Maidan Nezalezhnosti in 2013. RJ Peltz-Steele CC BY-NC-SA 4.0.
Via Lonely Planet and The Points Guy, a way for the free expression-minded among us to support Ukraine: The Kyiv Independent (Twitter) is doing English-language journalism from Kyiv, where it is a leading source of information for Europeans and Americans. The paper was formed by The Kyiv Post editorial staff that covered the Maidan revolution in 2014. Support can be offered through Patreon and GoFundMe.
Russia is attacking Ukraine. We are staying on the ground and bringing you the news you can trust. Support us so that we can continue working for you GoFundMe https://t.co/2rQHaZEpko, Patreon https://t.co/iNjWfwvs1X. Crypto: BTC bc1q444wayyye4jke3ty87sdvm77dwkysz9hwcyu6u
The Eternal Love monument in Mariinsky Park in Kyiv commemorates an Italian POW and Ukrainian forced laborer who fell in love amid World War II, and then were separated by the Iron Curtain for 60 years. The Guardian and DW have more. I took this photo on a grand walkabout during my first visit to Kyiv in 2013. (CC BY-NC-SA 4.0.)
I've been away from blog duty for some weeks because of a busy
presentation agenda this month. But I have a list of items pending, and
I look forward to returning to writing and sharing what I've learned. Meanwhile, I am distraught by events in Ukraine. I have family from Kamianets-Podilskyi.
The Beijing Olympics opened Friday, and conventional wisdom suggests that the chess game playing out in Eastern Europe will not heat up until the Olympics ends on Sunday, February 20. Nervous speculation abounds on what the following week might bring. Meanwhile, 3,000 American troops are deploying to Poland, Romania, and Germany.
February 24 thus seems an opportune time to learn something more about the complicated history of the region that is the focus of the world's attention. The Lemkos ethnic group, at home in the Carpathian mountain range, sits at a curious crossroads. With communities spanning Poland, Ukraine, and Slovakia, the Lemkos are an important piece of the region's multicultural story. Oppressed by the Soviet Union, they are something of a mirror image of the intercultural wedge that Vladimir Putin is now driving to fragment Ukraine in the east.
Carpatho-Rusyns, including Lemkos at left, celebrate a cultural day in 2007. (Photo by Silar CC BY-SA 3.0)
Professor Jan Pisuliński, a historian at the University of Rzeszów, will deliver the lecture, "Lemkos and Ukrainians," the fourth in a series on "Ethnic Minorities in Polish Lands." Pisuliński is author of the book Special Operation "Vistula" (Akcja Specjalna 'Wisła') (2017) (Amazon), the definitive account of the forced resettlement by the Soviet Union in 1947 of 140,000 to 200,000 persons, mostly ethnic minorities including Lemkos, from the Carpathians to western Poland. With the resettlement, the Soviets dismantled post-war guerilla resistance in the region. On the northern edge of the Carpathians and in the southeast of Poland, Rzeszów is about 100km by highway form Ukraine's western border.
The annual world summit "INBUSH ERA 2022" will be virtual this year, February 23 to 25, and host Amity University is maximizing the advantage of the digital platform with a truly global program.
This year marks the 22nd installment of the International Business Summit & Research Conference (INBUSH ERA). The year's theme is "Nurturing People, Purpose, Partnerships, Planet & Performances for Creating Sustainable World Class Organizations." Host Amity University is a prominent network of private universities in India, and the conference will be online and hybrid, based at the university's flagship campus at Noida, Uttar Pradesh, near Delhi.
Yesterday I had an organizational call with my colleague Professor Marut Bisht, who is elbow deep in planning academic components of the conference. I look forward to offering a perspective on transnational communication regulation on a U.S.-focused panel beginning on Thursday, February 24, at 1330 GMT. The same panel will recognize and welcome remarks from:
Prof. Srikant Datar, Dean of the Faculty, Harvard Business School
Dr. Sam Pitroda, Indian engineer, business executive and policymaker, and ex-chairman of the National Knowledge Commission
Prof. Pradeep K. Khosla, Chancellor of University of California
Prof. Andrew D. Hamilton, President of New York University
Mr. Sabeer Bhatia, Co-Founder at ShowReel
Dr. Punam Anand Keller, Senior Associate Dean Innovation and Growth at Dartmouth College
Dr. Jagdish Sheth, Charles H. Kellstadt Professor of Business, Goizueta Business School, Emory University
Prof. Supriya Chakrabarti, Director of the Lowell Centre for Space Science and Technology, University of Massachusetts, Lowell
Prof. Gurpreet Dhillon, Farrington Professor of IT and Decision Sciences at University of North Texas
Prof. Raj Mehta, Vice Provost for International Affairs, Director University Honours Program, Professor of Marketing, Carl H. Lindner College of Business, University of Cincinnati
Prof. Yahya R. Kamalipour, Professor of Media and Communication, Department of Journalism & Mass Communication, North Carolina A&T State University
Dr. Shailesh Upreti, Chairman iM3NY, New York
INBUSH ERA 2022 also incorporates a "Happiness Conference" with speakers including Ben Smith, head of research and innovation for the Chelsea Football Club.
Dr. Verma has joined the University College of Bahrain as Vice President for Academic Affairs. The university is a non-profit, English-language institution in the Kingdom of Bahrain, modeled after U.S. and Canadian higher education in the liberal arts tradition. The university's leading programs are in business administration, information technology, and communications and multimedia.
An accomplished scholar himself in mass communication, Dr. Verma has been a friend and stellar colleague of mine for many years. His enthusiasm and determination to collaborate across borders is almost singularly responsible for sparking my enduring interest in communication law and policy on the Indian subcontinent and in the Middle East. I've been privileged firsthand to witness Manish's intense devotion to his students, and they respond with adoration in kind. I expect that that teacher's spirit will animate his service in administration, where such spirit is so often sorely needed.
Closer to home, for me, attorney Kristine Goodwin has been named Vice President of Student Affairs at Western New England University. Located in Springfield, Massachusetts, Western New England is a vital provider of access to higher education in its region. In addition to the WNE School of Law, led by the talented Dean Sudha N. Setty, the university boasts colleges in arts and sciences, business, engineering, and pharmacy and health sciences.
Attorney Goodwin has more than three decades' experience in higher education. That career was already well underway when she went to law school, so I cannot quite claim that my Torts I and II classes made all the difference. It was rather my privilege to have around her magna cum laude appetite for learning. She was a university administrator in my home state of Rhode Island while she went to law school. She generously provided me with guidance and resources when I served on a university committee formulating personnel policy.
I hope leaders at University College of Bahrain and Western New England University, and students in Bahrain and Massachusetts, know how lucky they are.
The differences and similarities between the United States common law
concept of “right to work” and the modern development in France of the
right to withdraw labor following the “Yellow Vest” movement in 2018
demonstrate a parallel diminution of workers’ rights. These changes are
motivated by the same values inherent within capitalism that are
superimposed through the law. This Article analyzes the social and legal
contexts in both countries that demonstrate that the superimposition of
these values through law is a continuing modern western trend. The key
difference is that while the French model is designed to decrease the
pressure for strike actions by workers, it also serves as a protection
to workers as compared with the American model which exists as a tool to
remove workplace protections by substantially altering the terms and
conditions of employment. Further, this Article demonstrates that these
concepts are both divergent and convergent in terms of core shared
values and the peripheral aspect of laws setting cultural norms. This
Article then concludes through comparative analysis that while the
French right to withdraw labor is a product of legislative supremacy,
and the American view within the common law is that at-will employment
is the standard, the French model is a product of generations of social
negotiations. The American model is a product of the easily swayed
influences within the common law that allow a new legal theory with
little to no precedential value at the time of its proposal to be
adopted in sweeping fashion with very little civil discourse.
An attorney living and working in Rhode Island, Wazlavek (blog, LinkedIn, Twitter) presently serves as a contract coordinator for Teamsters Local 251. It's not uncommon to see him on a Rhode Island street corner alongside sign-wielding workers. He had already a wealth of experience in the labor movement before he went to law school. He taught me a great deal about organized labor—its value when it works the way it's supposed to—and I was able to contribute torts and comparatism to his impressive repertoire.
The Pond started as a paper in Comparative Law, co-taught by an embedded librarian, the esteemed Dean Peltz-Steele, and me and tracks one of many remarkable parallels in the cultural evolution of the United States and the French Republic. Just yesterday I read Rachel Donadio's fascinating treatment of secularism, or laïcité, in The Atlantic. Observing the shared roots of the French principle with American anti-establishment doctrine, Donadio observed:
The histories of few countries are as deeply intertwined as those of France and the United States. Both nations are products of the Enlightenment, and each sees itself as a beacon among nations. Both embody a clear separation of Church and state. In the United States, the separation is defined by the establishment clause of the First Amendment, which prohibits the government from making any law "respecting an establishment of religion" or obstructing the free exercise of religion. The First Amendment was inspired by the earlier Virginia Statute of Religious Freedom, adopted in 1786, the work of Thomas Jefferson. Jefferson was ambassador to France when the French Revolution began, and the Marquis de Lafayette consulted him when drafting the revolutionary Declaration of the Rights of Man and Citizen, passed in 1789. Article 10 of that document states, "No one may be disquieted for his opinions, even religious ones, provided that their manifestation does not trouble the public order."
A shared legacy on labor regulation might not be traced so easily to the 18th century, but I would contend that American and French thinking about work and life is plenty in common. Wazlavek maps that common cultural territory, and the article examines the social and economic forces that have prompted divergence, largely to the hazard of the American worker, and yet some recent convergence that prompted the Yellow Vest movement.
On Wednesday, Paramount's late-night television kindly obliged my classroom teaching with two legal references, one fit for my Wednesday torts class, and another for my Thursday comparative law class.
First, a gift for Torts II students, from Stephen Colbert: In a monolog on the retirement of Justice Stephen Breyer, Colbert on The Late Show with Stephen Colbertplayed on the word "torts" to joke about Justice Breyer's stated intention to refine his cooking skills in retirement. "From Torts to Tarts," Colbert said (cue 2:31), suggesting a name and mock cover for a forthcoming Supreme Cookbook.
The U.S. Supreme Court of course does not often deal directly with
torts, or civil wrongs, which are mostly matters of state law in the
United States. It's often a source of misunderstanding for foreign
lawyers and new American law students who must learn that SCOTUS is not "the highest court in the land" (even besides that one) when it comes to torts.
That said, a good deal of tort law finds its way to the federal high court on all kinds of paths. Federal courts routinely apply state law in multi-district litigation, including mass tort claims, and in matters involving both federal and state claims. State tort claims can become mixed with federal questions in problems of constitutional defenses and preemption. Federal "common law" persists in places of original federal jurisdiction, as in maritime matters. And the trial of civil wrongs recognized in federal law, such as civil rights, can borrow the "machinery" of state tort law, both procedural, as in application of a statute of limitations, and substantive, as in apprehension of proximate causation.
Due process / civil procedure / personal jurisdiction: J. McIntyre Machinery, Ltd. v. Nicastro
(U.S. 2011), denying state personal jurisdiction for less than minimum
contact by British machine manufacturer that marketed its product in
United States (Breyer, J., concurring, joined by Alito, J., in plurality
opinion of Kennedy, J., in 6-3 decision)
Due process / punitive damages / product liability: Philip Morris USA v. Williams
(U.S. 2007), holding that federal constitutional due process precludes a
state punitive damages award predicated on injury inflicted on
non-parties, i.e., even like injury on persons like the plaintiff, but
not before the court (Breyer, J., for the 5-4 majority, joined by
Roberts, C.J., and Alito, Kennedy, and Souter, JJ.).
Preemption / product liability / warning defect: Merck Sharp & Dohme Corp. v. Albrecht (U.S. 2019), holding that FDA regulatory decision might or might not preempt state warning defect claim, and question is one of law for the court (Breyer, J., for the majority, in part unanimous, in part 6-3, joined by Ginsburg, Gorsuch, Kagan, Sotomayor, and Thomas, JJ.).
Preemption / product liability / design defect: Williamson v. Mazda Motor of Am., Inc.
(U.S. 2011), holding that flexible federal regulatory standard did not
preempt state claim against automaker (Breyer, J., unanimous decision).
Evidence / experts: Kumho Tire Co. v. Carmichael
(U.S. 1999), extending test for admissibility of scientific evidence to
other technical expertise (Breyer, J., unanimous decision).
Arbitration / class action: Green Tree Financial Corp. v. Bazzle (U.S. 2003), leaving to arbitrator to decide whether to permit class action when arbitration agreement was silent on the question (Breyer, J., for a plurality, 5-4 decision, joined by Ginsburg, Scalia, and Souter, JJ., and Stevens, J., concurring).
The article is Emily Field & Y. Peter Kang, 6 Breyer Product, Personal Injury Opinions Attys Should Know, Law360 (Jan. 27, 2022) (subscription required).
While acknowledging Dinklage's objection as legitimate, Noah admitted, "I've never watched Snow White and found the dwarves offensive. All right? But I do understand what he's talking about. I genuinely do. Because if that movie was called 'Snow White and the Seven Blacks,' I mean, that would be weird."
Noah's take nicely illustrates one dimension of the perspective problem in social research, and it's especially salient in comparative law. Like Noah, I never thought about the seven dwarves as an insulting characterization of people with dwarfism. But after hearing Dinklage's perspective from within the dwarfism community, I can perform a "mental rotation" (to use the psych term) and empathize.
The problem when researching law and society in an unfamiliar context, whether it's a shared physical condition, a religion, or a political state, is that my perspective is shaped by my own limited experience in ways that I might not even be conscious of. The perspective problem can never be entirely eliminated in social research, but it can be mitigated. It's helpful to think consciously about one's perspective to gain some cognizance of the limitations of one's research.
As to the Seven Dwarves of fairy-tale fame, Disney announced that it is "taking a different approach with these seven characters and ha[s] been consulting with members of the dwarfism community." I look forward to what creative minds will yield.
Incidentally, in the same Daily Show, Noah did an excellent piece on insider trading in Congress. Just last week I noted a publication on the subject by Spencer K. Schneider, a former teaching assistant of mine. I added a video embed from Comedy Central to the bottom of that post.
Historical interior of the William Bliss House, 25 Exeter, Back Bay in Boston, constructed 1882-1884: today the private home of the Nemirovsky family. Source: Historic New England.
In a December decision, the Massachusetts Supreme Judicial Court (SJC) reaffirmed the defense-friendly "component parts doctrine" in product liability.
The case arose from a faulty HVAC system installed in plaintiff's 22,000-square-foot Boston home. Evaporator coils in the system repeatedly failed and required replacement, costing the plaintiff hundreds of thousands of dollars, and then substantially more to replace the system in its entirety. The coils themselves were not defective, but a defect in the system's Styrofoam drain pan caused the coils to fail prematurely. The statute of limitations precluded plaintiffs' claims based on sale of the HVAC system, but not claims based on the later sale of replacement coils.
Sensibly, the widely accepted "component parts doctrine" ordinarily relieves from liability the manufacturer of non-defective component parts. However, the SJC explained, citing the Third Restatement, "a component manufacturer may be liable, even if the component itself is not defective, if the component manufacturer is 'substantially involved' in the integration of the component into the design of the integrated product, the integration of the component causes the integrated product to be defective, and the defect in the integrated product causes the harm."
The Superior Court erred, the SJC concluded, in not applying the general rule of the component parts doctrine. The Superior Court had reasoned that the coil manufacturer could be liable because the coils were made specifically for integration into the defective HVAC system and had no standalone functionality. In other words, the product failure was foreseeable to the coil manufacturer. But there are no such exceptions to the component parts doctrine, the SJC held. Intended integration is not the same as the "substantial involvement" contemplated by the Restatement rule. And standalone functionality is not the test to shield a component maker from liability.
The component parts doctrine is widely accepted in the states. There was some hand-wringing over the vitality of the doctrine in 2016 when the California Supreme Court held the doctrine inapplicable when "injury was allegedly caused directly by the [defendant's] materials themselves when used in a manner intended by the suppliers." In that case, a metal foundry worker had developed lung disease, he alleged, as a result of fumes and dust generated by the foundry's use of the defendant's materials in manufacturing. But it was the defendant's materials that caused the disease, even if they had been physically transformed by the foundry. And the specific intentionality attached to the use of the materials closely resembled substantial involvement, tightening the lasso of foreseeability. The decision hardly unsettled the component parts doctrine.
Law students should take care not to confuse the component parts doctrine with "the single integrated product rule." That rule determines when damage to an integrated product can be said to satisfy the injury requirement of product liability. Standalone functionality is relevant to the analysis, but not necessarily dispositive. If a component part is intended for integration into a larger product, and a defect in the component causes damage to the larger product, but no damage beyond the larger product, then the buyer of the defective component cannot meet the injury requirement to sue in product liability. The theory of the rule is that the buyer, anticipating the integration, should protect itself in contract and warranty, rather than depending on tort law. The component parts doctrine rather precludes component manufacturer liability for a non-defective integrated component upon the theory that the component buyer, responsible for the integration, is in the better position to ensure the safety of the integrated product.
In the Massachusetts case, the SJC's decision vacated a $10.6m award. The jury had awarded just under $3.4m in its verdict. Massachusetts does not allow punitive damages at common law, but an expansive statute protecting consumers against misrepresentation, "chapter 93A," subsumes much of what would be separate product liability claims in other jurisdictions and can hit defendants with punishing awards of damage multipliers and attorney fees. Under 93A, the trial court had awarded double damages and attorney fees against defendant Daikin North American for its "willful and knowing" misrepresentation. Daikin NA might not be off the hook entirely, as the SJC ordered a reexamination of its culpability on remand, to disentangle product liability based on defect from product liability based on culpable misrepresentation.
Reversing a problematic and divided intermediate appellate court decision, the Massachusetts Supreme Judicial Court held in December that an at-will, private-sector employee may not be terminated for exercising a statutory right to rebut negative information in the employee's personnel file.
Plaintiff Terence Meehan, an employee discharged by defendant Medical Information Technology, Inc. (Meditech), availed of a Massachusetts statute
that generously empowers an employee to rebut in writing negative
information placed into the employee's personnel file. The purpose
behind the statute is to build a record so that a public authority, such
as the state anti-discrimination commission, can better investigate any
later legal claim of improper adverse action. But the procedural
mechanism of the statute, merely allowing the employee to rebut the
record, does not itself articulate a basis in public policy to resist
termination, the court held.
The Appeals Court had struggled with the case, deciding it 3-2 on rehearing after an initial 2-1 ruling against Meehan. I commented then: The outcome was not inconsistent with American courts' general inhospitality to public policy-based claims of wrongful termination. At the same time, the outcome was discordant with Massachusetts's more liberal disposition on wrongful termination, especially considering the civil rights-protective vein of the rebuttal statute.
The Supreme Judicial Court (SJC) recognized that public-policy constraints on at-will employment termination must be narrowly construed. But constraint
has been recognized "for asserting a legally guaranteed right (e.g., filing a worker's compensation claim), for doing what the law requires (e.g., serving on a jury), or for refusing to do that which the law forbids (e.g., committing perjury)" [SJC's added emphasis].... In addition to these three categories, this court subsequently created a fourth category to protect those "performing important public deeds, even though the law does not absolutely require the performance of such a deed." .... Such deeds include, for example, cooperating with an ongoing criminal investigation.
The rebuttal statute fell in the first category, the SJC held. The trial court and Appeals Court had improperly second-guessed the importance of the statutory right and discounted it for its relation primarily to internal private affairs. Those considerations bear on the fourth category, the court explained. The legislative pronouncement is conclusive in the first category.
Even so, the court opined, the right of rebuttal is important, because it facilitates compliance with other workplace laws, "such as workplace safety, the timely payment of wages, and the prevention of discrimination, and nonemployment-related activity, such as those governing the environment and the economy."
While the lower courts were put off by the legislature's seemingly exclusive express remedy of a fine for non-compliance, the SJC regarded the omission of a retaliation remedy as mere failure to anticipate. "Indeed," the court opined, retaliatory termination "would appear to be sticking a finger in the eye of the Legislature.... We conclude that the Legislature would not have permitted such a flouting of its authority, had it contemplated the possibility."
An employee claiming wrongful termination still has a hard road to recovery. The court emphasized that causation, connecting rebuttal and termination, may raise a question of fact in such cases, and here on remand. Moreover, an employee can overstep and forfeit common law protection. The statute "does not extend to threats of personal violence, abuse, or similarly egregious responses if they are included in the rebuttal."
The federal district court in Montana in December refused to dismiss an informational privacy claim against police, highlighting the space for state law to effect personal privacy protection in the United States.
Plaintiff Harrington was hospitalized after police found her unresponsive in her parked car. In the complaint, she alleged that sheriff's deputies "joked about her incapacitated condition and played along when nurses asked them to guess her blood alcohol content" (BAC). A nurse thereby disclosed Harrington's BAC, and, the complaint alleged, deputies then coaxed the record from a doctor. Harrington was charged with driving under the influence.
Subsequently, Harrington sued county officials and Madison Valley Hospital, the latter on theories of state statutory information privacy and common law invasion of privacy, negligence, and negligent infliction of emotional distress. The hospital sought dismissal on grounds that the federal Health Insurance Portability and Accountability Act (HIPAA), cited by the plaintiff in the complaint, affords no private right of action. The federal district court, per Chief Judge Brian Morris, denied the motion to dismiss, recognizing that while HIPAA does not itself authorize private enforcement, it also does not preclude state law from providing greater privacy protection.
The case caught my attention because its facts point to something for which I've advocated, the use of tort law to fill gaps in informational privacy protection in the United States. The law has not kept up with Americans' expectations of privacy, much less the norms of the world, but the common law should be sufficiently dynamic to reflect the evolving social contract. I see drift in this direction in the expansion of medical fiduciary duty in emerging precedents in the states, such as Connecticut's Byrne v. Avery Center for Obstetrics & Gynecology, P.C., in 2018.
A theory as tenuous as negligent infliction of emotional distress, "NIED," can't usually stand on its own. And tortious invasion of privacy has a poor track record in protecting personal information that is already in limited circulation. However, paired with a medical provider's fiduciary duty and bolstered by a privacy violation recognized in regulation, either tort theory might be ripe for redefinition.