with different questions, if the objection sustained was hearsay, or to move to another line of questioning, if the objection sustained was relevance.
In the United States, the question that determines whether it's perjury is whether or not you believe what you said was true. Whoever— (1) having taken an oath..., willfully and contrary to such oath states or subscribes any material matter which he does not believe to be true; or (2) ... willfully subscribes as true any material matter which he does not believe to be true; is guilty of perjury. So if an attorney asks if you saw the defendant, and you believe you saw the defendant, "yes" is generally going to be the correct answer. You're free to qualify your answers or answer questions that weren't put to you, but you aren't obligated to do so. Generally speaking, our adversarial system puts the burden on the defense to ask if you're sure, how the lighting was, whether you were wearing your glasses, whether you were drunk, etc.
In the United States, you can always choose to (try to) flee police. If the police subsequently assert that they tried to detain you, then they can choose to charge you with a number of crimes (which vary by jurisdiction). The assertion that you did not (or could not) in fact hear or perceive a lawful order to stop is a defense that you could raise in response to such charges. It is up to the triers of fact to determine whether, given the specifics of the case, they accept that defense.
Language is contextual. When the meaning of a communication is at issue in litigation, that meaning is gleaned from the totality of the evidence, not from any presumption of what a word means in isolation. "Okay" can mean "yes", it might mean only that you understand, it might communicate coerced acquiesence falling short of actual consent. See the discussion in R. c. Byers, 2018 QCCQ 4673: [81] Regarding the petitioner’s pretention claiming that she “clearly express her wish to consult an attorney”, the Court considers that the answer “OK” does not show a clear intention to consult a lawyer. [82] At the most “OK” could mean that she understood, that she heard them and also could [have] signified “Yes, I would like to consult an attorney”. [83] In the decision Ellis, the Court of appeal had to analyze the meaning of the words “OK” as part of evidence of purchasing a firearm, the Court considered that this had an equivocal meaning. [84] Moreover, the Court wrote: “[40] (…) Viewed in the context of the whole of the evidence, we consider it a reasonable inference that the two responses “Ok ok” signified nothing more than an acknowledgement of the prices quoted.” [85] For analysis purpose, the Court will consider that the answer “OK” means “yes”. See also R. v. Potvin, 2012 ONCA 113: The pertinent facts known to the appellant were straightforward. The complainant repeatedly said “no” to sex and then appeared to say “yes” by uttering the word “okay”. Viewed in the context of all that preceded it, we agree with the trial judge that the complainant’s use of the word “okay” was ambiguous. In the absence of further inquiry by the appellant, a single “okay” after five refusals over a sustained period of time was simply insufficient to ground a reasonable but mistaken belief in consent.
Yes, but ... How can you know for sure? Let's say I'm charged with, and acquitted of, murder. Immediately after my acquittal, I confess to the crime describing how I did it and producing tangible and material evidence like the murder weapon, etc. So, did I commit murder? Well, we can't say. All we can say is that if I were tried again with all this new evidence, I'd probably be convicted but we can never know for sure because that trial isn't going to happen. Examples of people who (possibly) evaded justice due to double jeopardy Isaac Turnbaugh, O J Simpson, Fong Foo, Mel Ignatow This Unnamed Queensland man (double jeopardy can be waived under Queensland law when there is new "clear and compelling evidence" - the court found the evidence was neither clear nor compelling), Sharone Sylvester Brown. On the other side of the ledger, Michael Weir was the first person convicted after the UK changed its double jeopardy laws in 2005 allowing the Court of Appeal to grant a retrial if "new, compelling, reliable and substantial evidence" had emerged.
Social media posts ownership: US Copyright Office The US Copyright Office recently introduced in August 2020 the option of copyrighting "short online literary works such as blog entries, social media posts, and short online articles" https://www.copyright.gov/grtx/ Suppose that there are two parties A and B where each party separately owns a website that publishes blog posts and news stories. Suppose that A first publishes a story but does not copyright the story with US Copyright Office. Then B plagiarizes the story but actually registers a copyright with the Copyright Office. Then legally speaking, who actually owns the original post? Does B hold legal ownership even though it is plagiarized?
In the US, copyright is granted automatically when content is created, so party A owns the copyright to the work. Party B has filed a fraudulent copyright registration, attempting to claim ownership of a work they did not create and do not own. This does not give them ownership rights to the work. Party A may need to go to court to prove their ownership of the work and have the copyright office issue a cancellation of copyright registration, since party B should not be the registered copyright holder of the work. In theory, one cannot register a copyright they do not own in the first place, and B's fraudulent registration does not somehow grant them legal rights to the original work. Of course, this will be a matter for the courts to decide.
First I should point out that the Google question is about a different situation, the "snippet" issue where a tiny part of a web page is redistributed, where the issue of resolved in the US by appeal to the "fair use" defense. The proposed scenario as written here is broader since it would go beyond a couple of lines, and goes up to the limit of copy an entire web page. That is copyright infringement, with or without an associated link. Copyright protection is not just about attribution, it is about control. If you can limit your copying appropriately, you may survive under a fair use analysis; but you need to hire a lawyer with experience in copyright litigation to vet your notions of what is "a small amount" etc.
It depends on where you are For example, in USA copyright exists in a literary or artistic work stored in permanent form like a book, a movie, an audio recording, a building etc. In contrast, in Australia there is no requirement for the work to be stored - that means copyright can exist in a spoken lecture. The owner of the copyright (usually, but not necessarily the creator) has the right to choose if and how their work is copied and if and how any derivative works may be made from it. For your example, the book is an original work in which copyright vests with the author(s), your notes are a derivative work in which copyright vests in you. However, you presumably did not have permission to make your derivative work so that makes it prima facie a copyright infringement. Fortunately, in the USA there exists a Fair Use defence and in Commonwealth countries the slightly less permissive Fair Dealing defence (if you are somewhere else you will need to do your own research). Search this site or read the copyright article on Wikipedia to learn about these defences. Long answer short (too late!), taking notes to aid your own study is almost certainly Fair Use/Dealing. So is sharing it with your friends. Publishing it may or may not be depending on all sorts of factors; for example, if you were to write a study guide for say a Harry Potter book for use by English literature students this is probably OK even if it is a for profit activity, because criticism is Fair Use/Dealing. Citing work is not necessary to comply with copyright law. Failing to cite may be academic misconduct but that is not a legal matter; its a matter for your academic institution.
First, copyright means that permission from the author is generally required. The courts find three sorts of such permission: direct author-to-recipient explicit licensing (typical in the case of a book author to publisher relation), indirect licensing arising from platform usage (in using Stackexchange, you probably unknowingly click-agreed to allow me and everybody else to copy and redistribute your creations), and implicit licensing – where permission to use is reasonably inferrable, though not explicitly stated. Since the latter doesn't involve written-out statements of the conditions under which you are licensed to copy text, the courts don't rely heavily on implicit licensing. But implicit licensing is what makes it possible to legally read a web page without first signing an agreement. If we assume in your scenario that the author is fully aware that their responses are automatically distributed to various servers, then even in lieu of a platform license, an implicit license can be found. Second, irrespective of the desideratum of having permission, one is in the US allowed to copy without permission, for certain purposes known as "fair use". This is a complicated area of legal analysis, where one has to weigh factors such as whether the content is artistic vs. factual, whether your use simply re-propagates vs. makes a comment, whether the use is for profit vs. free and educational, and whether the use has a negative effect on the market for the original work.
Quoting content may or may not constitute copyright infringement, depending on the various factors that go into the fair use defense. Short quotes which are made for the purpose of discussion, research and commentary and not for copy would be squarely in the domain of "fair use" under US law. That means that the copyright owner would not succeed in suing you for quoting them: under the statutory mechanism for recognizing his right to his intellectual product, there is a limit on how much control he can exert over your behavior (since the two of you have not worked out some kind of agreement -- copyright law creates rights even when there is no contract). As for Facebook, you have a contract with them, embodied in the terms of service. You have been given permission to access material that they host (permission is required, under copyright law), and their permission is conditional. It says "you may access stuff on our platform only as long as you do X": if that includes a clause "don't be nasty", then that limits your right to speak freely and be as nasty as you'd like. If it says "don't quote even a little", that means you cannot quote even a little, even when you would have the statutory right to quote a little (or, to be nasty). Fair use would mean that you can't be sued for copyright infringement of the stuff that you quoted a little of. You can, however, be expelled from Facebook. You probably cannot be sued for "accessing Facebook without permission". There is a federal law against unauthorized access of computer networks, and there was a failed attempt to construe violation of a TOS as "unauthorized access" – it isn't. But accessing Facebook necessarily involves copying (that's how computers work), and there is no "fair use" defense whereby everybody has a fair use right to access Facebook. Theoretically you could be sued for copyright infringement, for accessing Facebook's intellectual property without permission. Also, Facebook can rescind your permission to access their content (see this case), and once you have been banned, it is a crime to further access their network. This assumes that there is no overriding limit on contracts that would nullify a no-quoting condition. There is no such limit on contracts in the US, so such a contract would be enforceable. There is also nothing illegal (unenforceable) about a TOS which prohibits automated methods of access.
Can a person be held liable for copyright infringement for sharing a meme on social media? Yes, unless some other exception applies. There is no specific exemption from copyright law for sharing a meme on social media. Generally speaking, since sharing a meme on social media involves publishing the entire work to everyone in the world with Internet access, "fair use" is not a very strong defense to a copyright infringement claim in this context. A more viable defense is the doctrine of "implied license" which is the idea that the original person to post a meme on the Internet did so with the implied intent that it be shared widely without a further grant of permission. For this reason, copyright disputes rarely arise from the sharing of a meme on social media. But if the original person to post a meme on the Internet did so without permission of the owner of the copyright to the meme, it is an infringement of the copyright of the meme to share it on social media. This is true even if sharing the meme on social media is merely an innocent infringement made in the good faith belief that it was being shared with the permission of the copyright owner. A claim of innocent infringement status for someone infringing a copyright by sharing a meme on social media is supported by Terms of Service for social media sites that turn over copyright to posted material to the social media provider (with an express right to share it on the site) in cases where the material is provided by the author of or owner of the meme for copyright purposes. Also, another Terms of Service states that users promise not to post copyright infringing materials on the site without permission to do so. Both of these terms of service provisions are ubiquitous on social media sites. But, innocent infringers are still subject to lawsuits for money damages for copyright infringement, just not with all of the same remedies as in cases of intentional copyright infringement. Social media sites themselves are immune from copyright infringement liability under Section 230 of the Digital Millennium Copyright Act (DMCA) under U.S. law (where most social media firms are based), however, so long as they comply with takedown notices in the manner provided by the DMCA. Usually, if a copyright infringing meme is taken down by a social media site, the copyright owner will not pursue other users of the site who innocently infringed their copyright by sharing a meme posted by someone else, although the law does not require them to do so. What is international law on it? Copyright law primarily arises under the domestic laws of a country. There are some treaties such as the Berne Convention that seek to standardize copyright law internationally, which many, but not all countries, have adopted. But, in every case, analysis of the specific instance of sharing a meme on social media is not specifically addressed by international treaties, in part, because the practice did not exist when the vast majority of these treaties were entered into by the countries that are parties to them. Facebook, for example, didn't come into existence until October 28, 2003, and the widespread practice of sharing memes on social media is more recent than that.
You can do whatever you like with posts made after you change the rules - you have to leave the previous stuff alone. The contributors' have accepted the terms of the licence: They own the copyright or have permission from the copyright holder to post it (the promise) They agree that it can be edited altered or removed CC-BY-SA allows people to copy the stuff off the website and republish it - this is way outside what the contributors agreed to. These people have given permission for their work to be altered but not copied.
A copyright can be divided into as many pieces as the owners choose. Initially, all authors have a share m(an equal share unless they have an agreement on some other share arrangement), But each author (or later owner) can leave the copyright to multiple heirs, in equal or unequal shares. Each owner can sell all or part of the copyright (or usage rights) to one or more new owners. Under US law, any co-owner may permit a copy (or copies) to be made, or may grant a non-exclusive license. However, the co-owner doing this must account to the other co-owners for any profits made, and share them according to whatever agreement the co-owners may have (by share if there is no other agreement). But to grant an exclusive license, all co-owners must agree. The law in many other countries is different. In some countries, a majority of owners (by share usually) must agree to grant even a non-exclusive license. The co-owners may make an agreement to limit granting of licenses to some particular owner or representative or to require wider consent than a single co-owner.
Canadian consumer law. Invoiced for a fee I didn't agree on I signed a contract with lawyer. In this contract, some fees were specified to be paid at agreed conditions. Any other fees, beyond the scope of a contract, were to be negotiated and agreed on in a separate agreement. At some point, lawyer suggested that he could perform some action on my behalf (let's call it "service"). The service was outside of the scope of the agreement. He did not inform me about fees, costs, anything. I agreed. After the service was successfully done, he demanded a substantial fee for the service and he sent me an invoice. This is of course, the short story. I talked to him about this, but it seems that we've reached a impasse, at which point I received an invoice. Do I have to pay the fee that I wasn't informed of, and didn't agree on beforehand? I know this is not really a place to ask this question, but perhaps someone can point me in the right direction. And, if possible, be so kind and use english-english, not law-english, as it is not my native language.
From your account, you seem to have entered into a verbal contract for this extra work to be done without agreeing a price. According to this article, Canadian courts will assume that a contract contains "implied" terms "on the basis of the presumed intentions of the parties where necessary to give business efficacy to the contract". To put that in English, these are terms that must be there because otherwise the story wouldn't make sense. In this case the implied term is that the lawyer will be paid a reasonable amount for his work, as it would be unreasonable to expect him to do this for free. Lawyers generally bill by the hour, so a reasonable amount would be the time he spent multiplied by his usual hourly fee. If that is what he has billed you, then I'm afraid you owe him the money.
A contract need not say anything about the fact that the company could be sold. What matters is that the terms of the contract are not changed. Since there is no opt-out on transfer clause, you have to finish the term of the contract (or pay whatever fee is assessed if there is an early termination clause). So the question is how certain you are that you did not agree to the possibility of adding a "Universal Service Fund" charge. There may be subtle language which allows the company to add charges for specified purposes, and the new owners are availing themselves of that possibility. It may be difficult to determine just how this fee is legal (if it is), because customer service might just say "we are now charging this fee", or "we have to charge this fee", but you could try asking them where in the contract this new fee is allowed. You can hire an attorney to read over the contract to see where this possibility is mentioned; perhaps it is not, and then an exchange of letters between attorneys might be necessary. There is such a thing as the Universal Service Fund, which is a government operation to improve rural telecommunications. Telecomm companies have to pay a percent of their interstate revenues to this fund. If your bill has not increased since the acquisition, that suggests that you simply did not know that you had been paying into the fund, since the original company didn't give you a detailed invoice. If it has increased by this amount, that suggests that the earlier owner hadn't exercised an option to pass the cost on to the customer. It is likely that there is some clause in the contract that addresses charges required by law. That does not mean that you could not prevail in a suit against the company, but it would make the job harder (more expensive) for you. One company sort of explains how they are legally allowed to pass the cost on to the customer. Because it is allowed by federal regulation, it need not be mentioned in the contract.
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.
I do not have a written agreement of her saying she will pay 1/5 of utilities cost. Can I still take her to small claims court to get my money back? Yes. This type of agreements does not need to be in writing. Proving the other roommates' timely payments is strong evidence that also she is under a similar agreement. You did not elaborate on the form of her refusals. If these are stated in writing, they might evidence elements that further weaken her legal position. For instance, these might reflect her inconsistencies and/or bad faith. Even if you were unable (which seems very unlikely) to prove that there is an agreement to the effect of splitting costs, you might still prevail on grounds of equity.
You agreed to pay these fees when you applied for the apartment, so unless they explicitly say that one or both of these fees is waived in case you don't take the apartment (virtually no chance that they said such a thing), you owe that money. Your obligation is not contingent on them convincing you that the fee is just, so it doesn't matter that they won't explain the difference. However, if they said you can pay electronically, then you can pay electronically, since that too is part of the agreement.
The solicitor is allowed not to accept a case. If your ex-wife asked him to prepare papers, and he feels that she is getting ripped off, it is absolutely understandable that he won't prepare these papers for her, because he doesn't want to be sued or badmouthed when the deal goes wrong. "We would also reserve the right to take our own professional advice as to our efforts on your behalf." means simply he is not specialised in some subject, and will prefer to ask someone who is. Like a medical doctor asking for a second opinion before going ahead and cutting your leg off. Now I would have preferred if the solicitor had said concretely what exactly is wrong with the contract. Also, it would be obvious that you would be very comfortable with anything that he would advice her against. If he thinks that it is a good deal for you but not for her, he should advice against it. (Your comment to another question seems to indicate that she should be paid a lot more than you offered, so her solicitor seems to have been perfectly right).
Is this how it works? Am I supposed to pay the full quote regardless? No. The contractor is plain wrong. Your agreed commitment to obtain materials directly from the retailer supersedes the initial agreement that totaled 30K. In other words, you two amended the contract. Since then, your obligations under the amended contract were to provide the materials he requested and to pay for labor costs. the contractor is insisting on the full amount, claiming that had I not paid the material I wouldn't have known the difference in cost and he was taking the risk with the quote. That is inaccurate. Once he delegated to you the task of obtaining materials directly from retailer, he exempted himself from any and all risks of giving an inaccurate estimate of the cost of materials. In fact, he shifted to you that risk.
It is legal for a dentist to bill you for services rendered. You have an obligation to pay the dentist (in exchange for services); the insurance company has an obligation to cover certain expenses of yours (in exchange for money); the dentist has an obligation to the insurance company to accept certain terms specified by the insurance company (in exchange for being listed as 'in-network'). Your recourse is to object to the insurance company, since they are the ones who have an obligation to you. The brute force approach would be to sue the insurance company for failing to cover something that they are (ostensibly) obligated to pay on your behalf, under the terms of your insurance contract. However, the chances are virtually non-existent that they are actually obligated to pay the dentist. You can call the insurance company in advance of the procedure and get a definite decision as to whether the service in question is covered, and if they say "Yes", then you are covered, otherwise you will know you are not, and can plan accordingly. The insurance company has some (minor) leverage over the dentist, if the dentist has breached his contract with the company. If a service provider egregiously breaks the terms of an agreement with the insurance company, the provider could be sued or at least dropped from the in-network list. This is, however, fairly theoretical. The insurance company statement "You should not be billed for this service" has no legal force, but it does weakly suggest that they blame the dentist somewhat (the alternative is to simply say "This service is not covered"). Your obligation to the dentist arises from the service provided plus the rarely-read clause in the financial agreement document that you signed at some point which says something like "We will submit claims to your insurance company, but you are ultimately responsible for any unpaid charges". It is highly unlikely that the dentist actually lied to you about the cost, especially it is unlikely that he said anything that could be construed as a promise that the insurance company would provide a particular level of coverage. For future reference, you either need to get a clear written statement from the service provider that they will accept whatever the insurance company allows you (i.e. their seat of the pants estimates are legally binding), or you need to get a clear written statement from the insurance company regarding what is and is not covered.
Using a trademarked word as part of another word I have read many questions asking the opposite: splitting a trademark into multiple words. Not sure if the scenario is the same. Example: company named "FilterJedi" selling water filters, is this a trademark infringement because jedi is protected and is a famous term? even when the company is not using any logo or reference to StarWars and is not in the business of entertainment?
There are 95 Jedi trademarks on file. Tons of them are dead. The word "Jedi" itself is trademarked by Lucasarts (a subsidiary of Disney) under Registration Number 3794988, listed for print products and clothes, 2858244 for digital mediums, 2595365 for toys, 2823661 for entertainment services. Now, most jedi marks are Lucasarts, but not all. Serial 88625298 was "Jedi Ooolong", filed by Kombucha tea, which did get processed, filed and a denial/request for an amendment was sent back, and 6 months later the mark was canceled for non-answering. The request contained this line: Registration of the applied-for mark is refused because of a likelihood of confusion with the mark in U.S. Registration No. 5581531. Trademark Act Section 2(d), 15 U.S.C. §1052(d); see TMEP §§1207.01 et seq. Registration number 5581531 is/was "The Last Jedi" for juices, the rest of the document goes over why it is denied. Serial 88672347 is "Gediforce" for "Downloadable computer programs for data processing; downloadable computer programs designed to estimate costs and health impact of various gestational diabetes mellitus medical screening choices" - and this mark exists since about 2012 in Denmark and 2019 in the US, and granted this April. No conflicting marks. Serial 90150034 is "Chris Jedi" owned by a music label for music, clothes, and entertainment services - recently filed but not yet granted or even given to an examiner.
The name of a company is not necessarily a trademark, so you are conflating two different concepts: A company name is the legal identity of the company, like your name is for you. A brand is an advertising construct which identifies certain goods or services. For example, Microsoft is both a company name and a trademark while Windows is only a trademark. Company names are regulated by whomever it is in your jurisdiction who is responsible for this: in Australia this is the Australian Securities and Investments Commission (ASIC). In general, within the same jurisdiction, you cannot have two company names that are the same. So, if you are not registering your company in the UK you should be fine. Trademark is about protecting brands and ensuring that there is no scope for confusion by the consumer that your goods and services are theirs (and vice-versa). Generally, if there is no room for confusion there is no trademark infringement. E.g., if your brand is about software and theirs is about agriculture then this is probably OK. If you both make software but you are a game company and they make accounting software this might be OK too, or it might not.
The game Five Nights at Freddy's and the other elements in the large media franchise of the same name are surely protected by copyright. In addition the name of the fictional restaurant in the game may well be protected as a trademark, and I would be astounded if "Five Nights at Freddy's" was not protected as a trademark. Other names and phrases may well be trademarked also. If the suggested actual restaurant was at all closely based on the images and descriptions from the games or the novels, it would be a derivative work. Unless one had permission from the copyright owner, creating such a restaurant would be an act of wilful copyright infringement. The owner could sue, and quite likely win. In the US the owner could get up to $150,000 in statutory damages for each work that was infringed, which in this case might well mean several of the games and novels, depending on just what images and descriptions were imitated or used. Or the owner could elect to receive damages and profits, meaning all damage provably done to the owner, plus all profits made by the infringer. In addition to either, the owner might well obtain an injunction against further operations of the restaurant. Beyond that, if the imitation used any of the trademarked names, slogans, or other protected trademarks, there could be a suit for trademark infringement. There could be no question that the marks were being used in commerce, and were not instances of nominative use. A restaurant is a very different thing from a video game, a novel, or a film, of course. No doubt it falls into a different trademark category. Normally trademark protection extends only to the category for which the mark is protected. But in the case of a "well-known" or "famous" mark, protection under US law is wider. Also, when the infringement might lead reasonable people to falsely belie that the infringing product or service has been endorsed, approved, or sponsored by the trademark owner, it may be a violation even in a significantly different category. This a successful suit for trademark infringement might well be possible also. Of course, if the new restaurant only vaguely resembled the one in the games and novels, and did not use the phrase "Five Nights at Freddy's" or the name "Freddy Fazbear’s" or any other distinctive names from the media franchise, That might not be copyright or trademark infringement. But that would not seem to achieve the effect suggested by the question. If the creator of the restaurant obtained permission from the copyright and trademark owner(s) then there would be no legal issue. But the owners might well not grant such permission, or might charge a high fee for it. I doubt that the idea is workable. As a side note, many years ago I regularly patronized a restaurant named "Bilbo's Pizza" It was decorated with murals obviously based on descriptions for The Hobbit and The Lord of the Rings. The intended reference was clear. They may have gotten permission from the Tolkien estate; I understand that Tolkien was rather free about granting such permissions. Or they may have just counted on word not coming to the copyright holder. But modern media franchise companies are probably much more watchful and much more quick to enforce IP rights.
Let me be sure that I understand the situation. You set up an account with Big Company, which uses BigCo as a trademark. You want email about that account to reach you with a unique address, so you set up '[email protected]" and gave that as your email when setting up tha account. You don't plan to use that address for any purpose but communications from BigCo to you and from you to them. (Of course these aren't the actual names.) Have I understood the situation correctly? It seems that you ar not using 'BigCo" in trade, nor are you likely to be confused with an official representative of BigCo, so you are not infringing their trademark. However, someone using such an email more generally could perhaps be so confuse, so BigCo has a somewhat legitimate concern, as they cannot know the very limited use you plan to make of this address. The only way that the could force you not to use such an email address would be via a court order as part of a suit for trademark infringement, whcih under the circumstances I doubt they would get. However, unless they have some sort of contract with you to the contrary, they can control who registers on their site. and could refuse to register you using an email address that includes their name or alias. Convincing them to accept your registration, even though it does no harm to them, will almost surely be more trouble than it is worth. Give them "[email protected]" or something else that is not their name, but will suggest their name enough that you will know who it is. This will serve your purpose fully, and avoid a long argument with people who are reading from a script (once you get past the automated process, if you can even do that). This is all assuming that I have understood the situation correctly. I am also largely assuming US law, since you didn't mention a jurisdiction. (EDIT: UK law should not be very different on these points.)
Those posts are talking about making a modified copy of a copyrighted work. The key word is copy. You are not making a copy. Copyright is not about how a physical embodiment of a copyrighted work is treated. You can burn a book and shred a newspaper. Neither of those actions is making a copy. Also, cutting up a newspaper and pasting a picture on your wall has nothing to do with any “derivative works” issue.
The standard for fair use of trademarks is as follows: (1) the product or service in question is not readily identifiable without use of the trademark (2) only so much of the mark as is reasonably necessary to identify the product or service is used (3) use of the mark does not suggest sponsorship or endorsement by the trademark owner. I think you might run into a problem with (1). In other words the trademark owner would argue that you could have used fake trademarks to satisfy your product description needs, so you are using their trademark unnecessarily.
From those articles, it seems that at least some versions of the "Supreme" Logo have been successfully registered. Therefore, any "confusingly similar" logo would be infringement, and could subject anyone using such logos in trade to an infringement suit. And it seems that the owners of the Supreme line are quite willing to sue. It does not, therefore, follow that every possible logo consisting of a red box with white lettering in the Futura font would be an infringement. Similarity depends on the overall effect of a mark, and the main test is the likelihood of confusion or deception of reasonable customers or potential customers. If the text is, say, multiple words, none of which is the word "supreme" or any similar word, then it might arguably be not the Supreme logo, but a different logo that has some similar elements. (If you describe it as "the Supreme logo but" you make your opponent's case for them.) Whether a specific choice of words would be confusingly similar is more specific than this forum can get. You should consult a trademark lawyer for advice on that point. But if in doubt you might want to go with a greater difference. How about a blue box instead of a red one?
You cannot use the libraries trademarks, but that does not stop you from using your own. For example, you cannot use the name Twitter Bootstrap to endorse, promote or use as the name of your project.
Can I build an iPhone app that generates cryptocurrency income without the user's consent or knowledge? I had an idea of an iPhone app but I'm not sure if the methods are entirely legal. For that reason I thought I would come here to ask. Where I live, in Canada, it can get pretty cold. Hence, I had the idea of making the iPhone heat up slightly (to a safe level) so the user could heat up their hands and to prevent the phone from shutting down to the cold temperatures (a common problem in the winter). To do this I had the idea of running a cryptocurrency miner on the device. For those who don't know, cryptocurrency mining can be a CPU-intensive process and can cause it to heat up, but the process can also generate cryptocurrency that can be exchanged for other currencies (CAD, USD). Would it be illegal to use this method to heat up the phone if the user is not told how the phone is heated up as it generates an income that they would not receive?
The most important thing to realize is that such an App will probably never be accepted into the Apple App and/or iTunes store if you submit it without the mining disclosure in the end user's TOS. Apple reserves the right to accept or decline any App in the App store; they will evaluate your App after you submit it, and when they find the crypto mining aspects and see that they are not clearly stipulated in the user's TOS, they will probably not accept your App. Apple will find that you attempted to conceal an App "feature" that involves user security, i.e. the mining software will communicate in secret from the iPhone to a mining hub or account under your control without the user's knowledge. Even if your App did make it into the store, chances are good someone will see their iPhone connect with the mining software and investigate. Even if you do disclose the miner in the TOS, Apple can decide to remove your App from the store. Read the current news for other iPhone Apps that attempted to mine crypto with or without the user's consent.
Is that extortion? false advertising? or in any way illegal? Not at all. The owner of the site is simply exercising his right as outlined in the terms and conditions from when the user signed up. And giving users an option for continued use of the site (that is, for him not to exercise a right of which they were always aware) does not constitute extortion.
There are a few ways that this could be illegal, but barring those, there is nothing per se illegal in doing what you describe. It could be a TOS/contact/licence violation to sniff the traffic: Use third-party software that intercepts, collects, reads, or "mines" information generated or stored by the Battle.net Client or the Game(s) The protocol could be protected by patent. (U.S. Patent 5,883,893) The use of the reverse engineered protocol could be illegal (fraudulently connecting to a company's server while posing as an authorized client).
Using it without permission is copyright infringement and illegal. Legally, you can try offering money to the company for the copyright or for a suitable license. For example offer them $1000 for a copy of the code licensed under the GPL license. If they accept, you are fine.
Is it legal? Yes. You can make just about any payment arrangements you like. You wouldn't be able to verify compliance, though, without some connection to the student's employer. The IRS won't tell you how much money a third party earned, or how much tax they paid, in a given year. Pretty sure they can't provide that info, which is why companies wanting to verify your income ask for copies of your tax returns rather than permission to get those returns.
Unless the game is out of copyright, e.g. chess, snakes and ladders, Go, or checkers, your software would probably be considered a derivative work of the copyrighted game and an actionable infringement. The fact that you do not monetize it is not a defense. You would need written permission in the form of a license agreement from the copyright owner to do this legally. The penalties for violating copyright laws in this way could be punishingly serious.
There is no simple answer. Whether stolen bitcoin can be recovered with a court order will depend on the facts, the jurisdiction, and the legal basis for the claim. There is a significant difference between tracing by a civil litigant, and asset forfeiture to the state. I’ll talk about tracing, because it’s based on common law principles that apply in many countries, rather than statutes which are unique to each jurisdiction. The first hurdle in establishing a civil claim against the recipient of stolen bitcoin is the need to show that cryptocurrency is property. It has been suggested that cryptocurrencies might not be property because they are merely information, or because they are not classifiable either as things in possession or things in action. However, the LawTech Delivery Panel published a legal statement on cryptoassets and smart contracts (November 2019) which analysed these arguments and concluded that “cryptoassets are to be treated in principle as property.” This analysis was adopted by the High Court of Justice in England for the purpose of making disclosure and freezing orders against Bitfinex in respect of an account holding ransomware proceeds: AA v Persons Unknown [2019] EWHC 3556 (Comm). The next issue is the application of the nemo dat rule, which is the subject of your previous question. According to this honours thesis published by the University of Otago, until the courts recognise cryptocurrency as “money,” the nemo dat rule will have the effect that “the legal title to stolen cryptocurrency will likely always rest with the original owner” and “an innocent third party having received stolen cryptocurrency will always be liable to a claim from the original owner.” However, the LawTech Delivery Panel legal statement analysed the problem differently and concluded that an on-chain cryptocurrency transaction creates a new asset rather than transferring an existing asset: Although one can describe and conceptualise the process as a transfer … it is not really analogous to the delivery of a tangible object or the assignment of a legal right, where the same thing passes, unchanged, from one person to another. Instead, the transferor typically brings into existence a new cryptoasset, with a new pair of data parameters: a new or modified public parameter and a new private key. According to this analysis, the recovery of stolen bitcoin would involve applying the equitable principles used to trace assets wrongfully transferred into a mixed fund. Such a claim cannot be made against a bona fide purchaser for value without notice. On the other hand, stolen assets can be traced into the hands of a third party who knowingly receives them. Thus, whether the receiver of stolen bitcoin is liable to return them to the original owner is likely to turn more on the receiver’s state of mind than the percentage of stolen bitcoin received.
Note that what is being bought or sold here is actually information about the exploit. Attempting to criminally penalize the transmission of information in the US often runs into First Amendment issues. If a person has good reason to know that information is going to be used to commit a crime, or is likely to be so used, and there is no plausible legitimate use for the information, that person might be charged with complicity or conspiracy for distributing the information. But where there are legitimate uses, that is much less likely. Here the information could be used to defend against the exploit, or to identify and remove software subject to the exploit, or for research into such exploits generally. There may be other legit uses as well. Some years ago the Federal government attempted to prosecute a person for exporting a book describing how to create an encryption program. The courts eventually ruled that this was protected speech. I suspect a similar ruling would be made in the sort of case described in the question, but the details would matter.
Can a business ask emergency responders to sign an NDA before/after entering their facility? The company I work for has some very intense trade secret and intellectual property in its HQ. If police, fire, medical were called and needed access to certain areas of the facility were this information was kept, can the company ask that them to sign an NDA before they leave? Is it different state to state? City to city?
Yes, you can ask but if they don’t they can come in anyway. The law gives them the right to enter in certain circumstances. Notwithstanding, any government employee that disclosed confidential information that they got in the course of their employment could be sued and possibly prosecuted.
Can individuals spend money acquired in settlements that include an NDA? is the party that receives the payment allowed to actually use it? Yes. Payment of a substantial sum is oftentimes the main or only incentive for the injured party to bind himself in an NDA. A prohibition to spend that money would de facto nullify the benefit without which the party would have declined the NDA. Sandman isn't otherwise wealthy, if he suddenly buys a Lamborghini or a private jet, that money must have come from CNN. So doesn't this violate his NDA? No, typically it does not. Depending on (1) who the parties are, and (2) the hitherto divulged details of the controversy, the public might infer anyway --and with reasonable certainty-- who must have paid a substantial sum to settle the dispute. Thus, plaintiff Sandmann's [hypothetical] purchase of luxurious items would not really provide the public with new information. Similarly, if instead of buying luxurious items the indemnified person spends that money on rather necessary expenses (be it medical, property & casualty, etc.) ensuing from the injury, a prohibition to spend the money would lead to another absurdity: That of perpetuating or worsening the harm inflicted to the plaintiff who couldn't otherwise afford medical treatment, new living arrangements, or repairs/replacement of property, accordingly. If the payer thinks it is important enough, perhaps the NDA could include terms requiring the payee to use some extent of discretion as to the pace of spending the money. However, such need on the payer's part seems rare, and the injured person is likelier to decline the NDA altogether if the clauses for management of the compensation are unreasonable. What counts as disclosure with regards to Non-Disclosure Agreements? Any revelation, by the parties, that contravenes the terms and purpose of the NDA in that it would give non-parties information which cannot be ascertained from prior and/or independent publications and filings. That is otherwise hard to answer because it totally depends on the terms --and boilerplate-- of each NDA.
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.
None because the principle is Freedom to contract There is a general right of any being (natural like a person or even a company) to contract with anyone. Buying someone's service is a contract. A contract forms when: They offer something You offer something Both sides agree on it. (meeting of the minds) It is totally legal for a company to make wears a mask in our place of business a part of either being admitted onto the property or agreeing to contract with you. Noncompliance means as a result that they don't agree to serve you and don't offer to you. In fact, they explicitly reject to contract with you unless you wear a mask, which is their right unless there is a law that would specifically make that reason illegal. There are laws that reduce the freedom of contract, such as the civil right act (protected classes, such as religion, race, sex and more), the Americans with disabilities act (demanding reasonable accommodation), and labor laws (outlawing labor practices or limiting the amount of work or minimum payment) as well as anti-discrimination laws (establishing further classes). However note, that laws need to be written in such a way that they don't discriminate against the company either! One case where freedom to contract was attacked using an anti-discrimination law was Masterpiece Cakeshop - which was decided on first amendment grounds based on the rights of the owner: the law can't force someone to make a product he would not support the message of. Currently, there might only be some ordinance that bans mask policies in Texas, but it is dubious if that might be even an enforceable order from the Texas governor - Especially since OSHA just made adjustments to standards and mandates on the federal level - which include adjustments to respiratory protection fields.
34 CFR Subpart D covers this topic ("Under what conditions is prior consent not required to disclose information?"). This includes The disclosure is to other school officials, including teachers, within the agency or institution whom the agency or institution has determined to have legitimate educational interests so that raises the question of whether there is a legitimate educational interest. Additionally, the question is raised as to the status of an SRO (they are not teachers). Disclosure is allowed to A contractor, consultant, volunteer, or other party to whom an agency or institution has outsourced institutional services or functions may be considered a school official under this paragraph provided... the conditions being that the person Performs an institutional service or function for which the agency or institution would otherwise use employees; Is under the direct control of the agency or institution with respect to the use and maintenance of education records; and Is subject to the requirements of §99.33(a) governing the use and redisclosure of personally identifiable information from education records I would take this model memorandum as the most likely agreement, though your district may have a totally different memo where SROs are purely security guards. An SRO is to advance the program objective which include "Education of children regarding the role of laws, courts, and Police in society", which is the hook into "legitimate educational interest". This nothwitstanding the part that says that they "are police officers and not school teachers, school administrators, nor school counselors. The officers will assist teachers with classroom presentations on relative topics when requested and able" (there is no principle that only teachers, administrators, or counselors can have a legitimate educational interest). This model memo does not say anything that indicates that the conditions "Is under the direct control" and "Is subject to the requirements of §99.33(a)" are true, but those conditions could be satisfied external to the MOU. There are some additional exceptions of the "if required by law" type, such as a state law "adopted before November 19, 1974, if the allowed reporting or disclosure concerns the juvenile justice system and the system's ability to effectively serve the student whose records are released"; or, after that date, is "subject to the requirements of §99.38" which refers you to §99.31(a)(5)(i)(B). If that is confusing, here are the two self-referring sections: §99.38(a) If reporting or disclosure allowed by State statute concerns the juvenile justice system and the system's ability to effectively serve, prior to adjudication, the student whose records are released, an educational agency or institution may disclose education records under §99.31(a)(5)(i)(B). §99.31(a)(5)(i)(B). The disclosure is to State and local officials or authorities to whom this information is specifically...Allowed to be reported or disclosed pursuant to State statute adopted after November 19, 1974, subject to the requirements of §99.38. So state law is one possibility; "legitimate educational interest" is a remote possiblity. Massachussetts law does include governmental third party disclosures: 603 CMR 23.07(4)(c) A school may release information regarding a student upon receipt of a request from the Department of Social Services, a probation officer, a justice of any court, or the Department of Youth Services under the provisions of M.G.L. c. 119, sections 51B, 57, 69 and 69A respectively. That does not directly apply to local police, but it is possible that a police officer is operating as a probation officer or an agent of the Department of Youth Services. Under paragraph (e), A school may disclose information regarding a student to appropriate parties in connection with a health or safety emergency if knowledge of the information is necessary to protect the health or safety of the student or other individuals. This includes, but is not limited to, disclosures to the local police department Mass. law allows the possibility of treating a police officer as "authorized school personnel" if they are "providing services to the student under an agreement between the school committee and a service provider, and who are working directly with the student in an administrative, teaching counseling, and/or diagnostic capacity" – which is not completely out of the question but is a bit of a stretch (especially in the context of a blanket statement "we share records", not "we may share yours, if you get special counseling"). Tne law also says "Any such personnel who are not employed directly by the school committee shall have access only to the student record information that is required for them to perform their duties", so sharing of all records would not be allowed.
"Legal requirement" can and in this case simply means "it's what is required in order for us to be reasonably able to offer you this service", noting that it would be unreasonable for such a dangerous business to operate, when one moron slipping and suing them could put them out of business. It's a little surprising that you've never had to sign a waiver before, but there are quite a number of similar waivers out there, such as REI (Seattle), The Edge (Vt), Croc Center (Coeur d'Alene), YMCA (MI) and U. Nebraska. They all have in common the requirement of a signature (indicating that you've waived your right to sue them), birth date, date of signature. This is the bare minimum that's required to have a valid waiver, and more info would be better (to uniquely identify the customer out of the 1000 John Smith's in the state and 500,000 in the US). If you break yourself and try to sue, they will trot out the waiver to put an end to the suit. Name, address, phone number and birth date do a long ways towards proving that the person who signed the waiver is indeed you.
I can't find any law that would prevent an employer from requiring this. Under current Florida law, an employer can even demand passwords and access to an employee's social media accounts. A bill was proposed to prohibit this, but it hasn't passed. Generally, an employer can require anything they want as a condition of employment, as long as it is not illegal. Florida has at-will employment so the employer could certainly fire the employee if they don't comply.
You ask permission, preferably with legal counsel to handle the details. It really is that simple. Unsurprisingly, most companies don't want to give their code away- especially to a competitor. If you even get a response, they will expect something in return i.e. money. Realistically though, it's unlikely they will respond, much less deal with you.
Possessing a 'shotzooka' Billy lives in Texas. He loves weapons. Above all, he loves practice shooting with his shotgun, which he jokingly nicknamed shotzooka. One summer, Billy decides to innovate. He spends his days adding new features to his shotzooka. First, he adds a telescope. Then he adds a laser sight. But does not stop there. Somehow he manages to attach a remotely controlled anti-tank guided missile to his beloved gun. The now upgraded shotzooka is capable of immense destructive power. Strangely enough, though, the weapon still resembles a regular shotgun. Billy decides to test his weapon's new capabilities on a tree. He locks his target, then takes a 180 degree turn and pulls the trigger. The missile turns 180 around and, flying at Mach 3 speed, pulverizes the tree to the ground. Billy had never had such power in his hands. Can Billy legally possess his shotzooka?
First of all, we need to determine what laws this new hybrid gun falls under. We got a normal shotgun, which in itself might be under the National Firearms Act (NFA) a Class 3 Destructive device, but most aren't. So, let's assume "Shotzooka" is a standard Remington 870. Because Billy wants his gun to be more compact, he shortens the gun with a telescopic stock. Great, there are 2 options for that: a full stock that can be lengthened and one that is pretty much folding out completely. This can be a problem if the total gun in its shortest configuration gets below 26 inches length - then it is illegal under Texas law as a short barrel firearm. And the complete removal makes it no longer a shotgun under federal law but pushes it to a different weapon category: Any Other Weapon. Since it once was a proper shotgun (which means it had a stock) it can't ever become a Pistol Grip Firearm. Now, here comes the crux: owning and operating these is totally fine if you have them registered at the Bureau of Alcohol Tabacco and Firearms. But you need to register your intent to manufacture them before you start with the conversion and have the approval of your project. It also costs 200$ tax -but you need to also make sure your new gun is allowed locally (see below). The Laser sight likely isn't a problem... but now comes the really big problem: The laser-guided anti-tank missile. THAT is a problem. Because anti-tank weapons are explosive and all explosives are classed as Destructive Devices under the NFA (well,technically that's Title II of the Gun Control Act of 1968 amending the NFA of 1934...). And possession of such a Title II weapon like a Destructive Devices demands them to be registered and tax-stamoed for 200$ federally - and manufacturing them is prohibited for private citizens. This means in the act of mounting the missile to his shotzooka he turned her into an illegal, unregisterable NFA Class3 DD of the explosive type, illegally manufactured it, and just for the possession alone put himself up to a fine of 250k and 10 years jail time: The charge of unlawful possession of a destructive device in violation of the National Firearms Act carries a maximum statutory penalty of 10 years in federal prison and a $250,000 fine. But the trouble doesn't stop there, Texas itself has a penal code that defines that anti-tank missile somewhere! Texas Penal Code, Title 10, Chapter 46: 46.01 DEFINITIONS (2) "Explosive weapon" means any explosive or incendiary bomb, grenade, rocket, or mine, that is designed, made, or adapted for the purpose of inflicting serious bodily injury, death, or substantial property damage, or for the principal purpose of causing such a loud report as to cause undue public alarm or terror, and includes a device designed, made, or adapted for delivery or shooting an explosive weapon. (10) "Short-barrel firearm" means a rifle with a barrel length of less than 16 inches or a shotgun with a barrel length of less than 18 inches, or any weapon made from a shotgun or rifle if, as altered, it has an overall length of less than 26 inches. 46.05. PROHIBITED WEAPONS. (a) A person commits an offense if the person intentionally or knowingly possesses, manufactures, transports, repairs, or sells: (1) any of the following items, unless the item is registered in the National Firearms Registration and Transfer Record maintained by the Bureau of Alcohol, Tobacco, Firearms and Explosives or otherwise not subject to that registration requirement or unless the item is classified as a curio or relic by the United States Department of Justice: (A) an explosive weapon; (B) a machine gun; or (C) a short-barrel firearm; Sec. 46.09. COMPONENTS OF EXPLOSIVES. (a) A person commits an offense if the person knowingly possesses components of an explosive weapon with the intent to combine the components into an explosive weapon for use in a criminal endeavor. OUCH! See that? The mounting of the missile launcher just turned the gun highly illegal, and even in the act of shortening the shotgun by altering the stock to be telescopic, it might have become illegal if the gun became too short. And it gets worse. The mere possession of the guided missile is impossible unless it's a curio or relic (which would mean it is old!) or registered, but it can't be because private citizens can't make it... and even owning the parts for the missile would be illegal if they would be used in a crime... wait, manufacturing of a missile is a crime, so owning the parts also is a crime! tl;dr: Billy is screwed under both texas and federal law.
The argument would have to be either a derivative work under copyright, or a trade dress/trademark claim. Neither sounds very solid at all. Neither copyright nor trade dress/trademark protect ideas like a TV format. They can only protect very similar expressions of an idea that necessarily flow one from the other and, for example, the game mechanics can't be protected by copyright.
A teacher could not instruct students in how to build explosives for use in Federal crimes: It shall be unlawful for any person to teach or demonstrate the making or use of an explosive, a destructive device, or a weapon of mass destruction [...] with the intent that the teaching, demonstration, or information be used for, or in furtherance of, an activity that constitutes a Federal crime of violence (source) This Federal statute creates a law preventing the teaching (in any context, including schools) of bombmaking for the purpose of committing a federal crime. So "bombmaking" is one subject that cannot be taught, although I don't think that there have been any prosecutions of regular K12 teachers under this law.
Your example powers are tropes and their basis in public domain The Queen of Pain's scream is modeled after the Banshee, which had a scream that would kill... and there are LOTS of variants of Banshee. In fact, "Our Banshees Are Louder" is a trope. Hiding in a shadow or walking through it is for example a typical feature of Ninja stories since the Edo Period, and a common Trope as "Shadow walker". That makes those two powers older than You can not have a copyright on concepts, facts, or ideas. Facts are not copyrightable, which was decided LONG ago over Feist v Rural. Neither can you copyright concepts or ideas. You won't get a claim on the concept of a damaging scream or turning into shadow. See also Copyright.gov (emphasis mine): How do I protect my idea? Copyright does not protect ideas, concepts, systems, or methods of doing something. You may express your ideas in writing or drawings and claim copyright in your description, but be aware that copyright will not protect the idea itself as revealed in your written or artistic work.
If you say something twice, eventually they’ll be in conflict Law codes are vast. They deal with many things and sometimes, as here, they deal with the same thing twice. If they duplicated themselves, rather than cross-referencing, every time the law was changed, every single instance would have to be tracked down and changed. Admittedly, that is not as big a problem with digital codes (but still not infallible and definitely time-consuming) but when these would have to be found by hand, it was damn near impossible. Written this way, change it once and it’s changed everywhere. My first boss taught me that. The fired was engineering rather than law but the principle is the same.
The book teaches you how to draw horses. Once you learned how to do it, and you draw a really nice horse, you have drawn it yourself. You have the copyright. You use it any way you like. Of course it's different if instead of drawing the horse yourself you just make a copy of an image in the book. That would be the author's copyrighted drawing. Added since the question reappeared: One way to learn drawing horses is to start by making copies by hand of others' good drawings, practicing, practicing more, until eventually you can draw your own horses, which was the purpose of the book. So these copies made as part of the learning process might be treated differently. And the might not actually be copies, just your best attempt at making a copy. On the other hand, taking this book, making ten copies using a scanner, framing and selling them, is obvious copyright infringement.
Technically these are unmanned (but not ungnomed) drones and the law about them is here. If your craft in flight is less than 35kg you do not need permission, however, a craft that small is not going to get to 100km (the boundary of "space"). You therefore need permission ... and insurance in case it falls on anything or anyone breakable.
I think you would have difficulty distorting the situation - Pokemon Go is not magic that defies existing laws, and this would be no different to a mall issuing a trespass notice (which is effectively how they would kick you out) for any other reason. I would question the ability of a store to "Arrest" you - that is a job for the police - After they trespass you (ie by giving you notice to leave), if you come back again then they can call the police to arrest you - but its not as clear-cut as someone seeing you playing a game and arresting you. I don't think Pokemon players are a "protected class" of people, so finding a valid cause of action might be tricky. About the best you could do would be to talk with your wallet (ie shop elsewhere with your friends), but for my money that would make me more likely to go to that mall !
HOA creating accounts on a third-party website without my consent This question is in regards to a situation in Colorado in the US. I began receiving emails from a website distributing community information. The emails did not have an unsubscribe link so I sent them an email asking to be removed from their listing. They told me I had to create an account and change my preferences to not receive emails. I informed them that I did not authorize them to have my information and they told me my HOA signed me up. As a technical person I then asked them a bunch of questions regarding the data and how it was transmitted to them. They told me that the HOA creates the accounts manually. This seemed very wrong to me so I contacted the HOA and they told me they only created the accounts using publicly available information. I did not want to get into a fight with my HOA until I understood the possible ramifications of what they had done. Does this break any laws in how they created these accounts without my permission? edit.. I received a list of fields that they use to create the account. Those fields are Name, Address, Phone Number and Email. I guess my hangup with this is not that I was receiving the emails but that they created the account without my permission even if the data was mostly publicly available.
Colorado HOAs are required to make many kinds of documents available to HOA members. The Colorado Common Interest Ownership Act (CCIOA) includes the following language in section 38-33.3-209.4. Public disclosures required It is the intent of this section to allow the association the widest possible latitude in methods and means of disclosure, while requiring that the information be readily available at no cost to unit owners at their convenience. Disclosure shall be accomplished by one of the following means: posting on an internet web page with accompanying notice of the web address via first-class mail or e-mail; the maintenance of a literature table or binder at the association’s principal place of business; or mail or personal delivery. The cost of such distribution shall be accounted for as a common expense liability. If the distribution includes information the HOA is bound to share to you, and this service is at no cost to you, it would appear on the surface of this law that the HOA is afforded the "widest possible latitude in methods and means" of disclosure, and that they have exactly performed "posting on an internet web page with accompanying notice of the web address via ... e-mail"
According to this article, the Malmö Administrative District Court found that the intent of the user is immaterial to whether a camera is being used for surveillance, so even if that is not why you are doing this, it counts legally as "surveillance". The law requires a permit from the länsstyrelse (county? government), according to the Kameraövervakningslag (2013:460) (article 8 states the requirement for permit, art. 16 tells you who to apply to). I believe that a tennis court would be considered a "public place", even if privately owned. Art. 17 tells you what goes into an application (there is probably a form), and art. 18 says that the kommun gets to weigh in. Presumably it would be critical to have a consent form signed before any recording happens, and you would include that in the application.
Residents agree that the receipt of mail by any individual not listed as a Resident or Occupant in this Agreement at the Leased Premises shall be proof of occupancy of that individual and a violation of this Agreement. I assume that the lease states that only the listed individuals can reside in the unit. Maybe they think that this says that receipt of mail by an unlisted person is a further violation of the lease, I don't think that is clearly enough stated that the courts would agree that receiving mail is itself a violation of the lease. Instead, it seems to be intended to say something about an existing clause – you can't have other people living there. The courts would look at the requirements of the lease, and ask "did you comply"? The question of whether you did a certain thing is a question of fact that has to be resolved in court. However, the revised lease language does not state that all mail must be addressed to Johnny Johnson – it only addresses receipt by a person not on the lease. You are (apparently) on the lease, so you may receive mail there. Nothing in the lease controls how such mail can be addressed. If you receive mail addressed to Tommy Thompson, your defense is that you received the mail, and you are on the lease, so you will not have violated the new clause.
You're misreading the law. You need to keep reading the section you referenced (emphasis added): The disclosure...shall be made in writing and delivered through the consumer’s account with the business, if the consumer maintains an account with the business, or by mail or electronically at the consumer’s option if the consumer does not maintain an account with the business Thus, the option to have the disclosure sent by mail only applies to consumers who do not have an account with the business. Since presumably a large number of sites only maintain personal information for users with accounts, such sites need not provide a mail option. Further, it doesn't say there needs to be a button: you just need the ability to say you'd like it mailed to you in the request somehow, and then they need to comply when you do.
We cannot dispense personalized legal advice: that is what your attorney is for. However, I agree with your analysis that this is most likely covered by fair use, and indeed it is not obvious that you have taken anything that is protected. There is no creativity behind a number such as entries in the "I did N pushups" column. The arrangement of data into a web page passes the smidgen of creativity test, but "210" is not a creative number. The terms of service of a website cannot negate your right to use the website however you want in a non-infringing way. If your use is "fair use", then they can't tell you that you can't use it. In case it turns out that "fair use" fails, the matter would hinge on what exactly the TOS says. They may have granted you permission to make use of their "information". So there are three positive avenues for you to consider: not protected, fair use, and permitted. A practical difficulty is that a university lawyer is only interested in the interests of the university, and they are as likely to say "don't do that" or "get permission" as they are to say "that is fair use". You can hire a lawyer who is paid to care about your interest, though there is never a guarantee that the lawyer's advice is correct. I think it is likely that the lawyer will tell you to not say anything until legally forced to, given the apparent rebuff of your request for special permission.
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
Desuetude is the Latin word. https://en.wikipedia.org/wiki/Desuetude Typically there is more to it than just that there was no enforcement for a while. It usually occurs when prosecutors agree not to prosecute and judges don't punish or punish harshly for it. Normally an HOA is just rules for your apartment building and not actual laws so it would not apply there.
Sorry, what did I agree to? NDA means New Drug Application, right? Or is it Notre Dame Academy? Maybe it's Nebraska Dressage Association - don't want to cross those guys, their horses are mean. When you are trying to form a contract with someone, it's very important that you and they are talking about the same thing. What can't I disclose? That I had a phone call? What I said? What you said? Only the confidential bits? If so, what are they? Can I tell my business partner? My lawyer? My secretary? The IRS? Another important thing about making a contract is to agree on the terms. Post-facto contracts are not a thing After you paint my fence, you can't demand payment. We have to enter into a contract before the thing that happened happens. Elements of the call might be confidential anyway I am bound to respect confidences that were entrusted to me where a) the information is confidential b) it was imparted to me in a situation of confidence and c) disclosing it would cause harm. We don't need a Non-Destructive Analysis to document that.
Would "Stop a Douchebag" be legal in the US? Why is it legal in Russia? In Russia, there is a movement called Stop a Douchebag, whose prime activities are as follows. Prevent people from driving on sidewalks. Prevent double parking. The participants in this movement seem to adhere to very respectful speech. However, I am wondering whether their method would be legal in the US and why it is legal in Russia. The group's punishment consists of gluing large stickers — which cannot be easily removed — on the windshields of the offenders' cars. Sometimes, offenders say something along the lines of "My car is my personal property. On what grounds are you damaging my personal property?". The generic reply is "Call the police if you wish and they will decide." While this seems a legitimate reply, I am wondering what the legal standing of such events would be in the US. In particular, would it be legal to glue such a sticker on the windshield of someone else's car? Why is it legal in Russia?
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.
I wouldn't say that it "trumps state law". Indeed, the State of Georgia, either expressly by statute or through the common law, establishes that teachers and school administrators have the authority to create rules and regulations governing the conduct of students that are not themselves unconstitutional as applied to students, although, in general these consequences can't resort to criminal punishments. Instead, typical punishments include detention, suspension (in school or out of school), expulsion, and adjustment of grades for an assignment or a course. Marks in one's disciplinary record and public shaming, forfeiture of eligibility to participate in school sponsored extra-curricular activities or honors (including marching at graduation), refusing to release transcripts, and historically (but much less so in recent years) corporal punishments such as spanking, have been options for schools to enforce their punishments. A prohibition on recording in a syllabus certainly wouldn't result in criminal punishments, and probably wouldn't even give rise to civil liability. Depending upon the purpose for which the recording was being used, it is even conceivable that the school's right to punish someone for violating a school rule could be estopped by First Amendment and whistle blower protection law considerations (e.g. if it was used to document harassment and discriminatory conduct for use in sharing with the school board or law enforcement or publishing on radio or TV or an Internet news source). But, the mere fact that conduct is legal outside a school setting does not mean that a school cannot prohibit and punish that conduct in its own rules. The closer case, upon which there is more division of legal authority, is under what circumstances a school can legitimately punish conduct away from school, for example, uploading rap lyrics about a teacher to YouTube from home without using any school resources to do so.
Yes, you may cover it up (I don't recommend painting over it though, as you are then altering the plates). This question was definitively decided by the Supreme Court in Wooley v. Maynard (1977). You can find the case here: http://caselaw.findlaw.com/us-supreme-court/430/705.html This case dealt with an individual who was given several citations for violating the law when he covered up the New Hampshire slogan. He was a devout Jehovah's Witness and the slogan went against his beliefs. In my opinion this case applies to anyone who disagrees with the slogan. Or wish to refrain from saying it. The Court held: "The fact that most individuals agree with the thrust of New Hampshire's motto is not the test; most Americans also find the flag salute acceptable. The First Amendment protects the right of individuals to hold a point of view different from the majority and to refuse to foster, in the way New Hampshire commands, an idea they find morally objectionable." "the State of New Hampshire may not require appellees to display the state motto upon their vehicle license plates"
In general, yes, police could do this. I am not aware of any US state or locality which requires an officer to execute a stop as soon as a traffic violation is observed. Whether the police would act in such a way is another question, but in some areas maximizing citation revenue is a high priority, so police in such areas might act in such a way. If police think a person's actions are "suspicious" and think that the person might be involved in some crime more serious than a traffic violation, it would be common procedure to follow without making a stop or arrest to get a better idea of what the person was doing. Many police I have encountered seem seriously concerned to stop someone driving in what they consider an unsafe way as quickly as possible, and so stop violators promptly, but I don't say that motivates all police all the time.
The premise about couches is true in terms of popular beliefs, but false in terms of law. Taking the property of another person without permission, with the intention to keep it, is theft. However, taking it with permission is allowed. W.r.t. a couch, your belief works because you generally have implicit permission. A sign saying "free" is good evidence, in lieu of a personal interaction with the owner, that you have such permission. There are scenarios where a person is moving a couch into their house, leaves it outside for a break, and some prankster puts a "free" sign on the couch. You nab and leave, 911 is called, you get arrested (more likely there will be an interaction of the type "give him back his couch") and you defend yourself against a charge of theft on the grounds that you reasonably believed you had permission to take the couch. At present, a reasonable person would know that a scooter left by the side of the road is not actually "there for the taking", therefore you know (or should know) that you are committing a crime. Additionally, there are more stringent law regarding theft of vehicles as opposed to theft of couches, which expands the concept of "theft" to include "take in order to just temporarily use", thus "keeping" is not a requirement of vehicle theft laws. Rentascooter is generally and obviously locked in some way, which is further evidence that the item was not abandoned (this goes to your state of mind in taking the object), supporting the wrongfulness of this taking.
Any country is their own sovereign There is no international law that demands any state to allow anyone free speech of all kinds. Remember that your rights end where the rights of others [incl. society] begin. And in Germany, the right of the society is defined as being not subjected to the symbols of illegal organizations, especially ones that try to violate the liberal democratic basic order Also, Germany is not alone in banning the sentence or the accompanying gesture. They are also illegal to various degrees in Austria, Switzerland, Slovakia, The Czech Republic, and Sweden. It also can be illegal in the US, if disturbing the peace. The sentence is an identifier for a banned organization The sentence is certainly illegal if spoken to express certain things. However, it is legal to be used for example in art (films) and is commonly found in lecture material, as one example of how the nazi party identified. But how? People are often confused, but the rule is actually somewhat easy: If you display any symbol of a banned, unconstitutional organisation (under § 86a StGB) like any of the logos of the Nazi Party and spiritual successors (those with a red bar: banned!) or even the PKK, then you are acting in an illegal manner. And unless you have an exception to claim, the determination can be done entirely on a factual basis by looking at the circumstances. Indeed, the mens rea requirement is so minimal (because the law is written in a way that there is none needed!), that posting photos of a swastika tattoo can get you convicted for jailtime Exceptions However, I mentioned exceptions. Those are in § 86a StGB(3), pointing to $ 86(3)&(4) [eng]: (3) Die Absätze 1 und 2 gelten nicht, wenn die Handlung der staatsbürgerlichen Aufklärung, der Abwehr verfassungswidriger Bestrebungen, der Kunst oder der Wissenschaft, der Forschung oder der Lehre, der Berichterstattung über Vorgänge des Zeitgeschehens oder der Geschichte oder ähnlichen Zwecken dient. (4) Ist die Schuld gering, so kann das Gericht von einer Bestrafung nach dieser Vorschrift absehen. (3) Subsection (1) [and (2)] does not apply if the propaganda material or the act serves civic information, to prevent unconstitutional activities, to promote the arts or science, research or teaching, reporting about current or historical events, or similar purposes. (4) If the degree of guilt is minor, the court may dispense with imposing a penalty under this provision. That is why we have swastikas in German school books, as those tell about the horrors of nazi germany. That is why the logos can be found in research material and history books analyzing the use of the symbols in different countries. That's why the news outlet filming the demo where people yell Heil Hitler show that footage without precautions (unlike those that fly the banned symbol!) That is why you can have the film Inglorious Bastards with all its Swastikas and people yelling Heil Hitler, but its advertisement material was specifically altered to not show those. However, until August 2018, computer games were not accepted as arts. This is why the German versions of Wolfenstein that did get a german release before had been altered to remove Swastikas and voice lines. But the "Sozialadäquanzklausel" had been applied to computer games in August 2018, and the games got (after some other hoops) re-released in their international version on 22nd November 2019. How come some ideologies are banned?! Germany's equivalent of a constitution is the Grundgesetz (Basic Law). Its first 20 articles (not paragraphs or sections!) prescribe the rights of any person. The very first and most important one is, and the very first sentence of it makes clear what the very guiding principle of all other laws has to be (emphasis mine) before any of the other basic rights are enumerated. Art. 1: Die Würde des Menschen ist unantastbar. Sie zu achten und zu schützen ist Verpflichtung aller staatlichen Gewalt. Art. 1: (1) Human dignity shall be inviolable. To respect and protect it shall be the duty of all state authority. This is the most absolute right anyone can have. There is no provision in any way that would allow (or make it possible!) to strip or reduce the human dignity and every human being, living and dead, has it. Violations of human dignity have been used quite often to repeal laws, such as several incarceration methods or when cuts to the social security system would prevent someone to live a life that would be without dignity. Human Dignity is the measure that can be used to cut all other rights. In fact, it is explicitly the foundational principle of all german laws, that rights are not granted beyond where other rights start and that nobody has any rights when it comes to harming the constitutional order derived from the Grundgesetz (emphasis mine): Art. 2: (1) Jeder hat das Recht auf die freie Entfaltung seiner Persönlichkeit, soweit er nicht die Rechte anderer verletzt und nicht gegen die verfassungsmäßige Ordnung oder das Sittengesetz verstößt. (1) Every person shall have the right to free development of his personality insofar as he does not violate the rights of others or offend against the constitutional order or the moral law. Now, where comes freedom of speech? Only in Article 5, and it is absolutely not absolute but has defined limits (emphasis mine): Art 5:(1) Jeder hat das Recht, seine Meinung in Wort, Schrift und Bild frei zu äußern und zu verbreiten und sich aus allgemein zugänglichen Quellen ungehindert zu unterrichten. Die Pressefreiheit und die Freiheit der Berichterstattung durch Rundfunk und Film werden gewährleistet. Eine Zensur findet nicht start. (2) Diese Rechte finden ihre Schranken in den Vorschriften der allgemeinen Gesetze, den gesetzlichen Bestimmungen zum Schutze der Jugend und in dem Recht der persönlichen Ehre. (3) Kunst und Wissenschaft, Forschung und Lehre sind frei. Die Freiheit der Lehre entbindet nicht von der Treue zur Verfassung. Art 5: (1) Every person shall have the right freely to express and disseminate his opinions in speech, writing and pictures, and to inform himself without hindrance from generally accessible sources. Freedom of the press and freedom of reporting by means of broadcasts and films shall be guaranteed. There shall be no censorship. (2) These rights shall find their limits in the provisions of general laws, in provisions for the protection of young persons, and in the right to personal honour. (3) Arts and sciences, research and teaching shall be free. The freedom of teaching shall not release any person from allegiance to the constitution. Parties and organisations that can't abide by the other rules of law because of their ideology will get banned based on that. In the case of the nazi ideology, it's quite simple: The core idea of Rassenlehre and its believe in Untermenschen is so deeply dehumanizing that there can't ever be a way to get that in line with the very first (as well as 2nd and 3rd) Article of the Grundgesetz. Or to quote the words of Amon: Nazi ideology denies dignity to some humans, goes against the liberal-democratic order, and therefore cannot enjoy the usual protections. Rule of law is still maintained because restrictions to the freedom of expression are codified in law, and violators will get a fair trial. You see, you simply don't even have an absolute right to disseminate your ramblings, because the Basic law itself points to the general laws that ban the dissemination of certain materials. This is how § 86 StGB can ban any propaganda material for organizations and § 86a StGB subsequently bans their symbols, including gestures and slogans.
Would the following advert be illegal currently? The advertisement is lawful everywhere except maybe in jurisdictions with a heavy theological/religious component. In all likelihood, an advertisement that only lists flights within the US and is directed "[t]o the guy who's got a girl in every city" is meant for the US market rather than the Haredim (in Israel) or their Islamic counterparts, let alone the Taliban. What specific laws would it disobey and why? In some trends of Judaism women have an obligation to cover their natural hair when in public. Likewise, women in Iran must wear a hijab. This implies that, already from the "hair" standpoint, all women in the advertisement except maybe "Your Dallas darling" would be in violation of the law. This might soon stop being the case in Iran, given the recent or ongoing protests after the morality police's killing of a woman who defied the hijab law. Hair matter aside, models' outfit in most or all photos in the advertisement would be in violation related laws in those jurisdictions. The violations are in the sense of "indecent exposure". Someone knowledgeable in the laws of Iran, of other orthodox Islamic countries, or of Israel's legal framework would be able to identify the specific statutes or religious-legal principles at issue. Ultimately, those prohibitions are premised on the Talmud (in the case of Judaism) and the Sharia (Islam).
Not only can’t you trademark it, you can’t use it The original logo is covered by copyright which belongs, prima facie, to the original artist. It doesn’t matter that they are based in Russia; Russia and the US are both signatories to the Berne Convention which means they protect each other’s copyright. That means you can only use it if it is fair use (it isn’t) or if you have the copyright owner’s permission (you don’t). Could I still use the logo I bought and trademark it in the US granted that the seller had made some revisions to the stock photo he found? Not if the seller didn’t have permission to make those changes. Creation of a derivative work is one of the exclusive rights copyright gives. The seller had changed up some parts of the stock image, this includes color scheme, orientation, and made the picture look a little low poly. See above. The original artist of the stock photo is based in Russia and as far as I can see there is no registered copyright on it and don't think they could apply for US copyright anyway. They already have copyright. They would need to register it in the US before they could sue but there is no impediment to them doing so. While I'm not sure where the seller (located in Pakistan) officially downloaded the logo, I had nothing to do with the final design of it or downloaded anything from a stock photo website myself, so I'm not sure if I'd be bounded by any terms of the stock photo website Makes no difference. Just because you didn’t steal the car, that doesn’t make it ok for you to drive it. The stock image is very niche and a bit random. Across all the websites the artist has published it on, it has about 5 or 6 downloads altogether. Not relevant at all. As far the copyright of the seller's work goes, the Fiverr terms state that buyers have all the copyright, though I don't know if this is nullified by the use of the stock image. You can’t sell something you don’t own. If the seller had no right to upload the photo (as it seems they didn’t), the terms of the website don’t matter. The true owner never agreed to those terms and isn’t bound by them.
Is it legal in Oakland, CA for a master tenant to profit from a subtenant? Can a master tenant in Oakland, CA charge a subtenant in a room a higher price than the value of the room based the proportion of the room size to the whole house? I.e., if master tenant has been there many years at a now-lower-than-market rate, can the master tenant charge a current rate for a room and profit from it in Oakland, CA? In this scenario, the room in question that would be rented out to a subtenant is not the room in which the master tenant lives (not subletting). Example with numbers: is it ok in Oakland, CA for a master tenant to pay $2000 per month for a home with 4 bed rooms, and charge three subtenants $1000 for a room (one subtenant per room), where the master tenant would make $3000 in "revenue" from all three subtenants?
Here is a document from the city, which says p. 16 that Oakland does not have an Ordinance or Regulation restricting the amount of rent a master tenant charges a subtenant. This assumes that subletting is not prohibited by the lease.
No they can't. The lease says the premises need to be cleaned without going into details how. You cleaned them yourself before moving out. If the landlord was not happy with that, they should have raised their concerns and discussed options. The security deposit that the landlord holds is only supposed to be used when something goes wrong. When something goes wrong, the landlord is supposed to talk, not to silently chop off a slice of the deposit as they please (unless the lease allows it, which it does not here). If the landlord refuses to refund, read the manual and go to small claims court to tell them where to get off.
As you say, the roommate who was there "did not equate the sound of a running toilet with wasting water". That, I am afraid to say, is negligent: normally, when you hear constantly flowing water, you do something about it. Somebody has to pay for the water, and assuming the water is in your name, that is you. You could yell at the roommate, but legal negligence is irrelevant to the water bill. However, if there were any resulting damage (for example to wiring or walls), that is where the question of negligence would come up: you probably would be found liable for damage to the building that resulting from letting the condition persist. But unless the fill valve broke at the tank and leaked water onto the floor (which would be clearly obvious) there won't be any damage that you are liable for. I assume that the leak developed from an old part giving out. This would be normal wear and tear, for which you would not be responsible (assuming you didn't cause the problem, for example by putting concentrated bleach in the tank). You you are saying that the landlord is trying to charge you for the repairs, and on this point, the landlord is on thin ice. A landlord cannot just make up rules about assigning liability for damage: that is a matter to be determined by the courts. A tenant can do things to a fill valve that can cause a leak; and the seal has to be replaced every few years. The tenant is not liable especially for routine replacement of the fill value seal, and does not become liable because they failed to inform the landlord in a prescribed manner. Not reporting a leak within 24 hours does not contribute to the underlying failed part. You could probably contest the legality of that bit of maintenance clause 24, in that the landlord cannot unilaterally declare who is responsible for damage. At the trial, both sides will present relevant evidence, and the judge / jury will decide whether the tenant's negligence caused the seal to fail.
Your rights and responsibilities in this realm are a matter of local law, sometimes down to the level of the city, plus whatever is stipulated in the lease. In San Francisco, for example, No Person shall have upon any premises or real property owned, occupied or controlled by him, or her, or it any public nuisance [which includes] Any visible or otherwise demonstrable mold or mildew in the interiors of any buildings or facilities This does not say whether the owner or the occupant is liable for remediating the situation. Shower mold is gross but not a health hazard (the SF ordinance just lumps all mold into one category). Since you have no written lease, there is no automatic clean-up requirement. There might be a law requiring a tenant to clean the premise to its original condition, for instance in Washington, tenant must Upon termination and vacation, restore the premises to their initial condition except for reasonable wear and tear or conditions caused by failure of the landlord to comply with his or her obligations under this chapter. Landlord duties are here: there is no duty to provide ventilation. However, the bathtub appears to be in a common area and not your particular unit. The landlord duties also require the landlord to Keep any shared or common areas reasonably clean, sanitary, and safe from defects increasing the hazards of fire or accident so in Washington, it's his problem and not yours. In general, even if a tenant is responsible for some form of cleanup, that does not constitute legal license for a facility upgrade. It might cost a couple hundred dollars to hire a person to wash ordinary mold accumulation, and does not justify getting a $5,000 new tub. Since this is in a common area, you would not be solely liable for whatever the damage was. The part where you say "crack in a common bath tub" is a large red flag: it suggests to me that somebody negligently broke the bathtub, and then caused behind-the-wall damage by letting water infiltrate without notifying the landlord. If you broke the tub and let it rot, you could be liable. If the tub was broken already and the landlord didn't bother to do anything about it, that is his negligence. The three questions that you should try to answer are: (1) what are the duties of landlord and tenant in my jurisdiction, (2) what was the actual harm done, and who did it, (3) what is the ordinary cost of whatever repair was done.
One possible reading of this clause is: The tenant is required to pay for the preparation of a forfeiture notice, even if ("notwithstanding that") the forfeiture doesn't actually happen ("forfeiture is avoided")--but the tenant doesn't have to pay for the notice if the forfeiture doesn't happen for the following reason ("avoided otherwise than by"): because the court said so ("by relief granted by the court"). In other words: if the Court says the forfeiture notice is bogus, the tenant doesn't have to pay for it. Otherwise, he or she does.
The overwhelming majority flats in England are leasehold, not freehold; older buildings typically have 80 or 100-year leases, newer buildings usually have 999-year leases. Therefore you are dealing with the freeholder as a landlord for the matters that a HOA would deal with in the US. Depending on your landlord you may want to reconsider your statement that HOAs "are pure hell". It is possible for the leaseholders to collectively buy the freehold although it is time-consuming and expensive and happens very rarely. If they do they set up a body similar to a HOA.
As stated, this is not a reasonable restriction and runs afoul of the Fair Housing Act. You cannot discriminate based on family status, with an exemption for "housing for older persons", and the act "does not limit the applicability of reasonable local, state, or federal restrictions regarding the maximum number of occupants permitted to occupy a dwelling" (let's leave aside HOA restrictions for a moment). The number of occupants can legally be restricted in terms of a reasonable relation to a legitimate interest such as parking availability, safety, noise or securing the property. A restriction based on square footage or number of bedrooms might be reasonable: a blanket rule "no more than 4 people" is not reasonable. This article notes some of the state complication in interpreting "marital status", in terms of "not being married to each other".
I am assuming in this answer that the lease or rental agreement provides the landlord with a right of access for required maintenance. The question is not clear on that point. If there is a specific and reasonable ground for refusing a particular representative or agent of the landlord, you might be able to do so. If, for example, that particular worker had previously insulted you in your apartment, or had attempted to steal from you there, you could probably refuse entrance and request the landlord to send a different worker to do the job. But in general the landlord may choose his or her agents, and if it is a reasonable for an agent to be admitted, you must admit whatever agent the landlord sends. You can probably demand reasonable notice, depending on the terms of the lease. You may be able to demand to be present when the agent is to be in the premises, again depending on the lease. But I fo not think that the tenant can arbitrarily choose which agent the landlord will use.
What exactly is a "title of nobility" under the US Constitution? Article 1, sections 9 & 10 of the US constitution prohibit granting titles of nobility by the federal government or the states. What exactly is a title of nobility for these purposes? Why is (say) the title of "Kentucky Colonel" not considered a title of nobility as opposed to some theoretical knighthood that could be granted by the state of Kentucky?
Overview Generally speaking the Titles of Nobility clauses in Article I, Sections 9 and 10 of the U.S. Constitution, were aimed at barring hereditary grants of special privileges which is what it means by "Titles of Nobility". In particular, it was mostly aimed at preventing a monarchy from arising in the U.S. This said, there is extremely little case law directly interpreting the the Titles of Nobility clauses, mostly because neither the federal government in the United States, nor any state, has shown much inclination to grant titles of nobility. Most cases discuss the Titles of Nobility clauses in order to interpret other clauses of the constitution (usually in dissenting opinions as part of a parade of evils). A Titles of Nobility amendment to the U.S. Constitution was also proposed in 1810, but never adopted, although many conspiracy theories claim that it was adopted and is in force. This would have automatically revoked the citizenship of anyone awarded a title of nobility. As Wikipedia explains: It has been claimed that the Titles of Nobility Amendment became part of the Constitution. It was erroneously referred to as the Thirteenth Amendment in some early 19th century printings of the Constitution.2[9] Between 1819 and 1867 the statutory law code of Virginia included it as well.[10] The term "Thirteenthers" has sometimes been used in recent years to refer to those who mistakenly believe this amendment was ratified in the 1810s, and also for those who today wish to see this amendment adopted.2 This misconception has become significant because it is yoked with another misconception—that a lawyer's use of the word or abbreviation of "Esquire" after his name is a title of nobility acquired from a foreign power—and so some litigants and others have tried to assert that lawyers have lost their citizenship or are disqualified from public office. Consistent with the discussion below, the title "Esquire" for lawyers as used in the United States, is not a title of nobility because it cannot be passed on to the children of the people who hold it (in either English or American usage) and because it does not, in U.S. usage, at least, confer legal privileges on a hereditary basis. (In 19th century English usage, certain sons of nobles who do not have a noble title themselves were properly addressed "Esquire" and some minor privileges may go with that title, so in that context it may have historically been a Title of Nobility even though this has never been part of the American use of the term "Esquire.") Black's Law Dictionary (5th ed. 1979) defines "Nobility" as follows: In English law, a division of the people, comprehending dukes, marquises, earls, viscounts, and barons. These had anciently duties annexed to their respective honors. They are created either by writ, i.e. by royal summons to attend the house of peers, or by letters patent, i.e. by royal grant of any dignity and degree of peerage; and they enjoy many privileges, exclusive of their senatorial capacity. Letters patent still exist in both English and American law and primarily refer to document in the nature of a deed that transfers real estate from the sovereign to a private individual. The connection is that most (although not all) titles of nobility were personal rights incident to being the feudal owner of a parcel of land (the right to say who inherits land from an individual was originally entirely governed by law without the discretion of the owner to give it to someone else, but this was reformed gradually in the "early modern" period of English history and was fully reformed by the Victorian era except as to the titles of nobility historically associated with the land). Titles of Nobility are hereditary. An appointment to a position for life (the moral equivalent of a "Life Lord" in England or a Senator in the Canadian Parliament, or a federal judgeship in the U.S.) is not prohibited. But, no rights, other than citizenship or a right to an inheritance (in the absence of a will providing otherwise), that is hereditary may be granted. The Framers of our Constitution lived at a time when the Old World still tolerated in the shadow of ancient feudal traditions. As products of the Age of Enlightenment, they set out to establish a society that recognized no distinctions among white men on account of their birth. See U.S.Const., Art. I, § 9, cl. 8 ("No Title of Nobility shall be granted by the United States"). Fullilove v. Klutznick, 100 S.Ct. 2758, 448 U.S. 448, 65 L.Ed.2d 902 (1980) dissenting opinion at Footnote 13 (overruled on other grounds). This case discusses citizenship issues. And similarly: Such pure discrimination is most certainly not a "legitimate purpose" for our Federal Government, which should be especially sensitive to discrimination on grounds of birth. Distinctions between citizens solely because of their ancestry are, by their very nature, odious to a free people whose institutions are founded upon the doctrine of equality. Hirabayashi v. United States, 320 U.S. 81, 100. From its inception, the Federal Government has been directed to treat all its citizens as having been "created equal" in the eyes of the law. The Declaration of Independence states: "We hold these truths to be self-evident, that all men are created equal, that they are endowed by their Creator with certain unalienable Rights, that among these are Life, Liberty and the pursuit of Happiness." And the rationale behind the prohibition against the grant of any title of nobility by the United States, see U.S.Const., Art. I, § 9, cl. 8, equally would prohibit the United States from attaching any badge of ignobility to a citizen at birth. Mathews v. Lucas, 96 S.Ct. 2755, 427 U.S. 495, 49 L.Ed.2d 651 (1976) dissenting opinion at footnote 3. This case discusses illegitimacy discrimination. Some state constitutions use the phrase "no title of nobility or hereditary emolument, shall be passed," which emphasizes the hereditary component. Titles of Nobility confer legal privileges. Titles of Nobility in U.K. law at the time the U.S. Constitution was adopted in 1789, among other things, conferred immunity to a trial by an ordinary jury and instead gave rise to a jury of one's peers (i.e. other nobles of the same rank or higher) if one was charged with a crime. This was enshrined in the Magna Carta of 1215 CE. This logic is still retained on a residual basis in U.S. courts-martial where a court martial proceeding of an officer can only be tried by other officers (who must be of equal or greater rank, if possible). 10 U.S.C. § 825. The historical link between the two concepts is that the British aristocracy derives mostly from grants of feudal rights to members of the conquering Norman army in 1066 CE proportionate to military rank and in accord with military hierarchy with modest modifications over time. The goal of the prohibition of Titles of Nobility was to prohibit titles of nobility that gave someone an unequal status in law in this fashion. So, a mere honorary recognition would be distinguished from a title that gave someone rank and privilege (on a hereditary basis). A dissent in the famous Dred Scott case, to which the birthright citizenship clause of the 14th Amendment enacted less than a decade later was a response, illustrates the concern: It is, in effect, whether the Constitution has empowered Congress to create privileged classes within the States, who alone can be entitled to the franchises and powers of citizenship of the United States. If it be admitted that the Constitution has enabled Congress to declare what free persons, born within the several States, shall be citizens of the United States, it must at the same time be admitted that it is an unlimited power. If this subject is within the control of Congress, it must depend wholly on its discretion. For, certainly, no limits of that discretion can be found in the Constitution, which is wholly silent concerning it; and the necessary consequence is, that the Federal Government may select classes of persons within the several States who alone can be entitled to the political privileges of citizenship of the United States. If this power exists, what persons born within the States may be President or Vice President 60 U.S. 578 of the United States, or members of either House of Congress, or hold any office or enjoy any privilege whereof citizenship of the United States is a necessary qualification, must depend solely on the will of Congress. By virtue of it, though Congress can grant no title of nobility, they may create an oligarchy, in whose hands would be concentrated the entire power of the Federal Government. Dred Scott v. Sandford, 15 L.Ed. 691, 60 U.S. 393, 577-578 (1857) dissenting opinion (majority opinion subsequently overruled and superseded by constitutional amendment). In this infamous case: The United States Supreme Court decided 7–2 against Scott, finding that neither he nor any other person of African ancestry could claim citizenship in the United States, and therefore Scott could not bring suit in federal court under diversity of citizenship rules. Moreover, Scott's temporary residence outside Missouri did not bring about his emancipation under the Missouri Compromise, which the court ruled unconstitutional as it would "improperly deprive Scott's owner of his legal property." The primary concern was that the United States not become a monarchy. In the debates of the Federal Convention Benjamin Franklin discusses his "apprehension" that the government of the States may "end in a Monarchy" and describes this possibility as "Catastrophe." See JAMES MADISON, NOTES OF DEBATES IN THE FEDERAL CONVENTION OF 1787 REPORTED BY JAMES MADISON 32 (Adrienne Koch ed., 1966) (1927) at 53. John Dickenson, although noting the merits of limited monarchy, stated: "A limited Monarchy however was out of the question. The spirit of the times-the state of our affairs, forbade the experiment, if it were desireable." Id. at 56-57. Edmund Randolph noted that the "permanent temper of the people was adverse to the very semblance of Monarchy," id. at 58, and argued against a single executive, regarding it "as the foetus of monarchy." Id. at 46. Conclusion Since a Kentucky Colonel, or a Prom King, or an Apple Butter Queen or what have you, are merely honorary without conferring legal rights and privileges, and are not hereditary, they do not constitute true Titles of Nobility in the constitutional sense. This is so even though a Kentucky Colonel is appointed by Letters Patent in a manner that apes the process by which Titles of Nobility were awarded in English law at the time that the Titles of Noblity Clause was enacted.
Before getting into the technical answer to this question it is worth noting that when matters of a constitutional nature are involved then in practice it is not just a matter of a technical "legal" answer. Students and academics like to pose hypothetical questions such as "What would happen if the Queen refused assent to a Bill?" or "If Parliament is supreme, could it abolish the courts?" etc. The practical reality is that a liberal democracy, such as ours, ultimately relies on those in positions of power to respect the democratic conventions and preserve the constitution. When there is a legal angle to some constitutional issue the courts will play their part but, whatever legal analysis their judgments may contain, they will always have in mind the importance of maintaining our democratic system. It is also worth noting that where an Act contains an "ouster" clause (saying that a certificate of X shall not be questioned in any court of law) the courts always find a way to interpret that so that it does not apply in any case where the courts think they should adjudicate! Those preliminaries out of the way, I think the technical legal answer to your question is that first of all the Speaker decides and provides a certificate under s.2(2). You will see that s.2(1) deals with "any other bill" (your third bullet point) and s.2(2) requires a certificate from the Speaker that "the provisions of this section have been duly complied with" (i.e. that it is indeed in the "any other bill" category). Of course there is a further question of whether, if the Speaker gets it wrong, the courts could intervene and exactly how that might happen (the so-called "John Bercow question" of what if a Speaker goes rogue), but the initial technical answer to you question is "the Speaker of the House of Commons".
Article IX, Section 5 of the constitution says: Removal by impeachment or address. Every person holding any civil office under this State, may be removed by impeachment, for misdemeanor in office; and every person holding any office, may be removed by the Governor on the address of both branches of the Legislature. But before such address shall pass either House, the causes of removal shall be stated and entered on the journal of the House in which it originated, and a copy thereof served on the person in office, that the person may be admitted to a hearing in that person's own defense. This provides at least some mechanism for removing an AG. A subcomittee of the Judiciary Committee of the Maine Legislature reports here on the broader question of tenure of office. p. 5 opines that "Many members of the executive branch of Maine government hold their offices at the pleasure of the Governor and may be removed from office by the Governor's direction to vacate". p. 6 then holds that "For civil officers whose tenure is set by the Constitution, removal from office may only occur through impeachment or address," and the Attorney General is enumerated as one of those Constitutional Officers (referencing Article IX Section 11). The State of Maine web page says that there are three branches of government plus three constitutional officers (state, treasurer, AG) and one statutory officer, thus the AG is not part of the executive branch (and thus the AG does not serve at the pleasure of the Governor).
The Constitution only regulates the powers of the government; it doesn't directly say what the people can and can't do. In particular, it doesn't say directly that nobody except Congress can coin money. However, it does give the government the power to make laws, which are binding on the population. So Congress possibly could make a law forbidding cryptocurrencies, or at least regulating them, under the "regulating the value thereof" clause. However, they haven't done so. In the case of the Liberty Dollar, there are some specific laws that apply. They were convicted of violating 18 USC 485, which forbids the making of physical gold or silver coins that resemble US or foreign money, and 18 USC 486, which forbids creating or passing any physical metal coins as money (as well as other conspiracy charges, aiding and abetting, etc). None of these laws apply to cryptocurrency because they are not physical metal coins. Given that Congress has been explicitly given the power to coin and regulate the value of money in the United States, how are cryptocurrencies, such as Bitcoin, Ethereum, and Basis created, distributed, and redeemed such that they have not been found unconstitutional? The power to regulate includes the power to not regulate. As a slight tangent, what laws allow for the creation and distribution of cryptocurrencies? In a free society, "everything is permitted that is not forbidden". We don't need a law specifically allowing the creation and distribution of cryptocurrencies; it's sufficient that there is no law that forbids it.
5 CFR 2635.102 provides definitions for 5 CFR Part 2635 (which contains 5 CFR 2635.502). (h) Employee means any officer or employee of an agency, including a special Government employee. It includes officers but not enlisted members of the uniformed services. It includes employees of a State or local government or other organization who are serving on detail to an agency, pursuant to 5 U.S.C. 3371, et seq. For purposes other than subparts B and C of this part, it does not include the President or Vice President. Status as an employee is unaffected by pay or leave status or, in the case of a special Government employee, by the fact that the individual does not perform official duties on a given day. Subparts B & C pertain to gifts and range from §2635.201-304, whereas the section you are asking about is in Subpart E. So §2635.502 expressly does not apply to the VP. The "why" part is more challenging. The statutory authority invoked for these regulations is 5 USC 7301, 7351, 7353, 5 USC App, acts passed by Congress. The rule-making rationale is in 57 FR 35042, which does not overtly invoke any specific statutory authority for this specific item. In contrast, Subpart B is the implementation of 5 USC §7353, which governs gifts to federal employees, and (d)(2) of that section says the term "officer or employee" means an individual holding an appointive or elective position in the executive, legislative, or judicial branch of Government, other than a Member of Congress. In other words, the mixed definition of "employee" (the VP is an employee only for subparts B, C) under the regulations is because Congress passed some laws that included the VP, but did not pass a law that required non-appearance of conflict. Such a regulation would be within the authority given the president in 5 USC 7301, which simply says that "The President may prescribe regulations for the conduct of employees in the executive branch". Since there is no Congressional authority to subject the VP to 5 CFR 2635.502, it is written to exclude that person (also the president).
As the article suggests, this is called adverse possession. This seems to have occurred because the original owner did not make use of the property, nor monitored for adverse possession. The reason this method of acquiring title exists is for a number of reasons, including the prudent use of land, as well as being analogous to a limitation on the time period during which a claim can be brought. It would be reasonably easily avoided if the original owner had made use of the property, or monitored it and took action to eject the adverse possessor prior to their fulfilment of the necessary conditions.
From Roberts' dissenting opinion: Although the policy arguments for extending marriage to same-sex couples may be compelling, the legal arguments for requiring such an extension are not. The fundamental right to marry does not include a right to make a State change its definition of marriage. And a State’s decision to maintain the meaning of marriage that has persisted in every culture throughout human history can hardly be called irrational. In short, our Constitution does not enact any one theory of marriage. The people of a State are free to expand marriage to include same-sex couples, or to retain the historic definition. (The Due Process Clause is not a guarantee of every right that should inhere in an ideal system.) In my opinion, this quote speaks as much to the second question as the first. Assume (hypothetically) for a moment that question one was not at issue. If a state defined marriage as only between opposite sexes, and the right to make a state change its definition of marriage is not in the Supreme Court's purview (in our hypo), then the state is as free to reject the validity of marriages abhorrent to its laws, performed elsewhere, as it is to deny the right to marry under its theory of marriage.
It's supposed to be carte blanche, i.e. "blank check". The quotation has left out several words. You can find the full decision at https://supreme.justia.com/cases/federal/us/458/176/case.html. The complete sentence is: It thus seems that the dissent would give the courts carte blanche to impose upon the States whatever burden their various judgments indicate should be imposed.
When does it become illegal to exchange bitcoin for cash? I've read several "stings" and raids for running unlicensed money transfer businesses for people buying and selling bitcoin on localbitcoins. All of the articles are extremely vague and don't explain exactly when it becomes illegal. Is there any direct source or any laws with numbers? Is it one transaction over $10,000 that's illegal, or anything adding up to $10,000 or just whoever the police feel like arresting that's selling a lot. 1 2 3 4 What about when someone buys with stolen money or money from illegal proceeds. Did you commit a crime if you sell bitcoin to someone and the money is stolen, or the gift cards are stolen?
When does it become illegal to exchange bitcoin for cash? When the transaction purposefully skips the controls in place regarding anti-money laundering. Generally speaking, the issue is not the mere involvement of cryptocurrency in a transaction, but the crimes a wrongdoer seeks to camouflage or conceal by means of cryptocurrencies. Such crimes typically involve money laundering, identity theft, stolen card numbers, and the like. As quoted in one of the links you provide, "[t]he use of bitcoins in the transactions is a new technological flourish to this very old crime". Is there any direct source or any laws with numbers? Apropos of your first link, mentioning that "a Florida judge threw out money transmitting charges against a bitcoiner" (see also here), I will point out that the court's dismissal of charges against that defendant has been reversed early this year. See State v. Espinoza, 264 So.3d 1055 (2019). Although the judges' narratives of a case are questionable and/or sloppy and to be taken with a grain of salt, the appellate decision cites language from Florida legislation as applicable to virtual currencies (and, impliedly, cryptocurrencies). You will notice that the focus in the Espinoza decision is the interpretation of Florida Statutes in its sections 560.125(1) and (5)(a) (regarding unauthorized vendors), and 560.103(21), (29) (defining monetary value as "a medium of exchange, whether or not redeemable in currency"). As usual, each legislation may present subtle and/or fundamental variations. For instance, the court in Espinoza at 1065 identified that federal law is inapplicable there in that 31 C.F.R. § 1010.100(ff)(5)(i)(A) contemplates that "the transmission of currency, funds, or other value that substitutes for currency to another location or person by any means" (emphasis added), and Espinoza's transaction(s) did not involve a third party. By contrast, the Florida statute does not allude to third parties in that transmission of monetary value, hence preventing the statutory sanctions from being preemptively foreclosed in the matter of Espinoza. What about when someone buys with stolen money or money from illegal proceeds. Did you commit a crime if you sell bitcoin to someone and the money is stolen, or the gift cards are stolen? That also depends on the jurisdiction and the facts of the case. In Espinoza, he was allegedly informed that the cash he received (or was about to receive) in exchange for bitcoins "derived from engaging in illegal activity and that [the buyer] was planning to use the bitcoins to engage in further illegal activity", Espinoza at 1058. The court highlighted the State's argument that "dismiss[ing] a charge of money laundering is improper because money laundering requires intent" (emphasis added), which is sanctioned by section 896/101(3)(c).
Yes you would. Bitcoin is a form of property right or asset, just like any other form of wealth. And, income is a positive increase in the sum total of your property rights. You might be able to take deductions in connection with whatever you parted with in order to obtain a bitcoin, depending on the transaction, just as you might be able to take a deduction for inventory expenses associated with income in the form of money.
No, this isn't legal. Had you authorized the purchase, then it would have been legal; this is similar to a store credit for returns without a receipt. But since you claim they charged you in error and you did not authorize the transaction, then they must refund the money directly to you (unless you agree to another method of compensation). In fact, a direct refund should have been the default unless they gained your permission to receive it in a different form. Why are you unable to contact the company? That seems like the simplest resolution so this.
This would be wire fraud, which is any type of fraud committed using electronic communications (the term originally comes from the use of telegrams to commit fraud... just like how "wiring" money devised from paying the bill at one telegram station and having the bill collector take an equal amount of money from a different station.). Wire Fraud is basically a fraud crime over electronic communications, so it doesn't matter how you defraud someone, the fact that you did it in this manner is guilty... using a bank system to fraudulently create more money in your digit account would qualify. The bank would be the victim since it does have a set amount of money in assets that it owes to its customers (account holders) and Federal Insurance (which prevents the Bank Run scene in "It's a Wonderful Life" from happening) requires the bank to carefully keep books. Additionally, Wire Fraud comes with a $100,000 fine against the perpetrator for committing the crime where a financial institution is a victim, so it's in the Bank's interest to report a sudden income surge of fake dollars to the authorities lest they have to pay the fine out of their own pocket, risk their federal insurance, or lose their consumer confidence with account holders (who will pull their money and go to a more honest bank).
Would a marketplace for trading receipts be legally allowed to operate? Yes, or at least I think so, since it is highly doubtful that any legislation outlaws receipts trading. Unlike other documents, there is no commonplace notion that receipts are secret, non-transferable, or even private. For it to be actionable, the marketplace would have to engage in, or openly promote, practices which are "more unequivocally" illicit. The possibility that some people might pursue receipts for tax fraud, enjoyment of unearned rights, or other illegitimate purposes does not imply that trading of receipts in and of itself is unlawful. For instance, a person might come up with a bizarre --but nonetheless plausible-- hobby of collecting receipts with certain sequences of figures.
It's illegal under US law. 18 U.S. Code § 478 says: Whoever, within the United States, with intent to defraud, falsely makes, alters, forges, or counterfeits any bond, certificate, obligation, or other security of any foreign government, purporting to be or in imitation of any such security issued under the authority of such foreign government, or any treasury note, bill, or promise to pay, lawfully issued by such foreign government and intended to circulate as money, shall be fined under this title or imprisoned not more than 20 years, or both. There are several similar laws for similar crimes: § 479 - Uttering counterfeit foreign obligations or securities § 480 - Possessing counterfeit foreign obligations or securities § 481 - Plates, stones, or analog, digital, or electronic images for counterfeiting foreign obligations or securities § 482 - Foreign bank notes § 483 - Uttering counterfeit foreign bank notes § 488 - Making or possessing counterfeit dies for foreign coins § 502 - Postage and revenue stamps of foreign governments According to version of the South Sudan penal code I was able to find, counterfeiting is illegal. But if I understand section 7 correctly (which I might not), most counterfeiting is not prosecutable under South Sudan law if it is not done in South Sudan. Having a counterfeit revenue stamp, however, would be, as would fraudulently altering a coin. Given that there's not an extradition treaty and that it's already illegal under US law, this probably doesn't matter much, though
In general, you still need to pay for the drink. If you had purchased the drink (on credit, ie a tab or similar as you appear to have done), and you had offered the vendor CASH, and he had refused, [if you can prove you offered him cash] he would be unable to pursue you for the debt (technically you would still owe it to him, but as he had declined government issued tender the government won't act on his claim, so he has no remedy available to him to extract payment - although he can refuse to serve you in future etc). Paying through a debit card is not the same as paying cash - although the money goes out of your account and into his, its not "legal tender" in the same way cash is.
I am unfamiliar with specifically US laws on this but under common law (which US law is derived from) there is the crime of "Theft by Finding", however, because you turned it over to the authorities who, after the required time period were unable to find the rightful owner, the money becomes yours. However, you still have to pay your taxes on it: http://www.foxbusiness.com/personal-finance/2014/07/03/found-money-is-awesomebut-must-pay-uncle-sam/ As far as I can see, income is income whether it comes as cash, diamonds or long lost antiques. As far as the money laundering aspect, that is something the authorities would need to prove - as opposed to you just being lucky.
Why do agreements contain clauses already covered by the law? Many times, lawyers include clauses in a contract that is already covered by the law. For example recently, a customer's lawyer wanted to add a clause to our service agreement that in summary says "we will comply with data protection laws, anti-bribery laws, etc." Our contract is not above the law and we, as a service or product supplier, already have the obligation to comply with these laws. Why the need to add them to the contract ?
When your company breaks a law, then that's first and foremost a matter between your company and the legal authorities. Your company might have to pay a fine to the government, you might lose some licenses, a couple people might even go to prison, etc.. But none of that benefits your customer in any material way. But when they put your obligations to comply with the law in the contract, then they have a much easier time to hold you liable for any damages they had because your company broke the law.
The general rule is that you must comply with all laws. The first thing that means is that you are required to know what the law is, thus ignorance of the law is not a defense for not complying. There are some special circumstances regarding notice, so a law must have been published. Second, whatever the law requires you to do, you have to do it, regardless of any difficulty you might encounter (e.g. you have to pay your taxes even if you don't have enough money). Suppose that a law is so onerous that it is literally impossible to obey it: you still have to obey the law. You have to file a lawsuit against the government challenging the constitutionality of the law, to get the law overturned. Frequently, more requirements are imposed on businesses than on individuals, but there is no legal difference between impositions on individuals and impositions on businesses in terms of laws being difficult to comply with.
One of the conditions for a contract to be enforceable is that its undertakings must be legal. This would mean that you cannot, contractually, be indemnified for murder - at least, not in any jurisdiction where homicide is illegal.
The court's job is to resolve the dispute. The parties are in court specifically because there isn't agreement on what the terms of the contract were or even if there is a contract at all. If one of the parties contends that there is no contract then the court will have to determine if there is or isn't. Even if both parties agree there is a contract the court will need to satisfy itself that there is. This is a jurisdictional matter; in the absence of a contract the court can't make a ruling. Having decided there is a contract, there is something about the contract they don't agree on - if they agree then why are they in court? Each party will state their position on the dispute and provide evidence that supports that position. The court will decide based on the evidence and on the balance of probabilities which version is more correct. It is a given that the parties are in dispute about the exact terms of the contract, whether this was because of an initial misunderstanding, someone didn't read it or someone saw an opportunity to screw someone else doesn't matter. The court will decide what it thinks the parties thought (or should have thought) at the time on the basis of the evidence and the law.
The formation of a contract occurs at the point where an offer is made and accepted by a person to whom it was made. The acceptance must be in reliance of the offer - if you don’t know the offer has been made you cannot accept it because you lack the intent to create a legal obligation. The reward for the lost dog is the textbook example. A real example is R v Clarke (1927) 40 CLR 227 in the High Court of Australia.
A severability clause means that any clause in the contract which is itself illegal, or which would make the contract illegal, or otherwise cannot be enforced according to the relevant law, is instead excluded from the contract as if it didn't exist. This is an extremely common clause, especially where the contract is used in the same form across multiple jurisdictions. The law of these jurisdictions may differ e.g. in the ability for consumers to opt out of class action against harmful effects or for companies to provide no guarantee of longevity in a product. This clause does not change the prerequisites, requirements, rights or obligations under the contract. The conditions must still be met for the remaining terms to have force.
A business must be incorporated for a legal purpose (reason), and that reason must be stated when the business is registered; but that purpose can be to be incorporated and exist as a business. It's common for businesses to be registered "for the purpose of conducting lawful business."
Simply being confusing is not enough to make a contract unenforceable. The law generally operates on the premise that people can understand statutes, regulations and contracts, and that if they don't understand a contract, they won't agree to it. Therefore, if they agreed, they understood: this is a fundamental premise of contract law. However, there are a couple of loopholes, "unconscionability" and "public policy", which could provide an escape. In the proposed scenario, we would assume that there is a huge difference in bargaining power between the customer and company, that some term is unfair (a highly subjective matter reduced to expressions like "shocks the conscience"), and the language of the contract is clearly confusing. "Public policy" generally involves a requirement in a contract that is statutorily prohibited: either the required action is itself illegal, or the law has banned any such clauses in a contract (very commonly, residential leases are statutorily prohibited from including clauses waiving statutory protections of rights). I think that if a contract for some internet thing (e.g. an ISP) had a clause that "unahitaji kukulipa $1 kwa kila siku unayotumia huduma zetu" (you must pay $1 for every day you use the service) that this is not a shocking price, so the contract would be enforceable, even if it ought to be a bit confusing.