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Legal to dock pay for (alleged) damage to merchandise? I got a temp job to make some money. I quit, as they were docking my pay so much that I made no money. I can't imagine this is legal. First, the backstory. This Virginia toy reseller purchased 20,000 light up necklaces to sell to a theme park. They received the shipment from a distributor in China. When they came in, they realized the breakaway clasp was way to tight. It was extremely hard to snap and unsnap. Essentially, they weren't breakaway. They felt this was a danger, as if the necklace was around someone's neck and it got caught while on a ride, it could be a serious hazard. They found if they used a specific tool, they can shave down the plastic and make it easy to breakaway. That's where the temps come in. Three temps came in to do the work. It was independent contract work and they were paying $0.19 per piece. If a piece was damaged, they were charging $3 per piece, as that is what they were selling it for to the theme park. We settled into an assembly line, where I was unpackaging the necklaces. The next person was shaving them down and the next was getting them ready to be repackaged. We did 1684 in 2 days. At $0.19 per piece, that's $106 per person. Today, they said, 96 of those were unusable. That's a 94% success rate. They said they were charging us the $3 per piece, split amongst the 3 of us. That $288 split three ways, docking us each $96. However, I didn't damage any of the pieces, as I was just unpacking them. Today, we switched to everyone doing their own work. I did 75. Out of those 75, 72 were good, making me $13.68, but losing me $9. A 96% success rate, netted $4.68. At that point, I realized there was no money to be made and I quit. In roughly 2.5 days of work I made $14.68. I asked to talk to the president of the company. I explained the situation and he said those were the rules. I told him I didn't damage any of the first 96 and that with only 3 bad today, I still made no money. He said he "understood where I was coming from." Really? Thanks. I said I would check with a lawyer to see if this was legal. His lips trembled at this. It obviously hit a nerve and he got upset and was close to yelling. He still said that he owed me no more than the $14. However, due to his reaction, I have a feeling he can't be charging us $3 per piece and he knew it. So I have two questions: Can they dock $3 per piece? I'm sure they didn't buy it at that rate, that's what they are selling them for. Can I be held responsible for the 96 damaged pieces that I didn't damage?
The Commonwealth of Virginia defines a worker as an employee if his or her employer: Furnishes, tools, materials and equipment needed to do the work; Sets the hours of work; Withholds payroll federal and state income taxes and Social Security taxes Receives direction and training from the employer about how to do the work; and Is paid by the hour, week, or month instead of being paid at the completion of a job Virginia also lists the 20 IRS factors and Virginia exemptions for Employee Classification on their web site. One of the factors in determining if a worker is an employee states, "If the employer furnishes significant tools, materials and other equipment by an employer, the worker is generally an employee." Other factors include whether or not the employer can discharge a worker or if the worker can quit work at any time without incurring liability. There are many factors that will be unique to your particular situation that will determine if you were an employee or a contractor. If you were an employee and not a contractor then, in Virginia, the employer would have had to pay you at least minimum wage for your efforts. Generally speaking, an employers recourse for dealing with a non-negligent employee who performs their work incorrectly is to terminate the employment relationship. It is generally not acceptable to dun the worker for damages that occur during the normal course of business. If, on the other hand, you were an actual contractor then your contract with your client will be the guide in how you were paid and would also define the damages for which you are responsible for work not performed to contractual specifications. It is still possible to pay an employee for piece work. This is often done in construction and could make sense for the type of work you were performing. However, the Fair Labor Standards Act requires that the employer maintain records regarding hours worked so that there is an assurance that minimum wage and overtime rules are followed. There is a good article related to the construction industry that provides a good explanation of the details. Most state employment commissions, including Virginia's, provide assistance to workers to help them determine if they were properly classified. Virginia's website does this as well allowing you to call or send an email.
Possibly I am Australian so I am not familiar with Albertan labour law but I have done a little research and the underlying common law principles are similar. I will assume that you are covered by Albertan law and not the Canada Labour Code. The next part of the answer is based on A Guide to Rights and Responsibilities in Alberta Workplaces. First, if you lost it they would need to ask you to pay for it, they could not deduct it from your pay without a garnishee order (p. 10). Second, if the device is safety equipment, and it is certainly arguable that it is, then it is the employee's responsibility to use it and the employer's responsibility to keep it in safe working order; this would include replacing it if it were lost (p. 12). The common law position depends on a) the contract and b) if any negligence were involved. Contract What does your current employment contract say about your use of the employer's equipment generally and this item in particular? If it says something then, unless it is an illegal term, that is what happens. If it is silent, then it turns on the particular circumstances. Also, a contract cannot be changed unilaterally, if they are trying to introduce a new term then you have to agree to it; remembering that there may be consequences to taking a stand against your employer, you should say that you do not agree - this removes the risk that the employer could argue that there was tacit agreement. Negligence In order to establish negligence as a Cause of Action under the law of torts, a plaintiff must prove that the defendant: had a duty to the plaintiff, as an employee this is virtually a given; breached that duty by failing to conform to the required standard of conduct (generally the standard of a reasonable person), this would depend on the circumstances of the loss or damage. You have to take reasonable care of the equipment - this is not a subjective standard, you need to do everything that a person in your position can do to protect the equipment from loss or damage; the negligent conduct was, in law, the cause of the harm to the plaintiff. This has to do with the "proximity" of the harm, if for example the device needed a battery change and you took it to a technician who damaged the item in changing the battery then your actions are not proximate to the loss; and the plaintiff was, in fact, harmed or damaged. Well, if it is lost or damaged this is pretty unarguable. So, if you take reasonable care of the device and, notwithstanding, it is lost or damaged then you would not be liable for negligence ... probably. Talk to your union rep; this is exactly the sort of stuff that they are there to sort out.
Possibly The game company has almost certainly excluded liability under the contract you entered. There may be some consumer protection that you have that they cannot exclude - I don’t know enough about German law to meaningfully comment. Notwithstanding, if you were to initiate legal action against the, as yet, unknown wrongdoer, you could subpoena the relevant records from the game company with a court order. No matter what privacy or other protections the other person has, the game company must obey the order or be in contempt. Without such an order the game company is right that they can’t disclose details of other users. As a practical matter, it will cost several hundred € to initiate legal action and several thousand to pursue it to the end. And you might lose. A better response is to treat the lost €80 as a relatively cheap life lesson - many people lose a lot more learning to recognise scams.
Assuming USA law: https://www.law.cornell.edu/uscode/text/18/2315 If you accept or buy goods that are knowingly stolen you may be fined or imprisoned. If you buy goods and later find out they were stolen you can sue for a refund. However, I'd say the likelihood of getting your money back is incredibly low.
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.
What are our possibilities here? You could be sued for damages in Mexico, the country of origin of the copyright or any of the other signatories of the Berne Convention. You could also be charged with a criminal offence but that is less likely. how much can we get away with? Not a legal question. What you are proposing is illegal - how likely your getaway plan is to work is not for me to say. Is there any advantage on us being on México? No Is there any advantage on picking any either Dragon Ball or League of legends because of the country they are in? No Can they stop us from doing it? Yes
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.
It says it's an "MP4 player" but it doesn't play MP4s. This seems rather straightforward to me---assuming it really doesn't play any kind of MP4 at all. I would agree you could go back to the shop armed with the appropriate wording from the SoG Act and state your case to the manager. If the front desk staff are unhelpful don't argue with them but rather ask to speak to the duty manager. No doubt the staff will talk about their thirty day return policy, but you are not interested in this; since you are relying on your statutory rights. If that is not successful, write directly to the head office. Keep your letter short, neutral and with no emotion whatsoever. Describe the facts, include proof of purchase, and request your money back. Argos is a large shop, they will pay you off ("as a gesture of good will") rather than fight a pointless claim in the SCC. However taking an action to the SCC is not necessarily free so you might yourselves not feel it worth it.
Can landlords refuse to show you contract prior to application? I've seen some landlords refuse to provide a sample residential lease contract prior to making an often non-refundable application, in California and other states. Is it legal? Aren't you supposed to be able to verify the contract with your lawyer prior to even looking at the premises, let alone paying any application fees and submitting oneself to the credit check?
I would presume that this is legal (without researching the laws in Cali. or Texas). Their contract is an offer to enter into an agreement. You accept that offer by signing. Their pre-requisite for that offer is that you pay the nonrefundable application fee. In other words, they are refusing to make you an offer until you pay a set fee. Now the degree of negotiability, among other factors, would go into determining whether the contract is fully enforceable. I did a little bit of research. (Please note that this is not legal advice. If this applies to a current situation, seek the advice of an attorney licensed to practice in your jurisdiction.) There does not seem to be any indication that the landlord needs to provide a sample lease to you before s/he decides that you are an eligible applicant. The application fee is not a contract to rent the premises; it is an application to be considered a tenant. Pro-Business Perspective: Why would I (the landlord) waste my time going over an application with someone and show them a model unit if they are not even eligible to rent from me? I have better things to do. Pro-Consumer Perspective: Why waste my time and money if I refuse non-negotiable terms in a lease? The application fee is capped in California and must be used to cover screening costs or refunded if not used. The likelihood of success in a claim regarding this might be indicated by the California Dept. of Consumer Affairs: "If you don't like the landlord's policy on application screening fees, you may want to look for another rental unit. If you decide to pay the application screening fee, any agreement regarding a refund should be in writing." It is important to note that you can always try to negotiate with the landlord. Personally, every lease I have had I have negotiated to get more favorable terms. You, as a tenant, have every right to try to negotiate, and should use that right.
Your title doesn't quite match your question. "Reneging" would mean saying that a lease would be offered at the reduced rent, and then not offering the lease. Here, they offered the lease, and you accepted. So now the question is not whether they can refuse to offer you the reduced-fee lease, but whether they are owed the back rent. Verbal agreements are indeed binding, but they are rather sticky from an evidential point of view. Also, there are other possible complications. If your original lease stated that verbal agreements are not binding, or that only specific people are authorized to modify the terms and the person you talked to is not such a person, then this is not binding. If after they said you could keep the rent reduction, you signed a lease for the full amount or otherwise indicated acceptance of the full amount, then it may be considered not binding. Even if the agreement is not binding, you have further arguments. If you believed that it was binding, and did so out of good faith, then there was not a meeting of the minds, and they can't go after you for breach of contract. They may have other claims, such as damages if they can show that they could have gotten more money from another prospective client, but them accepting the rent makes that difficult to pursue. Now, again, verbal agreements do have evidentiary problems. If your case were nothing than your word claiming that they agreed, you would not have much of a case. But here, you have: -They were willing to take the lower rent for the initial period -You stated that you would leave unless given a continued discount, and you stayed -They didn't make any attempt to collect the full rent for three months -They are willing to give you the discount if you pay the back rent All of this points rather strongly towards your claim being true. You also say "this situation is not unique to me." It's not clear what they means, but if other tenants also got verbal assurances that the discount would continue, and they testify to that effect, then your case is even stronger.
The thing I was trying to zero in on was the work/refresh/renovation that needs to be done between tenants, and if they landlord can expect to do it while Tenant A is still paying (up to the date of the 'lease change'), but expecting that Tenant A has vacated before that date, or allows the work to be done while they are still occupying? The first tenant is not required to relinquish possession of the premises while the first lease is in force. The landlord's right of access to the apartment remains unchanged from those specified in the lease and in state landlord-tenant law. So basically the landlord has to wait until the first tenant leaves before doing most of the work. If the first tenant relinquishes possession of the premises before the end of the lease period, the landlord can keep charging rent until the premises has been re-let to a new tenant. But if the landlord has agreed to stop charging rent when the first tenant moves out, the landlord may be bound by that agreement. If the landlord has signed a second lease with a new tenant beginning immediately after the first tenant's mutually agreed early move-out date, then the landlord basically has no time available to fix up the apartment except with the consent of one tenant or the other.
Typically the landlord will have a preexisting clause in the lease that says the landlord may choose to amend the lease at a later date. While that may be in contracts, I don't see that holding up in court. You can't unilaterally amend contracts to add new terms without acceptance on part of the lessee. Any clause in the contract like that will require notification of the lessee of the change and a chance for the lessee to terminate the contract without recourse on part of the lessor. Generally this must be done in the same format as the original lease (written). Most jurisdictions don't allow for a verbal amendment to a written lease. So in a way, yes, it is legal for a landlord to require payment via a certain method (like a direct debit from a bank account). They cannot however change the payment terms unilaterally without notification and acceptance. They can use language such as sending the notification (via registered mail) and then saying that a failure to respond is acceptance (because you are, by actions, accepting the terms by continuing to live there).
The Rent Ordinance para (e) explicitly precludes that possibility: Any waiver by a tenant of rights under this Chapter 37 shall be void as contrary to public policy. If he attempts to enforce such a clause or in any way dislodge you from the unit, he is liable for a substantial penalty. The legality of a rebate scheme is not clear, but probably would also be deemed illegal, because there already exists provision for buyout, which has specific restrictions. For the rest of the week, tenant buyouts are subject to these provisions. The problem is that the horse may have left the barn. The landlord has to have provided you with a Pre-Buyout Disclosure Form (which is to be signed and filed) before any negotiation / discussion with the tenant. Since we're talking about obeying the law, it has to occur to the landlord that there is a buyout option, and then he has to give you and file the disclosure form before he opens his mouth. He also has to know what the requirements of a buyout agreement will be in the future. Starting on Monday, the law regarding buyouts changes (it doesn't clearly make an agreement impossible, but it's a reminder that the law can be changed). In terms of legally-enforceable agreements, you could agree to a buyout in the far future, but the agreement might not be enforceable under future law. For example, the disclosure form requires new information to be provided, so if he doesn't do that, the disclosure is invalid (the preamble to the amendment points out that the change in law was directed at legal actions that were considered to violate the spirit of the law). Hence a buyout for two years in the future is legally risky.
If the landlord has a right to charge a late fee (and that late fee is not a penalty) then that right accrues from the instant that the rent is late i.e. any time after 5:00:00 pm precisely if that is the time stated in the lease. If only a day is stated then it would be midnight. For case law on the penalty doctrine see PACIOCCO & ANOR v AUSTRALIA AND NEW ZEALAND BANKING GROUP LIMITED [2016] HCA 28 which involved a challenge to a bank charging late payment fees on credit cards.
My questions are, where does this put me legally and what are my options? . . . Also, if I want to keep the tenants, how should I proceed? And if I don't want to keep them, do I have that option? Your Rights With Respect To The Tenants If the agency is telling the truth and the agreement made with the agent was for four tenants but their records and document only listed three by accident, you probably can't insist on additional rent or evicting the fourth tenant because if your agent does something on your behalf, that is binding on you just as much as if you had signed them up personally in that manner. This is true even if the agent didn't actually have the authority to rent the place to four people based upon your communications with the agent, because the agent has "apparent authority" to bind you in your agent's dealings with the prospective tenants. You probably have the right to insist that the fourth tenant sign the lease to conform to the actual agreement that was reached (four tenants in exchange for the rent stated in the lease). If the fourth tenant refuses to do so, that would be a repudiation of the lease/contract and would prevent him from claiming that he is a valid tenant of the property pursuant to the agreement reached with landlord through his agent. If the fourth tenant refused to sign, you could therefore insist that the fourth tenant pay additional rent or be evicted if you wanted to. On the other hand, if the agent is not accurately relating the facts, and there was never any agreement to have more than three tenants (as your communications with them and the written lease suggest), then you would have the right to evict the fourth tenant or insist on additional rent from that tenant. But, it might be hard to prove that the agent is not being accurate because it sounds like the agent and the tenants will testify consistently with each other and there were probably no other witnesses to the discussions between them. The Fourth Tenant Might Have Liability Anyway Also, at common law, you could sue the fourth person for unpaid rent during the period that the tenant was actually there anyway, since the fourth tenant was in "privity of estate" with you. (If someone actually signs the lease then they are in "privity of contract" with you.) England abolished the doctrine of privity of estate in most circumstances for residential tenancies in 1995. But, it is possible that this fact pattern is one of the situations in which the privity of estate doctrine remains in force since the 1995 reforms largely apply to assignments of leases by people who are tenants on the original lease, rather than occupants of a rented property who never signed a lease and never received a formal assignment. I don't have the legal research tools to confirm that accurately. But, none of the U.K. Landlord and Tenant Acts currently in force that I could locate addressed that issue, so the common law rule may still apply in this situation. If the doctrine of privity of estate does allow a suit against the fourth tenant based on occupancy without signing a lease, the incentive to even try to get the fourth tenant to sign a lease is very small indeed - you get no benefit at all from it other than slightly easier proof in an unpaid rent collection lawsuit if the agent's story is believed. If it doesn't the considerations earlier in this answer still apply. Practical Considerations All of this being said, there is also a practical consideration to consider. It you try to kick out the fourth tenant or impose additional rent on the fourth tenant, if the fourth tenant refuses to sign the lease, or if you believe that the original agreement did not include the fourth tenant, you still have to weigh the pros and cons of bringing an eviction or unpaid rent lawsuit. The lawsuit will cost you money (requiring you to advance money even if you are awarded attorneys' fees which may be impossible to collect from the tenants). You won't get your attorneys' fees for the lawsuit if you lose and will also have to pay their attorneys' fees if you lose. Tenants whom you are suing are unlikely to be cooperative on any other matter upon which you want their cooperation, and may bad mouth you, for example, in online consumer reviews. Unlike a typical eviction where the rent is not paid, it is very likely that the eviction will be contested, and if it is, the court could order the fourth tenant to sign the lease, but provide you with no other remedy if the court believes the story put forward by the tenant and the agent. If you don't sue, you won't incur attorneys' fees, you can still evict everyone if the rent isn't paid, you can still try to collect unpaid rent from three other people, and you are much less likely to have a dispute with or non-cooperation from the tenants. The only benefit you get from having a fourth person on the lease if that was the original deal (or if you can't prove that it wasn't the original deal) is that you have one more person you can sue for back rent if the rent isn't paid. If I decide to break my agreement with the agency, do I have grounds to do that? Terminating The Agent Often you can terminate an agreement with an agency without cause. If the agency agreement says that you can, you are free to do so and probably should because at a minimum they are sloppy and poor communicators. Generally speaking, even if you can't terminate the agreement without cause, you can terminate the agreement for cause, and the contradiction between their prior communications with you and their current communications with you probably constitute good cause to terminate the agreement both if they are telling the truth not, and if they are not accurately recounting the facts now. But, to be clear, terminating the agent won't affect the rights of the tenant. Suing The Agent If you clearly do lose money because the three tenants on the lease don't pay rent and for example, you get a judgment against them which can't be collected due to bankruptcy or them moving abroad to a place where it is not economical to collect a money judgment from them, or just not having any assets or income (or some combination thereof), and it turns out that the law does not allow you to sue the fourth tenant, and the fourth tenant was not judgment proof, you would probably have a right to sue the agent for the lost rent caused by the agent's negligence in failing to get all four tenants to sign the lease. But, the cost of proving that in a typical case would not be worth the money since this would be much harder to prove than simply proving that someone signed a lease agreeing to pay rent and didn't pay rent as agreed. If the agent didn't agree to pay for your losses voluntarily it might not be worth the time, trouble and risk of not prevailing in that lawsuit to pursue, even if you could get attorneys' fees for your suit against the agent if you won (which you probably could in England). The risks of doing that include paying the agent's attorneys' fees is you lose.
In most common-law jurisdiction, a purchaser buys a house subject to any existing lease. If that is true in your jurisdiction, the notice to vacate was illegal, and you are entitled to remain until the end of the current lease. The return of the deposit will depend on the condition of the property when you move out, and will be governed by the specific law of your jurisdiction. Residential leases are highly regulated in many places, and the laws vary widely. Often they vary even by individual cities or towns within a country. Without the specific locality in which the hosue is, no specific answer is possible.
Why are people sentenced to prison for terms longer than life? Albert Morake was sentenced to 1,535 years in prison. How can a person be sentenced to more than 1 life imprisonment?
Just to expand on what others have answered: It's important that each crime is also given its own sentence as it's possible that prisoners can be cleared of crimes if new evidence is found. This could make a significant difference to the amount of time the prisoner is serving. For example if a person was convicted for kidnap, murder, and stealing a car, all adding up to a total of 120 years, but later was found to be a car thief who was in the wrong place at the wrong time, and proven innocent of the kidnap and murder charges, that person would then only face the sentence from the car theft. If one life sentence had been issued for the three crimes, a new sentence would have to be worked out.
This happened despite the fact that the marriage and Bible verses requirement were almost surely illegal and similar things have happened on and off, mostly in rural courts with non-attorney judges, for pretty much as long as the U.S. has been a country (and earlier). The trick is that the orders take effect unless someone appeals them, and since deals like this are usually a result of a plea bargain which waives rights to an appeal, and even if the result is simply imposed by the judge, one has to consider if taking the case up on appeal, having the sentence reversed, and then having it remanded to the same judge for resentencing would be worse from the perspective of the defendant, given the broad authority of a sentencing judge in a minor case like this one, than simply accepting the illegal sentence. Also, cases that aren't appealed never create precedents and aren't generally available among resources used by legal researchers, so they systemically evade documentation in easily available sources.
Is this unique to the USA, or now common elsewhere? No. It is common throughout the developed world. How long has this been done, as opposed to keeping all the inmates constantly locked in their own cells and only seeing each other when eating in a dedicated eating place or when brought outdoors once a day for an hour or so? Before the late 18th century, imprisonment was not a punishment - it was a place where you were held while awaiting trial or punishment: execution, corporal punishment, humiliation or transportation. However, it was not uncommon for prisoners who had been acquitted to still be held because they couldn't pay the cost of their pre-trial imprisonment. The 1779 Penitentiary Act introduced solitary confinement, religious instruction, and a labour regime. These types of prisons were not actually built until the 19th century and saw increasing use as the death penalty became applicable to fewer and fewer crimes. These types of prisons spread across the western world and it is this 100+-year-old image that you are thinking of. However, for some reason, solitary confinement and individual prayer seemed to cause no improvement in the moral state of prisoners. Therefore, since the early 20th (yes, 20th) century most prisons had communal mess halls and recreation yards for use on the weekend. In most, prisoners worked during the week, around the prison or outside in things like quarries and road construction. Starting in the late 20th century "hard labour" was largely done away with and prisoners were offered work or education opportunities. They were confined to their cells at night in medium-security and higher-level prisons but low-security prisons often work on an honour system and cells are not locked. Developments such as day-release and weekend detention have influenced prisons. Many northern European countries have literally open prisons where you are free to come and go so long as you spend the nights there. Only the worst of the worst are kept in super-max prisons and only the worst of them are kept to their cells and isolated from the rest of the prison population. Those are the people who get 1 hours recreation only. That said, prisoners have rights and their physical and psychological well-being are the responsibility of the State. Doctors and psychologists examine prisoners and balance risks to society against the rights of the prisoner. I've worked inside super-max prisons as a contractor and they are bleak and scary places but most inmates are free to roam around the grounds and other common spaces. I've also worked in low-security prisons and they are very different - still not nice places but spartanly comfortable. If you get sent to such a prison, can you choose to get a normal cell if you don't want anything to do with these violent, crazy people? Or are you forced to endure that living nightmare and constantly be on guard? You're a prisoner. One of your punishments is having your freedom of choice taken away from you. The system will tell you where you sleep, where you eat, where you can go and when you can go there. If you are a "violent, crazy" person then you will be in a super-max prison with other "violent, crazy people". If you are a white-collar criminal, you won't be.
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.
As a preliminary note, the mandate that “Excessive bail shall not be required, nor excessive fines imposed, nor cruel and unusual punishments inflicted” can be interpreted two ways, (a) prohibiting punishments which are cruel as well as those which are unusual, or (b) prohibiting just those which are both cruel and unusual. The courts have not interpreted this to have meaning (b), even though "cruel and unusual" is a fixed phrase repeated in court rulings. In various cases where the "cruel and unusual" clause is invoked, e.g. Solem v. Helm, 463 U.S. 277, Weems v. United States, 217 U.S. 349, Robinson v. California, 370 U.S. 660, Lockyer v. Andrade, 538 U.S. 63 the courts consistently analyze the punishment in terms of being jointly "cruel and unusual", and never consider the possibility that a punishment might be cruel but usual, or unusual but not cruel. The prohibition derives from the pre-American "cruell and unusuall Punishments" provision of the English Declaration of Rights, analyzed in Harmelin v. Michigan, 501 U.S. 957, which provides "[t]hat excessive Baile ought not to be required nor excessive Fines imposed nor cruell and unusuall Punishments inflicted". The court observes that cruel punishments can indeed be quite common, for example But the vicious punishments for treason decreed in the Bloody Assizes (drawing and quartering, burning of women felons, beheading, disembowling, etc.) were common in that period -- indeed, they were specifically authorized by law, and remained so for many years afterwards. The court concludes from its historical analysis that "unusual(l)" in the context of English common law really means "illegal", i.e. "contrary to Law and ancient practice," without "Precedents" or "express Law to warrant," "unusual," "illegal," or imposed by "Pretence to a discretionary Power."
Was This An Egregiously Lenient Sentence? Yes. Did he get lighter punishment than he "should have" (in some sense)? Yes. A six month sentence for a non-negligent homicide was virtually unprecedented then and remains extremely low. Even a six month sentence for the rape of an adult woman (which is generally a comparable or less serious offense than manslaughter) by a privileged white offender generates immense controversy today as it did in the case of the sentencing of Brock Turner for that offense in 2016 (something that ultimately cost the judge imposing that sentence his job). There is no way that intentionally hitting someone is negligent homicide. It is at a minimum reckless, and honestly, is hard to see as anything other than intentional conduct. While it wasn't premeditated and hence wouldn't qualify as first degree murder eligible for the death penalty, this would be a fairly straightforward case for a second degree murder charge and a sentence of a decade or more. The intentional part apples to the act of hitting someone, not the result of causing their death. This intent was present here. Where Did The System Fail? in what way did the legal process fail? Or do you think that there was any failure at all in the legal process? Was the substantive law at fault? No. The substantive criminal law in 1963 was very similar to what it is now and would have authorized a much more severe sentence on the crime of conviction and would have made a more serious charge of murder viable. Arguably the substantive law should have had a mandatory minimum sentence for homicide, but since judges very rarely impose such lenient charges for homicide in cases like this one where there was no good reason for leniency, many states don't do that now and it isn't a problem that legislators would reasonably have believed that they had to worry about. Allowing leniency in some extraordinary cases that capture considerations that the law does not expressly mention is often a good thing, rather than a bad one. Did The Appellate Process Fail? No. The defendant's conviction was not wrongfully reversed on appeal, and it is generally not possible for a defendant's sentence to be increased on appeal in these circumstances. Arguably, this is not an ideal rule of law (and it is not the law in most countries in these circumstances). But this was not a major problem with the legal system that was a primary reason causing the outcome in this case to be an exceptional miscarriage of justice. The Judge's Sentence Was An Abuse Of Discretion. The judge imposed a very light sentence within the statutorily allowed range of discretion. While we can't literally read the mind of the judge and the judge doesn't acknowledge this as a basis for the sentence, given a larger pattern of similarly lenient sentences of similarly situated people given light sentences by judges, we can make a very reasonable guess about the most likely and plausible reason for the lenient sentence. The most likely and plausible reason for the sentence is the one identified by Bob Dylan. A high status white man killed a low status black woman, and the judge felt that, as a result, it didn't justify as serious of a sentence. The actual chain of reasoning in the judge's mind consciously may have involved considerations like the view that the victim was an "eggshell" victim, and the likelihood that the defendant was capable of reforming his conduct after a short sentence and thus didn't present a threat to the public. But the courts very rarely grant leniency to someone on the grounds that the victim was "fragile" - usually this justifies a more severe sentence. And the documented fact that the perpetrator routinely assaulted others with his cane casts grave doubt on the extent to which he could be rehabilitated more easily than a typical defendant. Also, even if the charge of conviction was manslaughter, this case would have been considered at the high end of the range in terms of the culpability of the offender who went around assaulting many people at a public gathering seriously enough to cause harm, and to in one case cause a death of a more fragile victim. The sentence should have been at least at the midpoint of what is allowed (currently about five years out of ten possible) in a case like this one. Further, while Maryland is not in the "Deep South" it is a Southern state with a history of slavery and Jim Crow discrimination, and the judge in this case would have lived under and seen enforced to his benefit, Jim Crow laws in Maryland during his lifetime. The Civil Rights movement had not succeeded to the point that racism was a completely disavowed and unacceptable form of motivation in 1963, particularly in even parts of the South outside of the "Deep South" at that time. As a reference point, President Biden, in nearby Delaware, was starting to make a name for himself in politics at the time as a defender of segregation in the school system and an opponent of busing to desegregate schools. This issue got him elected and re-elected. Biden reformed his views later, but racism was alive and well in Chesapeake Bay area at the time. Was Prosecutorial Discretion An Issue? Possibly To Some Extent. The prosecution's decision to press charges for manslaughter rather than murder was also questionable, but less obviously so. Today, common practice would be to bring both murder and manslaughter charges in a case like this one. The facts would have supported a second degree murder charge. The fact that the prosecution originally brought a murder charge suggests that it knew that the facts supported that charge, and was influenced by some political or tactical consideration, or by judicial pressure, to drop the more serious charge before trial. But without insight into what that reason was (which is much less obvious than the judge's motivations) it is hard to judge whether the prosecutor should have acted differently under the circumstances. The fact that the prosecution pressed charges, took the case to trial, and got a conviction at all also suggests that the prosecutor's conduct was not at the bottom of the barrel compared to more racist prosecutor exercises of discretion in 1963 elsewhere in the U.S. The prosecutor had the full legal ability to decline to press charges at all without facing any legal consequences for failing to do so. Further, while it is certainly plausible that prosecutor's racism figured into this decision, it is also important to note that the prosecutor has to consider the attitudes of a likely jury pool when bringing charges. Even if the prosecutor believes that the defendant is guilty of murder under the law, the prosecutor has to consider whether the odds of getting a conviction from a local jury that is likely to have considerable racial bias influences what charges are right to bring in order to get a maximum conviction, as opposed to what charges the prosecutor believes are legally justified. Likewise, if the judge indicated the he would be likely to dismiss the murder charge before trial in a preliminary hearing, that would also make a prosecutor's decision to comply with an implicit judicial suggestion to stay in the judge's good graces for the remainder of this case, and for future cases before the same judge, understandable. However, if electoral public pressure, or the defense counsel's pressure or influence, caused the prosecutor to give up on a murder charge that a conviction would probably have been secured upon, this is much more problematic and would suggest racial and status bias on the part of the prosecuting attorney's office. Was Jury Conduct An Issue? No. The conduct of the jury in this case was not an issue, even though the potential of jury nullification that didn't happen was a factor that may have influenced the charge brought by the prosecution. The jury convicted the defendant on the most serious charge presented to it.
A punishment is basically a harm to someone's person, liberty, dignity, or property imposed primarily for the purpose of harming someone, rather than to accomplish some non-punitive end such as apprehending a suspected criminal, securing compliance with a court order, exchanging truthful facts, or compensating someone for harm legally attributable to the person upon whom the act is imposed. If a police officer shoots and kills a person while they are in the process of committing a crime, that is not a punishment, because the officer is not trying to punish someone for committing the crime, but to prevent the crime from continuing and/or to apprehend the suspect. If the use of force is justified by a law authorizing it under the circumstances, then it is legal and there are no civil or criminal consequences. If the use of force is not justified by a law authorizing it under the circumstances it might be a crime, it might be a "tort" (i.e. a civil wrong for which you can sue someone, especially if it arises at common law), or it might be a civil rights violation. Law enforcement officers generally have broad absolute immunity from common law tort liability incurred the course of their duties in carrying out their jobs, and have "qualified immunity" from liability for civil rights violations which limits their liability to cases of intentional violations of clearly established constitutional rights. In a case arising from an excessive use of force against someone who is not in custody, generally speaking, the constitutional right violated is the 4th Amendment right to be free of unreasonable seizures and to be free from seizures that that are not supported by probable cause. Generally speaking, the law does not recognize an excessive use of force in connection with the criminal justice system as a "taking" for which there is a right to both due process and fair market value compensation (to somewhat oversimplify). Generally speaking, an 8th Amendment analysis involving the use of force (as opposed to taking of money or property in the criminal justice system which are subject to the excessive fines clause of the Bill of Rights), begins, and the 4th Amendment seizure analysis ends, when someone is in custody. A police officer who arrests someone and then beats them up or rapes them and then releases them, might be entering into 8th Amendment, rather than 4th Amendment territory, although the dividing lines are not always clear.
Murder Which is the unlawful taking of a life with intent to do so. However, the doctrine of self-defence can make killing lawful: A person may use such force as is reasonable in the circumstances in the prevention of crime, or in effecting or assisting in the lawful arrest of offenders or suspected offenders or of persons unlawfully at large. if the prosecutor is of the opinion that the force used "is reasonable in the circumstances" they may not lay charges. If they do lay charges the judge may decide that there is no case to answer before going to trial if self-defence applies. If there is a trial this will probably be the strategy the defence employs and they may or may not be successful. If convicted the penalty is life imprisonment. Also, there is no UK law: there is the law of England and Wales, the law of Scotland and the law of Northern Ireland.
What size restaurants in NYC must provide bathrooms? Some small restaurants in NYC with only a small seating area offer a bathroom for customers, but most small restaurants do not. What is the law in NYC? What size or type restaurant must provide restrooms for customers? Is there an easy way to get this information from some official website?
Google is very helpful in this regard. I typed nyc restaurant bath and it suggested nyc restaurant bathroom law, the first result being http://www1.nyc.gov/nyc-resources/service/2360/restaurant-bathroom-requirements. It says: You can make reports about any food establishment with 20 or more seats that has no toilet and was established after 1977. These establishments must provide toilets for their patrons. Food establishments that have been in operation since 1977 or before are exempt from this requirement. Food establishments with 19 or fewer customer seats are not required to provide bathroom access to the public. Food establishments are not required to allow public access to their employee toilets. Patrons are not permitted to use any toilets where the patron must walk through the kitchen or any food storage or food preparation area. Call 311 to report a restaurant with 20 or more seats that has no toilet and was opened after 1977.
You have two questions here. A search by the government must be reasonable, under the 4th Amendment, meaning that a warrant is required or exigent circumstances must exist. Simple entering (without searching) is governed by Civil Code 1954. The law governing residential rentals is not explicit, because a a dormitory might be considered not to be a "residential dwelling unit". Some states explicitly exclude university dormitories, but that seems not to be the case in CA. There are some specific exclusions where dormitories are excluded (such as 1946.2 regarding termination), so the lack of an exclusion for dormitories can't follow from an assumption that a dormitory is not a residential dwelling unit. Clearly, a normal apartment that happens to be owned by the university and is rented out to students (as exist in many universities) clearly is an ordinary rental. So it seems that a dormitory is not legally exempted from 1954: they can only enter with permission or in specific circumstances.
There is a difference between emergency exits and ordinary exits Building codes (which vary by jurisdiction) require egress routes for use in an emergency. These exits are quite often different from the ones used in non emergency situations. Indeed, they are usually different exits, that is, the emergency exits are only used in emergencies and the normal exits are not emergency exits. Emergency exits are usually one-way - they allow egress but prevent access. Think of a cinema complex - you can enter through the front door but there will be several emergency exits which are locked from the outside. Providing the locked door is not blocking an egress route, it’s fine.
england-and-wales Yes it is legal. There is no law prohibiting such behaviour. A restaurant menu invites people to ask for items on the menu. People are free to make other offers too, e.g. "no cheese" or "will you add an egg?" or "will you accept £10 for the burger, it's all I have?" The customer is free to make an offer and the restauranteur is free to accept or refuse the offer. "No I don't want to sell you a burger patty on its own for £3." Unfair contract terms seem irrelevant because there is no contract at the stage when the customer asks the restauranteur for a food item.
Chapter 7 of the San Francisco building code sets forth a number of mechanical requirements on hotels, motels, dwelling units and so on (e.g. heating, security...). §709(b) in particular states that It shall be unlawful for any person to use or permit another person to use any of the following portions of a building for sleeping purposes: (1) A hallway, water closet or bath or shower compartment, slop sink room, or any room containing a gas appliance used or intended to be used for cooking purposes or containing an improperly vented gas appliance; (2) Any other room or place which does not comply with the provisions of this Code for a sleeping room, or in which sleeping is dangerous, or prejudicial to life or health by reason of an overcrowded condition; a lack of light, windows, ventilation or drainage; fire hazard, dampness or offensive, obnoxious or poisonous odors in the room or place. This is sufficient grounds, given a complaint of purported violation, to mandate an inspection to determine if there has been a violation.
In the US, the laws that govern habitable residences and the related issues - such as land zoning, health regulations, sewer and water services, private and commercial building codes, etc. - are very localized at the city and county levels. So you need to check with the city and county where you want to place such a structure and determine the relevant laws. Commercial buildings are much more heavily regulated than private residences. (And some federal laws and codes could supersede local laws.) Many cities and counties have their zoning and building codes and requirements online, as well as permitting systems to apply for building and utility hookup permits. It's true that some counties in the US have minimal zoning or building codes, so yes, you could move a shed to land you own in that county and build your own road, haul your water, put up solar panels, dig an outhouse, and not deal with any - or very few - regulations. But cities and towns will be much more regulated, since zoning and building codes are used to insure public safety, and services such as water and sewer are supported by taxes and protect public health. In other words, you may not legally be able to live in a shed that does not have city sewer, water and electric service. There may also be building codes for minimum size of bedrooms, egress windows for fire, ventilation, heating systems, so even if a small house is sold as a complete residence in a package, it may not pass local building codes. Breaking zoning, building and health codes can result in the local inspectors visiting and determining if the residence is up to code; they will not typically need a warrant or your permission to enter. They can order you to bring the residence up to code, if possible; or condemn the structure and require you to move out.
You are correct that the federal law does not prohibit sex discrimination in "public accommodations", the category that includes your examples. State laws tend to be more restrictive, see for example Washington's RCW 49.60.215 which declares that It shall be an unfair practice for any person ... to commit an act which ... results in any distinction ... except for conditions and limitations established by law and applicable to all persons, regardless of race, creed... sexual orientation, sex... PROVIDED, That behavior or actions constituting a risk to property or other persons can be grounds for refusal and shall not constitute an unfair practice. The definitions allow for a few exceptions as to what kind of place is so restricted, most notably a facility "which is by its nature distinctly private", nor "any educational facility, columbarium, crematory, mausoleum, or cemetery operated or maintained by a bona fide religious or sectarian institution". Here is a paper that summarizes the situation with women'-only clubs. For example, New Jersey law has the exception that nothing herein contained shall be construed to bar any place of public accommodation which is in its nature reasonably restricted exclusively to individuals of one sex, and which shall include but not be limited to any summer camp, day camp or resort camp, bathhouse, dressing room, swimming pool, gymnasium, comfort station, dispensary, clinic or hospital, or school or educational institution which is restricted exclusively to individuals of one sex... So it depends on the state, but most states prohibit any sex discrimination in public accommodations.
No A debt is created by a contract (among other ways not relevant here). A contract for a restaurant does not contemplate the creation of a debt, payment is to be contemporaneous with the service. Presuming that the customer was made aware that cash payment was not acceptable and that they chose to enter the contract, by ordering, then they accepted that term. Not abiding by it is a breach of the contract. Now, if the customer did not pay and the restaurant sued for the amount (plus damages) and won, that would be a debt for which cash must be accepted.
If employment contract supercedes all previous agreements, does that include un-included parts of offer letter? I'm a software developer at a company that develops software for the healthcare industry. Recently I received an interview call from another company that creates pretty much the same products that we do. When joining my current company, the offer letter was sent to me by email and I only signed it a month later when I actually joined. At the time of signing the offer letter by my employer and me, I was also given the employment contract which was signed by my employer and me. I'm a staff employee now. The offer letter states: During and after the period of employment with the company, you will not engage in any endeavor or activity which conflicts with the interests and business of the company or join a competing organization, for a minimum period of two years. The employment contract however, does not contain the above paragraph. There is a clause on confidentiality and non disparagement, but nothing that says that I should not join a competing organization. The employment contract also contains this clause: Entire agreement; Amendments: a) This Agreement supersedes and cancels any and all previous understandings, representations and agreements of whatever nature between the parties with respect to the matters covered herein. b) This Agreement sets forth the entire agreement between the parties with respect to the subject matter herein and may be amended only by an agreement in writing signed by all the parties hereto. Does this mean that I can interview with and join the other company or is it implicitly understood that the paragraph in the offer letter should be honored?
The entire purpose of the Entire Agreement clause is to say that this contract is the agreement, and anything previously negotiated is not part of the agreement. I don't know why they would fail to include that in the contract.
If everyone hired after date X has a different contract from anyone hired before that date it is not discriminatory. (As long as they do nothing naughty like changing the contract, hiring three black people, changing the contract back).
What does the contract say? If it says that they have the right to unilaterally alter the terms by providing you with notice by email, then they have the right to unilaterally alter the terms by providing you with notice by email. These types of service contracts typically have such terms.
Its difficult to tell without seeing the exact paperwork, and the exact meaning of without prejudice varies by jurisdiction (I think UK is the same as here in NZ though). If an agreement is reached through communications marked "without prejudice" it should be valid in court to the extent that it shows an agreement was reached and what the agreement was (but the court will not generally look at the documents marked without prejudice for other reasons – e.g. admissions made – if no agreement is reached). There are a couple of other relevant things to mention – although not strictly part of your question: Lawyers are officers of the court, and have duties to the court, which include acting ethically. So, provided it's a reputable law firm, it is reasonable to (somewhat) trust their solicitors in procedural matters. My understanding is that courts encourage anything that will help settle a matter out of court – hence the whole idea of "without prejudice" letters being valid. I believe that the court will uphold an agreement reached through communication of without prejudice emails as it's in their interests. If you have these kinds of concerns, you can raise them with their solicitor, suggesting that you would prefer the final document to not be without prejudice, even if it only refers to the matter and agreement, without sensitive stuff. I imagine they would be only to happy to oblige, as they can bill their client for another letter!
People are laid off all the time when sales are down, the market is bad, etc: there is no legal "right to a job" except whatever is in your employment contract. There is a legal concept of promissory estoppel which boils down to promises being binding. However, there has to be a clear and definite promise, not for example a statement like "we hope to bring you back after this is over". Normally, the employer can argue that they have the right to fire you regardless of performance, and that would be the end of it. Let's say you have it in writing, and it is clear that they unconditionally promise to hire you back: you would want to (e)stop them from arguing that they have the right to fire you. The underlying idea of promissory estoppel is that such a promise keeps them from making that argument. But: it is not enough that they made the promise, you also had to rely on the promise and act / forbear from acting in some way because of that promise. It could be, for example, taking another job, or moving to another country, or simply looking for another job. The hard part, then, would be getting a clear and definite promise.
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).
I did not write "confidential" on my letter, but I assumed a business proposal is automatically considered as a confidential material. An incorrect assumption unfortunately. Unless you have a confidentiality agreement (NDA) with the first company, they and their agents are not under any legal obligation to keep information you share with them confidential. How is the legal situation here? There is none on your side. You lied about a direct question asked and were caught in the lie. Company A had no obligation to keep what you sent confidential. Even if they did, that may not (depending on how the confidentiality agreement is worded) keep the employee of company A stating that they had received the same proposal. Chalk this one up to a lesson on confidentiality and honesty in business. There are no reasonable assumptions of confidentiality in business unless you specifically state that they are confidential or are provided as part of a confidentiality agreement.
Does a contract become null and void if some or most of its terms were not followed by one (or both) of the parties? No. Parties' temporary or systematic waiver of their contractual rights does not alter the validity or terms of that contract. Parties entitled to resume enforcement of their rights anytime. A party's noncompliance with his obligations gives the counterparty a viable claim of breach of contract, although the proper approach would be to first try to solve the dispute outside the court. In the employment scenario you describe, the employee is entitled to --at least-- back pay as per the second contract (the difference between $75 and $50) subject to the statute of limitations, which under NJ is six years for contract disputes. See Hagans v. Nickerson, Superior Court of NJ (Oct. 2022), (citing NJSA A:14-1(a)). This precludes the recovery of some of the back pay if "the employee wishes to enforce during his 7th or 8th year of employment". A "retroactive" enforcement of other rights might be available, depending on the nature of those rights and other details. But nothing prevents the employee to henceforth enforce all of his rights pursuant to the current contract. Can the employer argue that the employee "waived his right" to the second contract by not enforcing it and acting as if it never existed? As explained above, no. Nor does it make sense for the employer to argue in terms of "a right to the second contract". A contract establishes a set of rights [and obligations], whence "a right to a set of rights" would reflect the employer's poor understanding of the ramifications of the contract he signed.
Can I be charged for a crime for simply confessing? If I were to walk into the police station and confess to a crime I did not commit - that wasn't even under investigation - can they arrest or charge me just because I gave a confession?
Neither with or without a warrant, if the confession is all there is. For a felony, the question is whether there is probable cause (4th Amendment). This is true whether the police arrest you, or they get a warrant – the difference being that in the latter case the warrant is issued by a guy with much greater knowledge of what constitutes probable cause. The question then would be whether a confession alone constitutes probable cause. There is a venerable rule, the corpus delecti rule (300+ years old) that requires there to be independent evidence of a crime, the point of this rule being to to prevent mentally ill people from being convicted of a crime that never even happened. Under that rule, a confession alone would not be probable cause (but a confession and a bloody glove could be). This article reports that at the federal level and in 10 states, there is a lower bar of mere "corroboration" without the need to argue that there was an actual crime. Exemplifying this relaxing of the traditional rule, in Opper v. United States, 348 U.S. 84, the court held that "[a]n accused's extrajudicial admissions of essential facts or elements of the crime, made subsequent to the crime, are of the same character as confessions, and corroboration by independent evidence is required". However, "[t]he corroborative evidence need not be sufficient, independent of the statements, to establish the corpus delicti" and "[i]t is sufficient if the corroboration supports the essential facts admitted sufficiently to justify a jury inference of their truth; but those facts plus the other evidence must be sufficient to find guilt beyond a reasonable doubt". In such jurisdictions, courts take a "totality of circumstances" approach focusing on whether the confession is trustworthy.
I took my car to the mechanic to have a squeaky brake looked at. I was told it would cost $30. The mechanic fixed whatever the problem was. When I was checking out, they could not find a $30 brake-work item in their computer so they billed it as Tire Balancing $30. Or some such thing. Meh, accounting. This is not how the law works. The prosecution needs to prove every element of the crime you are charged with. They need to prove you did not signal. The way this usually works is the cop takes the stand and testifies, and you can cross examine him. Then you can testify if you want to, and can be cross-examined. There might be other evidence against you also, like a dash cam. Assuming there is no other evidence, and that the officer did not prove every element of failing to signal, you do not need to testify. You can tell the judge that the prosecution failed to make the case and ask to have the charge dismissed. Of course, if the judge thinks they did make their case, then you lose. On the other hand, you could take the stand and testify, and subject yourself to cross examination. Just a word of warning, if it's your word against a cop's word, you will lose. Your best bet is to get discovery, get the dash cam, and show that you did signal. Be aware, if you get too saucy, the prosecution can add charges. So they could add the speeding charge, but of course, (see above), they then need to prove it.
The problem with Solution 2 is that government officials in the United States enjoy qualified immunity with respect to actions that they did while acting under color of law. It's not total immunity, but if they do things by the book, they cannot be prosecuted even if something goes wrong (even when doing things by the book, Police deal in very volatile situations and things can still go wrong because of an X factor to specific for the training manual to cover.). In other cases, it may be because multiple officers are working the scene and Office A lied to Officer B about the situation. Consider Officer A pulls over a suspect and realizes it was someone who was suspected of a crime, but couldn't prove it. He calls for back up and Officer B arrives. Upon arriving on scene, Officer A tells B to search the trunk of the car despite the fact that A had not received consent from the suspect nor has a warrant, nor cause to make a search of a trunk of a vehicle. B makes the search and finds [the bloody knife/the stash of drugs/the smoking gun/the match to a child's shoe that was missing from the kidnapping scene/ insert other incriminating evidence]. Under system (2), since it was Officer B who made the illegal search, B would be liable for it, even though Officer A lied about having legal reason for a search of the trunk space. But what's more... if the evidence is gonna be used anyway, what's to stop the cops doing it again? After all, there is very little recourse for those who are illegally searched to contest this in court (If I'm illegally searched and don't have anything on me, I have to take this to civil court, which is a different animal than Criminal Court and exposes me to broader Discovery... aka gives the cops free reign to search my property for a hell of a lot more illegal things.) or just sit back and count my 4th amendment rights (the section of the constitution protecting against unwarranted search and seizures) as worth less than the paper they're printed on. Oh, and by the way... that second word seizure... that means that they will be taking my property (or myself if they arrest me) and will not be giving it back for some time while they process it... if it's a legal to hold item (like my laptop that I do work on) that's going to make it harder for me to do my job which injures me further in lost business and income. In other cases, it could be they have a warrant for a large item (a stolen big screen tv) and while searching for it, open my sugar bowel and find evidence of a crime unrelated to theft of the television (i.e. opening a baggie of weed). This is actually an illegal search because, unless I am a wizard, a Time Lord, or Mary Poppins, there is no reason why a container smaller than a big screen TV should ever be searched when looking for a Big Screen TV and the cops should logically see this as out of bounds of the search warrant. The nature of this is damaging before the legality of the search can be determined, and because the search may have been out of scope of the warrant that was otherwise justified, the rule of making the evidence of a crime inadmissible was held in order to prevent LEOs from doing this because they could. This rule also started to take formation prior to the Revolutionary War. British Law had ruled against compelled confessions being inadmissible as evidence in 1769, a full six years before the Revolutionary war started (1775) and seven years before the publication of the Declaration of Independence (1776). Now there are some exceptions that can get the evidence brought back in, such as plain view ("The suspect's vehicle is a pick up truck with an open bed, the murder weapon was lying in the bed covered in blood"), inevitable discovery ("We have developed evidence by other means that would have lead us to this evidence legally") and Exigent Circumstances ("We believed someone inside the property was in grave danger if we did not enter the property immediately and that's when we found a cache of stolen Big Screen TVs!) and Good Faith (the Warrant was authorized for the wrong street address of the target but we found the evidence of an unrelated crime in a place the warrant authorized us to search. Everything but the goofed up address was done by the book.).
Is mere accusation without evidence other than testimony of the accuser, grounds for arrest in the UK? It depends on the circumstances, especially when dealing with non-recent allegations where independent and corroborative evidence may be difficult to locate and/or recover, but in my experience it is very rarely an option to arrest soley on the say-so of one complainant unless there is a compelling reason to do so. It's also fraught with potential risks - Operation Midland being a prime example of when it can go horribly wrong. Also, no-one can "call the police and have someone arrested" in the united-kingdom - the police are under a duty to carry out a "proportionate investigation" in to allegations of crime and then make their own minds up on how to proceed based on the available intelligence and evidence. Focussing on england-and-wales, the most commonly used power of arrest* is at s.24 of the Police and Criminal Evidence Act 1984 which, along with PACE Code G, requires an officer to: Reasonably suspect that an offence is being, has been or will be committed. On a scale of 0 to 10 - with 10 being total knowledge and 0 being no opinion at all - suspicion may be as low as 2 or 3 whereas belief starts at 7 or 8. And reasonably believe an arrest is necessary. One commonly used mnemonic for the Necessity Test under s.24 is: ID COP PLAN: Investigation - prompt and effective investigation of offence or conduct Disappearance - prevent prosecution being hindered by disappearance of a person Child / Vulnerable person - protection of Obstruction of highway Physical injury to themselves or someone else Public (in)decency Loss or damage to property Address not know Name not known I cannot say why the officer did not make an arrest in the OP's case. I surmise that he did not deem it necessary based on the above mandatory criteria but rather considered that a voluntary attendance interview would be the most appropriate course of action given the circumstances and information available to him at the time. *There are other statutory and common-law powers of arrest, but they all follow the same procedures as above
Considering that the US legal system is more or less similar in practice to the English Courts, yes it is possible to plea bargian a deal. I'm linking to the wikipedia article on the matter with a specific link to the England and Wales for guidence. Normally, I'd explain, but I'm an American and the differences between Magistrate and Crown courts are big enough differences that I can't tell you what the differences in the case is. I should point out this is a legal area where America differences with much of the world. 90% of the United States criminal cases (and a good number of civil cases, which are settled privately before discovery phase) are plea bargained to lesser sentences. Additionally remorse has nothing to do with the plea bargain. You might only be sorry that you got caught breaking the law and can still plea. The lighter sentence is sort of a "thank you" for saving the state money in not having to build their case against you. It is also used to coerce cooperation with the police, as they may have the accused dead to rights and can prosecute him successfully, but he's a little fish who can give intel to a big fish (this usually comes with the caveat of it being a sworn statement, so they can still prosecute you for something if you're lying... OR that the deal holds on condition that everything is factually true. If evidence contradicts you, you're charged as if you never made a deal). It's also important to note that the police will not honor their deals made for your confession... but they will offer you deals (In the United States, police are allowed to lie to you and do it all the time). However, the prosecutor will honor their deals. Another thing to be aware of is that a prosecutor who offers a plea could be doing so because they have a weak case. If you are absolutely sure the prosecutor has the wrong guy, it may be to your benefit to go to trial and have them prove it. Innocent people do go to jail all the time because they think there is something worse on them than the plea deal and its hard to fight off as you cannot appeal a plea deal as easily as a court conviction. Finally, most jurisdictions allow the judge final say at sentencing, so if the prosecutor does honor the deal and advises the sentence, don't get upset if the judge is tougher and gives you a harsher sentence on the crime, or rejects your plea outright (expect him to scold the prosecutor for wasting his time with a horrible deal, too. Watch the Law and Order SVU episode Raw for a particularly wonderful instance of this rare event occurring). As a part of US federalism, the rules about this change from jurisdiction to jurisdiction, so make sure you understand this. Another thing to be aware of is that a prosecutor who offers a plea could be doing so because they have a weak case. If you are absolutely sure the prosecutor has the wrong guy, it may be to your benefit to go to trial and have them prove it. Innocent people do go to jail all the time because they think there is something worse on them than the plea deal and its hard to fight off as you cannot appeal a plea deal as easily as a court conviction. I would definitely do some leg work into the English Legal system's opinions on plea bargains. Just because they have it does not mean the state lawyers like employing it and many jurisdictions see it as full on corruption in other parts of the world, even the Common Law jurisdictions.
It's illegal if the intent is to deceive. Under S50(1) of the Police Act 1996: Any person who with intent to deceive impersonates a member of a police force or special constable, or makes any statement or does any act calculated falsely to suggest that he is such a member or constable, shall be guilty of an offence and liable on summary conviction to imprisonment for a term not exceeding six months or to a fine not exceeding level 5 on the standard scale, or to both. Their intent would need to be proven. It will be fact-specific; in some cases far easier to prove than in others. The criminal justice system is overburdened and underfunded so it is no surprise that these trolling videos are given no priority whatsoever. Further complicating the matter is the need to correctly identify the individual to prosecute. Doing so would require a fair amount of police time, time that could perhaps be spent on more urgent priorities given the relative lack of harm these videos are doing compared to more serious crimes. However, in this video (Would You Help a Police Officer Having An Asthma Attack?) an S50(2) offence would seem to have been committed by the actor wearing the police clothing: Any person who, not being a constable, wears any article of police uniform in circumstances where it gives him an appearance so nearly resembling that of a member of a police force as to be calculated to deceive shall be guilty of an offence and liable on summary conviction to a fine not exceeding level 3 on the standard scale. It does appear that both offences are being committed in these various videos, and the only reason people aren't being prosecuted is practical: there are more serious crimes to focus on, and the police would need to identify who exactly committed this crime--given these all happened at least two years ago, it would be challenging to say the least. They also seem to commit the separate crime of wasting police time, for example by approaching cops in the street and falsely confessing to crimes. Under S5(2) of the Criminal Law Act 1967, wasting police time is a criminal offence. Bringing proceedings in court requires the consent of the Director of Public Prosecutions (DPP) since those proceedings could have a chilling effect on the propensity of the public to report genuine matters to the police in the future. It is likely that while "wasteful employment" of police time was caused by these people, so committing the offence, it is likely viewed simply as "part and parcel" of the job and the officer likely didn't spend any time at all investigating the confessions (depending on their nature). Of course, even if the officer did spend time investigating the false confessions, the DPP would need to give their consent so unless the person has a demonstrated history of doing this (that would stand up in court) or the time wasted was of a particularly serious nature (e.g. the man who falsely claimed to be the Yorkshire Ripper), it seems unlikely consent would be granted.
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.
Not at all Well, except that a contempt of court charge would also apply. The bailiff would make an arrest and transfer custody to the police who would follow their normal process. Witnesses would be interviewed and ultimately testify. The judge , as a witness would not be able to hear the case so it would be brought before another judge.
Are user manuals copyrighted? I want to upload screenshots of user manuals for different types of cranes on my mobile app to teach users how to operate cranes. Is this illegal? I have seen a website that allows users to download manuals for almost any kinds of products free. Could they have asked all those manufacturers for permission to redistribute the manuals? As far as I remember, the site was pretty famous.
User manuals are indeed copyrighted. On the other hand, since the people building the cranes are most likely interested in people reading these manuals, there is a good chance that you would get permission to copy them, for example as part of a mobile app, if you ask the manufacturer. On the other hand, it is possible that the manual was written by a third party, who receives some fixed amount of money for every manual that the manufacturer gives away to customers for free. In that case, copying would destroy that persons earnings, so permission would be unlikely. You definitely need to ask for permission and can't go forward without permission. It would also be possible that the crane manufacturer will want to check out your app to make sure that everything is correct - if someone damages a crane because of some omissions in your app, that would be very bad for them.
If you are using just the names, there is no issue - you can't copyright a fact. If you are using actual images (you appear to say you are not, but you also asked "Am I allowed to include images of Google Maps) - then the answer is still yes within your usage case - provided you attribute them to Google. If you look at this link it specifies that you are OK to use this in Reports and Presntations, Books which are not guidebooks and which have less then 5000 copies and presentations. If you are using them online, you need to use the imbedded versions (ie you can't just screenshot them - you need to link to them). If you are still unsure, you can contact [email protected] to request specific permission.
It would be terribly risky for you to simply link another company's terms of service. What if they take their server down? What if they change their terms? You would not even know when exactly the changes were made. Copying their terms means you might run into copyright issues on the text. Either pay a lawyer to write your ToS for you, or see if you can find something in the public domain.
It's highly unlikely that A would even recognise this as similar. It's really bog standard. A coloured patterned background (in a different colour and with a different pattern). Two buttons. A picture and a testimonial. All things that have been done thousands of times. In the end, it is _copy_right. What exactly is B supposed to have copied?
Prompted by this recent similar question, I've revisited this question and deleted my original answer as it was completely off the mark. This is its replacement. It is illegal, and it turns out to be an international standard in the Berne Convention. Article 16 in full: (1) Infringing copies of a work shall be liable to seizure in any country of the Union where the work enjoys legal protection. (2) The provisions of the preceding paragraph shall also apply to reproductions coming from a country where the work is not protected, or has ceased to be protected. (3) The seizure shall take place in accordance with the legislation of each country. Your scenario falls squarely within point (2) and the imported George Orwell book is to be treated as an infringing copy within the UK. The implementing UK legislation for (2) can be found in Section 27(3) of the Copyright, Designs and Patents Act 1988.
At the bottom of every edit screen on Wikipedia, above the "save page" button, it says: By clicking the "Save page" button, you agree to the Terms of Use and you irrevocably agree to release your contribution under the CC BY-SA 3.0 License and the GFDL with the understanding that a hyperlink or URL is sufficient for CC BY-SA 3.0 attribution. If you are asking for technical details on how to show that on a MediaWiki installation, that question could probably be better asked at another site. Regardless, on a standard MediaWiki installation, that text may be found and modified at the [[MediaWiki:Copyrightwarning2]] (sometimes [[MediaWiki:Copyrightwarning]]) page of the wiki.
The answer depends in part what venue you're talking about, e.g. Reddit, Facebook etc. The details are revealed somewhere in the Terms of Service for that venue. The general pattern is that you are allowed to use that venue, provides you grant permission for the service to do what they do with your content. You cannot legally send them a take-down notice for your stuff, because a take-down notice requires you to say that the stuff was posted without your permission (and that is false – and you can be punished for making that statement). There could be a venue where they do not hold you to an irrevocable license, in which case you could revoke that permission (but not Reddit: you granted them a "royalty-free, perpetual, irrevocable, non-exclusive, unrestricted, worldwide license to reproduce, prepare derivative works, distribute copies, perform, or publicly display your user content in any medium and for any purpose, including commercial purposes, and to authorize others to do so"). I've seen a site that actually asserts ownership of user-contributed content (I don't know if their TOS ended up being litigated) – if is not at all hard to write a TOS that includes transfer of copyright, rather than granting of a license. The only hard parts are (1) figuring out what you want in terms of permission to use and (2) whether your answer to (1) means nobody will use your service. SE and Reddit TOS probably are as close as you need to get for what you describe.
...articles are never signed by authors. Is it then enough that the magazine itself is in the public domain? Absolutely not. Even though articles are not signed, they are still copyrighted at moment of being written by whoever wrote them, and upon publication by who the authors are writing for. That's basic copyright law; read https://en.wikipedia.org/wiki/Berne_Convention Further, the magazine's own Terms of Service outlines this: Intellectual Property The contents ... supplied to you in conjunction with the Site and/or a Digital Application (such contents, design and materials being collectively referred to as the "Economist Content"), is copyright of The Economist and its licensors. You may not use or reproduce ... for any reason without written permission from The Economist... http://www.economist.com/legal/terms-of-use
If I co-signed a contract and the contractor can't pay the interest, can I sue him for my damage? As many have adviced here: https://money.stackexchange.com/q/66311/32249 , but no one did so far, I'll ask it over here, as I'm curious aswell: All I read is "Co-signing is the same level of risk, as giving the loan from your own money." But if it is my own money and I lent the money, I could sue the person if they would not pay as it was negotiated. Is this given for co-signing aswell? Can I sue someone for the financial damage I took due to co-signing their loan? Or does this depend on the circumstances making him not able to pay(in which case I would consider this even worse compared to giving the loan by yourself)? @the comment, notifying me that I can sue anyone for anything: I was assuming it is implying that I'm asking about this beeing appropiate in respect of law. Not that I'm asking about beeing physically able to file it. If this is widely location dependent, assume it to be as tagged, but a common answer is prefered if possible.
From a legal perspective co-signing a loan isn't the same thing loaning the money to the other co-signer. When you co-sign a loan with someone else both you and the other person are equal parties in the loan, both jointly responsible in fully paying off the principle and interest. If loan is defaulted on, the bank can pursue legal remedies to try to recover its money against either or both of you. If you end up having to pay part or all of the loan, then whether or not you can recover any of that money will depend on whatever agreement you made with the other person. Given that you probably wouldn't a have a signed written agreement with the other signer in case like this, it'll probably come down to whether or not you can prove (on the balance of probabilities) that the other party promised to you to pay off the full amount of the loan. It will help if the loan is specifically tied to a car, a house or other property that the other party benefits from but you don't. Note that you'd have to give serious consideration to whether the other party can actually pay the amount owed. There's no point going to court to obtain an unenforceable judgement. I also should say that from a financial perspective it does make some sense to think of it as if you were loaning out the money yourself. While there's a big and significant difference between the two, in that your bank account isn't affected unless the other person defaults, if they do the result is going to be pretty much the same. Indeed in that case it's not much different than just giving the other person the money. When co-signing a loan you really need to trust that other person.
Dead people have to pay their debts just like everybody else It is one of the primary roles of the executor to make sure this happens. Dead people can dispute a debt just like everybody else Just because someone says you owe them money, that doesn't mean you owe them money. In fact, the onus of proving the debt lies with the person claiming the money. It is perfectly reasonable for an executor to ask the creditor to do so. Some questions that are appropriate to ask: Presumably, the entitlement arises under a contract; when was the contract entered into? What were its terms? Where is the evidence the deceased agreed to these terms? Do the terms comply with (consumer) law? Have the prices been calculated in accordance with the terms? Have previous invoices been submitted and paid on the same basis? All the issues you mentioned. These are all things the creditor would need to prove if they went to court. If they can provide satisfactory answers to these then pay the bill. If they can't then try to agree to a settlement amount acceptable to both parties. If you can't do that, let them sue the estate and let a judge decide. The debts of the deceased person are payable by the estate of the deceased person for which the executor is the trustee. The executor has a duty to the beneficiaries of the estate to act in their best interest. This means paying bills that they are satisfied are justified, contesting those that aren't but ultimately, making commercial decisions that benefit the beneficiaries. Getting bogged down in a court case may not be in their best interest especially if it delays finalisation of the estate. In any event, the executor is not liable personally for the debt, or for anything they do or fail to do if done or not done in good faith.
The primary question, in case of such a lawsuit, is whether you accepted the terms of the contract. You could accept the terms verbally, or you could accept them with a signature, or you could even accept by behavior (such as showing up to work). If you breach the contract and you want to make the argument that you didn't accept the offer (or some identifiable part of the offer), the plaintiffs would have a "yes you did" piece of paper to support their side. Now you would have to advances a very dangerous claim, that you didn't sign the document and that the signature there is a forgery. This is dangerous, because you perjured yourself in so testifying (it would eventually come down to you testifying, that you didn't sign the document). It's really beyond the scope of Law SE to get into forensic graphanalysis debates, but you should expect that the other side will have compelling expert testimony that you did in fact sign the document, with your other hand. In a civil suit (breach of contract), the other side would have to show that it is most likely that you did agree to the terms. It isn't just about the signature, it's about all of the evidence, which would include eyewitness testimony ("I saw him sign it", "I gave him the pile of papers and he returned them all, signed" or a later conversation "Remember that you agreed to X" – "Yeah, whatever").
Not as such. As the contract author, you must clearly and specifically identify risks that you want to other party to accept. Your whims i.e. "our own discretion" are not a clearly identified risk. The trivial solution is to state that there are two payments, €150 up front and €850 afterwards. Then, you claim the right to waive (at your sole discretion) part or whole of the second payment. It should be noted that the tax implications of such a contract could be non-obvious. You probably have to claim the whole €1000 as income when the contract is signed, and any waived payment as a discretionary expense. You're unlikely to get a VAT refund on that €850, I suspect. So given that you'd have paid €187 to the Irish government, refunding €850 would be hard.
Let's say one of us borrows the other one's car (with permission) and has an accident. Whose coverage is responsible at that point to satisfy the legally mandated insurance coverage? I assume that's only coverage against damage to others (which should go under liability insurance?) but if I'm wrong please correct me. There are different types of insurance that may be required: liability insurance - pays damage to others (usually including your own passengers) which you are responsible for. This is legally required almost everywhere (both in the USA, where this depends on the state, and elsewhere). Rules vary on the required minimum amount, and the exact coverage (e.g. whether lost wages are covered in case of injury). uninsured motorist coverage - pays damages you or others suffered, which are the responsibility of another driver who is not insured. This is mandatory in some states of the USA. In some other countries, these damages are covered by a public insurance or trust (such as the Verkehrsopferhilfe in Germany). personal injury protection - pays your own medical costs, no matter who is at fault. Required in some states of the USA. Is the lender's insurance supposed to cover it? This depends on the insurance policy, but in almost all cases the policy is for the vehicle (and often has to be, under the laws requiring insurance). So if yes, if you lend your car to someone else, your insurance will cover them. Note, however, that some insurance policies restrict your right to lend your car - read the fine print! There is one situation where your own policy may be relevant: If the damages exceed the limit of the vehicle's insurance policy, your own policy may pay the rest - again, this will depend on the policy. If so, wouldn't this not make sense? Insurance companies look at your driving history (& risk) when they offer you a plan, and if the borrower has a poor history, you've increased the company's risk without their knowledge, right? It would seem to open insurance rates to abuse. Yes, exactly. That is why many (if not most) insurance policies place limits on lending your car. You may only be allowed to lend it to people over 21 years of age, or only to people who you have registered as car users with the insurance company. Is the borrower's insurance supposed to cover it? If so, wouldn't this not make sense? Insurance companies charge you differently based on what and how many vehicles you want covered, so wouldn't borrowing someone's Lamborghini suddenly open your insurance company to a massive risk without their knowledge again? No, the borrower's insurance does not usually apply. Making the borrower's insurance apply would be problematic because the risk is based on the vehicle (type), too. Also, the borrower may not have insurance (e.g. may not own a car). In particular, enforcing the mandatory liability insurance is easier in practice if it is per vehicle, because you can check the insurance at vehicle registration (which practically all countries already require). If the liability insurance were per driver, it would be difficult to prevent a person w/o insurance to borrow a car (as in your example). Finally, sometimes after an accident there is a dispute about who was driving the car (especially with hit-and-run accidents), but there is usually clear evidence (collision damage) what vehicle was involved. If insurance applies to the vehicle, a dispute over who was driving will not interfere with the victim's restitution.Thanks to supercat for pointing this out.
Can my accountant bill me for previous work he agreed to perform for free? No. The difficult part will be for you to prove that he agreed to do the job for free. Hence the importance of having this kind of "gentlemen's" agreements in writing. You have the burden of outweighing --even by means of circumstantial evidence-- the common presumption that professional work is done for compensation, not for free. However, just like it might be hard for you to prove the aforementioned "gentlemen's agreement", it would also be hard for him to prove that you agreed to (or knew, or should have known, you would have to) pay the amount he is billing now. In the event that you are unable to prove he agreed to work for free, you might want to dispute the reasonableness of the amounts he is pursuing so belatedly. It is noteworthy that the work at issue being "really simple" would not be the only factor for assessing how much he may recover. Other factors such as the accountant's qualifications or the market rate for similar services would be weighed in awarding recovery (if any). Can I legally ignore these invoices? It does not make any sense that he sends me invoices for work done 4 years ago. You may ignore the invoices regarding older work, that is, those for which the period of limitations has elapsed. For most cases, section 4 of the Ontario Limitations Act provides a two-year period to bring a claim. Since the accountant himself did the job, and most likely he was --or should have been-- aware of the payments due for his services, he would be unable to prove that his "discovery" of claims (see section 5 of Limitations Act) regarding older tax filings meets the period of limitations. Equivalently, see here the paragraph starting with "For example, if the courts determine that [...]".
As a general rule, if a business, like a bank, is legally required to keep information confidential, and an employee breeches confidentiality, then your recourse is to sue the business for damages. See for example ch. 35 of Title 12. The bank cannot claim "It's not our fault, an employee did it" (the Latin for this is "respondeat superior", whereby a part is also responsible for the acts of their agents). As far as I know, there is no law against asking for information that can't be given. This does assume, however, that your mother does not have a legal right to the information (which could arise from some form of co-signing). Also, would assume that they have a normal privacy policy, and not one where they say "We will tell your mother if she asks" (they would have informed you of that, so read the privacy policy). This is a question best answered by your own attorney, to whom you would reveal all of the details.
You cannot contract outside the law Any "contract" that purports to break the law isn't a contract - it's an unenforceable agreement. For example, across all jurisdictions, a contract that is unconscionable is void. So is a contract that requires one of the parties to break the law - a "contract" for murder for example. In addition, you cannot call an employment relationship a "business" relationship - if the relationship meets the requirements of an employer-employee relationship then that's what it is and woe betide you if you haven't complied with all relevant entitlement, tax, insurance and safety laws. In addition, all of the relationships you listed are contracts.
Can someone living with a felon keep a stun gun in the house in Utah? I'm looking to get a stun gun for personal safety reasons, but I'm not sure if I can without moving out, since I live with a convicted felon. I live in Southern Utah. What are the restrictions on felons' access to stun guns here?
The felon-possession law is Utah Code Ann. §76-10-503, which distinguishes Category I restricted person and Category II restricted person, a complex definitions that distinguish felons in general and violent felons, as defined at Utah Code Ann. § 76-3-203.5. In the case stricter case, the law says: (2) A Category I restricted person who intentionally or knowingly agrees, consents, offers, or arranges to purchase, transfer, possess, use, or have under the person's custody or control, or who intentionally or knowingly purchases, transfers, possesses, uses, or has under the person's custody or control: (a) any firearm is guilty of a second degree felony; or (b) any dangerous weapon other than a firearm is guilty of a third degree felony. and in the less strict case: (3) A Category II restricted person who intentionally or knowingly purchases, transfers, possesses, uses, or has under the person's custody or control: (a) any firearm is guilty of a third degree felony; or (b) any dangerous weapon other than a firearm is guilty of a class A misdemeanor. The law does not impose any restrictions unrestricted people. A "dangerous weapon" is defined in 76-10-501(6)(a) as "a firearm; or an object that in the manner of its use or intended use is capable of causing death or serious bodily injury". They add a bit of subjectivity to their definition of "dangerous weapon" (i.e. "we'll decide after the fact if the thing is a dangerous weapon"), because: (b) The following factors are used in determining whether any object, other than a firearm, is a dangerous weapon: (i) the location and circumstances in which the object was used or possessed; (ii) the primary purpose for which the object was made; (iii) the character of the wound, if any, produced by the object's unlawful use; (iv) the manner in which the object was unlawfully used; (v) whether the manner in which the object is used or possessed constitutes a potential imminent threat to public safety; and (vi) the lawful purposes for which the object may be used. The felon could not have a stun gun with the intent to use it as a dangerous weapon, but it is not prohibited for a felon to have one to use on for legal purposes. There are contexts where stun guns are held to be dangerous weapons (United States v. Wallace, 800 F.2d 1509. Some states define stun guns as dangerous weapons, but that is not the case in Utah. It is also illegal for an unrestricted person to "sell, transfer, or otherwise dispose of any firearm or dangerous weapon to any person, knowing that the recipient is" a restricted person, and in cases of flagrant negligence the court might find that allowing such a person access to a dangerous weapon constituted "transferring" the weapon.
If you are in Florida, the notion that this is "the only store around" is simply not accurate. I doubt that there is any place in Florida that is not within 15-20 miles of at least two stores. In any case, the store is within its rights to ban you from the store even if you acted lawfully.
§Sec. 54-212 of the ordinance states (a) It shall be unlawful for any person to manufacture, sell, offer or display for sale, give, lend, transfer ownership of, acquire, carry or possess any assault weapon or large capacity magazine in Cook County So if the gun is an assault weapon, it is not legal to sell. That ends the legal inquiry. Beyond that, we can only conjecture as to possibilities, for example (1) you may be mistaken in your assessment of some particular firearm, (2) the authorities don't know yet so haven't taken action or (3) they do know and they have taken action. Your link did not lead to any obvious things that count as an assault weapon, perhaps you could be more specific.
There are venue restrictions where political speech is restricted, such as on military bases; content restrictions (transmitting classified information to the world); you cannot defraud by saying false things in order to get something, you cannot defame a person, you cannot speak obscenely (though it's hard to tell what counts as "obscenity"). You cannot appropriate other people's property in speaking (i.e. copyright law is a restriction on speech). The type of speech restrictions seem to pertain to speech and violence caused by such speech. A classic limitation is that you cannot speak "fighting words" (Chaplinsky v. New Hampshire 315 U.S. 568), which in 1942 meant calling someone a "damned racketeer" and "damned Fascist", which the court characterized as "inherently likely to provoke a violent reaction". The court subsequently refined its position on "provocative" speech. In Virginia v. Black 538 U.S. 343 a law against cross-burning was found to run afoul of the First Amendment as a restriction on political expression, but it would be fully consistent with The Constitution to outlaw "cross burning carried out with the intent to intimidate". This states may "prohibit only those forms of intimidation that are most likely to inspire fear of bodily harm". The current position is that you cannot incite to the imminent use of force. In Brandenburg v. Ohio 395 U.S. 444, the court stated that the First Amendment does not "permit a State to forbid or proscribe 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". There are myriad laws against threats, for instance in Washington you may not "knowingly threaten(s) to cause bodily injury immediately or in the future to the person threatened or to any other person", and you can't do that ("knowingly cause another to believe that the offender will cause serious physical harm to the person or property of the other person") in Ohio either. You can't get away with threatening "to commit a crime which will result in death or great bodily injury to another person" in California. This class of restrictions on speech seems to be quite robust. You may not induce panic in Ohio, e.g. shout "fire" in a theater -- I don't know if any other state has such a law.
It depends on your jurisdiction. Check the applicable laws; there's probably a section named something like "definitions" that gives the meaning of terms such as "loaded". For example, from RCW 9.41.010 (the "Terms defined" section of the "Firearms and Dangerous Weapons" chapter of the Washington State laws): (17) "Loaded" means: (a) There is a cartridge in the chamber of the firearm; (b) Cartridges are in a clip that is locked in place in the firearm; (c) There is a cartridge in the cylinder of the firearm, if the firearm is a revolver; (d) There is a cartridge in the tube or magazine that is inserted in the action; or (e) There is a ball in the barrel and the firearm is capped or primed if the firearm is a muzzle loader. So in Washington State, any of your examples 2-4 would be considered "loaded" for the purposes of firearms-related crimes.
New Hampshire is a "constitutional carry" state. The term "constitutional carry" is not a legal term but, rather, a catchphrase used to describe states that have adopted, either by statute or state constitution, that no permit is required to carry a gun either openly displayed or concealed. The phrase comes from a belief among many that the constitution is a permit to carry. New Hampshire passed its constitutional carry statute in 2017. Prior to this date it was permitted to carry a gun openly (not concealed) without a permit and had been legal to do so since the founding of the state. The Federal government originally passed The Gun-Free School Zones Act of 1990 which prohibited the carrying of a firearm within 1,000 feet of a school. This act was found unconstitutional by the U.S. Supreme Court in 1995 (United States v. Lopez). Subsequently, the Federal government amended the law by adding the language, "...a firearm that has moved in or that otherwise affects interstate or foreign commerce..." This law has not been overturned and is still active. Here are two of the several exceptions to the Federal restriction: The individual is licensed to carry a firearm by the State in which the school zone is located The gun is unloaded and locked in a container There are other exceptions related to law enforcement officers, permission of the school, etc. These exceptions are independent; if one is licensed there is no need to unload the firearm and lock it in a container. The first exception listed, an individual licensed to carry a firearm by the State, generates a fair amount of controversy. Many states license individuals to carry concealed firearms within their borders by recognizing, or granting reciprocity, to the licensee's home state's firearms license. Many people believe this is a grant of a license by the State to the individual to carry a firearm. The ATF disagrees with this position and has taken a position that only licenses issued by the State in which the school is located are valid as it relates to the Federal school gun safety act. Further reading on this particular issue can be found in the paper, "Federalism Implications of Non-Recognition of Licensure Reciprocity Under the Gun-Free School Zones Act." The New Hampshire legislature has been working on a bill (as of June, 2019) prohibiting the carrying of firearms on school property. Governor Chris Sununu has previously indicated he would veto a series of gun-control bills headed to his desk via a spokesperson's statment, "the governor is not looking to make any changes to existing gun laws." The bill as written, prohibits the possession of firearms on school property, it does not prohibit firearm possession near school property. (The bill does appear to allow a firearm in an automobile being used to pick up or drop off a student at school.) The bottom-line for firearms around schools in New Hampshire: There is no state requirement to be licensed to carry a firearm openly or concealed There is no state prohibition from carrying firearms near a school There is a Federal prohibition from carrying a firearm within 1,000 feet of a school without a license There is no Federal requirement that a firearm carried near a school be concealed You can expect to be interviewed by law enforcement if you are openly-carrying firearms near a school. It is perfectly legal for law enforcement to approach you and engage in a voluntary interview. You can expect many such engagements if you make it a practice to openly carry firearms near a school. You can make people nervous if you are openly-carrying firearms generally, and you will absolutely make people nervous if you openly-carry firearms near a school.* New Hampshire still issues Pistol and Revolver licenses and one should have such a license if carrying a firearm within a school zone. As it relates to knives, New Hampshire is very liberal as its laws apply to knives. There are few, if any, restrictions on knives. In 2010, New Hampshire passed a law removing some of the restrictions on the types of knives that could be carried. *I do not have a specific citation to provide regarding the expectations of a law-enforcement interview when openly-carrying a firearm near a school. This statement comes from my experience as one who is licensed to teach concealed carry courses and firearms laws in Louisiana and Arizona. I am not an attorney and I am not licensed teach the laws of New Hampshire. I recommend speaking with a competent attorney who specializes in firearms law in New Hampshire to learn what is legal and, just as importantly, what is reasonable.
There are several elements working in your friend's favor. The first is "guilty beyond a reasonable doubt." In an entrapment case, the police have recordings or documents claiming that the "girl" was underaged. If there is no such smoking gun from the (real) girl, the case (probably) would not be prosecuted in the U.S. He doesn't have to prove that she told him she was 18; "she" (or the police) has to prove that she told him she was "not." The second factor is "remoteness" in time, and distance. Two years after a U.S. state sent me a "nasty letter," I asked my lawyer if the state would ever come after me. He answered, "If they were going to do this, you would have heard further by now." The other factor, distance and cross border, (three countries: Turkey, the U.S., his home country) further militates against prosecution except for highly aggravating circumstances such as drug dealing, gambling, or sex for pay. A third factor is that your friend would not come close to qualifying as a "serious offender." This would be someone like a drug dealer, or the head of a "call girl" ring. The cops concentrate their effects on big "busts" like this that make their careers, not "small fry" like your friend. But of course they use the publicity from the big catches to scare everyone else. While there is no "guarantee" against "the worst possible consequences," the chances of them happening are similar to his getting hit by lightening, and less than his chances of being hit by a car crossing the street. No one stresses out about those chances. He shouldn't either. I am not a lawyer but I have done paralegal work in a law office.
As far as I understand, no. In Canada, everyone has the constitutional right to be free from any cruel or unusual punishment, under the Canadian Charter of Rights and Freedoms: Everyone has the right not to be subjected to any cruel and unusual treatment or punishment. If you're guilty of a crime, well then, you're guilty. You're either going to be tried in court (and if you were guilty of that crime, then you will probably be found guilty), or you will plead as such. Before being tried, you could try to plea bargain with the prosecutor: plead guilty and be sentenced to a lesser charge. Say you were charged with assault with a weapon or causing bodily harm. You thought that the punishment was cruel or unusual - and thought that the trial judge had made an error in the law. In this case, you can make an appeal to a higher court. There are also other things that can factor this: mitigating and aggravating circumstances. If many circumstances are mitigating, then it may make way for a lower punishment, and vice versa with aggravating circumstances, where punishment may be higher. Again, this is something where if something was erred, you can appeal to a higher court. However, just because you think a sentence is too long won't constitute cruel or unusual punishment. In R. vs Latimer, the Supreme Court of Canada ruled that minimum sentences, even if within special circumstances, will not constitute cruel or unusual punishment, and be upheld. Originally, he had been sentenced only to one year, based on the recommendation of the jury. He had been charged with second-degree murder. The Supreme Court reinstated the default punishment: A life sentence with no eligibility of parole for ten years.
Can you have a legally binding agreement in a "Without Prejudice" email? I have an outstanding claim against a company. They have agreed to settle before the hearing, but, it is subject to me filing a notice of discontinuance to the court which is understandable. The entire email chain, including the offer was marked without prejudice - which I fully understand whilst we were discussing it. Whilst I don't trust the company, this agreement was made with their solicitors and I believe it will be done honestly, and I am happy to sign/send, however, I am wondering if this is legally correct? Should the last email confirming be sent without the without prejudice tag, or, is an agreement within an email legally binding?
Its difficult to tell without seeing the exact paperwork, and the exact meaning of without prejudice varies by jurisdiction (I think UK is the same as here in NZ though). If an agreement is reached through communications marked "without prejudice" it should be valid in court to the extent that it shows an agreement was reached and what the agreement was (but the court will not generally look at the documents marked without prejudice for other reasons – e.g. admissions made – if no agreement is reached). There are a couple of other relevant things to mention – although not strictly part of your question: Lawyers are officers of the court, and have duties to the court, which include acting ethically. So, provided it's a reputable law firm, it is reasonable to (somewhat) trust their solicitors in procedural matters. My understanding is that courts encourage anything that will help settle a matter out of court – hence the whole idea of "without prejudice" letters being valid. I believe that the court will uphold an agreement reached through communication of without prejudice emails as it's in their interests. If you have these kinds of concerns, you can raise them with their solicitor, suggesting that you would prefer the final document to not be without prejudice, even if it only refers to the matter and agreement, without sensitive stuff. I imagine they would be only to happy to oblige, as they can bill their client for another letter!
must all interaction be through a lawyer after receiving the first letter? Consistent with others' answer, no, you don't need a lawyer. But your question in and of itself is indicative of the steep learning curve you would need to undergo in order to avoid "shooting yourself in the foot", as the saying goes. By this I am not encouraging you to get a lawyer (in fact, here on stackexchange and elsewhere I promote litigation in pro per). Instead, I encourage people to learn about the applicable statutes, procedural laws, how to conduct legal research, and to draft/present their arguments in court. Here are some suggestions regarding your response letter: Avoid sarcastic admissions such as "Right, for sure I am at fault for the employer's [fill_in_the_blanks]". If you ask for a clarification, clearly state that you expect reasonably sufficient detail as well as any and all records that substantiate the alleged damages. Although that won't strictly limit the allegations the employer can make in court proceedings, the attorney's reply might help evidencing the employer's vexatious approach later on. Avoid wording that may be misinterpreted as consciousness of guilt. Be assertive and truthful. Keep in mind the lawyer is gauging (1) how easily he can intimidate you, and (2) whether he can make additional claims to harass you via court proceedings. From now on, all your interactions with the attorney and the employer should be in writing (preferably email, given its reproducibility). When unethical individuals are aware that their position is devoid of merit, they are very tempted to indulge in false accusations (of threat, for example). Thus, communications in writing constitute objectively verifiable proof of who is acting unlawfully. Even if the attorney premises on your contract (or employment agreement/manual, or company's guidelines) the alleged damages, the clauses at issue might be illegal and therefore void. For instance, from 2007-2012 my former employer (an Indian IT intermediary) prohibited me --via contract-- to disclose my salary. The contract contained the typical lawyered babbling, but that doesn't mean that all of it was legal. In 2013 I realized that the prohibition violated Michigan law, and he had no option but to strike the entire clause. That being said, I didn't sue him for that, but for other more important matters which are currently pending review in the U.S. Supreme Court. Absent any further context in your inquiry, it is hard to make additional suggestions on how to proceed.
Inform him of what you intend to do and by what by what date. Make sure that you can document that you did give him notice -- so not sure sure if Whatsapp/text would do -- I would use a registered letter, and a letter which is also sent in CC to your solicitor. He can always sue you, but he does not stand to win if you can show that you have given him fair warning.
To what degree are such emails admissible in court as evidence, and what weight do they carry? Your own statement, when offered by you as evidence, is hearsay, unless it comes within an exception to that rule. Recorded recollection might be one of the better exceptions. There is also a chance that you could get it in as a business record of the company if you were using a company email account and the company stores all of its email communications. The documents also sometimes come in to provide fair context for a conversation with a party-opponent's statements that are admissible. It appears that Canada does not follow the modern British rule (which repealed the hearsay rule in civil cases in 1995), which if it were available, would come in without any difficulty at all. But, Canada does have what it calls a "principled exception" (which is somewhat broader than the parallel U.S. residual hearsay exception) that is generally available if the document can be shown to be reliable and there is an unavailable witness, or if there proponent of the document can show that it is reliable and necessary for other reasons. Even if the document itself is not admissible since it is hearsay, you could still testify as to what the boss said from your own recollection, and then have your lawyer ask you why you are sure that this is what was said. You would answer that you contemporaneously wrote a confirming letter to the boss spelling out what was said and you reviewed it to refresh your recollection before testifying at the hearing or trial. These kinds of confirming letters are used quite frequently in business and employment litigation. And, in my experience, these statements tend to be surprisingly effective and persuasive, because, while they do not foreclose the possibility that the person writing it was lying or inaccurate in the confirming email account, it does rule out the possibility that you forgot exactly what was said, and you provided the boss with an opportunity to dispute you which the boss didn't feel an obligation to correct. If one party has a coherent account in confirming emails of what was said, and the other party is trying to remember what happened a year or two earlier without notes from the witness stand, the person with the coherent, documented account is almost always going to come across as more credible unless the other side can show that your confirming emails are not infrequently gross misrepresentations of what really occurred. (I've also dealt with witnesses like that now and then.)
tldr; the agreement is a mess, one-sided, do not sign. This agreement does little to serve your interests, and a lot to harm them. It is also fairly poorly phrased, I have doubts that someone with legal knowledge wrote it. It states: I agree to not disclose, or discuss with anyone, any matters relating to the investigation You are agreeing not to talk to the investigator. If you do talk to them, you will be in breach of the terms you've agreed to. I'm sure they'll just say "oh, that's not what it means" - but that is not how contracts work, they mean what they say. It also says: which includes but is not limited to: ... All documents created by me or shared with me during the investigation. This applies to documents created during the investigation, not in relation to the investigation, not for use in the investigation, not related to the complaint. And again, you can't share these documents with anyone, including the investigator. It may well be unenforceable, as it gives you nothing in exchange for the rights you are giving up, and the concept of "consideration" is key to the common law of contracts in the USA, and also Canada (stemming from British common law) which means both parties must receive something of value: Here's a wiki article on Consideration in US law and a page on Consideration in Canadian law With all of these flaws and the fact that it may well be unenforceable, it would not be wise to sign it. If it did the following, it might be a more useful agreement: Had time limits, after which the restrictions are lifted Allowed you to acknowledge the case and state that you can't discuss it while it is ongoing Applied only to the workplace, talking to the press and publishing details to the public internet, such as social media - this may already be in your contract of employment (relating to bringing the company into disrepute) if so it isn't really a restriction being applied by this agreement, but a re-iteration of the existing agreement Promised a fair investigation in a timely manner, with a report at the end, and appropriate action is taken if claims are substantiated, and libel has occurred Or, they could offer you money right now for your silence, that would absolutely be consideration, in some jurisdictions, the sum may need to be considered reasonable, but this is not universal. There are also cases where NDAs turn out to be invalid: 11 ways NDAs can be invalidated An actual case where an NDA was found to be too broad
No While you can be bound to terms you had the opportunity to read and didn’t, you cannot be bound to terms that you did not have the opportunity to read. That doesn’t mean that you don’t have a contract but it will be on different conditions to those in the undisclosed terms. For a contract to be valid, the parties must agree on the essential terms, for a phone contract, what service the phone company is giving and how much the consumer pays. Incidental terms can be left undefined and they will, if needed, be filled in by a court with reasonable terms. However, this only happens to the extent necessary to give effect to the primary purpose of the contract. For example, late fees or termination fees are not strictly necessary (common law principles of damages for breach of contract work just fine) so, if the undisclosed terms include them, they will be unenforceable. Notwithstanding, it’s quite likely that refusing to disclose in the advance violates state or Federal consumer protection laws against misleading or deceptive conduct.
You mean like this? Of course, a website can charge you to access its pages; many do. And yes, clicking on an "I agree" button can form a valid contract (just visiting the website can't). Historically, the law has adopted the position that if you sign it (including by clicking "I agree") you read it, you understood it and you agreed to it. It's hard to imaging how it could be otherwise because allowing people to get out of contracts by saying "I never read it" is problematical as well. However, there are two things that mitigate against the type of term you suggest; one practical and one legal. Practical: How do they get your money? They can ask for your credits card details and, if they do and you give them a court will probably come to the conclusion that you knowingly and willingly agreed to pay for the service. However, if they don't have any method of getting money from you, they would have to take you to court to do so. There are a number of practical problems with this like: who are you? where are you? Which court can they sue you in etc. Legal: At common law, there exists the doctrine of unconscionability that describes terms that are so extremely unjust, or overwhelmingly one-sided in favour of the party who has the superior bargaining power, that they are contrary to good conscience. Such terms are legally unenforcable. Further, in many jurisdictions, consumer protection law often give additional protections up to and including not enforcing terms that are merely unfair not just unconscionable.
You can have agreements that are not contracts As such, there are not legally enforceable as contracts but may be enforceable under non-contract law. Examples of such non-contractual agreements include social agreements, statutory duties, memorandums of understanding, agreements to distribute cocaine etc. However, that’s not what you have here “No contract” agreements for things like internet or phone services are contracts - the “no contract” terminology is advertising fluff to indicate that the contracts are one-off or short term and don’t lock the customer into a long-term contract. The term “contract” is being used in a generally understood way as meaning a long-term binding commitment not in a strict legal way where virtually every commercial transaction is a contract
Is it possible to sue the German government because of a break with the IFG (TTIP)? The Transatlantic Trade and Investment Partnership is heavily debated. It's still debated behind closed doors! Citizens may not get a look at the documents; a few German politicians have - after a very long debate - been able to get a look at it; but they have had to look at it in the American Embassy, have to read it there under high security standards and may not talk about or duplicate the documents. I mean, that is just against democracy. And it's frightening that even elected politicians were unable to discuss it for a very long time, as they would have to sign on behalf of Germany. I would like to know if it's possible to sue the German government for its lack of transparency. I mean, we have the Federal Act Governing Access to Information held by the Federal Government, the German analogue to the US Freedom of Information Act: Section 1 Underlying principles (1) Everyone is entitled to official information from the authorities of the Federal Government in accordance with the provisions of this Act. This Act shall apply to other Federal bodies and institutions insofar as they discharge administrative tasks under public law. For the purposes of these provisions, a natural or legal person shall be treated as equivalent to an authority where an authority avails itself of such a person in discharging its duties under public law. (2) The authority may furnish information, grant access to files or provide information in any other manner. Where an applicant requests a certain form of access to information, the information may only be provided by other means for good cause. In particular, substantially higher administrative expenditure shall constitute good cause. (3) Provisions in other legislation on access to official information shall take precedence, with the exception of Section 29 of the Administrative Procedure Act (VwVfG) and Section 25 of Book Ten of the Social Code. Section 2 Definitions For the purposes of this Act, official information shall be defined as every record serving official purposes, irrespective of the mode of storage. This shall not include drafts and notes which are not intended to form part of a file; a third person shall be defined as anyone on whom personal data or other information are held.
Well, of course you can bring this to a court: Generally, all decisions of the government are open to judicial review. You would have to try and request the information from the relevant authorities first; if (when) they reject your request, you can bring the matter before a Verwaltungsgericht. This is laid out in § 9 (4) (official but non-authoritative translation) of the law. It is quite unlikely that you would win, however, since the law contains a long list of exceptions in §§ 3 to 6. Of particular interest here is § 3 no. 3 a) (necessary confidentiality of international negotiations) and perhaps § 3 no. 1 a) (detrimental effect on international relations).
In the US, there are a number of non-government organizations which take on such cases, such as the ACLU or the Institute for Justice; individual law firms may also take such cases pro bono. There is no automatic right to free representation in case a constitutional issue is alleged, so if IJ doesn't like your case they won't take it. These are private organizations: there is no general government agency that one can call on, other than the Public Defender's office in case you are charged with a crime and can't afford legal defense. (A constitutional issue may arise in a case that a PD might handle, but you can't e.g. call on the public defender to sue the government for infringing your 2nd Amendment rights.) A state attorney general could file suit against the US government over a constitutional issue, as Washington's AG did in the case of the Trump travel executive order, where the underlying issues were constitutional. An individual might inspire a state AG to take on an issue, but the AG would be representing the interests of the state, broadly, and not individual interests.
What interests me, is if the company that will be fulfilling the "abracadabra" request is able to not provide "hocus pocus" emails (internally — or later in the litigation, if the truth is uncovered — justifying it that the team fulfilling the request does not speak the language and was unaware of the existence of these communications in a foreign language)? Are there legal mechanisms that prevent such defense using "foreign language"? The legal obligation in discovery is to produce compliant documents without regard to their language. Good faith efforts need to be used. Generally speaking, a mere single language boolean or key word search of a database is not a sufficient effort to meet that obligation. Somebody was involved in writing the relevant emails and the lawyer and client representative needs to talk to the people who were involved, not just search a database, to make sure that all relevant materials are disclosed by whatever means are necessary to do so. This is why discovery is often the most expensive part of litigation. This doesn't mean that every good faith mistaken omission from discovery responses results in a court sanction if it is promptly remedied if later discovered. But, compliance requires engagement of the universe of possible documents with much more knowing and intelligent understanding that the question seems to assume. For what it is worth, I have litigated a case in a U.S. court where none of the parties (nor the judge) was fluent in the relevant language (Italian) of most of the documents, but both parties understood and agreed on the meaning of the relevant Italian business documents (invoices and bank statements mostly running to hundreds of pages), and they testified to the judge regarding what those documents meant in English, without the relevant documents ever being actually translated in full by anyone. Language never became a meaningful issue, in part, because the more important issue was understanding the context of how the Italian banking system and commercial transactions were structured and once that was understood, the documents themselves were easily enough understood from context.
No, there is no general publicly accessible directory of lawsuits against private individuals, even if it concerns yourself. The complaint must identify you as the defendant indicating a ladungsfähige Anschrift, § 253 Ⅱ, Ⅳ, 130 ZPO. Commencing an action requires service of process, § 253 Ⅰ ZPO. I presume you are not a De-Mail user. So you will get a hardcopy. You may not know that, but such mail in Germany is usually sent in yellow envelopes. The mailman will carefully compare the mailbox label and in case of a match record the date and time of successful delivery on the envelope as well as a slip of paper returned to the sender, the court in this case. Now this will obviously fail in your case (unless the landlord maliciously attached a corresponding label to a mailbox). In a civil action the court “pretends” to be dumb regarding facts. The landlord must try to track you down. Evidently he knew your email address, so he had some contact details. If he was evil, the next option would be to ask the court for an öffentliche Zustellung, § 185 ZPO. If the court agreed, this means there will be, for instance, in the city hall a paper on a bulletin board “To the attention of Coala, last known address …: There is mail for you to pick up at my office.” Two weeks later the letter is automatically considered to be delivered.Some cities (example: Cologne, NRW) also publish these documents on the internet, but due to GDPR considerations delete them after a certain period now. If there was a lawsuit, there will have been a default judgment by now, i.e. you will have lost just by being a no‑show. However, you said you have never received the bill. This means the landlord must have produced false evidence, claim to have sent the bill and a subsequent warning notice, but there was none. But this is an entirely different issue.
If you operate from outside Germany but within the EU, it is generally sufficient to satisfy your own country's regulations. This is a foundational principle of the EU single market, though it's not quite realized yet and has exemptions for consumer protection purposes. However, the German TMG law which includes the Impressumspflicht explicitly enshrines this principle. So from the German Impressumspflicht perspective, you're good to go. However, you will not be able to operate anonymously, because of your country's laws. GDPR requires you to clearly state your identity and contact details in your privacy notice. If you engage in internet-based commerce, the EU eCommerce Directive will have caused your EU member state to pass legislation that requires you to disclose: your name the geographic address where you are established contact details incl an email address if applicable, registration numbers from trade registers or similar if applicable, your VAT ID Note that you must have a VAT ID for cross-border B2B sales within the EU. You state that you are not selling anything via your website, and are instead collecting payments via another website. What the consequences of this are would depend on the laws and caselaw in your jurisdiction, but you will have to make these disclosures on at least one of the two websites. About Germany going after bloggers who show ads: income from ads is taxable income, and operating a business requires registration. However, the German Impressumspflicht is rarely enforced by the state. Instead, other market participants (competitors) trawl the internet for potential violations and then send a cease-and-desist letter. They can do this because skirting legal obligations distorts the level playing field, which harms those competitors. There is a thriving cease-and-desist industry built around this, but it only affects businesses that operate within Germany.
The comments have already pointed out that the President of the United States is still a citizen, and all of the rights of a citizen are still protected for them. Additionally, the Administration is allowed to take policy positions which are antagonistic to a person or group's cause, even if that group is practicing their rights to express their views legally. To give a different example, the President and his administration may denounce the position of a group of Neo-Nazis marching legally. So, any argument that the President is acting in an official capacity while making antagonistic comments also probably fails, as the Administration is allowed to take a position on any issue they deem worth taking a stand on. As noted in another answer and in comments, the applicable laws appear to be 18 U.S. Code § 227, which provides for punishment of government officials who attempt to influence employment decisions through official acts for political purposes, and 42 U.S. Code § 1983, which provides for civil action when a person deprives, or causes the deprivation of, another person's rights under color of law. 18 U.S. Code § 227 likely does not apply for two reasons The President may show that his conduct was not purely for political purpose The official statements made do not qualify as official acts per McDonnell v. United States, as they are not a decision or action on a "question, matter, cause, suit, proceeding or controversy"; that question or matter must involve a formal exercise of governmental power, and must also be something specific and focused that is "pending" or "may by law be brought" before a public official 42 U.S. Code § 1983 might apply if the official statements were found to be acting under color of law, but I think the statements made so far will fail to meet the qualifications for this statute. Blair v. Bethel School District gives three qualifications for conduct that would allow recovery under this statute: (1) he engaged in constitutionally protected activity; (2) as a result, he was subjected to adverse action by the defendant that would chill a person of ordinary firmness from continuing to engage in the protected activity; and (3) there was a substantial causal relationship between the constitutionally protected activity and the adverse action. The President's and Administration's official speech appears to fail the second criteria. First, it is questionable whether it qualifies as an "Adverse Action" - in Blair, as well as Hartman v. Moore and Gibson v. United States, the adverse action against the Plaintiff caused actual damage or indignity. However, even if we assume the official speech qualifies as an adverse action for the purposes of the statute, it still appears to be permissible for effectively the same reasons as the first and third arguments presented in the decision: First, the adverse action Blair complains of was a rather minor indignity, and de minimis deprivations of benefits and privileges on account of one's speech do not give rise to a First Amendment claim. The actual effect of the Administration's speech has a minimal direct effect on the players it speaks against. The decision further states: The most familiar adverse actions are “exercise[s] of governmental power” that are “regulatory, proscriptive, or compulsory in nature” and have the effect of punishing someone for his or her speech Official speech by the Administration is not "regulatory, proscriptive, or compulsory in nature." While this is not a complete definition for "adverse action," it gives a sense of severity, which official speech does not appear to meet. Additionally, the President's right to speech, and the Administration's authority and need to make official speech as directed by the President is a competing interest in this case, as was the interest of the Board in Blair: Third, it is significant that Blair isn't the only party in this case whose interests implicate First Amendment concerns. To the contrary, we assume all of the Board members have a protected interest in speaking out and voting their conscience... The decision does note that: The point isn't that the vote against Blair was protected speech simply because it was expressive. Almost all retaliatory actions can be said to be expressive, including those that are manifestly unconstitutional. But, while Blair certainly had a First Amendment right to criticize Seigel and vote against his retention as superintendent, his fellow Board members had the corresponding right to replace Blair with someone who, in their view, represented the majority view of the Board. Similarly, it's probable that a court would find that the President's right to speech and their Administration's corresponding authority to speech against the players' right to protest is equally weighted or even weightier, such that stifling the official speech is as bad or worse than the alleged chilling effect of the speech. Some examples of things that clearly would fall afoul of 42 U.S. Code § 1983 would be the President or the Administration misappropriating funds to use to pay NFL teams not to hire players who kneel during the national anthem, or signing an Executive Order preventing players who kneel during the national anthem from playing - in both cases, they are taking actions which fall outside the powers of their office, which would qualify as acts made under color of law and clearly chill the players' First Amendment rights.
What kind of contract would that be? One about... arbitration? One about "I hereby relinquish my claim for payment of X?" --- children cannot be taken away from their father, no matter what. - OP That contract is void in germany because this contract not only violates public policy, it tries to modify something that is regulated by law into a way that does offer less than the law demands as a minimum. That's not allowed in Germany. Further, a clause that gives custody to the father by default is also Sittenwidrig in Germany, and thus void under §138 BGB. So would be a clause that gives it to the mother by default by the way. In a case of controversy, only a court order can assign guardianship. And only the court can take guardianship away. When the kid is born its guardianship gets assigned to the parents as guardians by §1626 BGB. While it is possible to give your partner guardianship if you're not married under 1626a BGB it is explicitly impossible to assign guardianship for any compensation to either party (e.g. the mother or the new guardian may not receive anything other than the guardianship in the specific paper) under 1626b BGB. Thus a contract that does anything else in addition to guardianship, like a prenup, voids at least the guardianship clauses. And you have to tell the court about that assignment of guardianship under ($1626d BGB). Now comes the kicker: §1628 BGB forces the parents to apply to the court to solve any problems of huge impact, such as guardianship: So technically, mediation results are fully non-binding and you can not mandate it. Also, since all marriages are through the state, it needs a formal instrument of the state to be dissolved. The only three ways that the state ever allowed this to be done after WW2 were a) annulment through a court, which only was possible till 1998, or b) divorce through a court, c) death of one of the marriage partners. Yes, it takes a judge to divorce a marriage under $1313 BGB or one of the two married to die. Because you can't divorce without a filing in court, a clause that demands to divorce in some way that is not including §1313 BGB, that clause would be void. It might be legal to have a clause that demands to try to solve issues in arbitration before filing for divorce or sorting the belongings in such a way, but it can't supplant the court requirement.
This is called a qui tam action. It's a concept that's been around a long time in the English legal system (predating the US), to encourage people to help the government enforce its laws. The more contemporary system is to give private parties the right to sue on their own behalf for some wrong (known as a "private attorney general" system), which is how things like civil rights claims tend to work; the difference with qui tam is that the government is the plaintiff (source) It's possible when the law says that a claim under some section may be filed by a private person on behalf of the government; at the time the article was written, the false marking statute (35 USC 292) stated that "Any person may sue for the penalty, in which event one-half shall go to the person suing and the other to the use of the United States." In a qui tam action, the government is the plaintiff; it's just that instead of a public attorney handling the case, it's handled by a private party. There were three active qui tam statutes in US federal law as of 2009 (source: CRS): the False Claims Act (31 USC 3730), the patent marking claim, and an Indian protection statute (25 USC 201). The patent marking qui tam provision has been repealed, leaving just the two. For the Indian protection statute, I can't find any reference to any special procedure; for the False Claims Act, there is a special procedure included in the law. In the False Claims Act, when an action is submitted, the government is notified and the complaint kept sealed for 60 days while the US government decides what to do. If the government wants to take over the case itself, it can do that; if it wants the private party to run the case, it can do that too; if it wants to dismiss or settle the case it can do that as well. It can also ask for the time to be extended, or for discovery to be delayed to gather evidence or prosecute a separate criminal or civil case. If the government lets the private party run the case, they can still intervene later if they have a good reason. After the case finishes, the private party gets 15-25% of the judgment or settlement (if the government took over the case) or 25-30% (if the private party ran the case), plus attorney fees. If the facts the case was brought under were publicly known when it was filed, the amount shrinks to 0-10% if the person supplied information to the government that wasn't publicly known when it was supplied, and the case is dismissed if the person just learned about it from public sources. For the false marking statute, a district court actually found it unconstitutional in part because of the lack of the extensive procedure found in the False Claims Act. There, the procedure was just to file the case like normal; the clerk had to tell the Patent Office that a claim had been filed within a month, but one issue was that a settlement could have happened in that time and bound the government. It's possible higher courts would have ruled had that section not been repealed later that year. As for other countries, the idea came to the US from England, but the Common Informers Act 1951 eliminated it there. However, private prosecutions (which do exist in England) are similar in that the case is on behalf of the Crown, but handled by a private party; they're different in that the private party doesn't get any part of the judgment. While it's hard to prove a negative, I can't find any evidence of qui tam provisions outside the US.
Is there copyright on sporting results? Is there copyright on sporting results? For example Tour De France results have the rank/position of each cyclist, the cyclist's name, and the cyclist's finish time/result. 1, Thibaut Pinot, 3:17:21; 2, Nairo Quintana, 3:17:39; 3, Ryder Hesjedal, 3:18:02; 4, Alejandro Valverde, 3:18:59; 5, Chris Froome, 3:18:59; This data is factual so can copyright be applied? This data is not original so can copyright be applied? There's an argument that finish times are an original work because they originated from the Tour's timing equipment. The counter argument is finish time could alternatively be sourced from mainstream media, social media, or from the cyclist themselves and so are not an original work.
In the US, this question was addressed in NBA v. Motorola (1997), in which a sports league sued a company providing a real-time scores service. The district court held that the facts of the game were not copyrighted, though the broadcast was, and that NBA's copyright was not infringed. The Second Circuit affirmed.
The author of that work owns its copyright. Barring a licence that gives you the right to use it, you are infringing copyright. (I'm assuming no fair use in this case; i.e. the YouTube clip isn't actually about the audio track.) If you pay for licences, make sure the licence allows for the purpose you intend to use it for.
Such a document is protected by copyright the moment it is fixed in a tangible form (which includes on paper and in a computer file). Your creative expression would be protected. But the facts of what the format consists of would not be protected -- copyright never protects facts. You may lawfully place a copyright notice on it, but such a notice will not grant you any rights to control use of the facts disclosed in the document, and would not even if you held copyright to the game or the format. Indeed in the modem era, a copyright notice has very little legal effect at any time on any document created after 1989. If the document is devoted entirely to describing the contents of the file format, there may be very little that is protected beyond the exact wording. If there is essentially only one way or a very few ways to accurately describe the facts, even the exact wording may not be protected. By the way, if you are going to use a copyright notice, the standard notice lists the year as well as the copyright holder (who is often but not always the author). Example: Copyright 2022 Chris Smith Legal Effect of a Copyright Notice In US law, 17 USC 401(a) provides that: (a) General Provisions.—Whenever a work protected under this title is published in the United States or elsewhere by authority of the copyright owner, a notice of copyright as provided by this section may be placed on publicly distributed copies from which the work can be visually perceived, either directly or with the aid of a machine or device. [emphasis added] Subsection (b) which I will not quote, specifies the form of the notice. Subsection (c) specifies how such a notice should be positioned. And subsection (d) goes to the legal effect of the notice. Subsection (d) reads: (d) Evidentiary Weight of Notice.—If a notice of copyright in the form and position specified by this section appears on the published copy or copies to which a defendant in a copyright infringement suit had access, then no weight shall be given to such a defendant’s interposition of a defense based on innocent infringement in mitigation of actual or statutory damages, except as provided in the last sentence of section 504(2). Since the 1989 effective date of the Berne Convention Implementation Act of 1988 (BCIA), the provisions of 17 USC 401(d) quoted above, are the only legal effect, in US law, of the omission of a copyright notice on a work protected by copyright. (The BCIA amended US copyright law.) Prior to that date, the omission of such a notice could cause total loss of copyright, although there were limited exceptions specified in 17 USC 405 and 406. Section 406 also indicates the legal effect of an incorrect notice on the copyright of the name and date specified in a notice on works published before the date of the BCIA. On works first published since that date, all such legal effects have ceased to operate. In countries other than the US, that have adhered to the Berne Copyright Convention, or the WTO TRIPS agreement, no notice or other formality is required to ensure copyright protection. This includes almost every country in the world, and includes all countries with a significant publishing industry.
The following answer is based on US-law. I am not a lawyer; this is not legal advice. If the book you read is in the public domain* you should be fine. Otherwise what you are doing is copyright infringement and probably not protected by fair use**. One of the rights granted to copyright holders is to control derivative works, and transference to different mediums, which is what your recordings would be. Under US law, whether an instance of copyright infringement is fair use is evaluated on a case-by-case basis, weighing four points: the purpose and character of one's use the nature of the copyrighted work what amount and proportion of the whole work was taken the effect of the use upon the potential market for, or value of the copyrighted work In my non-lawyer evaluation, point 1 depends on what you do in your video (unless you monetize your Youtube video, in which case it is likely to be decided against you), but if you are merely reading the book out aloud, it is unlikely to be in your favor (although it may not be against you as an "educational tool"). Point 2 depends on what is being read, with a informative work (e.g. a textbook) being more likely to be fair use than a creative work (e.g. a novel). Point 3 depends on how much and what proportion of a work you use; since you are presumably reading a whole book, this would most likely be ruled against you. Point 4 would almost certainly be decided against you, as you are essentially creating an unauthorized audiobook. In summary, you can read a book aloud. You can record your reading of it for your personal use. You should NOT upload it to Youtube, or other sharing sites. *Note that different countries have differing rules on when a book enters the public domain, and since the internet crosses borders, multiple rule sets may apply.
You may have issues if you take their content wholesale. Even if they freely distribute them, they still retain copyright. As such, they absolutely can claim copyright. Whether they will or not is another question. Your best bet around this is Fair Use doctrine. You can take a part of their work (e.g: a single question) and do your video based on how you work out your answer, with your video mainly focusing on the 'working out' part (thus satisfying the 'educational purposes' part)
From your question(s), as well as your various comments, I understand you to have two general inquiries: 1. Is there any infringement of copyright laws if you use things like the titles of books, games, apps, names, address (and any other number of things) which you will then put into datasets that will be licensed for proprietary commercial purposes? You may freely put titles, names of people, places or things into datasets without fear that you are infringing on copyright or any other laws. That is clear. Copyright law does not protect names, titles, short phrases or expressions. Even if a name, title, or short phrase is novel or distinctive it cannot be protected by copyright. So, there is no point in discussing the doctrine of fair use in this context, because Fair Use is a defense, or a legal safe harbor that is merely an exception to copyright infringement allowing people to use a copyrighted works under specific circumstances. As I understand your intended endeavor, you will not be infringing on any copyrights to the extent that you are merely using factual data, like names of copyrighted things for the purpose of creating a dataset or an application to help access it. This is why I say you need not concern yourself with the test for Fair Use with regard to this issue. The Copyright Office states clearly, despite what people may think, that there are no exclusive rights in brief combinations of words such as: • Names of products or services • Names of businesses, organizations, or groups (including the names of performing groups) • Pseudonyms of individuals (including pen or stage names) • Titles of works • Catchwords, catchphrases, mottoes, slogans, or short advertising expressions • Listings of ingredients, as in recipes, labels, or formulas. When a recipe or formula is accompanied by an explanation or directions, the text directions may be copyrightable, but the recipe or formula itself remains uncopyrightable. Hence, these things are not registrable under a copyright. While something may be potentially attached to or included in copyrighted material, is not in and of itself subject to the protections of these laws. If it (whatever it is) cannot be registered for a copyright, it is not copyrightable. Because copyright registration/notices have been optional since 1989, when the U.S. attached itself to the Berne Convention, whereby copyright protection is automatic as soon as a work is “fixed in a tangible medium of expression” (written down, recorded, painted, etc.) it’s protected. No notice is required. Registration only becomes required for litigation or enforcement purposes. But this is really extraneous to your inquiry anyway, as far as it applies to the actual data. When you get into copying whole databases for your purpose, that analysis is different. 2. You want to "scrub" the internet for information that you intend to put into your proprietary datasets and use for commercial purposes, some or most of which is already in a database or some organized form, and you want to know if there is some sort of copyright or duty owned to the person who originally databased the materials? Since ideas, procedures, principles, discoveries, and devices are all specifically excluded from copyright protection, if you want to compile this type of information from the internet for the purpose of creating datasets, or searchable databases, this is permissible. That said, there are protections for existing databases under copyright law, provided under the concept of a "compilation copyright". A compilation copyright protects the collection and creative assembling of data or other materials. Compilation copyrights protect the collection and assembling of data or other materials, such that databases are generally protected by copyright law as compilations. Under the Copyright Act, a compilation is defined as a "collection and assembling of preexisting materials or of data that are selected in such a way that the resulting work as a whole constitutes an original work of authorship." 17. U.S.C. § 101. The preexisting materials or data may be protected by copyright since the selections of materials and the form they take in an existing database may be original enough to be subject to a copyright. However, the data itself is merely information and is not protectable. The Copyright Act specifically states that the copyright in a compilation extends only to the compilation itself, and not to the underlying materials or data. 17 U.S.C. § 103(b). As a result, "compilation copyrights" can't be used to place protection upon those things that are otherwise not protectable. In the case of Feist Publications, Inc. v. Rural Telephone Service Company, Inc., the U.S. Supreme Court ruled that a compilation work such as a database must contain a minimum level of creativity in order to be protectable under the Copyright Act. Feist makes clear that even a copyright protected database does not hold the right to prevent an individual from extracting factual data from the database (so long as you're not copying the entire database as a whole). If you take an already compiled and copyrighted dataset in its entirety, you must obtain a license for its use. However, if you are merely amassing great amounts of data to then put into your own dataset, that you are free to do. The big issue will be (and you seem to realize this) where you will amass this data from. Some websites have specific licenses in place that say you cannot use or rework their content. However, many times these websites simply throw these license requirements out there for users to see, despite the fact that they may not be (and some would argue) are not enforceable. The courts have heard arguments that "contracts" (the end-user licenses) that protect databases and information on websites is beyond the protection available through copyright law should be "preempted" by the Copyright Act itself. The preemption argument goes like this: Federal law controlling something that is subject to interstate commerce or use, should be controlled by the federal laws. So,since the federal government has enacted the Copyright Act to govern any protections to any original works, states should be (arguably are) prohibited from having contradictory laws. Because of the ability of a federal statute to preempt state law, and the fact that the Copyright Act at 17 U.S.C. § 301 sets forth specific preemptions, no state may create rights that are equivalent to any of the exclusive rights provided under the Act. It is this concept of preemption that prevents copyright protection from varying depending upon the state where a work of authorship is created. Arguably, the same is true for the internet, and supposed contractual relationship created through licenses that dictates how non-copyrightable material may be used. In the case of ProCD, Incorporated v. Matthew Zeidenberg and Silken Mountain Web Services, Inc. the court examined whether an end-user of a CD ROM phone database was subject to the license, when they extracted a large portion of the database and made it available over the Internet. The database was almost the same as the type of data in the Feist case-The lower court rejected all copyright claims and found that the shrinkwrap license that controlled the end user's right to use the data was both unenforceable (as a shrink wrap license) and preempted by the Copyright Act. As a result, there was no relief available to the creator of the phone database and the end-user was free to extract the data and use it as he saw fit. However, on appeal this decision was reversed (7th circuit). The appellate court did acknowledge that the database (on the CD) was not original enough to be protected by copyright (finding no copyright infringement by the end-user); However, they did find the end-user was breach of contract, since the shrink-wrap license prohibited the end-user's conduct. What this tells us is that these licenses (on websites) may or may not be enforceable. While the 7th Circuit found a contract right pursuant to the license, despite the preemption argument, another appellate court that is more liberal may find otherwise. Also, this was a disk, not the internet, which is the "wild west" of information, largely unregulated and unlitigated as it pertains to the legality and enforceability of (some) regulations that do exist. License agreements for site use on the internet are everywhere. If you take a database from some site that has a license saying you cannot take their work and add to it, or whatever, and you do add it to other databases that are not licensed and then make your own dataset - chances are you are NOT going to be infringing on anyone's copyright. That said, you may be in breach of contract (the license) if they find out about it, and sue you (using it doesn't put you in breach; only getting sued and having a court determine you're in breach puts you in breach. It may be a distinction worth contemplation, but that is up to you). The safest, bet would be to get a license from them to rework the materials. If the material is generic enough, and will be changed enough, that you are creating your own new (copyrightable) work - I'm not sure how they would know you "scrubbed the data in contravention of their license agreement ( I have NO CLUE if there is coding or metadata attached to it such that it's identifiable in that way. I have not tech background and do not endorse taking what's not yours). But if they can and do know, they could cause problems for you. Lastly, I will just say that the internet is littered with sites that claim copyrights, or impose unenforceable licenses on material that is ripe for public use. Just because it says it's theirs does not make it so. The inverse is also true. Just because a site does not claim copyright to something, does not mean it is in the public domain. I would recommend either sticking to public domain/use sites for your scrubbing endeavors, or seeking permissions from the sites who impose licensing requirements. Short of that, I would recommend (as I already have) seeking an formal legal opinion to say that you are not imposing on anyone's copyrights (this could only be done once you showed an attorney every place you took material from, as well as what the material is), and that the licenses from sites with generalized information that may try to limit use, are unenforceable. I would do this before you invest a lot of time or money into something that is largely based on the accumulation of other peoples work product. I wish there was an answer certain, but there just isn't without seeing everything in the end.
There are three questions relevant to this issue: Who owned the copyright in the first place? Was the copyright transferred? If not, was a license given to the site to use the content? In general, under most countries' laws, the person who creates an original work owns the copyright. The person with the copyright has the right to copy and distribute the work, and the right to prevent others from doing so. In some cases, such as where a work is created as a "work for hire" by certain employees under certain circumstances, the initial copyright is held by a third party. You will need a lawyer familiar with your jurisdiction and your circumstances to determine if this is the case. Finally, even if you own the copyright, you can license others to use your content. This may be in an express written document, or it may be an implied license--implied, for instance, by the act of posting it on their blog. The existence and scope of such a license is, again, something that will have to be determined based on your country's specific laws and your specific situation. The bottom line is: if you submitted articles to that blog, you can't complain that they posted them. Depending on the license in effect, you might be able to get them taken down, or you might not. You need a lawyer, not the internet, to tell you what your rights are in this very specific case.
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.
Where is the line between idea/expression dichotomy? Just wondering where idea become expression. Let's take The Lord Of The Ring as an example, if i want to write a boook about two alchemist heading to a tower in order to destroy the ring of evil, would it be a rip of idea or expression? FYI no, i'm not gonna write a book about it. :P You can answer me using Harry Potter as an example if you want, just interested in understanding where the line is.
Expression is tied up with fixation. Copyright subsists in a work that is fixed in a tangible medium of expression from which they can be reproduced, perceived, or communicated. 17 USC 102 This expression is protected, not the idea. However, copyright infringement can occur even when there is not an exact copy. First, courts use a substantial similarity standard to determine if infringement has occurred. Second, when a character or plot is sufficiently developed, taking that character or that plot can be infringement, even if not expressed in the exact same manner. "We do not doubt that two plays may correspond in plot closely enough for infringement [...] the less developed the characters, the less they can be copyrighted; that is the penalty an author must bear for marking them too indistinctly." Nichols v. Universal Pictures Corporation, 45 F.2d 119 (2d Cir. 1930) Some characters or plot elements are so common to a genre that they are either not considered "original" enough to get copyright protection, or can be taken by others without being considered infringement. This is the scènes à faire doctrine. "Stock scenes and hackneyed character types that "naturally flow from a common theme"—are considered "ideas," and therefore are not copyrightable. But as plots become more intricately detailed and characters become more idiosyncratic, they at some point cross the line into "expression" and are protected by copyright." Suntrust Bank v. Houghton Mifflin Co., 268 F. 3d 1257 - Court of Appeals, 11th Circuit 2001 See Amanda Schreyer's An Overview of Legal Protection for Fictional Characters: Balancing Public and Private Interests for many more cases and examples of the idea-expression dichotomy in action with respect to fictional characters.
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.
No, it means you can't copy it. By default, the copyright to a work is owned by its creator, and nobody else is allowed to copy it, or create derived works, without their permission. That permission can be granted by a license. "License unknown" doesn't really tell us anything, but it certainly isn't clearly granting you permission. So you don't have permission to copy, and thus you cannot. You would have to seek permission from the copyright holder. See also If no licence is distributed with an application/source code, what license applies by default if any? (Some jurisdictions do allow for "fair use" exceptions, which allow you to copy a work without permission. You haven't said what jurisdiction you are in.)
You don't just want to ask, you are required to obtain a license (or in other terms: the OK of the author*). Your game is based on a book. That makes your game a derivate work. Under berne convention, any signer state has to make sure that the author* has the right to authorize any derivate. That includes translations, films, or games. Without a license, you violate copyright law. It doesn't matter if your game is free. To stay safe, you need to obtain a license. Quite some authors would be happy to cut a deal, license or guidelines for fan-projects. As an example, the late Sir Terry Pratchett OBE has specific guidelines on what is ok and what not. Ask your author* about these questions and consult a Lawyer! Only then make your fan project! * This means the author, their estate or whoever they assigned their rights in the work to. Some examples: For that teenage wizard in a private castle charter school that'd be a certain J.K. Rowling. For those hairy-halflings running all over the continent hunted by orcs that'd be the J.R.R. Tolkien-Estate. And for those space wizards using blades from solid light that'd be The Walt Disney Company or one of their subsidiaries.
Probably not. It sounds like you've copied the complete work without any meaningful transformation. You've reduced the market for the original work by hosting your own copy. The fact that your purpose "is to share the information" doesn't really do you any good, as that is also the purpose of the original work. You're almost certainly outside fair-use territory. If you're looking for a "kosher" way to do this, the generally accepted practice is to link to the article and either paraphrase or excerpt the most relevant portions. That said, the fact that this piece came from a university may help you out. If it's a public university, it may be that its "news" articles are actually public records and not protected by copyright. For more information on how to run a fair-use analysis, see the answer here.
Is it ok to copy the game concept and even with mostly similar content like "fighting", "building houses" etc ? Yes, but ... I should also mention that pretty much my whole User Interface is based on the User Interface from "Parallel Kingdoms" Is copyright violation. Ideas are not protected by IP law. The tangible representation of those ideas (art, words, layout, format etc.) is protected.
As for plagiarism, that is not a legal concept, so he can define plagiarism however he wants. It certainly isn't, under any definition I have ever seen on Earth and I have seen many (it has to do with "claiming someone else's work as your own"). As for copyright, a set of questions is (potentially) protected by copyright. If they are copied from somebody else's book of questions, then the book author (or publisher) holds copyright. Let's say that QM invented the questions, such as "What is the Turkish word for Janissary?", "What is the most prominent feature of Jannissary garb?" and so on. Then that set of questions, when put down in fixed form, are protected by copyright, and cannot be copied without permission.
While "clause" has a specific definition in linguistics, that is not how it is used in laws and legal documents. These terms have no standard definition for legal writing. Documents or legal codes that use both generally use "article" to mean a larger division than "clause" does. In discussion of the US Federal Constitution, for example, the largest divisions are called "articles", each of which is divided into several "sections", and each section generally contains several "clauses". Some of these are actually grammatical clauses, being part of a sentence with a verb and a subject, while others might be called paragraphs in ordinary prose. A given document or legal code should ideally define which terms it will use for its parts, and which contain which others. This can be done in whatever way the drafters wish, but it is desirable that it be clear. In addition to the terms you have mentioned, terms often used include "subsection", "subsubsection", "title", "paragraph", "subparagraph", "chapter", "part" and "division". These are not used consistently, and I have never seen a single document or code that uses all of them. The Us law code is divided into titles, each of which contains sections. In some of these sets of related sections are grouped into chapters. Sections may have subsections or paragraphs. In my experience smaller contracts or business documents rarely use "articles" and some just use "section" for any named or numbered part of the document. Usually titles or section headers are explicitly stated to have no legal effect, and the division into sections or other parts is simply to facilitate reference, and does not have legal significance. Whether a provision is called an article, a section, or a clause will not normally change its legal effect. However, where one part of a document refers to another part, such as "as specified in section 23" then the reference will be found in and only in the designated part, and will not be looked for in some other part.
Does reproducing a board game as a video game violate copyright? The context I am thinking of is converting a board game into a video game or app. Of course, I can't manufacture a physical copy of the game without permission, but does the same apply to a virtual version? My understanding is that copyright protects only the particular manner of an author’s expression. This means that the board game is copyrighted, but a video game with the same mechanics is not. Is that the case?
Game mechanics are not copyright able. However, the images, words used, description of the rules are all copyright. If the original games is the source of the video game then the video game is a derivative work. If the original game is only the inspiration and the look and feel is different then this is OK. Which is which will turn on the actual facts.
In general, a gameplay video would be either a partial copy or a derivative work, and in either case an infringement if created without permission. Such a video might be covered under fair use in US copyright law, particularly if made for the purpose of commentary on a game or instruction in how to play or design a game. In general, a fair use defense is more likely to succeed if only the minimum amount of the work required for the purpose is used, and sound tracks might not be required for such a purpose. Thus a maker of such a video might choose to omit the sound to improve the fair-use case. Moreover, when the sound track contains licensed popular music it would be subject to a separate copyright, and many music publishers are notoriously litigious, so prudence would advise omitting the sound. All that said, fair-use is a case-by-case determination, and if the makers of such videos have not been sued, they (and we) can only guess how a case would turn out. As to why game makers refrain from having such videos taken down (if they in fact do refrain) one can only speculate. Game publishers may consider the videos good advertising. Questions based on the absence of legal proceedings are inherently speculative, unless a copyright holder has announced a policy of not taking action and the reasons for it.
The author of that work owns its copyright. Barring a licence that gives you the right to use it, you are infringing copyright. (I'm assuming no fair use in this case; i.e. the YouTube clip isn't actually about the audio track.) If you pay for licences, make sure the licence allows for the purpose you intend to use it for.
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.
There aren't bright line rules in the area of fair use (which is the core issue - you are clearly copying a work that has copyright protected portions, at least - the question is whether fair use provides a defense and whether some portions are not copyright protected). This inquiry is fact specific and driven by general standards. Context such as whether the use would be free or commercial matter as well. For your own notes, anything goes pretty much. This generally wouldn't constitute "publication" of the work and would be for personal educational used by someone who paid for the book anyway. For shared notes - it depends. Also not all kinds of copying is created equal. Some parts of textbooks are themselves in the public domain or not protectable by copyright. For example, even a lengthy quote from a scientific journal article would probably be allowed with attribution. It would also be easier to evaluate based upon the type of textbook. A history textbook can have protection similar to trade non-fiction and can have very original exposition. An algebra textbook, less so. Your question also points to an end run. If the professor is the author of the textbook (many of mine were in something of a racket), you could get permission from the author.
This would be infringement. It generally doesn't matter that you're giving things away for free. Keep in mind that the point of these laws is not only to prevent third parties from making money off the creator's ideas, but also to protect the creator's ability to make money. If you're providing free knock-off Winnie the Pooh products, that cuts into the market for the creator's legitimate products.
Reproducing someone else's copyrighted material without permission is a violation of that copyright. This includes using it to promote your Twitter account. This is a violation of copyright law and of Twitter's TOS. There may be Fair Use exceptions- this question is arguably fair use. However, it's extremely unlikely your intended post counts. In the case of the image in question, royalty-free means you pay for a single licence for that image and can then use it as much as you want (according to that licence). You can post that image in as many of your tweets as you like- you don't have to pay each time. If you don't want to pay for images you use, use public domain images, images with licenses that allow you to use them, or create them yourself.
Udemy claims that all the videos and course content are copyrighted, but does that also hold for the material of the course? Yes, all the material is copyrighted. Ideas are not, material and content is. it would be really useful to me if I could take a large part of that code ... I want to know if I am allowed, by the law, to use this code for commercial purposes, or is it protected as the intellectual property? Yes, it is protected, specifically it has copyright applied and you may only use it if the license it is distributed under allows you to - in some cases this may be a permissive license, or the code may be obtainable legitimately from another source under a permissive license, in which case its usable. But in many cases, it may not be distributed under a permissive license or indeed any license, and in such cases you will not be permitted to use it. The license under which the code is released depends on the individual course, and in many cases the source code repository or download site for the code for the course. Check their for a license.
Why is PayPal blocking my account according to U.S. tax law, if I've a UK account only? I've opened PayPal account for my business and in My Profile I've clearly selected the UK address. My phone is UK, my bank accounts are UK and the balance is shown in GBP. So this is very clear to PayPal that my account is UK based. However I've received the following e-mail which says: Your account access will remain limited until you add more information about your business. Why do I need to add this information? The Foreign Account Tax Compliance Act (FATCA), a U.S. tax law, requires financial institutions like PayPal to collect additional information from customers when a new business account is opened. You need to add this information even if your business or your customers are not United States taxpayers or located in the United States. We collect this information for regulatory and compliance purposes. By adding "more information" they mean to download U.S. form W-8BEN-E, fill it in completely and upload or fax it to PayPal, however I don't want to fill some U.S. form, simply because I'm not from the U.S and I don't want to share my confidential personal details with the foreign country. To clarify, my business doesn't have any clients from the US and my business is registered in the UK. And as an owner of the business I've never been to the U.S. So my question is, why am I affected by a U.S. tax law? Do I really need to comply with U.S. tax law (having the business in the UK)? The above quote from the e-mail says that I need to add this information even though my business isn't located in the U.S. However on the FATCA FAQ page (requires log-in) it says: For accounts held outside the United States that belong to non-US persons, financial institutions such as PayPal must gather information from account holders providing that they are not US persons. For me this is contradictory to the previous quote (because here they ask me to prove I'm not a U.S. person) so I'm confused as to what I should do. In other words, can my UK business somehow ignore FATCA requirements or not? Currently I'm forced to comply to the country compliance act tax (by filling W-8BEN-E) where I've nothing to do with it, which doesn't make any sense.
The reason that you are being asked to comply with a US law is because PayPal, a US company, is required to comply with US laws. If you do not comply, it is likely that they will be non-compliant and subject to sanctions. For more background, FATCA reporting is used to identify businesses that a company does business with. In this scenario PayPal does business with you, 'Kenorb Inc', and so must prove to the regulatory agencies that you are not a US based company, hence the need for the W-8BENE. In a similar way - people from other countries cannot simply ignore UK law when dealing with your business. As for your quotes - they are not contradictory.
Yes it is kind of possible what country would the legal action need to originate from? Would one file in the US and note the foreign defendant or would one file, as a foreigner, in the home country of the defendant? You can go either way. It is not obtaining the judgment that is the biggest trouble here, but enforcing it. You will need: A UK mailing address. Services like ScanMyPost will suffice. Some money to pay the court fees. Time, tenacity and patience to follow through the procedure and fill all necessary forms. Be lucky in that the defendant actually has something to pay the debt with. There are two stages: Obtain a court judgment in your favour. Unless the defendant pays you, enforce the judgment. Obtaining court judgment in the UK In the UK, the "small claims court" functions are executed by HM Courts & Tribunals Service. The specific service is called "Claim for money" which can be filed online via their old or new system. So, basically, you file the online form, pay the fee by credit card and wait for defendant's response. If they do not respond, you ask the court to make a judgment (in my case it took 10 weeks from filing claim to getting judgment). If the defendant responds and defends themselves, expect much longer wait and uncertain outcome. Enforcement So, you and the defendant have both received court judgment saying that they must pay you. But they are not paying. There is a range of options you can choose from: County Court Warrant of Control (claims from £50 to £5,000). Court bailiff will go to the defendant's address and try to seize goods that can be easily sold. High Court Writ of Control (claims from £600). Attachment of earnings order (you ask the court to order the defendant's employer to deduct his earnings in your favour). Third-party debt order (a.k.a. "Garnishee Order") — if you know the defendant's bank account details. Read about potential pitfalls here. Charging order: you will only get paid if the defendant sells their land. Bankrupt the defendant (big court fees!). Alternatively, you could always hire a UK lawyer but then you would probably not need this answer.
First of all, if your Delaware LLC earns money, you will pay tax in America on that money. America still taxes "foreigners" on American income, just not on"global" income. That is, unless the U.S. has a tax reciprocity treaty with your home country, Malaysia. I don't know about Malaysian law, but I am writing as an American about American law regarding the Seychelles (and I am not a lawyer). The following is only as an "example." If you set up an LLC in the Seychelles, you could, in theory, avoid American tax by accruing income there. In practice, if you did nothing but "banking" in the Seychelles, America would look at your lack of "value added" there, and could tax you on Seychelles income as if your corporation was American. The way to make such a claim stick (typically in a place like Ireland), is to set up a manufacturing or operating facility (e.g. call center) there so that you were shipping goods or services from your offshore operation. Then you'd have a strong claim in America that your operation actually earned most of its income abroad, and the U.S. company was just a holding company.
If you have an agreement with a company that specifies "you agree to give me something of value, in case I give you something of value", you have a contract. In order for there to be a contract, there has to be actual acceptance of the offer. You can put out on a web page some contract stating those terms, and if you get positive acceptance of the contract (hence the standard click-through technology), then as long as you have done the thing promised, you can bill them for doing the thing promised. It's not clear what thing of value you are offering on the web page, since it's not "doing actual work". Them sending you an email isn't you doing something. One thing you could do is block all incoming emails, and for money you agree to unblock emails from registered subscribers. Just announcing that you will bill anyone for emailing you does not create a contract, because the emailer need not have even seen your announcement. This is why e-contracts need a click-through button. It's legal to request money, but there is no legal obligation for them to comply. That will be $10, please.
When the data controller is from the EU/EEA/UK, the GDPR applies. Any website inherently processes personal data such as IP addresses. Thus, when transferring personal data into the US (e.g. because the website is hosted in the US), it is necessary to comply with the GDPR's Chapter V which covers international transfers. The US hoster would also have to be bound as a data processor per Art 28. There are multiple legal bases for international transfers into the US. There used to be an “adequacy decision” that allowed transfers without further conditions in the form of the EU–US Privacy Shield, but it was found invalid in the 2020 Schrems II ruling due to concerns about US mass surveillance. The next alternative are “appropriate safeguards” to protect the transfer, which generally requires that the data exporter and data importer (here: you and the hoster) sign standard contractual clauses (SCCs). But in the wake of Schrems II, it is clear that SCCs alone are not sufficient, and would generally require supplemental measures to protect the personal data. The concern is that an US company would not be legally able to comply with the SCCs they've signed. Art 49 has fallback legal bases for occasional transfers such as the data subject's explicit consent, which are not useful here. What most people do is pretend like SCCs are sufficient and hope that regulators turn a blind eye, at least until another adequacy decision is negotiated. However, guidance by regulators including EDPB recommendation 01/2020 explains that it's the responsibility of data controllers to analyze their specific transfers, adopt supplemental measures if necessary, or stop transfers if such measures are impossible. To cut the chase short: there are no technical measures that could help in a cloud or SaaS setting, and I would include webhosting in that setting. As a consequence, it's effectively impossible to be GDPR-compliant while relying on services that store or process personal data in the United States. It would therefore be prudent to migrate an US-hosted website to a server located in the EU/EEA or in a country that has an adequacy decision. Your registrar's information seems correct in this regard, though it is admittedly a bit self-serving for a company that offers web hosting itself. On to your specific questions/arguments. Is all of this irrelevant because you are not using an US “cloud” service? No. Don't get distracted by the word “cloud”. The issue is that you are using an US-based service that processes personal data in the clear. Can you avoid disclosing the international transfer because you aren't processing personal data? But you are most likely processing personal data. The GDPR's definition of personal data does not just include identifying information, but any information relating to identifiable persons. Identification includes being able to single out a person. IP addresses are likely (but not necessarily) a kind of personal data. In any case, your use of Google Analytics sets tracking cookies that definitely allow identification of visitors. Since you are performing an international transfer of personal data, you must inform the data subjects. Is copying a standard privacy policy sufficient? While transparency about processing activities is an important part of GDPR, it is only a part. Other parts include: having a clear purpose and legal basis for processing activities binding services who process personal data on your behalf as data processors per Art 28 (here: in particular hosting and analytics) finding and implementing appropriate security measures having a plan for dealing with data subject requests In any case, the privacy policy must fulfil all points mentioned in Art 13 GDPR. Ideally, it should also cover the information obligations from Art 15. There are guidelines on transparency from the EDPB. If your privacy policy was drafted before 25 May 2018, it likely wasn't updated for GDPR. There is a staff-only private area. Whether or not there is any private area is not relevant for GDPR. GDPR is not about protecting private data in contrast to public data, but about processing of personal data, i.e. data that relates to persons. Also note that the staff members are data subjects as well. The only cookies are “technical cookies”. Very good! The ePrivacy directive is closely related to GDPR and addresses what kind of information you may use from user devices, including cookies or similar technologies like LocalStorage. This directive was implemented in the Italian Data Protection Code. You may only use cookies etc if they are strictly necessary for providing the service explicitly requested by the user (such as storing a language preference on your website), or if the user has given their consent. You are using Google Analytics, but only if the user gives consent. Since Google Analytics is an US-based service, some of the above concerns about international transfers apply. Relying on consent is good, though Art 7 GDPR gives some conditions for consent. In particular, the user must have a real choice. While analytics can probably be used without consent, setting cookies for analytics does require consent. As much as I loathe them, consent management tools can be useful here e.g. because they also help with keeping records of consent. In summary: While you have good data minimization practices, your website likely isn't GDPR-compliant in its current form. You can take some first steps toward better compliance, such as by avoiding unnecessary international transfers and updating the privacy policy to better align with Art 13 GDPR. Fines are unpredictable. Most data controllers are non-compliant in some way (probably including myself). But most data controllers don't end up getting fined. While fines should be “effective” and “dissuasive”, they also have to be proportionate to the infringement. Many data controllers have been able to substantially reduce or completely avoid fines by quickly remediating compliance issues when being contacted by their supervisory authority. I have yet to hear about a fine for data transfers into the US, but of course I have no idea what cases the supervisory authorities are currently investigating.
Are there such restriction for F-1 students who have been in the US for less than 5 years, who are non-resident aliens for tax purposes and are actually not citizens of the US but are citizens of another country? Short Answer For the most part, citizenship and immigration status are legally irrelevant to your eligibility to participate in an ICO (there are isolated exceptions related to international trade sanctions, and there are certain "sensitive" industries that usually wouldn't apply to an ICO). This said, no issuer of coins is required to make the offering available to everyone who is not prohibited by the applicable laws from participating. For example, if someone wants to make an ICO available to anyone but Canadians, that is their prerogative. But, in practice, most private ICOs require investors to be accredited investors, and few students on F-1 visas have the wealth, income or professional qualifications necessary to be accredited investors. Long Answer In an ICO made in the United States, the issuer (i.e. the person creating the coins) and the underwriter (i.e. the professionals retained to handle the ICO for the issuer, which will sometimes be the same person as the issuer) are electing to treat the coins as "securities" for the purposes of U.S. law which means that they can be issued only as a "public offering" upon registration with the SEC under the '33 Act or the '34 Act, or under an exception to those acts. While the statutes enumerate exceptions to the Acts, almost everyone sticks to trying to comply with one of the safe harbor exceptions created by SEC Regulation D. This protects the issuer and underwriter from legal liability for making an unregistered offering of a security that does not fall within an exception to the registration requirement, even though it is not unambiguously clear that cyptocurrency coins are "securities." They do this because the consequence for being wrong on this legal question of first impression are very severe and could lead to civil liability for all losses that coin holders experience, large civil penalties that cannot be discharged in bankruptcy, and criminal convictions. Eligibility to participate in a private offering made pursuant to the Regulation D exceptions to U.S. Securities laws (mostly the '33 Act and '34 Act) governing public offerings of securities that often require someone to be an "accredited investor" does not depend upon the immigration status or citizenship of the investor. A private ICO would ordinarily be made under a Regulation D exception. There are two Regulation D exceptions (one for offerings of less than $1,000,000 in the aggregate by an issuer, and another for intrastate offerings) which do not require you to be an accredited investor and there are other exceptions with allow a small number of non-accredited investors to participate if they are provided a professional advisor to counsel them in evaluating the offer. The most popular Regulation D exceptions for private offerings, however, are limited to accredited investors, which are available without regard to citizenship. A non-citizen could probably not participate in an offering made pursuant to the intrastate exemption, but this exception is quite unpopular for issuers and underwriters because very few offerings qualify under it and the boundaries for qualification are not well defined. I could imagine an ICO being made under this exception but I am not aware of any that actually are be made in that manner. Generally, to be an accredited investor you must be a certain kind of business entity (e.g. a bank), or a member of a certain set of professions (e.g. lawyers and brokers), or have a certain net worth and/or income. To be an accredited investor, a person must demonstrate an annual income of $200,000, or $300,000 for joint income, for the last two years with expectation of earning the same or higher income. An individual must have earned income above the thresholds either alone or with a spouse over the last three years. The income test cannot be satisfied by showing one year of an individual's income and the next two years of joint income with a spouse. The exception to this rule is when a person is married within the period of conducting a test. A person is also considered an accredited investor if he has a net worth exceeding $1 million, either individually or jointly with his spouse. The SEC also considers a person to be an accredited investor if he is a general partner, executive officer, director or a related combination thereof for the issuer of unregistered securities. An entity is an accredited investor if it is a private business development company or an organization with assets exceeding $5 million. An organization cannot be formed with a sole purpose of purchasing specific securities. Also, if an entity consists of equity owners who are accredited investors, the entity itself is an accredited investor. In 2016, the U.S. Congress modified the definition of an accredited investor to include registered brokers and investment advisors. Also, if a person can demonstrate sufficient education or job experience showing his professional knowledge of unregistered securities, he is also considered an accredited investor. In contrast, in the case of a public offering, which must be registered with the SEC under the '33 Act or '34 Act, any adult of any nationality (except as noted below) can participate without being an accredited investor. Still, in general, a U.S. securities law perspective, an investor from the U.K. or France or South Africa is the same as a U.S. citizen, even though the tax treatment of the investment for a non-citizen is very different from the tax treatment of the investment for a U.S. citizen or permanent resident. The primary exception to this general rule is that there are some people in some countries who are prohibited from investing in U.S. securities as a consequence of international trade sanctions. These would include members of the families of certain government officials in Russia, Syria and Venezuela, for example. Usually, a private offering packet provided to potential investors (such as one I wrote a couple of months ago involving international investors as well as U.S. investors) will include a separate form in which potential investors certify to the issuer and underwriter of the offering that they are not prohibited from investing under these laws which are enumerated in the form. Non-citizens who are not resident aliens (i.e. who are not green card holders), are also usually required to make a disclosure related to income tax compliance that is different than the Form W-9 that has to be provided by U.S. citizens and green card holders. There are also certain industries (e.g. equity investments in Colorado legal marijuana dispensaries, or farms in some Great Plains states) in which non-resident non-citizens are simply prohibited from making investments entirely although there are no ICOs of which I am aware that would fit in that category.
united-kingdom To extend on @ohwilleke's answer about US inheritance tax, I can answer the UK side of things. UK inheritance tax does not apply to inheritances from abroad, unless that person was domiciled in the UK or some of their assets were in the UK. If you are not a UK resident for tax purposes (which, from the context of your question is unlikely), then you wouldn't even have to pay tax on the interest you earned from depositing the inheritance. If the deceased were taxed for being domiciled in the UK, and the US taxed your inheritance, you'd actually qualify for tax relief from HMRC based on what you'd already paid the IRS. If you are not domiciled in the UK for tax purposes, and neither was the decedent you would owe precisely zero to HMRC in the UK. More info can be found here: https://www.taxoo.co.uk/uk-resident-receiving-inheritance-from-abroad/
Your terms and conditions must comply with the laws in: Your jurisdiction (California) Your customer's jurisdiction (each of the US states, Canadian provinces and ultimately countries and sub-jurisdictions in Europe) If they do they will generally be enforceable; if they don't then they will not be enforceable and you may be exposing yourself to civil and criminal sanctions. While not immediately relevant to you, Australian Consumer Law has such sanctions to goods sold into Australia from anywhere in the world; I am not familiar with other jurisdictions. With respect to your comment that you will not accept returns or refunds, this would expose you to potential fines in Australia of $220,000 for an individual or $1,100,000 for a corporation - under Australian Consumer Law returns and refunds are a consumer right. I strongly suspect that most of the jurisdictions you are selling into would take a similar position. A general "catch-all" like "to the extent permitted by law" may reduce the risk of being prosecuted but it would not eliminate it entirely. Again, in Australia, the provision is that you must not engage in deceptive and misleading conduct - merely suggesting that you will not give a refund even with the limitation above - may still be deemed "deceptive and misleading" if the court feels that a reasonable consumer might assume that they are not entitled to a refund. You need professional legal advice on this.
Does Paypal have the authority to charge for currency conversion? Paypal charges somewhere around 4% to convert US dollars to Aussie dollars when they pay me. What is this fee for? All conversions are computerised now. I have written them and they don't respond. To me, it's theft.
The most minimal elements of theft are: An unauthorised taking or use of another's property; and An intent to permanently deprive that person of that property or its use You've authorised the fee as per the terms of service that you agreed to. If you didn't read the terms of service, you are deemed to have read it. As the first element is not satisifed, no, it's not theft. As to what that fee is for, it's not really a question of law, but because they're a business and they are entitled to recover the costs of providing products or services and make a profit when you use their products or services, I fairly confidently would say that they're charging you to recover the costs of providing you their products and services as well as to make a profit from your use of their products and services. But again, not a question of law.
I emailed the Bureau of Alcohol, Tobacco and Firearms in the USA asking this and received the reply: "There is nothing to prevent you from marketing antiques in the UK while present in the US." I also contacted a relevant US attorney and received: "There’s nothing in your question which would implicate Colorado or US law. If you're a UK citizen, and the sale is happening in the UK while you're in the US, then the US has anything to do with it. So as long as the UK doesn’t have any problem with it, the US will not." So I would conclude this question fairly answered.
If they actually mean $0, then that is not "taking advantage". If they do not mean $0, it is most likely that they will tell you "Sorry, we made a mistake, we're not gonna send you that Rolex for $0 plus shipping". If this came with free shipping, then you would not actually have a contract, because there s no consideration on your part (no payola). Fortunately, there is shipping, so there is a contract. You could then attempt to force them to send you the goods, which they might do rather than irritate you, but not if it is a Rolex. One of the defenses against enforcing a contract is "mistake", and a $0 Rolex would be a great example of that. Things get a bit more tricky if you relied on their free Rolex. You would look up the doctrine of promissory estoppel, to see if the seller could be estopped from making the mistake argument. Let's say that you also bought a Rolex Display Case from someone else at a cost of $100 plus shipping. By relying on their promise to sent you a Rolex, you have suffered a loss. The most likely outcome is that they'd have to reimburse your Display Case expense. (Finding) mistake airfares is an industry: a common response for the airline is to say "Oops, sorry", though sometimes they honor the mistake fare. Rumor has it that rather than get trashed on Twitter, the airlines honor mistake fares. You may find disclaimer language pertaining to verification of prices and availability, which also gets them off the hook. At any rate, you certainly won't be sued or prosecuted for assuming that they mean it and buying the thing; you might be disappointed.
Since sales are in dollar and the OP does not specify a jurisdiction, I will assume Washington state US. You may need a business license, depending on the municipality. There are various permits required for sale of certain wares, such as food, explosives or poisons, but otherwise no special municipal permits are required. A state money transmitter license is required, and there are a number of bond and auditing requirements that also have to be obeyed. The state has a website which implies the pertinent restrictions, but does not actually explain them or how to comply: you would need to hire a lawyer to determine what you have to to to be legal. Those restrictions are not limited to flea markets, they regulate all bitcoin sales in the state, including internet and yard sale.
switzerland This answer is mostly to point out that the situation isn't so obvious, and may greatly differ between jurisdictions. OR Art 7 specifies: 2 The sending of tariffs, price lists and the like does not constitute an offer. 3 By contrast, the display of merchandise with an indication of its price does generally constitute an offer. So the seller is bound to the price tag of an item in a shelf or in a window. If the prices differ, the customer can generally request the lower price, unless the seller can clearly show that there was a significant error. There's a separate law ("Preisbekanntgabeverordnung") that specifies that (under most circumstances) a shop must put price tags on their items. What margin constitutes an error is disputable. The federal court ruled that an offer for an opal ring for 1380 Francs instead of 13800 could be considered an error. But a T-Shirt that is offered for 20 Francs in the shop window but 25 Francs on the shelf is probably not.
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.
A business is free to set its pricing model in whatever way it chooses, unless there is a specific law restring this. As no country or jurisdiction is mentioned in the question, there is no way to judge if some specific law applies. (In the US that would probably be a matter of state law.) A business could set its prices at 10 per user, but with a Minimum charge of 100 if it chose to do it that way. It is up to a potential customer to decide if this is a fair price or not. As long as the price plan was disclosed in advance, the customer has no ground for a legal complaint. The customer could always ask the business to change its policy, but there would be no legal duty to make a change.
Yes When you enter the jurisdiction of a country, you are subject to its laws. You are not, in general, subject to punishment for things you did before you entered its jurisdiction but if possession of bitcoin (or anything else) is illegal in that country, then possessing that thing makes you subject to prosecution.
Can I do my testament as a video on a social network in France? Imagine if I do my testament as a video and post it in private on a social network. Will this video be legally usable and will a notary be able to force the company to give him the video? Is there any things I can do to make my video valid (be facing the camera, showing ID Card, add subtitles...)?
No. In most civil-law countries, including France, a testament must follow very specific forms. It must be either handwritten (holographic will) or confirmed by a notary (authentic will, mystic will). Both possibilities preclude wills as video.
Signing as a witness binds you to nothing. Do not sign if you do not qualify as a witness (e.g. Time known, occupation) but otherwise go for it. It is unlikely that anyone would check your bona-fifes but if they did a statutory declaration would probably be satisfactory. Remember, the point of witnessing is to show the form was actually signed by the person.
Unless you hire your friend cameraman, he will own the copyright. So sign a contract with him: you give him $1, he disclaims and/or grants all the copyright to you. Make sure this is actually in writing because, otherwise, presumption of no intention to create legal relations applies as you are friends.
'Is it legal?' could mean one of two things. Does it break the criminal law; could I be arrested? There is no law criminalising photography or filming in a private place (assuming you're not doing something amounting to harrassment, or making something inherently illegal like child pornography). The act of filming per se is therefore not illegal in a criminal sense. However, the proprietor of a private place can ask you to stop filming or demand that you leave; if you fail to comply then you will be trespassing. Trespass is not a criminal offence (although the police will undoubtedly remove you if called). However, if your intent was to intimidate, obstruct or disrupt activity within the premises, you could be charged with Aggravated Trespass under s68 Criminal Justice and Public Order Act 1994. Could the owner, or someone else, have a civil claim against me? This is more difficult to answer. Trespass is a tort, so the owner could in theory have a claim against you if you were filming against his wishes. However, he would have to prove some measurable amount of damage, and this is why few trespass cases come to court. The occupants of the premises may be able to sue if you breach their right to privacy (Article 8 ECHR, incorporated into UK law by the Human Rights Act 1998); however, a court will balance this against your Article 10 right to freedom of expression. A court will consider all circumstances: for example, if you were filming in the toilets of a nightclub, the occupants' right to privacy may well outweigh your right to freedom of expression. A copyright owner may have a claim against you if you include their work in your film; for example, if you film inside a nightclub and substantial parts of songs are captured on your film, this may give rise to a claim. I am not a lawyer. Don't rely on free advice from strangers on the Internet.
No, in germany there is no universal requirement as to form (Formfreiheit). This includes associating a signature with a name in block letters. In principle you can enforce a contract in court even if the written contract does not identify the contracting parties by spelled out name, but by signature only. It stands to reason there is no benefit in omitting the full names. The legislature implemented elevated form requirements for certain legal transactions by mandating the use of a notary. Here, again, there is no requirement as to put a plain text name next to your signature. The link between signature and person is established via the notary’s documentation. You could put an alias “Donald Duck” next to your signature, the notarial deed will indicate that in fact Kalle Richter signed the document. As far as I am aware all european-union legal transactions will need to go through their official channels. It is simply not possible, for example, to establish a European Economic Interest Grouping on a scrap of paper. Thus there is no issue and in turn no regulation. One thing is for sure, the european-union does not impose a “minimum framework” on its member states. I recollect there are some directives regarding electronic signatures, but that is a different story now.
Fun one! First on the question of whether it matters if the agreement is written, I don't imagine it would make a difference in most of the US. We only require written contracts for agreements that meet certain requirements, those include contracts over a certain dollar amount, contracts involving the sale of land and contracts that cannot be completed within the year. Depending on the facts of your hypo, the writing requirement may be in play, but either way, it doesn't really make the situation more or less interesting; it's not a unique issue to this sort of contract. Second, the baseline assumption is that people can form legally binding contracts. The question is, whether something forbids the sort of contract you have in mind. I can think of a few things: It would be reasonably challenging to define what conduct is forbidden by the agreement. But that is merely a challenge not a road block. You could easily come up with a laundry list of forbidden acts to accomplish your result. Two people cannot contract to force the behavior of a third person, barring special circumstance. But again this isn't important since it's just a matter of drafting. In other words the contract probably would not say Juliet cannot go to the movies with Romeo, rather it would say Romeo cannot go the movies with Juliet. Even drafted in the less ideal way, he operative concept is whether the father could enforce a breach. So, the contract COULD be worded to say "If Juliet attends a movie while Romeo is present, Romeo must pay the father $xx dollars." Most importantly a party cannot form a contract that violates public policy. This is sometimes referred to "legality of objects", as in the object/goal of the contract must be legal. Contracts for prostitution, or the sale of a child (i.e. certain adoption contracts), or illegal products, would likely trip over this category. Here however, I can't readily think of a public policy basis to challenge the contract. Surely (some) states have stated a public policy favoring marriage, but it would likely be a challenge to contend the contract to not date (or not marry) was void because of such a policy. I can't think of any reason that the father couldn't enforce this sort of agreement. Finally, even if the contract was not enforceable, it's highly likely that Romeo could not simply take the money and breach. There are basis to demand return of the money even if no enforceable agreement exists. I am not your lawyer. Seek counsel from a lawyer in your area before taking any action. This answer is provided without research and for purely academic reasons. I have no special knowledge of this area of law.
The Facebook forum doesn't prevent a contract from being formed. But, for a contract to be formed there must be an affirmative agreement, not silence (at least in cases that aren't between merchants). If they later decide to work together without reaching an agreement on the details, the draft contact could be considered, but the Facebook forum for its delivery and that fact that it wasn't expressly assented to might reduce its weight as part of the evidence in an attempt to determine what the terms of their oral or implied agreement to work together involved. It would be very unusual for a broker not to get a signed agreement in writing to pay his fees, although an oral or unsigned agreement to pay a broker is not necessarily barred by a statute of frauds. A finder of fact would be quite skeptical of a broker's claim to have an agreement in those circumstances and often the professional regulatory provisions related to brokerages would require that fee agreement must be signed and in writing even if contract law does not require that this be done.
This very much depends on where you are. Different jurisdictions have wildly different laws about this. Some places are very permissive. You can record a conversation that you aren't even a party to so long as nobody has any reasonable expectation of privacy. In others, affirmative consent is required from every party to a conversation before it's legal to record it. The laws run the entire spectrum. Some places allow you to record anything you're a party to without permission, but you can't record others' conversations. Some places require you to disclose, but not obtain explicit permission. Some allow you to record but restrict who you can disclose it to. Some allow you to record or ban recording only under certain circumstances. It's a really wide gamut of laws. Since you don't say where you are, who you're recording, or why, there's no way to really answer the question. Here's a good rundown on the United States. This Wikipedia article covers lots of different countries, but only with regard to phone calls.
On the intellectual property of animals, a story of monkeys and cats! The story of the monkey who took a selfie is, by now, probably widely known. Summary: a court said that the owner of the camera is not entitled to rights because the picture was taken by the monkey, not the human. My question is the following: I saw a video of a cat playing the piano. (Hear me out...) (Her name is Nora). Now, I understand the video is the property of its author: a human being. But what about the "music". Just the notes. I also understand that if the "music" was taught by a human being (like what happens sometimes in a circus) the music is the human's, but in this case, when (it seems) the "music" is really "played" by the cat (rather randomly), is it copytight-able ? I understand the anumal cannot actually have the property, but can his owner? EDIT: I fogot to state one way this question can be tricky: One difference is that the photographer didn't own the monkey, but the cat is definitely owned. (The countries are UK and US)
17 USC §102: Copyright protection subsists, in accordance with this title, in original works of authorship 17 USC §201: Copyright in a work protected under this title vests initially in the author or authors of the work. Animals cannot be authors. To the extent that the cat's owner could be an author, copyright only subsists in "original works of authorship". The test for originality in the US was laid out in Feist Pubs., Inc. v. Rural Tel. Svc. Co., Inc., 499 U.S. 340 (1991): The constitutional requirement necessitates independent creation plus a modicum of creativity. The music produced by the cat was not a product of even a modicum of creativity on the part of the cat's owner (or anyone, for that matter). No copyright subsists in the notes randomly chosen by the cat.
As always, it is hard to prove a negative, but there is no copyright in a work that has not been fixed. Copyright protection subsists, in accordance with this title, in original works of authorship fixed in any tangible medium of expression... (17 USC 102) Further, a fixation is only a fixation if it is "by or under the authority of the author" (17 USC 101). This post from an attorney at Vogels & Assoc. agrees that without fixation there is no copyright. Unauthorized fixation (the rogue audience filmer) and distribution of unauthorized fixations is prohibited: Whoever, without the consent of the performer or performers involved, knowingly and for purposes of commercial advantage or private financial gain— (1) fixes the sounds or sounds and images of a live musical performance in a copy or phonorecord, or reproduces copies or phonorecords of such a performance from an unauthorized fixation; ... (18 USC 2319A, and see also 17 USC 1101) This is sometimes called a "fixation right" that performers own. It's also referred to as the "anti-bootlegging" statute. US v Moghadam calls this a quasi-copyright protection. To answer your question, where there is no fixation, there is no work to infringe, and whatever you would make wouldn't be a derivative work. Unauthorized fixation of the live performance is prohibited, and so is unauthorized distribution and reproduction of that unauthorized fixation. The performer doesn't get a real copyright in any element of the performance unless they fix it or authorize it to be fixed. Related Reading Hughes, Justin, Understanding (and Fixing) the Right of Fixation in Copyright Law (March 29, 2014). 62 J. Copyright Soc'y USA 385 (2015); Loyola-LA Legal Studies Paper No. 2014-10. US v. Moghadam, 175 F.3d 1269 (11th Cir. 1999)
There will be single frames from let's say "The Exorcist" that are highly recognisable. You say it's not the heart of the work, but it may be representative for a substantial part. If I wrote a book about the movie, then say 25 frames out of the movie would illustrate the book very nicely, so this is substantial. And there is a market for selling pictures, t-shirts, posters etc. all using a single frame, or selling single frames to book authors wanting to use it for illustrative purposes. You deprive them of income for this activity. So what you said is something similar to what I would expect your lawyer to say in court, but I would expect the opposing lawyer to come up with some very different wording. All in all, I find the argument for "fair use" not convincing.
The details of this specific matter are not clear because it appears that Mane6 relented in response to a cease and desist letter, rather than be dragged through court. Since we are not privy to the letter from Hasbro, the best we can do is guess based on the degrees of freedom that exist under the law. The claim that this game was a "parody" is an affirmative defense that Mane6 would have to raise in response to a copyright infringement claim (we don't know if there were also trademark infringement claims in the letter). Then the jury would look at the arguments of the two sides to determine whether this was really "fair use", performing the "balancing act" to see how much of the original work was copied, how transformative the derived work is, what the effect on market would be. The lines drawn for making these judgments are not bright. A quick scan of a successor product Them's Fightin' Herds suggest that someone thought the artwork was too substantially similar to the Hasbro product, that is, the fighting pony version was judged to not be transformative enough. Since it didn't go to court, we'll never know.
I see that channel offers playlists and "videos" of popular music by several artists. The one video I tried had the music with no accompanying video or images. The channel's about page says that then operator does not own the copyrights to the music and cannot grant others permission to play it. It is possible that the channel operator has obtained permission from the artists and is thus operating under a valid license. It is possible that the channel is committing copyright infringement, but the various copyright owners have not noticed the channel, or have noticed it but decided not to take action. There is no easy way for an outsider to tell which of these is correct. If the operator has not obtained proper permission, then it seems that this would be copyright infringement. If so, any copyright owner could send a takedown notice, use YouTube's own copyright complaint mechanism, or could file a copyright infringement suit. But nothing compels the owner to act if the owner chooses not to, it is entirely the owner's choice. I do not see that the US fair use or any other exception to copyright would be likely to apply here. If the owner brought suit and won (and a win seems likely to me, from what I can see), the operator would be liable for damages, which might be sizable, or mild. In the US at least the owner could also obtain a court order (injunction) requiring the operator to stop using the owner's copyrighted music. If the owner complained to YouTube, the site could add a "copyright strike" against the operator's account. After a few strikes (I think three) YouTube will cancel the account, according to its posted policies. Similar outcomes could face anyone else who posted or made available for streaming copyrighted content (such as music) without permission from the copyright owner. But again, everything depends on action by the copyright owner. If the owner chooses, for whatever reason, not to act, then nothing is likely to be done about the infringement.
Canadian law defines "theft" thus: Every one commits theft who fraudulently and without colour of right takes, or fraudulently and without colour of right converts to his use or to the use of another person, anything, whether animate or inanimate, with intent (to deprive the owner, pledge as security, mess it up) In this case, you accepted what seemed to be an offer of a free pizza, so if you took and consumed the pizza you did so with a colorable claim of right and without fraud. Perhaps you misunderstood, but it is not a crime to misunderstand another person's intent. They could sue you for the cost of the pizza (assuming that you took it and did not pay), in which case the question would be whether whatever they said to you could reasonably be interpreted as an offer of a free pizza (if not, pay for the pizza). As an advertising stunt, this would not be unusual. However, if they fix the pizza but then demand money before handing over the pizza, you now know that you have no right to the pizza (if you abscond with the pizza in that circumstance, it would be theft). You may of course pay for the pizza, but you can also not pay and not take the pizza. Again, they could sue you, and in this case your defense would be that there was no contract (no agreement). An important question would be how reasonable it is to believe that you were offered a free pizza. People are offered "free" steak dinners all the time (at the cost of sitting through a sales pitch), so that is a reasonable belief. If a Lexus yacht salesman appears to be offering you a free $5M yacht, it is not reasonable to think that this is an ordinary advertising stunt, if you're not a celebrity.
I can't answer for the Indonesian law specifically. But in general, under most international copyright schemes, a translation is considered a copyrightable work. This means that even if the original work (in this case, the Quran and Hadith) is in the public domain, derivative works based on that public domain work can still be copyrighted by their creators. This includes, for example: A song with lyrics taken from the Quran A play or movie dramatizing stories from the Quran A novel retelling a story from the Quran In all of these cases, the author has built something new, based on the public domain framework. Because they contributed something original, they are entitled to a copyright on their original contribution. They can't stop someone from copying the Quran themselves, but they can stop someone from copying their original work based on the Quran. Most copyright courts--again, I don't know about Indonesia specifically--will treat a translation the same way. A translation is an original work that requires creativity and skill--otherwise Google Translate would work a lot better than it does. Just like a movie based on the Quran, a translation based on the Quran will probably be copyrightable under most, if not all, countries' copyright laws.
You may have issues if you take their content wholesale. Even if they freely distribute them, they still retain copyright. As such, they absolutely can claim copyright. Whether they will or not is another question. Your best bet around this is Fair Use doctrine. You can take a part of their work (e.g: a single question) and do your video based on how you work out your answer, with your video mainly focusing on the 'working out' part (thus satisfying the 'educational purposes' part)
Is it legal for a company to make more than one copyright claim on the same content? I have had a video copyright claimed by a company, which I then submitted a counterclaim for and had the video reinstated. Since then I have had numerous claims from the same company and have had to make the exact same counterclaim to reinstate the video. With the verdict having been previously reached (that the video is not a violation of copyright law) is it legal for a company to make that same claim again?
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.
Their code, their rules A copyright holder is free to offer their work under none, one or many licences. They can, at the same time, use their own work however they see fit without regard to the licences they have given/sold to others (except, they can only give one person an exclusive licence). As an analogy, let’s say I own a fleet of cars. I can drive my cars anytime I want. I can let Jim drive my cars anytime he wants for free. I can let Mary drive a specific car on Thursdays and only within 10km of the depot. I can let Joe drive my cars providing he pays me $50 a day. And I’m not going to let Fred drive them at all because Fred’s a jerk. Each of those is a different licence.
No, it's still copyright infringement. When you modify a copyrighted work in any way, you generate a derivative work which you are not allowed to distribute without the permission of the original copyright holder.
If you form an LLC, and then someone later obtains a registered trademark in the same name, the registered trademark would be enforceable everywhere except in the markets and places where the LLC developed common law trademark rights prior to their registration. Your LLC formation would also put a bump in the road in their trademark application. You can, of course, do both, although it is unclear to me why you feel such urgency in the likelihood of an infringement, which suggests that there may be relevant facts that aren't revealed by your post.
Counter notices are described in 17 USC 512(g)(3). It starts with the requirement for "A physical or electronic signature of the subscriber" (and a statement under penalty of perjury...). Supposing that you can't get anywhere with finding the contributor even via a subpoena, then you're stopped there: you can't swear on behalf of someone else. Paragraph (f) also says that if a person files a false infringement claim, they become 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 but it's not immediately obvious that you would suffer damage by taking the material down (not immediately obvious doesn't mean obviously not true). A case could be made, but it's risky. In Online Policy Group v. Diebold, Diebold was hit with substantial damages basically for having made up a theory that certain email discussion was infringing when it was clearly fair use. If a person actually lies about being the copyright owner, that would probably be viewed even more dimly by the courts. Your 4th argument gives you no traction: if an infringer posts infringing material and transfers copyright on the web page, but they don't hold copyright, then that transfer mean nothing. As for the other arguments, your attorney will have to suggest an advisable course of action. S/he might advise that your evidence is so strong that you should just ignore the takedown; or that you should take the content down and then sue for damages; or take the content down and lobby your congressman for a change in the law. [Addendum] I will reiterate my recommendation to get a lawyer. I believe that under the law, the risk to you would be the situation where the person prevails in an infringement suit against you. Outside of the "mere conduit" safe harbor, you have to participate in the notice and takedown scheme in order to "stay safe" (also you have to do so quickly). You have identified a potentially huge flaw in the system. Theoretically, criminal charges of perjury and paragraph (f) damages would be enough to deter ordinary wrong-doers, provided that you can really prove that someone else is the copyright holder. But the cost of litigation is not zero and the chances of winning are not 100%. The law does assume that all parties tell the truth, indeed the law requires a "penalty of perjury" statement. Since counter-notice is also part of the legal dance, I would conclude that you do have to write yourself a counter-notice. Then if there is a suit, you have satisfied the requirements of the 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.
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.
Yes, assuming the material was given the standard license. You would be creating a derivative work, and only the copyright owner has the right to authorize creation of a derivative work. See the copyright FAQ for general information. The owner can file a DMCA takedown notice with YouTube and they will by policy notify you of the infringement claim and unless you file a counter-notice (you legally couldn't given the facts you're asserting), they will take it down. The owner can also sue you.
Is a high % agent commission contract clause fraud in your jurisdiction? Say you are offered investments that look like regular mutual fund investments. You ask how much money is invested. The sales people say, all funds are invested. You read the contract and found nothing suspicious. Turns out, you overlooked a verse in the 20 page contract that states that 50-70% of the money goes to pay the agent commission; only partially % is invested. The very important term is well hidden within those 20 pages. You confront the sales people and they say that all of the money is invested. If you let the investment grow, in 1000 years you'll get your money back if the market is good. So the whole thing is "long term investment". Is this fraud? What does the law says in say Indonesia, USA, or anything? NB: If it's a fraud, is this a crime or still just purely civil matter? Update: In Indonesia many insurance companies charge high acquisition costs. So 100% of premi is gone to pay for the acquisition costs. Actually the total amount gone is about 230% of yearly premi. Things get interesting because in some companies, even when the insurance benefit only worth $10, an agent can set premi to be very high (thousands of dollars or even more) and claim that all money are "invested". So basically customers put $5k on "investment". Agent says "all are invested." Customer thinking that all are invested put huge money only to see all those money are gone for fees. Customers got Nothing. All money are gone for acquisition fee. About 50% is to pay insurance agent. Insurance protection worth $10. An option to "continue" the "investment" where customers will lost even more money for insignificant insurance cost. Basically customer miss the part where it says that 100% of premiums are gone for acquisition fees. It's written in contract but quite well hidden among terms that's not important due to low insurance portion of the arrangement (like how to file a claim). Note: If you said that this is fraud in your own jurisdiction, please tell what exact laws/court case a person can use to sue the agent or companies. In Indonesia, for example, there is law that customer have right to get information that is honest, clear, and correct. However, the company can says that the information is there in the middle of the contract that the customer have agreed. The company can also says that they have paid agent to "explain" the contract to customers and if anything goes wrong, it's "agent's" fault. Basically this question relates to When a contract is being analyzed in court, is it the understanding of the parties or the written contract that is to be established? Basically the customer miss some important term of the contract. However, the contract is written in such a way that most people would miss those terms.
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.
The liability shield is the big one, and it can't be achieved with a contract. Just because the contract says you're not liable, that doesn't make it true. If I sign a contract with my friend that says "Nate Eldredge is hereby the King of France", that won't make me the king, nor will it force anyone except maybe my friend to acknowledge me as the king. By its nature, a contract can only bind the parties to the contract, and has no effect on the rights of anyone else. Suppose, then, that Alice and Bob agree to start a pizza delivery business, using a contract like you suggest. Their delivery car crashes, injuring Carol, a bystander, who incurs medical bills that exceed the assets of the business. Carol decides to sue Alice and Bob personally. Sure, Alice and Bob have a contract, and maybe it prevents them from suing each other, but it certainly doesn't prevent Carol from suing them; Carol never signed it. So Carol can still go after Alice and Bob's personal assets. Thus contract law cannot give them a liability shield. However, the government can, since it makes the laws about who can sue whom under what circumstances. And it has made laws saying that Alice and Bob can be protected from such suits, but only if they form a company according to the process that the law sets forth. So that's what they have to do.
Political risk insurance exists, but not in the format hypothesized. What the question is contemplating is more like a gambling bet, or a futures contract (which is a type of "derivative" contract), than insurance. What constitutes an insurable risk of harm to an insurable interest is mostly a matter of common law although there are some state statutes on point in the U.S. which is the level of federalism at which insurance is regulated. Basically, you can only insure against a loss to an "insurable interest" caused by an insurable risk. In practice, this means that insurance has to be linked to an individualized loss of an individual or business that is clearly and directly caused by a covered occurrence. A change in governing political party itself, doesn't give rise to such a loss. The mere fact that a party is elected or that the people elected take an oath of office, doesn't itself change any laws or regulations. It just puts in place people who might do such things in the future. Political risk insurance, when it exists, insures against the nationalization of one's business at a loss, or against the industry that one is engaged in becoming illegal, at a loss. It is the specific action taken by the newly elected regime towards the particular insured firm or individual, and not the actual new regime itself, that gives rise to a loss to an insurable interest in the case of political risk insurance. For example, you might be able to buy political risk insurance against the possibility that your marijuana business which is legal under state law but not federal law, will be seized in a civil forfeiture or shut down by a change in the practical effect of the relevant state law. If you are worried that your company's stock will decline in value due to an election result, the available financial instrument would be to short sell your company's stock, hedging against losses arising from a drop in stock price below a certain dollar value by a certain date for any reason. If your company is not publicly held, the risk of a decline in business due to an election result is not something that can be insured against.
A contract can’t legalise illegality Let’s assume that absent the “simulation” disclosure in the ToS, this would be fraud. The question then becomes, does making the disclosure make it not fraud? Fraud requires dishonesty and deception. These are measured by what a reasonable person would determine from the overall conduct so a small piece of truth in amongst a web of half-truths and outright lies is still dishonest and deceptive. From the perspective of US law, is Bob doing this regarded a scam? No, but only because “scam” isn’t a legal term - it’s slang for fraud and this is fraud Is this a criminal case, or a civil case? Both What evidence can Tom provide to support the lawsuit? Whatever he has. However, in practice, these types of fraudsters are rarely ever caught and it’s even more rare for the victim to recover their money. They are usually off-shore in countries with either poor rule of law or which will not extradite their nationals.
No, this is not an acknowledgement of guilt or liability. It offers a "discount" some sort of reduction in price. This could be an offer of settlement without admission of liability, or even just advertising for repeat business (unlikely as that may seem). Without the rest of the communication, there is no way to tell. Unless there are specific admissions, this statement alone is not likely to have much significance in such a case. Edit: There is still not enough context to tell exactly what the sender of this communication wanted to accomplish with the offer of the discount, but since the OP now says "the party does not take the responsibility" this is not an admission of guilt, whatever else it is. It sounds like some sort of backdoor form of settlement offer without admission, but that is far from clear to me. My original answer is not significantly hanged here.
I can’t speak for Indonesia but if you did this in Australia you would be a criminal. You either committed fraud or are an accessory to fraud. You would probably be considered an accessory at and after the fact which means you are subject to the same maximum penalty as if you had committed the fraud yourself - 10 years in jail. In addition, you are liable to repay the money taken, jointly and severally with your ‘friend’. However, if they can only find you, you cannot recover from your ‘friend’ as you were engaged in a joint criminal enterprise. Scams such as you describe are distressingly common and many people fall for them. As such, assuming the court accepted your story (because you might actually be the fraudster and have just made it up) you would be unlikely to get close to the full sentence and if you caught the judge on a good day, might even escape jail. If you are lucky, the jury might acquit, even though, on the facts, they shouldn’t - juries do what juries do. If you’re really lucky the police might decide not to prosecute.
Jurisdiction has not been provided, so I've written a general answer: Not necessarily; often, such provisions clauses will have their own expiration dates, for example "for five years after signing, X", with X still being valid after cancellation up to 5 years(so if you cancel after 3 years, X is still valid for 2 more years), or "for two years after cancellations, Y"(especially common with non-compete clauses) where the time-limit of Y starts when the contract is cancelled. Other clauses are meant to indeed be enforced forever, such as some non-disclosure, non-disparagement, or indemnity clauses. For example, an indemnity clause in a contract that prevents a party from suing the counter-party for work done under the contract would be pointless if it could be bypassed by a party terminating the agreement. There are lots of legal limits, based on the terms of the provision, and its nature, all governed by the contract law of the jurisdiction under which the contract was drafted under and/or is governed by (this is generally obvious, except for some cross-border contracts, which generally will have a declaration as to whose laws apply). It is not inherently abusive, but can certainly be abused. What is considered abusive often varies from jurisdiction to jurisdiction (not only on this issue, but on legal issues in general). It depends on the jurisdiction, and generally on the terms of the provision itself. If the court asked to enforce the terms of the agreement feels that the provision is illegal or abusive, they won't be enforced (and possibly the entire document declared null and void, depending on the central-ness of the illegal or abusive provision; some provisions specifically state that invaliding the provision doesn't invalidate the whole contract to try to prevent this). If they don't feel the provision is illegal or abusive, they will generally enforce it.
There is no prohibition on lying in general. Misrepresentation If you misrepresent a fact and that misrepresentation is a material inducement to someone entering into a contract with you then there are a number of problems that follow: The (mis)representation may become a term of the contract and if not complied with can allow the aggrieved party to either sue for damages or rescind the contract. If the misrepresentation led to the contract being entered into by mistake then the contract is void for mistake The misrepresentation may have become a collateral contract an innocent or negligent misstatement may give rise to the tort of negligent misstatement misrepresentation may put you in breach of trade practices statutes. Fraud If you knowingly tell a lie with the intention of receiving a benefit then this is both the tort and crime of fraud. You receiving employment or your company securing a contract probably qualifies as intending to receive a benefit.
How does the punctuation/capitalization of the 2nd Amendment affect its interpretation? According to Wikipedia: The importance (or lack thereof) of these differences has been the source of debate regarding the meaning and interpretation of [2nd] the amendment, particularly regarding the importance of the prefatory clause. One version was passed by the Congress, and a slightly different version was ratified. Passed by Congress (emphasis mine): A well regulated Militia, being necessary to the security of a free State, the right of the people to keep and bear Arms, shall not be infringed. Ratified: A well regulated militia being necessary to the security of a free state, the right of the people to keep and bear arms shall not be infringed. From this I have two questions: Which one is the actual/legal text (or is that questionable)? How can the differences affect the amendment's interpretation? Although this question is opinion-based, I'm looking more for how the textual differences have been argued in court or by legal scholars.
District of Columbia v. Heller 554 U.S. 570 (2008) is the Supreme Court's latest and clearest interpretation of the 2nd Amendment. The majority's analysis is almost entirely a textualist/original-meaning interpretation. They took the following to be the text of the 2nd Amendment: A well regulated Militia, being necessary to the security of a free State, the right of the people to keep and bear Arms, shall not be infringed. The capitalization differences were treated as inconsequential in the analysis. The opinion refers to "the phrase “the militia” in the prefatory clause", with no capitalization when mentioning it. In interpreting the object of "keep and bear Arms", "Arms", the opinion immediately removes capitalization in its own discussion of the term. They even explicitly rule out the possibility that "keep Arms" has any special meaning: No party has apprised us of an idiomatic meaning of “keep Arms.” Thus, the most natural reading of “keep Arms” in the Second Amendment is to “have weapons.” The opinion also refers to Vermont's adoption of Pennsylvania's "right to bear arms", calling any differences in capitalization or punctuation inconsequential: In 1777, Vermont adopted the identical provision, except for inconsequential differences in punctuation and capitalization. Neither of the two dissents make anything of the difference in capitalization. None of the 68 amicus briefs mentioned the difference in capitalization. It did not come up in oral argument. The Brief for the Professors of Linguistics (in support of Petitioners) says: The Amendment’s first and third commas signal a pause for breath and can be omitted without affecting the meaning. They say that the second comma is consequential, but that comma is consistent between the two variants that you quoted.
How should one reconcile these conflicting understandings? A holding of the U.S. Supreme Court that it has not later abandoned is, by definition, the correct interpretation of the U.S. Constitution for all purposes of U.S. law, even if a plain reading of the constitutional language might suggest otherwise.
Speech of foreign nationals is not treated the same as that of citizens. In the case Buckley v. Valeo, 424 U.S. 1, the Supreme Court rules on the constitutionality of various statutory limits on campaign spending. Some parts of the law were upheld, others were overturned in 1st Amendment grounds. They upheld limits on contributions to candidates and volunteers' incidental expenses, and overturned limits on expenditures. In the decision, the court observed that [n]either the right to associate nor the right to participate in political activities is absolute and "governmental 'action which may have the effect of curtailing the freedom to associate is subject to the closest scrutiny'" The court stated that Even a 'significant interference with protected rights of political association' may be sustained if the State demonstrates a sufficiently important interest and employs means closely drawn to avoid unnecessary abridgment of associational freedoms. This is reasonably-standard strict scrutiny boilerplate language: what it remind you is that no Constitutionally-protected right is absolute, and all rights are subject to limitation, when that right conflicts with a compelling government interest. In the case of the federal contribution laws, that interest is the prevention of corruption and the appearance of corruption spawned by the real or imagined coercive influence of large financial contributions on candidates' positions and on their actions if elected to office. The court then found that under the rigorous standard of review established by our prior decisions, the weighty interests served by restricting the size of financial contributions to political candidates are sufficient to justify the limited effect upon First Amendment freedoms caused by the $1,000 contribution ceiling. 52 USC 30121 imposes a prohibition which, if placed on US persons, would be held to violate the 1st Amendment. That law prohibits, among others, a contribution or donation of money or other thing of value, or to make an express or implied promise to make a contribution or donation, in connection with a Federal, State, or local election by "a foreign national", defined to not include lawful permanent residents but otherwise includes all foreign citizens and entities. The constitutionality of this law was challenged on First Amendment grounds but affirmed in Bluman v. Fed. Election Comm'n, 800 F. Supp. 2d 281 (written by Kavanaugh in his previous job), and upheld in a one-sentence affirmation by SCOTUS. So, 1st Amendment rights of foreign nationals are not protected to the same extent as those of US citizens. It should be noted that the court also (expressly) did not decide if Congress could also constitutionally ban contributions by LPRs, or could prohibit foreign nationals from engaging in other forms of speech (issue advocacy and speaking on issues of public policy) – that matter was left undecided.
The 5th amendment protects you from self-incrimination. If by possessing a firearm you are in violation of the law you cannot be compelled by law to reveal this information. If the police discover you have a gun in violation of the law you can be arrested and prosecuted for that offense. They cannot additionally prosecute you for not telling them about a gun. I thought there was a supreme court case about this specific situation, but the closest I can find for now is Haynes v. United States. The 7-1 majority held that people prohibited from possessing firearms cannot be compelled to register their firearms that they are possessing illegally. They are stopped by the police and asked this question. They answer truthfully. Then they can be arrested and prosecuted for the illegal possession of the gun. How does this square with the right not to self-incriminate? Or is asking the question considered to be a search? Police can generally ask whatever they want. If you choose to waive your 5th amendment rights, that's your mistake. Can the state prosecute this person for carrying the illegal weapon? The state can generally prosecute crimes it knows about. So yes, in this case they can. Suppose that next to the weapon a stash of illegal drugs is discovered, which was only found due to the action taken to secure the weapon. Can the state prosecute for that? The state can generally prosecute additional crimes it uncovers during investigations or other lawful actions. So yes, this can be prosecuted.
Religious protection from federal warrants is not a First Amendment issue. If protected at all, the best argument would be in RFRA, the federal statute implemented in 42 U.S.C. §2000bb-1 et seq. It provides that the "Government shall not substantially burden a person’s exercise of religion..." except if the burden "is in furtherance of a compelling governmental interest and is the least restrictive means of furthering that compelling governmental interest." It is my guess that every court in the U.S. would agree that a search warrant issued upon probable cause is in furtherance of a compelling governmental interest, and having an agent or two walk through the house (or whatever is necessary in order to exercise that warrant) is the least restrictive means of furthering that interest.
Art. 1 Sec. 9(8) says two different things. The first says that "No Title of Nobility shall be granted by the United States". That means that the US cannot grant a title (hereditary or otherwise) like "Duke of Detroit", "Prince of Princeton". It does not prohibit the practice of speaking of POTUS as "His Highness, the President of the United States", likewise "His Elective Majesty" or "His Excellency", but early discussions in the Senate put paid to even calling a president this, and instead he is just called "Mr. President" (just as judges are called "your honor"). An appellation such as "Chief Justice" is not a title of nobility, it is a job description. We don't have titles of nobility granted by the government. There is a constitutional amendment, the Titles of Nobility Amendment, which was considered but not ratified, which is stricter on the anti-nobility statce. Then there is second thing, that prohibits officials from "accept[ing] of any present, emolument, office, or title, of any kind whatever, from any king, prince, or foreign state", without Congressional approval. Accordingly, the president, sec'y of state or a congressman cannot accept a gift, such as a car, from a foreign power, unless it is approved by Congress. Every congressional "exception" was approved by Congress; moreover, such benefits are not from a foreign power. The Speech or Debate Clause Art. I, Sec.6(1) in fact gives congressmen a privilege (immunity from arrest) which ordinary citizens do not have. So there is no connection between titles of nobility and free bean soup or whatever legal exemptions Congress may give itself.
This would require a constitutional amendment (overriding the First Amendment), which can be done in two ways. Congress can write an amendment and submit it to the states; or the states can call for a convention. None of these methods can be implemented by any number of courts.
Your distinction between civil rights and civil liberties does not enjoy support from the legal perspective. Typically, the law addresses rights, and "liberty" is invoked only in rhetorical flourishes (at least in the US legal context). "Right" is about the relationship between a person and actions. Liberty may be a consequence of certain rights. Government protection of rights typically takes the form of forbidding the government to do certain things (things that interfere with a person's right to do certain things). The right to due process protects your right to live your life free from government interference, except when certain conditions are present (as stated in a law). Due Process (as a procedural requirement on government action) is neither a right nor a liberty, it is a restriction addressed to government power. Its purpose is to protect the rights of individuals.
Length of movie clip for fair-use? Is there some maximum length of a movie clip that can be publicly shared as "fair use?" E.g., the Youtube channel Movieclips shows clips with an average length of 2:30.
NOTE: This answer assumes jurisdiction in the US. No. Length does not determine whether or not something is fair use or not. There was a court case (Harper & Row v Nation Enterprises, 471 U.S. 539 (1985), all credit to Dawn) where it was determined that just a few paragraphs from a 300+ page biography were infringing content, due to them capturing the "heart of the work". As user6726 said, in your example the clips you mentioned are most likely licensed. Also, courts tend to look poorly on things that are simply "shared" claiming fair use against copyright claims. Now, if you were to use a short clip as an example of something you were explaining, teaching, or critiquing, that would be different and would more likely be fair use. It is important to note that there is (by design) not a clear cut line if something is or is not fair use. There is a set of guidelines, but determination is made on a case by case basis There are a couple of cases that it is out and out NOT fair use, but none for fair use. This is because fair use is an affirmative defense, which is to say, you admit to the offense, but claim an exception to the rule. Self-defense as a defense to charges of homocide, assault, etc. works in a similar manner.
Copyright does not protect facts. If you use the media article as a source for facts, but restate them in essentially different words and with a different organization, you need no permission. Ethically you should cite your source, and attribute any brief quotes, but that is probably not legally required.
I believe the relevant section is 28 CFR 35.150 - Existing facilities § 35.150 Existing facilities: (a)General. A public entity shall operate each service, program, or activity so that the service, program, or activity, when viewed in its entirety, is readily accessible to and usable by individuals with disabilities. This paragraph does not - Because of this, it seems theoretically possible that someone could complain that the youtube videos of lectures are not accessible enough to disabled persons, and therefore have them taken down. Regardless, it seems that UC Berkley decided to preemptively take down the videos in order to "reset" their online lectures catalogue and make large improvements. But yeah, nothing in the statute says they must take such videos down, but it would be a theoretical violation of the law to leave them up.
Unless the "old" movie is so old that its copyright has expired (prior to 1926 in the US currently, I believe, the precise rule varies by country) or it entered the public domain in some other way (unusual), it is protected by copyright. One may use part of a copyrighted work only with permission from the copyright owner, unless an exception to copyright applies. Exceptions to copyright vary significantly from country to country In the US, the primary exception is fair use. This answer describes fair use is some detail. Fair use is defined by 17 USC 107. Whether something is a fair use is a highly-fact-driven determination., There is no clear bright line. Several factors must be considered, including at least the four= statutory factors. A short except, used in a transformative way, that does not harm the market for the original will often qualify as fair use, but details will matter. There is no specific length that qualifies a sound excerpt as fair use. For text, in the well known case of Harper v. Nation an excerpt of less than 300 words from a 500 page book was judged not to be fair use, because it was held to be "the heart of the work" and because its publication significantly harmed the market for the original (a paying contract was canceled because of the use). In other situations, much larger excepts have been held to be fair use. In some countries there is an exception to copyright known as "fair dealing" which is somewhat similar to fair use, but rather narrower and more restricted. Other countries have a list of specific exceptions (the law of India has more than 20 different exceptions). News reporting, criticism, commentary, and classroom use are common exceptions. In many countries, sampling is not covered by any exception, and permission is required. If an exception does not apply, and permission is not obtained, then using copyrighted content is copyright infringement. This is, in most cases, a tort, meaning that the copyright owner may sue the infringer. Such a suit may be brought in any country where infringing works are crested or distributed, and possibly in other countries as well. If the plaintiff (owner) wins, damages will be awarded. The rules for determining damages vary widely between countries, and the specific facts of the case will matter. To get a reliable opinion on whether a specific use qualifies under an exception to copyright, or requires permission, one would do well to consult a lawyer with copyright expertise. Or one could simply ask for permission from the copyright holder. For a publicly released movie, finding the copyright owner should not usually be too hard. The owner may say yes or no, or ask for a fee or other conditions. If the owner simply ignores a request for permission, that must be taken as a "no". For this kind of use, an owner is free to reject or ignore requests for permission if it so chooses. (In the US, cover versions of songs are subject to a compulsory license under certain conditions.)
No, one cannot safely assume that because some people have done a thing without being sued, that it is OK to do a similar thing and no suit is possible. It is possible that people who upload a video, or a section of it, have permission. It is perhaps more likely that the copyright owner does not choose to sue, for whatever reason. But a different owner of a different video might make a different choice. Uploading a video, or even a section of a video, without permission, will be copyright infringement, unless an exception to copyright such as fair use or fair dealing applies. Such an infringement gives the copyright owner valid grounds to bring a suit. But the owner can choose whether or not to sue. An owner can sue in one case of infringement but not in another, for any reason or none. If the expected damages are small, it many not be worth the time, trouble, and costs to sue. In the US, one must register a copyright before bringing suit for infringement of that copyright, and there is a fee for registration. Some owners feel strongly about the use of their work, and will sue on any pretext. Some may prefer to tacitly support uses that they approve of by not bringing suit. One cannot tell the attitude of a particular owner unless that owner has stated what his or her view is. Short films are just as protected as full-length feature films, and suit can be filed for infringing the copyright on a short film. But the more expensive a film was to make, and the more money the owner expects it to earn, the more likely it is that the owner will choose to sue. Many people infringe by uploading short films or videos, gambling that the copyright owners will never learn of this, or will not trouble to sue. Sometimes such infringers are correct, and sometimes they get sued. I do not understand what the OP means by the part of the question that reads "There should be more detail and complex lines over here" What additional detail is wanted? Who does the OP expect to provide it? What sort of "lines" does this refer to?
From the legal code of the Creative Commons Attribution 4.0 license (emphasis in the original): 1.a Adapted Material means material subject to Copyright and Similar Rights that is derived from or based upon the Licensed Material and in which the Licensed Material is translated, altered, arranged, transformed, or otherwise modified in a manner requiring permission under the Copyright and Similar Rights held by the Licensor. For purposes of this Public License, where the Licensed Material is a musical work, performance, or sound recording, Adapted Material is always produced where the Licensed Material is synched in timed relation with a moving image. 1.b Adapter's License means the license You apply to Your Copyright and Similar Rights in Your contributions to Adapted Material in accordance with the terms and conditions of this Public License. 1.f Licensed Material means the artistic or literary work, database, or other material to which the Licensor applied this Public License. 2.a Subject to the terms and conditions of this Public License, the Licensor hereby grants You a worldwide, royalty-free, non-sublicensable, non-exclusive, irrevocable license to exercise the Licensed Rights in the Licensed Material to: 2.a.1.A reproduce and Share the Licensed Material, in whole or in part; and 2.a.1.B produce, reproduce, and Share Adapted Material. 2.a.5.B You may not offer or impose any additional or different terms or conditions on, or apply any Effective Technological Measures to, the Licensed Material if doing so restricts exercise of the Licensed Rights by any recipient of the Licensed Material. 3.a.4 If You Share Adapted Material You produce, the Adapter's License You apply must not prevent recipients of the Adapted Material from complying with this Public License. In short, if the original is CC-BY, you can license derivative works under whatever terms you want, so long as the license of the original work is not infringed by the new terms for the derived work. In particular, ordinary copyright (aka. "all rights reserved") is a perfectly acceptable copyright for a derivative of a CC-BY work (but the original credits should be included -and augmented- in order to also comply with the original CC-BY). Also note this doesn't restrict anybody's rights to use the original material under the original license. The other non-ShareAlike license that permits derivative works (Attribution-Noncommmercial) has a different version of clause 2.a.1.B: produce, reproduce, and Share Adapted Material for NonCommercial purposes only. so any license of a derivative work cannot permit commercial use of the original work. It may be possible to permit commercial use of those portions of the derivative that can be separated from the original; this gets into an extreme edge case of copyright law and you'll probably want to consult a lawyer if you find yourself in such a situation. Another way to consider this issue is by noting that you are only licensing your modifications. For example, if you add a mustache to a CC-BY portrait and use a CC-0 license, only your mustache is CC-0; you can't eliminate the original author's requirement of attribution this way. The derived work would still have to be used under a CC-BY license (or compatible).
The length of a literary work doesn't determine if its use is fair use. Copyright does not cover names, titles of works, catchwords/catchphrases/advertising slogans etc. or lists of ingredients (like in a recipe or chemical instructions), however, the procedure can be copyright. The work must also be original. If the tweet copies something that already exists then there is no copyright in the tweet - if the thing that is copied has copyright protection then the tweet itself may be a violation. That said, assuming that the Tweet enjoys copyright protection, the owner will be the author: presumably the owner of the Twitter account. For anyone else to legally use it, the use must be either: Licensed by the copyright owner Fair use (USA) or Fair Dealing (most everywhere else in the English speaking world) For Item 1, the Twitter terms of service say: You retain your rights to any Content you submit, post or display on or through the Services. By submitting, posting or displaying Content on or through the Services, you grant us a worldwide, non-exclusive, royalty-free license (with the right to sublicense) to use, copy, reproduce, process, adapt, modify, publish, transmit, display and distribute such Content in any and all media or distribution methods (now known or later developed). In case you don't know what that means, Twitter gives you this plain English summary: Tip: This license is you authorizing us to make your Tweets on the Twitter Services available to the rest of the world and to let others do the same. So, you can get permission from the copyright holder or from Twitter. Well, Twitter has given permission: Except as permitted through the Twitter Services, these Terms, or the terms provided on dev.twitter.com, you have to use the Twitter API if you want to reproduce, modify, create derivative works, distribute, sell, transfer, publicly display, publicly perform, transmit, or otherwise use the Twitter Services or Content on the Twitter Services. Providing you use their API, you can "reproduce, modify, create derivative works, distribute, sell, transfer, publicly display, publicly perform, transmit, or otherwise use the ... Content ..." Therefore, fair use/dealing considerations are irrelevant.
The "Standard Youtube License" or TOS reads You shall not copy, reproduce, distribute, transmit, broadcast, display, sell, license, or otherwise exploit any Content for any other purposes without the prior written consent of YouTube or the respective licensors of the Content. That stipulates no "free usage" and as such, you cannot use a screenshot ("Content") without permission or license from the copyright owner anywhere in your own work or on a platform such as Wikipedia that requires permissions from the copyright owner. You are legally OK with (preferably written) approval and license from the creator for use of a screenshot on Wikipedia, because such an written agreement will satisfy Wikipedia's requirement of owner approval for the use of another creator's work on Wikipedia and gives you written permission and license to use the work on Wikipedia. Simply contact the copyright owner and ask for permission. If you do not have the owner's permission and still use a screenshot, and are confronted with copyright infringement by the owner or Wikipedia, your use of a screenshot may fall under Fair use. The important qualifier is may. You being able to prevail with a Fair use defense - worst case, if taken to court, or at very least, Wikipedia taking down the screenshot under a DMCA request - is not guaranteed, because a judge would make that decision, based on the evidence of the usage and their determination if, in fact, a screenshot is Fair use. Fair use (Chapter 1 - Circular 92 | U.S. Copyright Office) stipulates that usage is legally permissible when (3) the amount and substantiality of the portion used in relation to the copyrighted work as a whole is not considered to be substantial enough is an infringement of copyright of the whole work. Who determines what is what is "substantial enough"? A court. The court could take into account (4) the effect of the use upon the potential market for or value of the copyrighted work. in determining your usage is Fair use, or damages if the court rules against you. You do risk copyright infringement without clear permission from the copyright owner, and you risk Wikipedia being send a DMCA takedown notice. Whether or not you are the subject of a copyright infringement lawsuit is up to the copyright owner, and if that happens, whether you prevail is up to the court.
Is downloading videos you already own illegal? In Canada, format shifting is explicitly allowed under the new copyright modernization act. I have a program and hardware that allow me to convert VHS tapes to digital copies. From what I understand about owning movies, is that you buy a new movie, what you are actually purchasing is a license to view that movie on your own home, you never own the movie itself, because of the copyright. I could take the time to convert all my VHS, but there's no guarantee it would be the same quality as when I first purchased it. If you can only own a license to watch a movie in your home, and format shifting is not an infringement of copyright, then is it legal for someone to download digital copies of movies that they have already purchased a license to view in their homes in another format?
You are referring to Section 29.22 of the Copyright Act of Canada. This allows for format shifting for private purposes but only if the copy of the work or other subject-matter from which the reproduction is made is not an infringing copy and the individual legally obtained the copy of the work or other subject-matter from which the reproduction is made among some other conditions. In the case of downloading a copy from the internet, the source is likely an infringing copy (violating the first condition) and you wouldn't have legally obtained the copy of the work from which the reproduction is made (you don't even have the copy from which the reproduction is made, since it is on a remote server somewhere).
I'm not a lawyer; I'm not your lawyer. I would interpret the Copyright Board's interpretation in relation to tariffs when musical works copied for private use only, as the document's scope does not appear to extend beyond that. However, in BMG Canada Inc. v. John Doe, [2004] 3 FCR 241, a consortium of record industry corporations attempted to request confidential ISP account holder information. Essentially, the plaintiffs failed to bring adequate evidence to prove the magnitude of copyright infringement; additionally, it is specifically stated at [24-5] that: Subsection 80(1) [as am. by S.C. 1997, c. 24, s.50] of the Copyright Act provides as follows: 80. (1) Subject to subsection (2), the act of reproducing all or any substantial part of (a) a musical work embodied in a sound recording, ... onto an audio recording medium for the private use of the person who makes the copy does not constitute an infringement of the copyright in the musical work, the performer's performance, or the sound recording. Although the Copyright Modernization Act, did, in fact, introduce a number of amendments, Subsection 80 still reads as it does when the BMG case was decided. Since this case, I can find no court that has found this ruling to be invalid, and no cases which have considered and not applied this subsection. There is also Subsection 29.22 (1) (which applies to all works): 29.22 (1) It is not an infringement of copyright for an individual to reproduce a work or other subject-matter or any substantial part of a work or other subject-matter if (a) the copy of the work or other subject-matter from which the reproduction is made is not an infringing copy; (b) the individual legally obtained the copy of the work or other subject-matter from which the reproduction is made, other than by borrowing it or renting it, and owns or is authorized to use the medium or device on which it is reproduced; (c) the individual, in order to make the reproduction, did not circumvent, as defined in section 41, a technological protection measure, as defined in that section, or cause one to be circumvented; (d) the individual does not give the reproduction away; and (e) the reproduction is used only for the individual’s private purposes. Subsection 80(1) creates a special exemption purely for musical works, and so the less restrictive conditions there should be found to apply to them instead. On the basis of the case above, and my consideration of the Copyright Act, I would find that reproduction of a musical work does not constitute copyright infringement, pursuant and subject to s 80(1) of the Act.
Of course you have to follow the license. You seem to have a license that doesn't allow distribution and want to know if giving copies to the Dutch or Chinese branch of your company is distribution. First, you should not make that decision. Your company's lawyers should do that. Second, such distribution is with some licenses perfectly legal if you distribute the software with source code. That's a business decision which you or your manager or his/her manager... can make. Such questions (whether giving a copy to your Dutch branch is distribution) often don't have an answer that is yes or no but maybe - if you went to court, would a judge say that it is distribution? The answer is quite clearly "maybe". So unless you can find a safe way, there is a risk. Again, your lawyers will assess the risk.
There is no such law; copyright secures exclusive rights for the copyright holder (and related rights sometimes secure certain rights for the author which cannot be sold or given away except through death), but it cannot be used to force them to spend money to distribute it in a form that you can conveniently use. Such a rule would defeat the purpose of copyright law, which is to give the copyright holder control over the use of the work, not take away their ability to do so. You can certainly request that they release the work, and can offer to pay them for doing so. But someone who does not own the copyright or any related rights cannot use copyright law to force the person who does own the copyright to spend their own money to convert a show into a new format.
Generally speaking, it is illegal for you to do this. Copyright gives the creator of the image the exclusive right to copy it, and just making copies to send to other people is probably not going to be fair use. Making copies without a license from the copyright holder would therefore be copyright infringement. Are there likely to be any consequences for doing this? Probably not.
You are asking the wrong question. It should be: When you have downloaded the content and metadata, what are you allowed to do with it and what is forbidden? Somebody owns the copyright to the text and images in the thumbnail. This could be the operator of the third party website, or that site has licensed the content from yet another party. You haven't licensed it from anybody. So you can watch the content in accordance with the TOS, and your computer can evaluate the metadata to do it, but you cannot display it on your own site. Details will differ between jurisdictions, of course. You might also be held responsible for illegal content in the thumb you generate. Follow-up: There seems to be some question of what 'thumbnail' and 'card' mean in this context. This answer assumes a somewhat scaled-down representation of the content of the entire page, not just a collection of actual metadata like content length and expiry.
canada Bob is not committing any standalone copyright infringement unless he needs to make a further copy of the material in order to receive it (such as a download). However, Rob is committing an offence punishable by indictment by making for sale an infringing copy (s. 42(1) of the Copyright Act. If Bob, knowing that Rob is selling infringing copies, buys one of them, then Bob commits the offence of possessing a thing while knowing the thing was derived from the commission of an offence punishable by indictment (Criminal Code, s. 354). (Credit to jcaron, who noted this and provided a similar answer for France.)
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.
Divorce: Private properties and assets I know nothing about law (or economics) and have recently tried to understand (personal curiosity, not a homework) the basic laws concerning the separation of goods in case of divorce. Scenario Alice and Bob got married. Bob had absolutely no private property before the wedding and Alice has a private property of P dollars from her parents before the marriage. During the first 15 years of their marriage, Bob and Alice worked hard and in between both of their income (and eventually the income from Alice's private properties), they manage to spare some money. With it this money, they bought together (under both of their names) an apartment for y dollars. After buying this apartment Alice and Bob felt like they have enough goods and money to stop producing wealth. They diminish their income and increase their expenditure. In 5 years, they consumed the extra money they managed to spare together plus a ratio r of the private property P. As a consequence, at the term of these 5 years, Alice and Bob only have (1-r)P dollars and an apartment worth y dollars (assuming no loss/increase of value through time) left. Question Bob and Alice decide together to divorce! Who gets what? Does the answer to this first question depends on whether Bob and Alice's acquests were equal or higher than the value of the appartment (y) or not? Simplifying assumptions We will assume for simplicity that y > rP so that y + (1-r)P > P. In words, in between the appartment and what is left from Alice's private properties exceeds Alice's private properties before the wedding. We will also assume Alice and Bob are both residents of Canada! My thoughts I can think of two ways things may go. First possibility Alice must receive the private properties she had before the marriage plus half the acquests. Alice gets P + (y-rP)/2 Bob gets (y-rP)/2 Second possibility Alice gets back whatever is left from her private properties plus half of the appartment. Alice gets (1-r)P + y/2 Bob gets y/2
This depends entirely on which law applies to the divorce. For example, if this happens under Australian law then it falls within the jurisdiction of the Family Court (a Federal court as the Commonwealth has power over marriage, not the states). They say: You can agree and not involve the court. If you agree you can, but are not required to, have the court formalise the arrangement. If you cannot agree, then you can apply to the court for financial orders. In general, the court is happy to allow couples to agree on whatever they want - for your example this extends from "Bob gets everything" to "Alice gets everything" and anything in between those extremes. If the parties don't agree (which is the most common situation) then the court will hear the evidence and make a decision: There is no formula used to divide your property. No one can tell you exactly what orders a judicial officer will make. The decision is made after all the evidence is heard and the judicial officer decides what is just and equitable based on the unique facts of your case. Factors the court is required to consider are: working out what you've got and what you owe, that is your assets and debts and what they are worth looking at the direct financial contributions by each party to the marriage or de facto relationship such as wage and salary earnings looking at indirect financial contributions by each party such as gifts and inheritances from families looking at the non-financial contributions to the marriage or de facto relationship such as caring for children and homemaking, and future requirements – a court will take into account things like age, health, financial resources, care of children and ability to earn. So, for your example, the answer to how property will be divided up is: Nobody knows until it is agreed or the court rules on it.
Applicable Law A marital agreement can be entered into both before marriage (a prenup) and after marriage (a postnup). And, it will have the same legal effect in either case once entered into by the parties. In practice, marital agreements are usually proposed by a more affluent spouse and are reviewed by a less affluent spouse who will be giving up many of the legal economic rights usually associated with being married because the alternative is to not get married at all and the less affluent spouse thinks that marriage is still worth it even with fewer economic rights. The governing principle of marital agreements is that they must be entered into with the highest level of voluntariness, good faith, and full disclosure. Typically, a prenup with (1) limit the rights of the less affluent spouse in a property division upon divorce, (2) limit the less affluent spouse's inheritance rights, (3) limit the less affluent spouse's right to maintenance (a.k.a. alimony) upon divorce or legal separation, and (4) limit the less affluent spouse's rights to attorneys' fees in the event of a divorce. Often, these limitations are phased in superficially more equal terms, but the agreement only has a practical affect limiting a spouse's legal economic rights in marriage on the less affluent spouse, when it is recognized that one spouse is starting out affluent and the other spouse is starting out less affluent. The question states that: "I have kids so I want to protect them." So, determining precisely what you want to protect your kids from and how, in a manner that your spouse, courts evaluating the agreement in the future, and immigration officials, would consider to be legitimate, would be critical. You should know what impact a death or divorce would have during a short lived marriage for someone in your shoes because you start trying to change the rules, because you might be surprised to learn that the status quo is less unfair than you believe it to be. For example, in many states, property owned by one party before the marriage was commenced is not subject to division as marital property upon divorce and often the right to alimony following a short marriage that does not produce children is quite modest. Also, if you are extremely worried about the possibility that your new marriage could fail and that this would force you to make economic sacrifices that you do not think would be acceptable under the status quo in the absence of a prenup, you might want to think twice about whether getting marriage in the way that you are planning to get marriage is really a good idea. Excessive worries about a break up that is damaging to you may be your subconscious's way of telling you that you have grave concerns about this marriage that could be deal breaking, as well as your outward positive hopes and dreams that may be unrealistic. You had a relationship or marriage that failed once. You may be ready for a more successful relationship now, but you need to be comfortable that the circumstances that caused your previous marriage to fail are unlikely to recur. No prenup will ever make a divorce easy or painless, although it can bring some predictability to the process, if a prenup is well drafted and reasonable. Typically, to prepare a valid marital agreement: it must be in writing; it will contain no invalid terms (e.g., in most cases, terms relating to child support or parental responsibilities, or terms that make marital fault relevant to the economic rights of the parties); both parties will have reviewed a complete disclosure of the other party's financial circumstances; each party will have had an opportunity to consult with a lawyer familiar this these agreements (at the other party's expense if the person agreeing to it can not afford a lawyer of their own); each party will review the terms of the agreement in a language that they can understand, and the circumstances under which the agreement is signed will not be under duress broadly defined (for example, to include presentation of the agreement on the eve of the wedding day without adequate time to consider its terms without undue negative consequences if the spouse does not agree). Typically, the lawyer for each party would sign the agreement to confirm that all formal requirements and counsel regarding the agreement has taken place. A marital agreement that doesn't meet the applicable legal standards (which vary state to state). I have cited the law in Colorado which requires parties to follow what would only be considered "best practices" in many other states, although there would be plenty of states where these legal standards would apply. A marital agreement is still not valid if it is unconscionable to a spouse at the time it is to be enforced, for example, leaving one spouse unable to meet her basic needs and the other spouse wealthy after a long marriage. There is no requirement that a prenup be signed in any particular country or place, so long as the person signing it understands that their signature is intended to be binding. There is no requirement that a prenup be signed by both spouses at the same time, as long as both spouses sign it before it is to become effective. Realistically, as of 2017 in an average cost of living U.S. area, you are probably looking a legal expenses and related expenses involved in making a prenup happen given the need for Chinese speaking legal professionals and logistical issues, at an expense of $7,500 to $15,000 or more to get a prenup done under this circumstances. You would need to decide if this expense was worth the benefit to you. Options It could be signed by your spouse while your spouse to be is in China, if the proper formalities are observed. In terms of the enforceability of the agreement, and the likelihood that it will be executed, this is probably the best option. But, as a practical matter this may be difficult to accomplish this because lawyers knowledgeable about U.S. law who can communicate in the spouse's topolect of Chinese may be hard to find, and Chinese attitudes towards prenups may be different from those of people in the U.S. Negotiating a prenup in the face of a quite new relationship that often doesn't have a lot of depth at the start and is based upon mutual hope and a belief that the couple has shared interests as much as an actual long term relationship prior to getting engaged (which is common in marriages of the kind described in this question) can present a difficult challenge for the couple as they develop a marriage relationship very early on in their process when they don't have a lot of communication and relationship foundation to build upon. Of course, there are exceptions to every rule. Suppose that you've known your girlfriend continuously since she was 14 years old and she is now 24 (you are 25) and both of you are fluently bilingual, because you grew up next to an embassy and she was the daughter of an embassy official and you went to prom together, and then the two of you went to college and graduate school together living together for five of those years. Suppose that she is from a wealthy family and needs the pre-nup to protect her family's wealth, and you are not very affluent despite being the U.S. spouse. Suppose that she's was a paralegal in a family law firm that draws up prenups when she was in college before moving back to China when she finished her studies, while you are a divorce lawyer, and that the two of you have talked about marital agreements for years. This might not be much of a relationship issue and might not pose the kinds of immigration questions raised below. But, if you fell into one of the exceptions to the general rule, you wouldn't be asking this question in the first place in all likelihood. It is possible to obtain a financee visa which allows a foreign spouse to immigrate to the United States with an intent to marry upon arrival. But, in that situation there would be real doubt about whether a marital agreement signed upon arrival would be truly voluntary because failing to agree to the prenup and not getting marriage as a result would result in the financee's immediate deportation and terminate a wedding that the wife had already moved half way across the world and given up everything to participate in. It is possible to execute a post-nup, but in that case, if it was truly voluntary, the wife probably wouldn't sign it because it would mean that she would be giving up rights that she had already acquired as a result of the marriage for nothing in return, and if it was involuntary, then it wouldn't be valid. (There are circumstances when a post-nup can make sense for a spouse to voluntarily enter into after marriage, for example, to make rich relatives comfortable including a person in their Will or making a large gift to one of the spouses that is intended to stay in the family but will benefit the spouse during the marriage and the couple's children, but the facts in the question don't naturally suggest any of those circumstances.) Immigration Concerns Unlike an ordinary marriage, which is presumed to be valid and in good faith, marriages which afford a spouse the right to immigrate to the U.S. and in due course, to become a U.S. citizen if certain other requirements are met, are carefully scrutinized for signs that it is a "sham marriage" and immigration judges can be quite skeptical in determining whether or not a marriage is a sham. Couples go to great lengths to prove otherwise, and the burden is effectively placed upon them to show that they are not engaged in marriage fraud and instead actually married for love. If a marriage with an immigrant is found to be a sham, the immigrant's visa will be revoked, the immigrant's citizenship application will be denied, and the immigrant may become deportable. There may also be sanctions for the citizen or permanent resident spouse who sponsored the immigrant. One factor among many that can be considered when determining if a marriage is a sham marriage or not is the existence of a prenup or postnup, and even more importantly, its terms. The more unfavorable the terms of the prenup or postnup are to the immigrant spouse, the more likely it is that an immigration official will conclude that a marriage is a sham for immigration purposes. There isn't a hard and fast rule, but it is one factor that is considered among others in reaching that determination. The key factors in evaluating a prenup for immigration purposes are the terms of the agreement. The more the immigrant spouse's legal rights in the marriage are limited, the more likely immigration officials are to view the marriage as a sham and the couple as engaged in marriage fraud. On the other hand, if all a prenup does is to insure that a new spouse and children from a former relationship have equal inheritance rights and no rights upon divorce are modified at all, immigration officials may view the prenup as relatively innocuous. Conclusion There are a lot of good reasons not to get a prenup in the circumstances you identify if most of my hunches about the usual circumstances involved when someone asks a question of the kind that you have are true. Before taking this step, you would be wise to consult with a lawyer to see what the likely economic and legal consequences of a divorce or death in the absence of a prenup would likely be in your case, as I suspect that your fears may be exaggerated or may involve issues that a prenup can't address. It could be that once you are well informed it is still clear to you that a prenup is a good decision. But, given multiple indications that this may not be a good choice for you, I would strongly suggest thinking twice about this decision after conferring with a lawyer about your individualized circumstances before going forward with this plan.
The Constitution said people have the Rights to Properties. No it doesn't. There is no such provision. The closest I am aware of is the so-called "takings clause" in the Fifth Amendment, which reads: Nor shall private property be taken for public use without just compensation. There has been a good deal of litigation over just when when a "taking" occurs under this provision. The classic and most obvious case is the use of eminent domain to aquire actual title to the property by a government (Federal, State, or local). This is always a takign, and compensation nis required. The more questionable cases have occurred when some law or regulation leaves the owner with title, but significantly restricts the uses to which the property may be put, particularly when the existing use becomes unlawful. Courts have ruled in different ways in such cases, but I think the current standard is that when a regulation removes all, or almost all, economic value from the property there has been a "regulatory taking" and compensation must be paid. But as far as I know, a tax on the property has never been considered to be a taking inn this sense.
There are only a few areas of law of which I am aware that U.S. law treats people who are engaged to be married differently (although perhaps with more thought I could expand the list). Fiance(e)s come under a special immigration status when applying for a visa. There is a body of law related to whether an engagement ring is an absolute gift or is conditional upon being married (this is not uniform from state to state and I don't recall what the majority rule in those cases is under the common law). In South Carolina, ownership disputes over engagement rings are litigated as breach of promise to marry actions. Pre-marital agreements governing a future marriage can be made by people who are engaged (although a post-nuptial agreement is also equal in effect in most cases). People who are engaged, like spouses, are generally considered to be in a "confidential relationship" with each other which imposes higher duties with respect to fairness in their dealings with each other than strangers, but generally less high duties than fiduciaries. While not strictly arising from the status of being engaged, adult cohabitants are generally agents for service of process of each other at their shared home, and are often considered to have a legally significant relationship for purposes of domestic violence statutes (usually related to either domestic violence crimes or temporary restraining orders). I am not familiar enough with the law of France to fully answer the balance of the question, which someone more familiar with that law can expand upon. But, there is similarly a special immigration status in French law for a fiance(e). And, French law, in a flourish so romantic it could scarcely be any other country's law, also allows people who are engaged a right to marry after one of them has died in certain circumstances: "The legislation that allows posthumous marriages stems back to when a dam burst in 1959 and killed 420 people in southern France." It was most recently invoked in 2014 when a grieving French woman was granted permission by the French President to marry her former fiancé, who tragically died in 2012, just a month before they were due to wed. To be eligible the bride to be had "to convince the President of France that her’s was a special case and that her love for Michael went beyond the grave. It took four letters to the president and 20 months of waiting, desperately hoping for a positive response." The President's discretion in this matter is somewhat similar to the pardon power in U.S. law. This French law was also invoked in 2009. The law in question is set forth at Articles 171 of the French Civil Code. In English translation this states: Article 171 The President of the Republic may, for serious reasons, authorize the celebration of the marriage if one of the future spouses is dead providing a sufficient gathering of facts establishes unequivocally his consent. In this case, the effects of the marriage date back to the day preceding that of the death of the spouse. However, this marriage does not carry with it any right of intestate succession to the benefit of the surviving spouse and no matrimonial regime is considered to have existed between the spouses. I am aware of one documented case where a court entered a post-humous marriage in the United States between people who were engaged, but I am not familiar with any legal authority actually authorizing that action.
You did not specify a country or the specific contracts that might rule your condominium. At least in some jurisdictions indeed the repair cost of private portions cannot be shared. Moreover, you may not be required to pay some costs for common portions if you refuse to do so and won't make use of them. Do I have to sue them to fix this issue? A lengthy law-suit is too costly for me. If I refuse to pay $2k and only pay 1.2k, will I be facing any legal troubles? You will probably manage to continue paying just 1.2k, and have them have to sue you if they want to collect that supposedly owned money from you. However, there might be some requirements about providing notification of your refusal in a certain way or before some time elapses. I would recommend you to consult a local lawyer, it will be well-spent money. Plus, that refusal is actually sent by your lawyer (rather than just telling you how/what to say), should make your "law-understanding neighbor" think twice about going forward with their attempt of having you pay for it.
Not a lawyer, but: In many countries, a purchased item is your property once you removed it from the premises of the seller. In practice, this rarely makes a difference. You have entered a contract with the seller where the seller has to deliver the product, and you have to pay the money, you did your part, they have to do their part. There would be a difference if the item was stolen while in the store, or damaged by fire, or if the store went bankrupt and bailiffs took the item. If these rules apply in your country, then what they did is not theft, otherwise it would be theft (in all countries, if the store removed the door from your home after it is installed, that would be theft). You paid for a door, the store owes you a door. You have a legal contract. Both sides are bound by that legal contract. They have to do what the contract says (delivering the door that was displayed in the store), if they can't, then they have to do the nearest thing that isn't to your disadvantage, like delivering a new door. Or possible a different door that was on display. They can't just declare your contract invalid because it suits them better. That wouldn't be the case if this would put the store at an unacceptable disadvantage. For example, if thieves had broken into the store and stolen ten doors, including yours, the store might get away with returning your money. Since they intentionally sold your door again to someone else, I don't think they could use this as an excuse. I'd go once more to the store and ask them whether they want to deliver a door to you, according to your contract with the store, or if they want you to get a lawyer. A letter from a lawyer might work wonders. (Or of course the lawyer might tell you that I'm completely wrong, but they don't know that, so telling them that you will hire a lawyer might be enough).
Did I lose possession of my goods? That seems unlikely. But enforcing it sounds complicated, at least from the standpoint of substantive law (the Code civil). I am not knowledgeable of French procedural law. The difficulty begins with identifying whether your claim is cognizable as unjust enrichment, or --per your subsequent oral agreement-- breach of contract. You might want to read sections "The French Law of Unjust Enrichment" and "Enrichissement sans Cause" in this post. Please note that the French Civil Code recently underwent significant reforms, whence references of its articles are likely outdated. Here I pointed out one example of statutory renumbering in the Code. In the second link, you will read that originally [...] the action in enrichissement sans cause would not be available to the claimant if he or she had any other cause of action, even if that cause of action was blocked for some reason. [...] [B]ut it is perhaps here that the law has relaxed most in recent cases. Thus, the subtleties of your matter can be decisive for identifying the type of claim that is applicable to your situation. Lastly, according to this treatise (on p.54), "[t]he French legal system does not have the principle of [reasonable] reliance as it exists in the American legal system" (brackets added). That makes it easier for a plaintiff to prove his claims under French law.
There are several reasons people wish to get a marriage annulled. I'll try to list them in order of frequency -- though I'm unaware of any statistics that confirm that my ordering is correct. Money. As per Nij's comment, when people are divorced, their property is subdivided 50-50. If one person can get away with an annulment, and keep the property which he earned, then it will be in his interests to do so. Religious reasons. As per SJuan76's comments, several churches, including Catholic, Mormon, and Russian Baptist, do not allow a person to marry if his previous spouse is still alive. An annulment is a way around that. Fraud marriages. This is rare, but under Trump it happens more often then you might think. People (usually women) come to the US illegally, marry someone (generally significantly older), and after the wedding day they are never again seen by their spouse. They use their marriage certificate to ensure permission to stay in the US -- but, they were never interested in marrying that person in the first place. When found, often such people are living with another illegal alien "as a boyfriend", with kids born before the fraud marriage even took place. It is in such cases, that their new spouse often tries to attain an annulment of the marriage -- to make sure that the illegal alien doesn't get rewarded for cheating them. Personal reasons. For some people, having never been married means it's easier to get a spouse who also has never been married -- and being able to check the "Single -- Never married" box on a form is always a plus in such cases. Now, don't ask me why people prefer to marry someone who's never been married, over someone who's been divorced. :) Incest. Under the US law, if you marry someone who's your close relative, then you are guilty of a felony -- even if you didn't know they're your close relative at the time of marriage. However, if you annul the marriage, then you can avoid prosecution.
How to avoid legal action for releasing an artwork depicting abuse or harassment? Let's say, I want to develop and release a game which depicts slavery period in America of 19 century, and my game will contain scenes of harassment and abuse of people having African roots (like executions, mortification, lashing naked in public - things we have seen depicted in movies like 12 years of slavery) How do I avoid legal action against me and will there be one? Can I be sued for having such depictions in piece of artwork I produce? Can I reject such lawsuits based on that I tried to realistically reproduce a historic period of our time?
In the United States, I would strongly expect that an accurate depiction of historical fact (even if uncomfortably graphic) would be protected under the First Ammendment. Otherwise, the government could functionally censor the worst parts of history (as being too awful to discuss or depict), which is exactly the kind of thing the First Amendment is designed to prevent. There are three important categories of speech that are not protected: (1) "fighting words" directed at a person intended to provoke a fight, (2) words that infict emotional distress such that it qualifies as a tort, and (3) speech that court finds to qualify as "obscenity". Of these three, your game probably will not qualify for the first, since it generally requires speech directed at a specific person or people. I also suspect (less confidently) that an emotional-distress tort would not succeed since your game is not directed at any particular living people. Even if the game caused emotional distress to someone, your public release of the game probably could not qualify as a tort against that specific player who happens to experience emotional distress. The Miller test is used to determine if a work is obscenity. Wikipeida summarizes its three parts, all of which must be satisfied to constitute obscenity: Whether "the average person, applying contemporary community standards", would find that the work, taken as a whole, appeals to the prurient interest, Whether the work depicts or describes, in a patently offensive way, sexual conduct or excretory functions specifically defined by applicable state law, Whether the work, taken as a whole, lacks serious literary, artistic, political, or scientific value. The first two are explicitly sexual in nature. I don't know if there is any similar prohibition against hyper-violence, but even if there were, as long as your game does not run afoul of the "lacks serious artistic value" condition, you will be on the safe side of the line. Note that none of this stops anyone from initiating legal action against you (which may cause headaches for you); it only stops those legal actions from succeededing.
Short answer Sorry. Everything you want to do is completely illegal. Consider the time you have invested so far a learning experience. Very little of your work will be salvageable. You need to start over pretty much from scratch with an original visual and musical pallet only vaguely inspired by the original. If you don't, you will be sued for many, many different reasons and lose. Longer answer Intellectual Property Problems There are multiple intellectual property-like problems with your plan. If you use any registered trademarks (or unregistered claimed of trademark designed with the superscript "TM" by the restaurant) you are probably looking for trouble. If the architecture or anything in the restaurant is protected by copyright or a design patent, you are looking for trouble. The restaurant can probably claim "trade dress" protections of its "look and feel" to the extent that those elements are a consistent part of the restaurant's image and is distinctive. If individuals in the game correspond to individuals in real life from whom you have not received permission, you are probably engaged in tortious violation of that person's right of publicity. If you use music used in the restaurant without permission in the game, this is probably a violation of somebody's copyright unless you obtain a license (or statutory license for covers of music copyrighted by someone else). If you are a former employee of the restaurant, there may also be contractual limitations in disclosures of elements that are considered "trade secrets". Tort Law Problems In addition to intellectual property issues, there is a good chance that if the correspondence between the real restaurant and your game is close enough, and the game displays the restaurant in a negative light (perhaps partially due to video game hyperbole) that you will be sued (quite possibly successfully) for defamation, for "injurious falsehood", or for the tort of "false light" (if that privacy tort has been adopted in a state where the game is sold). Bottom Line: You Are Screwed If You Proceed Basically, if you can't obtain permission, it is a really bad idea to proceed according to your original plan and you will be successfully sued to no end. Moreover, even if you do win a lawsuit in the end, you will go broke trying to defend it and will be hopelessly distracted for years from your main business of selling video games. Options To Make Your Video Game Legal You can either parody the original (which is quite tricky), or you can follow the advice in the comment from @schizoid04 and change things to a similar degree to what you commonly see on television or in movies where they clearly don't have the licensing rights to the real thing. If the game uses the images in connection with culinary or political criticism it could also be protected, but this video game probably would not rise to that level for intellectual property purposes. Should I simply give the restaurant a different name? Should I feature the restaurant in a different city than where it really resides? What if I mirrored all of the architecture to be backwards like how people "Mirror" copyrighted video on youtube? None of these measures (or even all of them combined) go nearly far enough to be sufficient to ward off intellectual property or defamation-type lawsuits. You need to rebuild from scratch touching on some of the general ideas or cliches for this type of business, but none of the distinctive specifics that associate this particular business with your images.
No, bare possession is not illegal under US law Nothing in Tile 17 of the US code (which is the copyright law) makes it illegal or even actionable to simply posses a single physical object (such as a game or a book) which constitutes a copyright infringement. Criminal copyright infringement is defined in 17 USC 506 and is limited to people who: Infringe for "purposes of commercial advantage or private financial gain"; and Create infringing copies "which have a total retail value of more than $1,000" in a six-month period; or Infringe "by the distribution of a work being prepared for commercial distribution, by making it available on a computer network accessible to members of the public, if such person knew or should have known that the work was intended for commercial distribution." However, in practice, the US Department of Justice only brings criminal copyright cases when infringement is carried on as a business, on a bulk or mass basis, and only when infringing copies are in fact distributed to the public. In practice the vast majority of copyright enforcement (both in the US and in other countries) is done by private suits by copyright owners or rights-holders. In the US such suits are generally to enforce the rights guaranteed in 17 USC 106. This protects six core rights (summarized): To make copies or phonorecords; To prepare derivative works; To distribute copies or phonorecords; To perform the copyrighted work publicly; To display the copyrighted work publicly; To perform the copyrighted work publicly by means of a digital audio transmission. The copyright owner can do any of these or authorize other to do them. Anyone doing any of these without such permission is an infringer unless one of the exceptions or limitations in sections 107 thru 122 applies. There are also the "moral rights" specified in section 106A. These apply only to works of visual art in the US, and grant the artist the right to: Claim authorship of the work; Prevent the use of the person's name on any work s/he did not create; Prevent the use of the author's name on any work that has been changed so as to possibly harm the author's reputation; Prevent any "intentional distortion, mutilation, or other modification of that work which would be prejudicial to his or her honor or reputation"; and Prevent any destruction of a work of recognized stature. Note that none of the six rights from sec 106 or the five moral rights from sec 106A covers possession of an infringing copy. One caution: so-called "first-sale rights" (from 17 USC 109) do not apply to an infringing copy, and it is infringement to knowingly sell, lend, rent or otherwise distribute an infringing copy. But the purchaser is not an infringer. Also, to play an infringing copy of a game might be a violation of the right to "publicly perform" the work, but not if done in private. However, in running a game it is likely that one or more temporary copies would be made. This is lawful if done from a lawful copy, but not if the person does not posses a lawfully-made copy. So playing an infringing copy of a game might well constitute an act of infringement, although a suit over a private act is unlikely.
The "Crabs" game can be legal if it is seen as a form of parody. That is one of the forms of "fair use" that allows copying (within limits). This is to allow the use of limited amounts of copying for critical or "mocking" pieces, which are considered a form of free speech. Two other issues come into play under "fair use." The first is whether or not this is "commercial" (yes) or non-commercial (e.g educational) use. That is mildly negative for "Crabs" but by no means dispositive. The second is the likely market impact, whether the new use tends to compete with the old use in its "home" market, or whether it is likely to open a new market of a very different, perhaps "opposite" audience that might later buy the original as a "crossover." The "Crabs" game seems to address the "green" or at least "pro animal" (PETA) market. If the defendant can show that the "Cards" market addresses e..g., your "inner Nazi," making it "opposite," that would be ideal. It would be less convincing if "Cards" were addressing e.g. human rights, because that might be seen to overlap with the green market in terms of social conscience.
I've found Google's filtering based on licence to not be very reliable, at least not reliable enough to trust from a practical legal perspective. Using a photo that you don't own the copyright to is a risk. You may be infringing copyright by doing so. The owner may eventually ask you to stop, or they may sue you for damages. Further, some copyright infringement is criminal 17 USC 506. In my opinion, it would be unwise to use a work commercially that you don't affirmatively know you have permission to use.
That post is probably illegal. Because she is making false assertions about you (that are presumably damaging your reputation), she is likely liable for defamation. Because she has copied a picture of you without authorization, she is likely liable for violating the copyright of whomever owns that picture. Commenters have suggested she might invoke a fair-use defense, but I would expect it to fail. The four fair-use factors are: The purpose and character of the use, including whether such use is of a commercial nature or is for nonprofit educational purposes: Both Plaintiff and Defendant are using using the photograph to identify the holder of an account -- a Facebook account in P's case, a business account in D's. D is using the photograph in connection with a profit-making enterprise, not for educational purposes, and her use is not transformative. The nature of the copyrighted work: Photography is a creative art at the core of copyright's purposes, generally entitled to thick protection. Ets-Hokin v. Skyy Spirits, Inc., 225 F.3d 1068, 1074 (9th Cir. 2000) ("[P]hotography entails creative expression warranting copyright protection.") The amount and substantiality of the portion used in relation to the copyrighted work as a whole: There is no indication that D took anything less than the entire photograph. The effect of the use upon the potential market for or value of the copyrighted work: The question is not only whether the defendant's use affected the actual market for the protected work, but whether many people doing the same thing would depress the potential market for the work. Campbell v. Acuff-Rose Music, Inc., 510 U.S. 569, 590 (1994) (Courts must consider "whether unrestricted and widespread conduct of the sort engaged in by the defendant would result in a substantially adverse impact on the potential market.") The potential market for the image is probably very small, but widespread unauthorized copies, publicly displayed, would undoubtedly depress whatever market exists. So all four factors cut against the defendant. Fair use is a loser defense here.
It depends on the game and what you copy. Games are an utter nightmare when it comes to IP law as so many parts of them cannot be copyrighted. Game rules for example cannot be copyrighted, nor can the concept itself. Some things can be copyrighted or trademarked. You cannot use the following: Names Written elements- while the rules themselves can't be copyrighted, rulebooks can Artwork and other visual elements Miniatures designed for the game Original characters Try to avoid these and the Hasbro lawyers should leave you alone.
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.
Is community service sufficient consideration for a contract? Say Matt has been sentenced to perform 10 hours of community service by a judge. His dad encourages him to be a good boy by offering him $1000 if he completes the hours. Matt accepts the offer. There is a text message record of this exchange. After Matt completes his community service, his dad reneges and doesn't give him the $1000. Does Matt have a valid claim that he has a contract with his dad? Or does the community service not constitute sufficient consideration for a contract?
tl;dr The community service is unlikely to be valid consideration. Background While the father seemingly intends to induce performance via the offer, as in Restatement (Second) of Contracts § 81, judge-ordered community service is an exception. In particular, Restatement (Second) of Contracts § 73 says performing a preexisting legal duty does not constitute consideration. For example, in McDevitt v. Stokes, 192 S.W. 681 (Ky. 1917), a breeder who had promised a horse jockey money if he won a race was allowed to renege on the promise because the jockey already had a professional duty to try to win. Likewise, if you promise the police a reward if they bring the person who burgled your house to justice, they already have a preexisting duty to bring the criminal to justice. There's a small window here to argue the opposite if the dad was trying to induce something above and beyond what the judge ordered. united-states
If you are given a paid job, and you do the work, then "consideration has been provided", and 1682 will not apply. As to "referral fees" those sound more like kickbacks, but it depends on what, if anything, the person gets for the fee.
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.
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.
If there is a contract, Bob is entitled to damages There probably is a contract in this case - the landlord (through their agent) has made an unambiguous offer which Bob has accepted by signing the lease. The contract comes into effect with Bob’s acceptance irrespective of if the landlord has (or ever does) sign it. If the agent has acted without the landlord’s authority that is a matter between them - the landlord is in a binding contract with Bob by virtue of the agency doctrine.
There is no contract Specifically, an agreement to agree is void for uncertainty. If the total cost of shipping was an insignificant fraction of the value of the contract then there might be sufficient certainty - that is, it could be argued that the buyer (or seller) has agreed to pay a reasonable rate for shipping. However, in the context of most items on the site this is unlikely to be the case. As an aside, your use of the term "rescind" is incorrect. Rescission occurs when one party breaches a term of the contract and the other party elects to terminate (and optionally seek damages) in response. The correct term for both parties agreeing to release the other is "termination by agreement".
It is almost certainly legal for the sitter to keep the money. She was ready to provide the service, and it is not her fault she couldn't (and she may have turned down other opportunities because she had this one). I think your fiance's claim would be against the firm providing the security service (they are the ones that frustrated the contract). I foresee the following problems: What are her losses? She was prepared to pay $315 (which she has paid), and the dog has been looked after. Where is the loss? (She may be able to argue that it was worth $315 to her, not to have to owe her mother a favour. I don't know if that will fly.) The contract with the security firm almost certainly waives liability for this sort of thing. She would have to convince the court that the contract terms were unreasonable/unconscionable (or whatever the term is in the local jurisdiction). There are two obvious options here: a) see if there is legal cover on her household insurance (or her pet insurance); b) forget it (it's only $175 all told).
No, this is not an acknowledgement of guilt or liability. It offers a "discount" some sort of reduction in price. This could be an offer of settlement without admission of liability, or even just advertising for repeat business (unlikely as that may seem). Without the rest of the communication, there is no way to tell. Unless there are specific admissions, this statement alone is not likely to have much significance in such a case. Edit: There is still not enough context to tell exactly what the sender of this communication wanted to accomplish with the offer of the discount, but since the OP now says "the party does not take the responsibility" this is not an admission of guilt, whatever else it is. It sounds like some sort of backdoor form of settlement offer without admission, but that is far from clear to me. My original answer is not significantly hanged here.
How legal is offering abandonware for download? A quick background to my project (it's essential to the question, as you'll see later): My project offers a multiplayer server platform for server listings for a game (Crysis Wars), allowing players to connect to these servers (note that it's not a gameserver); the online platform (called GameSpy) went bankrupt and closed down in 2014, leaving the game (and many others) without any multiplayer capability. The project has a fair few users, and now I'm looking to expand. I am considering advertising on a well-known gaming website, and offer a copy of the game for download from the project's website to enable people who don't have the game to play. I'm questioning the legality of this since the game can still be purchased from online retailers (but not from the publisher's own store), however it should be noted that the game is abandoned: No updates in almost six years; Not possible to verify whether a copy is genuine or not (no way to verify the serial keys); I'm pretty certain that almost 100% of copies using my system are pirated/non-genuine (I can't verify this of course, but as 44.8% of users are Russian this is probably the case) If I do offer a copy of the game (clean, no modifications) for download on the project's website, how legal is this? Should I obtain written permission from the game's developer first? I acknowledge that I could potentially be sued by the game developer/publisher for 'financial loss', however this is questionable since the game is abandoned (I'll be surprised if they've made any money from it in the past two years!). If it matters, I'm located in Guernsey with the service (and the project's website) running from Ireland.
It is possible to abandon copyright ... maybe. However, this game has not been abandoned. When the owner of the company was liquidated, the copyright became the legal property of the liquidator in trust for the creditors. It is for him or her to decide how to deal with the property but the copyright still exists until 70 years after the author(s) death. If you allow downloads you are breaching copyright unless you have permission (or you meet the Fair Dealing criteria - you probably don't). The person to seek permission from is the liquidator od the company. If you get sued they do not need to demonstrate financial loss - copyright claims can either be pursued for actual or statutory damages, that is, a fixed amount per violation. In addition, in egregious cases, copyright violation is a crime prosecutable by the state.
Possibly The game company has almost certainly excluded liability under the contract you entered. There may be some consumer protection that you have that they cannot exclude - I don’t know enough about German law to meaningfully comment. Notwithstanding, if you were to initiate legal action against the, as yet, unknown wrongdoer, you could subpoena the relevant records from the game company with a court order. No matter what privacy or other protections the other person has, the game company must obey the order or be in contempt. Without such an order the game company is right that they can’t disclose details of other users. As a practical matter, it will cost several hundred € to initiate legal action and several thousand to pursue it to the end. And you might lose. A better response is to treat the lost €80 as a relatively cheap life lesson - many people lose a lot more learning to recognise scams.
Copyright protection is about certain acts, and not about relationships between products. Copyright law says that the creator of an original work hold the exclusive right to copy and to authorize creation of derivative works. Copyright law does not say that anybody can freely create derivative works as long as they are different to a certain extent. So if you take an original Mario and modify it a teeny bit, that is a violation of copyright; if you take an original Mario and modify it hugely, that is a violation of copyright. Degree of similarity is relevant on some cases when the factual question arises whether the allegedly-infringing work is based on some protected original. This is most obvious in music cases, where all baroque music has some similarity to all other baroque music, all death metal has some similarity to all other death metal, and so on. There is not a legal quasi-statutory standard for measuring substantial similarity in music. The scientific underpinning of such a standard would be based on (weighted) combinatorics and the idea that there are only so many tunes possible (that would be a huge number, until you get to the "within a genre" condition). It seems obvious (by your "admission") that the derived works are based on protected works, so Nintendo's permission is required to legally create such works. However, you do or would hold copyright in your unauthorized derived work. Without a trail of evidence such as a SE question pointing to the connection, the derived images might be hard to connect to the originals. In addition, you may be able to avail yourself of a "fair use" defense, in case you get sued by the original creator. Factors favoring such a defense are the insubstantiality of the copying (a small portion) and the "transformativeness" of your creation.
You don't just want to ask, you are required to obtain a license (or in other terms: the OK of the author*). Your game is based on a book. That makes your game a derivate work. Under berne convention, any signer state has to make sure that the author* has the right to authorize any derivate. That includes translations, films, or games. Without a license, you violate copyright law. It doesn't matter if your game is free. To stay safe, you need to obtain a license. Quite some authors would be happy to cut a deal, license or guidelines for fan-projects. As an example, the late Sir Terry Pratchett OBE has specific guidelines on what is ok and what not. Ask your author* about these questions and consult a Lawyer! Only then make your fan project! * This means the author, their estate or whoever they assigned their rights in the work to. Some examples: For that teenage wizard in a private castle charter school that'd be a certain J.K. Rowling. For those hairy-halflings running all over the continent hunted by orcs that'd be the J.R.R. Tolkien-Estate. And for those space wizards using blades from solid light that'd be The Walt Disney Company or one of their subsidiaries.
The only issue relevant to your age is the (ir)revocability of the license. GPLv3 purports to be an irrevocable license. To be really irrevocable, the license would need to grant certain rights in exchange for something of value, that is, you need a license that passes muster as a contract. Copyright licenses are typically treated as contracts, but it is not clearly established in law that licenses are contracts or are not contracts. Out of the goodness of your heart, you can grant permission to use your property, but you can also withdraw that permission. If you have a contract granting perpetual permission to use your property in exchange for something of value, then you can't later withdraw that permission. In the case of Jacobsen v. Kratzer, the sides advances opposing theories that the license was a "bare license" vs. was a contract. (The matter was ultimately settled out of court). This article puts together the legal factors surrounding the notion of license as contract, see p. 21 ff, and esp. §IV for arguments that licenses should be contracts, to be fully enforceable. A contract for non-essentials formed with a minor is not enforceable, until you are 18. You could therefore revoke the license, until you are 18. Anyone who uses the software does so at their peril. However, if the license is not a contract, no existing legal doctrine (in the US) whereby the permission is irrevocable. In other words, yes you can, at their peril. The whole license-as-contract issue is very complicated, and I'm only focusing on the revocability issue. There is a separate question whether one can sue a user for both copyright infringement and breach of contract. The case of Artifex v. Hancom, see also this analysis, found that (in the particular case), plaintiff can pursue the matter as both infringement and contract breach.
If your app is published under US law, then the DMCA would apply, just as if it was a web site. The DMCA doesn't say anything about what particular technology the distributor is using. TO be protected by by the DMCA's "safe harbor" provision, you will need to include a notice in your app that you accept takedowns, and provide an address or method by which they can be sent, and an agent who will receive them. (You can be your own agent if you choose.) When and if you recieve a take down notice, you must check if it is valid in form. According to this Wikipedia article, a takedown notice must include: (i) A physical or electronic signature of a person authorized to act on behalf of the owner of an exclusive right that is allegedly infringed. (ii) Identification of the copyrighted work claimed to have been infringed, or, if multiple copyrighted works at a single online site are covered by a single notification, a representative list of such works at that site. (iii) Identification of the material that is claimed to be infringing or to be the subject of infringing activity and that is to be removed or access to which is to be disabled, and information reasonably sufficient to permit the service provider to locate the material. (iv) Information reasonably sufficient to permit the service provider to contact the complaining party, such as an address, telephone number, and, if available, an electronic mail address at which the complaining party may be contacted. (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. (See the actual text of the relevant section of the law.) If you receive (through your designated agent) a valid takedown notice, you must promptly remove the content and notify the poster (or you can instruct to poster to remove it, but you must do so yourself if the poster does not). If the poster then files a valid counter notice (see the linked sources above) with your agent, you must notify the sender of the original notice, and if the sender does not notify you of a copyright suit filed within 10-14 days, you must restore the content. Provided that these rules are complied with, the host gets a 'safe harbor" and cannot be sued for copyright infringement, nor for the act of taking down the content. I believe that the agent must be registered with the US copyright office. The courts have not ruled on just how quickly an ISP or other host must react to the takedown notice. It must be "expeditious". Moreover, Under the DMCA (i) 1) (a) The host must have, post, and enforce a policy denying access to repeat infringers, or lose safe harbor protection. The text of the provision is: (i) Conditions for Eligibility. -(1)Accommodation of technology. —The limitations on liability established by this section shall apply to a service provider only if the service provider— --(A) has adopted and reasonably implemented, and informs subscribers and account holders of the service provider’s system or network of, a policy that provides for the termination in appropriate circumstances of subscribers and account holders of the service provider’s system or network who are repeat infringers;
What are exactly the legal consequences of "All rights reserved"? Almost none. You have to explicitly grant copyright rights. You don't even need the Copyright notice for them to apply. My "almost" is because the notice makes it harder for somebody to argue "they didn't realize". Do I still need an additional SW License Agreement or is the Copyright notice above + a Disclaimer of liability sufficient? If this is free software (I know you said it isn't), do yourself (and everyone else) a favour by picking a license you like. Preferably either GPL or MIT (depending on your taste). There are far too many free licenses already. Please don't add another. (It also makes it much easier for any user of your software: "Oh yeah, GPL v2. We understand that. We can use it." as opposed to "What are the implications of using this one??" As this is not free software, I think you need a paid-for lawyer (who understands IPR in your juridiction.) Edit: In principle, I believe you don't need anything. The code is copyright, so the customer can't do anything with it (without explicit permissions that you haven't granted). However if the customer doesn't realize that or thinks you won't mind, you then have to go to court to enforce your rights (and probably end up with a disgruntled customer). A short, clear, license will make it clear to the customer what they are allowed to do, and save all that aggravation.
It would be terribly risky for you to simply link another company's terms of service. What if they take their server down? What if they change their terms? You would not even know when exactly the changes were made. Copying their terms means you might run into copyright issues on the text. Either pay a lawyer to write your ToS for you, or see if you can find something in the public domain.
Is calling a tenant "babe" sexual harassment? In the building where I pay a lot of money to live, a plumber came in my suite just to turn off a faucet, and then called me "babe" upon leaving. I wasn't sending any signals, in fact I was annoyed he came in just to do that (when I could have) and I felt I was obviously showing this. Do I have good right to say something to management or not? My problem is that he's coming back tomorrow.
I will assume B.C. as your specific jurisdiction: there could be provincial differences. As phoog says, you certainly may mention this problem to management, who have an interest in keeping you happy. No law against that. As for the "legality" of sexual harassment, the CBA BC branch says that "Sexual harassment, which is discrimination based on sex, is illegal under the BC Human Rights Code". It is interesting to see what the code actually says. Section 8 Discrimination in accommodation, service and facility says (1) A person must not, without a bona fide and reasonable justification, (a) deny to a person or class of persons any accommodation, service or facility customarily available to the public, or (b) discriminate against a person or class of persons regarding any accommodation, service or facility customarily available to the public because of the race, colour, ancestry, place of origin, religion, marital status, family status, physical or mental disability, sex, sexual orientation or age of that person or class of persons. The question is whether using the term "babe" constitutes discrimination against a person regarding service because of sex. This article on the Law Society of BC web site specifically identifies "verbal harassment" as an instance: Verbal harassment – This comes from anyone within the firm and or other workplace or a person who does business with the firm or company. Some examples are: referring to an adult as a babe, honey, girl or stud; whistling at someone; turning work discussion to sexual topics; asking personal questions of a sexual nature; making sexual comments about a person’s clothing, anatomy or looks; or asking someone repeatedly for dates and refusing to take no for an answer. (emphasis added). In case you're thinking that maybe there's a difference in what the code says regarding services and what it says regarding employment, section 13 Discrimination in Employment says: (1) A person must not (a) refuse to employ or refuse to continue to employ a person, or (b) discriminate against a person regarding employment or any term or condition of employment because of the race, colour, ancestry, place of origin, political belief, religion, marital status, family status, physical or mental disability, sex, sexual orientation or age of that person or because that person has been convicted of a criminal or summary conviction offence that is unrelated to the employment or to the intended employment of that person. In other words, it is defined simply in terms of "discrimination", which means "making a distinction". It is known that unwanted sexual advances constitute illegal discrimination, see Janzen v. Platy Enterprises Ltd. [1989] 1 SCR 1252. The court found that Sexual harassment is a form of sex discrimination. Sexual harassment in the workplace is unwelcome conduct of a sexual nature that detrimentally affects the work environment or leads to adverse job‑related consequences for the victims of the harassment. They did not, however, find that this is the only form of sexual discrimination (obviously, since it isn't). I can't point to case law indicating whether gender-biased expression are actionable, but that would be consistent with the letter of the law and "babe" is indeed an example cited in the Law Society article.
To start off, you appear to be confusing assault and battery. Assault does not require physical contact in order for it to occur. Verbal assault is still a crime, but in your situation it doesn't appear that any verbal assault has occurred - he is not actively threatening you with harm, and you are not in fear of being harmed. Yelling can sometimes qualify as verbal assault, but any form of verbal assault is very hard to prove because it leaves no evidence. Unless someone other than the two parties involved comes forward, it likely won't go anywhere. Assuming this has been going on for some time, what you appear to be experiencing is harassment which usually qualifies as a civil matter, and police will not take any action other than asking one of you to leave in order to resolve the issue. Most often, they will ask you (as the person being harassed) to leave, but that can also be in your benefit. If you can prove the other person's harassment caused you to have to leave in order to be comfortable again, then you can claim damages and can sue that other person for the harassment - basically suing for damages of not being able to live in and enjoy your residence which you pay for, as well as any additional costs you encountered by having to find an alternate place to live because of their actions. Again, this is difficult to prove without someone else who has witnessed the continued harassment stepping forward (e.g. your guest who might have only witnessed it once is probably not an incredibly strong witness, because harassment is often defined as having persisted over time, and they cannot testify to more than what they saw in one night). The case would likely just devolve to a matter of "he-said" between the two of you - he will likely claim you just didn't like him and are making things up to get money out of him. You'd need to make sure you have other evidence that supports your side of the story. As far as claiming self-defense, my completely non-legal and mostly combination of "I wish this were common sense" and "I hate when people try to justify unneeded violence" advice is never rely on the self-defense plea. Unless you are in fear of your life, your best course of action if he threatens violence or actually hits you is to leave and let the police handle it. If you have physical marks on you and he has none on him, the case becomes much more clear-cut. If you fight back, and you both have marks, then it again becomes a case of "he-said" and it's hard to prove who initiated the confrontation without cooperating witnesses, and you'd likely both end up being arrested when the police showed up if they can't determine who the instigator was. Just because you know something was in self-defense doesn't necessarily mean the police, a judge, or a jury will believe you. Ultimately, if you're uncomfortable with the place you're living, you should start planning to move elsewhere immediately (which you appear to be doing). If you can both a) avoid financial damages to yourself by preventing yourself being put into a situation that requires you to move quickly without much planning and b) prevent the continued harassment - then you should. Don't let the pot just keep boiling over until it explodes all over the kitchen. You have the power to make this stop too, and you shouldn't rely on other people making the situation go away for you (e.g. your landlord is bound by a contract, and evicting a tenant based on your word can open them to a lot of legal troubles - they have to be very careful with how they handle such a situation). Yes, it sucks that it's not your fault you have to go through the extra effort or move away to resolve the situation, but getting yourself out of the situation should be your number one priority, and doing it yourself is often the easiest solution.
I gather that the numerous ramifications you outline are merely contexts and that your main concern is about the application of contract law (contract law in the U.S. does not really vary among states). Thus, I will not really delve in the intricacies of --for instance-- privacy or copyright issues arising from the commercial use of a person's likeness that you mention in one of the scenarios. As a starting point, one needs to bear in mind that: a contract is an exchange of considerations under terms and conditions entered knowingly and willfully by the parties, which can be evidenced by the parties' subsequent conduct (that is, not just by signing a document); and a contract is unenforceable if it contravenes public policy and/or the covenant of good faith and fair dealing. Accordingly, the questions are (1) whether a person knew or reasonably should have known about the terms & conditions at or by the time of those events which trigger obligations pursuant to the contract; and (2) whether the provisions therein are unreasonable, illegal, or tantamount to a penalty, especially in the event that the party breaches or repudiates the alleged contract (see the Restatement (Second) of Contracts at § 356(2)). The scenario of house for sale entails various difficulties as per contract law and otherwise. Here are some of those issues: Are visitors properly (including "beforehand") notified about the "walkway clause"? If not, the contract is void because it cannot be said that visitors knew about & accepted that condition. Does the house provide alternatives for lawful & informed visitors to safely avoid the walkway? If not, then the seller/owner might end up incurring premises liability with respect to those visitors who get injured in making their reasonable effort not to trigger the "walkway clause". Is the house owner realistically able to prove that use of the walkway by lawful & informed visitors is sufficiently "inconsistent with the offeror's ownership of offered property" so that triggering a house sale is a reasonable consequence (see Restatement at §69(2))? Is the owner-imposed mortgage rate compliant with state law pertaining to granting of credit & loans? These exemplify only some of the burdensome complications when trying to enforce "contracts" which are extravagant or quite one-sided. Lastly, as a side note, the presumption that a person reading the poster and walking in the intended area does not thereby receive consideration is not necessarily accurate. As an example, the "intended area" could have been devised by an entity in the business of enjoyment and recreation, such as a private park. The person who deliberately walks in (regardless of whether he read the poster) certainly receives a consideration, which is the amusement or recreation for which the park was designed.
The right to adequate housing is a political question, the content of which is unclear in the UN's fact sheet. What they say is: All beneficiaries of the right to adequate housing should have sustainable access to natural and common resources, clean drinking water, energy for cooking, heating and lighting, sanitation and washing facilities, food storage facilities, refuse disposal, site drainage and emergency services. Sanitation facilities are not completely ignored, so there is a theoretical basis to start from. However, that list of desiderata is not legally enforceable, so it would depends on the laws of the particular jurisdiction. In the state of Washington (US), a rental that lacked any sanitary facility (toilet) would be a violation of the health code: even hot water is required by law. In other countries, esp. where running water is not ubiquitous, there may be no legal obligation for a landlord to provide a toilet with running water. Whether legal action could be taken against the landlord depends on local law. A property owner can evict a tenant, subject again to local law. Usually, it requires a legal process where the owner petitions the court to evict the tenant, and in case the tenant has a contractual right to be there, the owner has to show cause (tenant breached the terms of the lease). A landlord does not generally have an obligation to find alternative housing for a tenant, but perhaps there is such a law somewhere, related to tenant tenure. The mention of a co-owner is a bit confusing. If A is the sole owner of a property, A can exercise landlord rights. If A and B both own the property, either of them can exercise landlord rights. However, if they disagree, i.e. A wants to evict tenant C and B wants to let C stay, the dispute between A and B must be resolved, and if they cannot come to an agreement then B can cause a delay of the eviction until the dispute is resolved in court. Again, the details on this would depend on the jurisdiction, and in part whatever landlord-tenant laws there are.
They can ask, but there is nothing in law - that I can find - which obligates an answer. (There may be some exceptions that require a previous employer to provide a reference which might include this detail, but that does not appear relevant here.) As an aside, there is an ongoing #EndSalaryHistory campaign by the Fawcett Society which is focused on equal pay and sexual equality in the workplace, and they are calling on employers to: stop asking salary history questions...
Just think of the subtenant cum owner as two separate people with two separate roles. Tenant = T Subtenant = ST Old owner = OO New Owner = NO The rights of the tenant vis-avis the new owner will be informed by the lease and the local laws. Generally, if the sale happens in the middle of the existing lease, the NO is obligated by the terms, as is the T. NO cannot just kick T out, and T cannot just break the lease. The lease may say what could happen and local laws will apply. Likewise, ST has whatever contract with T that previously existed. Pretend NO and ST are different people. If T owes NO $1000 per month, and ST owes T $400 a month, that continues even though ST and NO are the same person. Depends on what kind of dispute. See above. All contracts continue, subject to whatever the lease with the original owner and the subtenancy agreement say abut modifying or breaking the lease and sublease. Local laws apply. Note, if the subtenancy was "off the books" or was done when not allowed by the original owner, and if it was not in a place that the local law says owners cannot deny subleasing, then tenant might not have any protection. ST, now that he is owner could just move out and stop paying. On the other hand, even if he is the owner, he cannot just say "I am the owner now, so I am moving back in for free" because the original lease gave the tenant use of the whole property. But ST could just drop out because T always owed OO, and now NO, the full rent. Do you mean if rather than sublease, they were both on the original lease? Interesting, but just imagine it as the obligations before the sale = the obligations after the sale. I don't know though. There are some tax implications for an owner occupied rental.
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 you introduced the bedbugs, liability could flow to you by way of the landlord keeping your security deposit (if there is one) and explaining when sending you notice that a portion/all of your deposit was withheld due to you causing the infestation for the purposes of remediation. The inverse is also true, in that if you do not have a deposit, you could be sued in housing/small claims court for the infestation if you were negligent in some way (grabbed the mattress curbside and didn't put a bedbug proof sealed cover on the mattress. Since you said you rent a room, my curiosity is piqued as to whether it came with the bed (mattress). If the bed came with the room, it is almost certainly not your fault. Even when there are statutes/codes/regs delineating a lessor's/lessee's obligations and rights re pest control (from jurisdiction to jurisdiction) they rarely exclude the right to general civil remedies. I used to represent my municipality and remember reading that bed bugs are difficult to treat unless the bed is disposed of and all bedding is washed in hot water with a disinfectant and even that can not ensure their removal because if you brought them in because of access to them on a regular basis (e.g., if you are a maid at a motel), then you may continue to introduce them. If the room had no bedbugs and you brought the bed in and now it does, it may be easier to prove who created the unsafe/unsettling condition, as opposed to ants, roaches, spiders, which can be introduced in myriad ways.
Am I breaking the law by giving a friend advice? My Friend had some questions about copyright laws, I told him that he was breaking said copyright laws and should do a few things different with his business. Is this considered breaking the law? I'm not a lawyer and I'm not trying to represent him in court anyway. Also, if it makes a different, we're in the State of Ohio. Not sure what this part of this article means: http://hirealawyer.findlaw.com/do-you-need-a-lawyer/what-is-legal-advice.html "Advice from FRIENDS or family does not constitute legal advice. True legal advice forms an agreement between an attorney and his or her client based on a particular legal matter the client is experiencing."
The relevant law for you is ORC 4705.07. (A) No person who is not licensed to practice law in this state shall do any of the following: (1) Hold that person out in any manner as an attorney at law; (2) Represent that person orally or in writing, directly or indirectly, as being authorized to practice law; (3) Commit any act that is prohibited by the supreme court as being the unauthorized practice of law. (This is a prime example of legal language that cannot be interpreted on the basis of rules of English -- the issue is the meaning of "that person"). This does not prohibit you from giving an opinion as to what the law is, which is a right protected under the First Amendment. You would be in trouble if you said "This is my advice as a lawyer". Section 2 b.t.w. says that only the Supreme Court (of Ohio) can determine if a person has committed an act on their don't-do-it list. Rule 7 pertaining to their procedure is here. Section 2 therein enumerates the relevant categories, which fall under the categories "rendering of legal services for another" and "Holding out to the public or otherwise representing oneself as authorized to practice law in Ohio", which is what the statute says.
It is certainly possible to transfer a copyright or other IP without an explicit charge, indeed it can be a pure gift, and normally would be when it is left by will, as is common enough. From a paid consultant it might be clearer to include a statement that the transfer is part of the consulting assignment, rather than putting a price of zero in a blank. But one could instead convey a permanent non-exclusive license, granting permission to use or modify the work in any way desired, ans saying that this is provided as part of the consulting process. Then there would be no question of what rights the consultant retained, or that the same or a very similar solution could be provided to different clients. Indeed such a license would not be so very different from a CC-BY license, or any of several open source licenses, although I would not use one of those by name. But the legal effect would be much the same, and the wording could be similar. Otherwise there could be a later claim that the right transferred precluded the consultant from using the same solution for other clients. Even if such a claim was not legally sound, and was not upheld, it could be a distraction and costly of time and energy at least.
The real question isn't whether there is a law, but whether you want to keep your job. If you want to do something that you believe will affect your company negatively, and you ask whether it's legal or not, the question alone should show you it's a bad idea. And another question is whether you can be sued, and what it will cost you even if you can win a case, and the answers to that are "yes" and "a lot".
Primary Theory I suspect there might not be a legal answer to this question. I have always suspected a sort of pseudo-intellectual elitism (or simple preference or carelessness) with passive voice sentence construction in general. I sense license writers have not (yet) escaped this general trend. I would love someone to prove this theory incorrect. But, alas, I doubt it will happen. Alternative Theory But because this is a Law Q&A site, I will advance the following alternative theory. I don't believe it's correct. But I will advance it because it's the only possible explanation I can think of that might be even remotely based on legal reasoning... Maybe they are just basing their construction on the way the law itself is written? For example, if the law says, "Permission must be granted..." Then it would follow that a writer who wants to comply with the law might choose, "Permission is hereby granted..." instead of something like "The authors hereby grant permission..." or, as the OP suggested, "You may..."
Your client is confused about how copyright law works (at least in the United States and virtually every other country I've ever heard about copyright in). If I were guessing, they read something like this from the United States Copyright Office: The copyright in a derivative work covers only the additions, changes, or other new material appearing for the first time in the work. Protection does not extend to any preexisting material, that is, previously published or previously registered works or works in the public domain or owned by a third party. and figured that because it's a derivative work, the copyright only covers the additions and changes they make, and there's no copyright protection for the original work. This misunderstands the law: the original work still has its own copyright (assuming it hasn't expired), and permission from the holder of the copyright on the original work is required to create that derivative work in the first place*. The copyright on the derivative work is separate—that is, both copyrights exist in parallel. * Some exceptions, such as fair use, exist, but would be unlikely to apply to the situation you describe.
I'm not a lawyer, but under the law as it's written, I see two problems: 17 USC 121 allows "authorized entities" to make and publish accessible copies of works. An "authorized entity" is defined as a nonprofit organization or a governmental agency that has a primary mission to provide specialized services relating to training, education, or adaptive reading or information access needs of blind or other persons with disabilities. So if you, as a private citizen, decide to do this, it could conceivably be copyright infringement. You might have to set up some kind of non-profit organization to make it legal. It's also OK (I think) if you make such copies for your own personal use, so long as you don't redistribute them. So far as I can tell, nothing under 17 USC 121 requires the original publisher to provide an "authorized entity" with a copy in any particular format (PDF, paper, or otherwise) for making accessible copies. Basically, the law seems to have envisioned organizations of sighted people purchasing paper copies, transcribing them, and republishing them; not blind individuals doing electronic transcription for themselves. It might still be worth contacting Hal Leonard and asking what they can do for you, but unfortunately it doesn't look like the law requires them to do anything for you. As Nij points out in the comments, this really seems to be a question about the company's policy, rather than the law.
Any written communication is generally admissible Subject to all the normal rules for admissibility of course. For texts between you and a third party the major issue that springs to mind is relevance. As in, how are they relevant to the dispute between you and this man? If they are not, your lawyer should have objected to them on this basis, however, its too late now. I'm curious as to how he obtained these and whether it was done legally or not. Illegality will not affect their admissibility as the exclusionary rule doesn't apply to civil matters, however, it does speak to the gentleman's character.
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.
Was it formerly illegal for a woman to be president of the United States? Was there some statute or other law a century ago that said only males could serve as president? If so, when did that change (if in fact it did)?
The language argument about the constitution is that the Constitution uses the pronoun "he" in referring to the president – they would not have used the construction "he or she", or "s/he". Article I also uses "he" to refer to qualifications of representatives and senators (residency, age). Then in creating the office of predident pro tempore of the Senate, it uses "he" to refer to a Vice President who is exercising the office of President of the United States. In Article IV Section II it states: A person charged in any state with treason, felony, or other crime, who shall flee from justice, and be found in another state, shall on demand of the executive authority of the state from which he fled, be delivered up, to be removed to the state having jurisdiction of the crime. Thus women cannot be extradited, if the "'he' means male" theory prevails. In 1872, Victoria Woodhull ran for president, and while it is true there were questions about her eligibility, that was because of her age rather than sex. Belva Lockwood ran for president in 1884 and 1888. This is not strong enough to constitute proof that being female was not a bar to holding the office, but it is indicative of that conclusion. The strongest evidence that the use of "he" in the Constitution had no significance is the fact that Jeanette Rankin was elected US Representative from Montana in 1916, 2 years before Congress approved the 19th Amendment. Since the only way to impose any restrictions on the presidency is via the Constitution (i.e. Congress can't pass a law redefining the qualification for office), and since the use of "he" has never been strictly interpreted to preclude female senators and representatives, we have to conclude that there never has been a prohibition against a female president.
Everything is allowed unless the law says it isn’t Common law systems like the USA are ‘exceptions based’ - the law permits everything except what it prohibits. So, your question is backwards - rather than looking for laws that allow it, you need to look for laws that prohibit, restrict or regulate it. There are laws that regulate this but none that prohibit it.
Maybe s158 of the Equality Act 2010 allows proportionate action to redress disadvantage, different needs or disproportionately low participation by people with a protected characteristic. For example, woman make up 16.5% of the UK’s engineers. Given they make up more than 50% of the population one could reasonably come to the conclusion that this is disproportionately low. If this was an engineering scholarship, this would fall within the exemption. In contrast, woman are 52% of UK lawyers - not a disproportionate number for either gender and not engaging the exemption. However, female judges are only 39%, arguably disproportionate, so if the course is a post-graduate one preparing people to enter the judiciary, that’s probably ok. Women are 75.5% of teachers, so a scholarship for male students in that profession is ok too.
Yes. US Constitution, at Article two, Section two, provides that the President has the power to nominate the justices and appointments are made with the advice and consent of the Senate. There is nothing restricting the President from doing this on any particular day from beginning to end of his term, and also no restriction on when the Senate may give their advice and consent.
Gaining UK citizenship at birth would not count, the law stipulates "after having attained the age of 18 years", so it is explicitly ruled out. (Also, gaining UK citizenship at birth involves no formal declaration.) The scout promise would not count. It doesn't involve swearing allegiance to the Queen, only promising to "do your duty to the Queen"; and an American could argue they have no duty to the Queen. (Also, you might well not have repeated it after 18.) On the face of it, the Oath of Allegiance for the OTC would count - it looks pretty much exactly what the law-makers had in mind. On the other hand, the oath is almost exactly the same as that taken by Members of Parliament, and Boris Johnson took it first in 2001 - but didn't renounce his American citizenship until 2017. (Perhaps it wasn't until 2017 that he finally drew the American authorities attention to the fact he had taken the oath.)
Congress has the power to propose amendments, but not to enact them. Amendments are only enacted once they're ratified by 3/4ths of the state legislatures. And yes, there's no reason to think it would be unconstitutional for 2/3rds of each house of Congress plus 3/4ths of the state legislatures to make fundamental changes to the Constitution like eliminating other branches of government. The only limit on amendments that's still in effect is that states can't be deprived of equal suffrage in the Senate without their consent.
Does the unitary executive allow the President of the United States to suspend the law at his discretion for purposes of national security? No. The unitary executive theory pertains to independent agency autonomy, not to the authority of the executive branch to disregard statutes.
In the US, Congress may pass an act, and this creates one kind of law (if it is promulgated: signed, ignored, or re-passed with a super-majority). Some of those acts direct the executive branch to do things, and pursuant to that act, a regulation is promulgated. Together with case law, the whole thing is "law". A bill (in the House, or the Senate) may result in an act being passed by both houses. It may go through a number of drafts between the point when it is first introduced and the time it becomes an act.
What is it about airsoft which makes it illegal in Australia? Unfortunately airsoft is currently illegal in Australia, but what part of an airsoft gun is actually illegal? Is it the fact that it fires a projectile at high speeds? The fact that they look like real weapons? Both? Neither? Something else? Additionally, what distinguishes airsoft from things like Nerf blasters, which are allowed?
Wikipedia is pretty comprehensive. As a general rule, the following types of airsoft guns are illegal in all states: Guns capable of fully automatic fire. Guns that outwardly resemble a sub-machine gun or machine pistol. In addition, specific states have further rules e.g. in NSW they are strictly prohibited, whereas in the NT they are otherwise allowed if you have the right licence. As to why, that is a question for politics stack exchange.
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.
Firstly, this is actually a really good question - The Australian Constitution grants few explicit protections or rights to people, and it does not protect you from discrimination on the basis of age. In any case, you'll find that it is not a violation of the Age Discrimination Act 2004 (Cth) - see s39. This makes an exemption, amongst others, to the Act when acting in compliance with specified Commonwealth laws, or with State or Territory Acts or Regulations, which typically enact minimum drinking ages. In general, governments are able to legislate within the bounds of their powers, usually as enumerated in a constitution, and sometimes limited by a bill of rights. Even where the power to legislate with respect to age is not specifically granted, governments are generally empowered to legislate with respect to other matters where age may be a factor: employment, sale of goods, gambling, etc.
Generally, it is forbidden on Santa Clara County property. Santa Clara County Ordinances section B19-10 (a): It shall be unlawful for any person to bring onto or possess a Firearm, loaded or unloaded, or Ammunition, or both, on County Property. This subsection shall not apply where the possession of Firearms or Ammunition is prohibited by State law. There is, however, an exception at B19-11 (n) that may be relevant: Subsection B19-10(a) does not apply to the following: [...] (n) A person lawfully possessing an unloaded Firearm or Ammunition, or both, in the locked trunk of, or inside a Locked Container in, a motor vehicle; So the prohibition would not apply if you keep the firearm unloaded and locked in your trunk the entire time you are on county property. It isn't clear whether that is what you had in mind. As for parks specifically, there is B14-31.1 (a): No person shall set, leave or deposit, or have in his or her possession, any weapon, spear, missile, sling shot, trap or hunting device, air or gas weapon, throwing knife or axe, or any other weapon or device capable of injuring or killing any person or animal, damaging any property or natural resource, except in areas established for such use or while in direct transit to or from such areas and available parking. It's not clear to me whether this would prohibit a weapon in the trunk. You'd be well advised to ask the park officials for their interpretation; they might also be able to tell you if there are other relevant regulations.
Because your buddy routinely points loaded firearms at you First, you should probably get friends who don’t do this but, even though this is objectively a threat, you know that you are in no danger (barring accidents). Self-defence is not justified. This is why there is the dual requirement that the danger is clear to both: an objective observer, and the person under threat.
The United States even allows private ownership of tanks and howitzers with only fairly modest regulation, although the demand is small and some sort of license is required. Most U.S. regulations would be at the state and local level. It is rare for state governments to place regulatory barriers on the ownership of what is basically an armored car, although detailing it in a manner that misleadingly conveys the impression that it is a law enforcement vehicle is usually prohibited. Security companies handling deliveries of cash and executive transportation services currently use equivalent vehicles on a regular basis. Some armaments might be regulated at a local, state or federal level in the U.S., to the same extent that they would be if they were freestanding. Even if the company declined to sell one to you, you could probably buy one in an auction of police department or military equipment that the selling government no longer needs. Such auctions are held on a semi-regular basis.
In New South Wales it is entirely legal to film police (or anyone else). However, as discussed (What is considered "public" in the context of taking videos or audio recordings?) audio recording is more restricted: you must either have the permission of all the participants in a conversation or be a party to the conversation. I do not imagine the law is any different in Victoria.
Yes. The AusPat database is an excellent source for looking for Australian patents. I did a quick search for "card game" and came across 276 results fitting those keywords. Not all involve the classic generic-52-card-deck format, but some do. A good example - and one that seems similar to your idea - is "Modified blackjack game using non-standard blackjack card values", by Davinder Signh Sandhu. There's no direct link to it from AusPat.1 So yes, you can patent a card game in Australia. At the moment, I don't have enough information to answer your other two questions. 1 I found a similar American patent with more information, though I have no proof that the two are in similar formats.
Power of attorney: Does it require notarization? Not sure whether my status affects the question I have or not... I am a Russian citizen living in the US as a non-resident alien. I want to let my fiancée represent my interests and will absolutely everywhere when it's needed. I also want her to be able to manage pretty much any single aspect of our financial life if situation forces her. Again, no limitations here – I trust her 100%. So, for example, I want her to be able to access my banking accounts, acquire and sell property of any kind, etc. What kind of Power of Attorney will grant her these legal permissions? In Russia we'd call such document a "General Power of Attorney". To get it, you'd need to officially notarize it. How does it work in the US? (Note: I live in Washington state.)
As it happens, the law was just changed, effective 1/1/2017, and here are the changes. One part, section 105(1), states A power of attorney must be signed and dated by the principal, and the signature must be either acknowledged before a notary public or other individual authorized by law to take acknowledgments, or attested by two or more competent witnesses who are neither home care providers for the principal nor care providers at an adult family home or long-term care facility in which the principal resides, and who are unrelated to the principal or agent by blood, marriage, or state registered domestic partnership, by subscribing their names to the power of attorney, while in the presence of the principal and at the principal's direction or request. then 105(3) states A signature on a power of attorney is presumed to be genuine if the principal acknowledges the signature before a notary public or other individual authorized by law to take acknowledgments. That leaves open the possibility that there could be a dispute over the legitimacy of your signature if you use two witnesses. A related reason to prefer a notarized version is that it is "acknowledged" under Sec. 119 (1): For purposes of this section and section 120 of this act, "acknowledged" means purportedly verified before a notary public or other individual authorized to take acknowledgments. The reason why an "acknowledged" POA is a good thing is that there is also (new) law that gives such a POA special (good) status. Sect 119 continues: (2)A person that in good faith accepts an acknowledged power of attorney without actual knowledge that the signature is not genuine may rely upon the presumption under section 105 of this act that the signature is genuine. (3) A person that in good faith accepts an acknowledged power of attorney without actual knowledge that the power of attorney is void, invalid, or terminated, that the purported agent's authority is void, invalid, or terminated, or that the agent is exceeding or improperly exercising the agent's authority may rely upon the power of attorney as if the power of attorney were genuine, valid and still in effect, the agent's authority were genuine, valid and still in effect, and the agent had not exceeded and had properly exercised the authority. A prudent person would not hand over your stuff to a stranger or someone claiming to have power of attorney, unless they were sure that the person with a POA form actually had a legitimate POA form. They would be liable for damages if they gave away your stuff to an unauthorized person. An acknowledged POA is better than a POA with two neighbors as witnesses, because the acknowledged POA further establishes that the signature is valid. Section 120 also requires acceptance of an acknowledged POA within 7 days (whereas with neighbor signatures, further investigation may be called for, meaning delays). The existing statute is here, which is the law at the moment. There is no mention of a notary requirement, and no witness signature requirement (that changes). Section 40(1) says that "Any person acting without negligence and in good faith in reasonable reliance on a power of attorney shall not incur any liability" – now, is it negligence to accept a signature (of a principle) without investigating its validity? I really don't know. If you follow the new rules and get it notarized, that is covered. RCW 11.94.010 addresses the "what type" question, that is, whether the POA remains valid if you are incapacitated, or becomes effective once you are incapacitated. The point is that you have to say what they can do, and when they can. There is in fact a site with templates that gives you some idea what the kinds of POAs there are. I'm not vouching for the correctness of their templates.
You are mistaken: The U.S. governments (both federal, and states that impose income tax) assert a right to tax both: Income earned within their jurisdiction (e.g., "on their soil"), and Income earned by citizens (or residents, in the case of states). So it is perfectly legal for a resident U.S. citizen to operate a foreign business entity, earn profit, pay himself, and even bank the money overseas. However, a resident in such a situation would be in violation of tax law if he failed to report his interest in the foreign entity and his earnings, as prescribed by the IRS, on his tax filings.
The section you quote as clearly saying a thing is not clearly saying the thing. However: you cannot pass on or resell any license keys seems to say a thing clearly. However, one could argue that it's the sharer of the account who is in the wrong, and not the person receiving and passing on the account. I'd say that that piece of the agreement, combined with this: must not... let other people get access to anything we've made in a way that is unfair or unreasonable says that, yes, they are out of bounds.
This is controlled by 8 U.S.C. § 1401 which details who qualifies for "birthright citizenship". Including of course the condition mandated by the 14th ammendment, Congress is otherwise free to bestow such citizenship essentially as it pleases by duly enacted legislation. One of the cases that receives birthright citizenship is a person of unknown parentage found in the United States while under the age of five years, until shown, prior to his attaining the age of twenty-one years, not to have been born in the United States. So the presumption for young children found in the US is that they are citizens by birth. The law in particular requires positive proof that the individual in question was definitely not born in the United States. Lacking this, or it failing to be found prior to reaching the age of 21 years, they are citizens. For other cases, this will likely end up falling to the courts, who will decide the matter on the preponderance of the evidence. In this case it becomes the burden of the individual claiming citizenship to establish that they are a citizen*. Birth certificates can be filed after birth, and can be submitted as evidence. The laws controlling the validity of birth certificates is locally determined. If there are other birth certificates from other countries, or conflicting witness testimony, then it will fall to the court to decide which case is more likely based on the evidence available. *More accurately the burden generally falls on the entity making the claim about someone's citizenship (their own or someone else's). In a deportation hearing, for example, it falls to the government to establish the individual is not a US citizen. Deporation only applies to aliens, so the defendant must be established as such.
There are several forms of notarized documents, the most common of which are affidavits (which are written statements of a person made and signed under oath) and acknowledgements (which is a notarized statement that a document was signed before a notary, usually used for documents related to real property). There would be no legitimate reason I can think of to notarize an offer letter, and the fact that you want to do that probably means that you are confused about some other aspect of the law that would make you think that you would want to or need to do something like that. A more common thing to do, for example, in anticipation of a lawsuit, would be to prepare and execute an affidavit which states that the letter, attached as an exhibit, was signed by you, and anyone else that you have personal knowledge signed it, for your signature before a notary. A notary is not allowed to execute an affidavit (or a very similar document called a verification which is a very short document saying that the facts stated in a single document asserting a claim in a court case are true and correct in a form substantially similar to an affidavit) if it is signed outside the notary's physical presence (in theory because the notary administers an oath before you sign it). An acknowledgement can be executed by a notary if the person who signed the document comes before the notary in person and acknowledges that it was signed by him or her, even if the notary was not there when it was actually signed. The notary would state the date that you acknowledged it in person to the notary in the acknowledgement and would not make any statement regarding when it was actually signed. There is special formalized legal language that must accompany each kind of notarization, which is called the "jurat". Then the notary signs and dates the jurat in the appropriate place and applies a notary seal near the jurat in the indicated location (if any) mark "L.S." for "location of seal" in latin.
I don’t understand why you think this is a “3rd party communication” - as I read it it says it’s an email from you. You are most definitely not a third party. Notwithstanding, communication between 3rd parties is not prima facie excluded. For example, correspondence between your company and your accountant (who are both third parties) is likely to be extremely relevant to a family law case. Assuming that it is relevant (which is hard to say without context) and that it doesn’t fall foul of one of the evidentiary rules (hearsay, opinion, privilege etc.) there is no reason why it wouldn’t be admissible.
As someone with ties to the "foreign" community in the United States, I see these "marriages of convenience" from time to time. In their most "legitimate" form, the couple will move to the same address and "technically" live together, but without consummating the marriage so that it can later be legally annulled. American immigration authorities counter this by asking each spouse about the other's underwear (literally!). Some "marriages of convenience" are legal, insofar as they technically conform to the marriage documents, e.g. regarding "co habitation," even while violating the spirit of the law. Others don't. Your best chance of attacking such "marriages" is not regarding the marriage itself (basically only the couple can decide what constitutes a valid marriage), but rather "compliance" with the marriage documents. That's something any law enforcement officer can understand.
It is legal. 18 USC Chapter 17 contains laws regarding what you can/cannot do with US legal tender. It doesn't mention anything about buying, or selling US tender at or above the face value. And there are several businesses in the USA that do this (coin exchanges which purchase coins at less then face value and give you dollar bills in return, etc...). However I would be concerned that your action might look like money laundering to the customs official on your way back home. Or on the way going to the foreign country for that matter. Which could be very bad for you. I would talk to a lawyer about this.
What laws give a bouncer the right to evict somebody from a night club in Australia? What set of laws give a bouncer / security guard / crowd controller the right to evict a person from a night club in Australia? if not all Australia then Victoria.
The bouncer is employed (or (sub)contracted) by the owner/lessee of premises - someone with the right to evict persons from their private property per the common law rights to exclusive use of one's property. When the bouncer evicts you, they are exercising this right on behalf of and as the agent for the owner, who could do it, but instead has assigned limited agency to the bouncer to do that for them. Entrance to (and remaining on) a property may be authorised and revoked at any time - at the time that consent is not given or is withdrawn, you become a trespasser and the police may be called upon to forcibly remove you from the premises. For example, I can have a party at my house, but if I don't like someone, I'm entitled to ask them to leave. I could also ask a friend to ask that person to leave, if I didn't want to do it myself. Note that bouncers aren't empowered to physically evict anyone except for the general right to use reasonable and proportionate force. For instance, someone that was just standing around in the nightclub probably couldn't be physically thrown out, but someone who was causing harm to themselves or others could be restrained or repelled as appropriate (and if restrained, you'd need to be very careful to do so in the course of effecting a citizen's arrest, otherwise you'd probably be committing false imprisonment). There may be statutory provisions that bestow additional rights and responsibilities upon bouncers, but this is the basic premise. I'm fairly certain that this would apply in all Australian jurisdictions; probably in all common law jurisdictions.
Those countries have more restrictive gambling laws than others. For discussion of some of those relevant laws, see here. For example, [In Hong Kong], "Under the Gambling Ordinance, a prize draw is considered to be a form of lottery. Lotteries include raffles & sweepstakes... In most cases, prior approval is needed for a prize draw in the form of a licence and for the majority of competitions, this will need to be in the form of a Trade Promotion Competition Licence. Selling, disposing, printing and publishing tickets without a licence are criminal offences ... punishable by fines or imprisonment. Because of Italy's strict restrictions, Unless a promotion falls under one of exceptions provided by the DPR, it is not possible to run multi-jurisdictional promotions, they need to be addressed only to people located in Italy and any activity, including the server, used for the promotion must be located in Italy.
Standing requirements are different in state and federal courts, and from one state to the next. A random individual would not have standing to object to a stranger's abortion in federal court, and likely not in any state court, under normal circumstances, as they are not injured in any meaningful way by the abortion. I don't know what the normal rules of standing are in Texas, but it is likely perfectly acceptable for the Legislature to wave its wand to grant standing to whomever it wants regarding any violation of the law it sees for. That seems to be what is happening here.
Two essential elements of a contract are that each part gives something of value (such as money, or whatever the club has to offer), and each part has an obligation (the member must give money and do certain things, the club must allow the member to use the facility). Without these elements there is no contract, meaning that the "member" has no obligation to pay (and the courts will then order the return of the membership payment). If indeed the club can revoke membership at any time and for no cause, there is no contract and no legal justification for the club to keep your money. The status of social clubs is not entirely clear, and it's not clear whether "membership" is a contractual matter, however an organization like Elks is a corporation, and state laws regulate expulsion of members of a corporation. They will typically require termination that is fair and reasonable and is carried out in good faith, as discussed in this article. In the cited cases where a person was expelled, it was for violation of the rules. It is unlikely that corporate laws of any state allow unilateral expulsion of a member for no cause.
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.
Your landlord has an obligation to allow "quiet enjoyment" of the premises. Essentially this means that, unless they are damaging his or her property, the tenants are entited to act as though it were their own property. Many people take drugs at home. Between the tenants and the landlord this is not something the landlord is allowed to get involved in. If you believe there is criminal activity going on, you can but are not obliged to report it to the police.
It is almost certainly illegal. I was unable to find UK provisions but the penalties for stealing an Australian passport are 10 years imprisonment or a fine of up to 1,000 penalty units (at time of writing a penalty unit was $170 so, $170,000) (Section 32(4) of the Australian Passports Act 2005). Under this law, the crime is knowingly having it in your possession when you know it isn't yours. Obviously, normal familial relationships would not be prosecuted (i.e. one member of the family carrying all the family's passports). Certainly, if the true owner asked for it and the possessor refused, that would trigger the crime. Furthermore, it is completely pointless - all the original owner has to do is report it stolen and apply for another one.
You are right that this is probably a private space; you are wrong in thinking it is your private space; it isn't. The space belongs to your employer and they can do whatever they want with their space unless there is a law that says they can't. As to what type of "hidden surveillance" is allowed that depends on your particular circumstances including what state and federal laws apply and the employment contract you are covered by. As a starting point, if this was happening in Australia then: If you gave permission, all would be legal If you did not give permission: it would be illegal to record anything taking place across a public telecommunications system (i.e. phone tapping) it would be legal for anyone to make an audio recording (not phone tapping) of any conversation to which they were a party it would be legal to make a video recording without sound.
Can a power of attorney be used for criminal matters? Can a layman with a power of attorney lawfully represent someone else in criminal matters?
Not in jurisdictions I am familiar with. A "Power of attorney" is a power to act as an attorney-in-fact, not to act as an attorney-at-law. A layperson practicing law for someone other than herself is usually the unauthorized practice of law and is illegal in most jurisdictions. It would be permissible if a jurisdiction carved out an exception for a particular kind of case, but they generally don't and are very unlikely to do so in a criminal case. For example, in Washington State "Limited Practice Officers" can assist people with one of a very limited set of civil legal forms that do not need modification. There may be some exceptions, but they would be more likely to occur before a matter becomes criminal. For example, the accountant who represents a taxpayer before the IRS, or the agent who files a form containing perjury to a federal agency like the post office or homeland security on your behalf. So it is very unlikely, but if it is important to you you can ask someone familiar with your kind of case in your jurisdiction.
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.
By my understanding you should not be held criminallly liable. In order to be held guilty of a crime the prosecution needs to show the elements of the crime are met. One of these elements is "mens rea" - ie guilty mind/intent. According to your question you lacked intent to commit the crime, so the prosecution can't prove it, so their case must fail. Note that in some places there are "crimes" which are strict liability - I'm ignoring these abominations here, as they are generally a grey area between criminal and civil law where freedom is not at stake and do not seem in the spirit of your question.
Every state requires at least two witnesses to a will unless it is entirely written in your own handwriting. A lawyer as a witness is fine. A spouse as a witness is not ideal as she would be an interested party if there was a dispute over whether it was executed. It may not be prohibited, but I would never do that in my practice ever. I discontinued a will signing just last week because we only had a lawyer and a spouse and not other witnesses. I would be somewhat concerned.
A problem with the question is that it uses the loaded term "victim". If you change the question to "Are there actions that you can perform involving another person, which are crimes even if the other person consents to participating in the action", then there are very many. Selling alcohol to a minor; selling heroin to anyone; selling sex in most US jurisdictions; selling firearms to a convicted felon. Also, for a physician to assist a person in suicide, in most states. Formerly in the US, various forms of sexual intercourse were acts that consent did not make legal. Whether or not the person is a "victim" in these cases is open to debate. In the case of physician-assisted suicide in Washington, the doctor is allowed to prescribe (oral) drugs that the person ingests: only a doctor is permitted to do this, both under the DWD Act and as a consequence that only a doctor can prescribe the drugs. There seems to be a belief that it is a crime to assist a person in committing suicide, which is probably correct if the assistance is shooting the person in the head, or in general directly causing the death (thus, "I give you permission to shoot me in the head" doesn't cut it). But from what I can tell, it is not generally against the law in Washington to help a person who commits suicide (e.g. supplying the means of self-dispatching). In some countries, suicide and helping with suicide is illegal, e.g. in Kenya Penal Code 225 says Any person who (a) procures another to kill himself; or (b) counsels another to kill himself and thereby induces him to do so; or (c) aids another in killing himself, is guilty of a felony and is liable to imprisonment for life. No exception is created if the person consents to being aided to kill himself.
If a defendant has committed a crime, they would choose to self-represent to ensure that no one else would know about the circumstances of their crime. Although lawyers are ethically bound to not disclose information that would not be in the interest of their client, the decision to breach this duty would be up to the sole discretion of the individual in question. In cases where the exchanged information may used to provide evidence against the client, the lawyer is compelled to disclose the truth to the courts/law enforcement. This is deeply misguided. Criminal defense lawyers usually represent people who are guilty and there is no ethical problem with doing so, nor does this mean that the lawyer will disclose privileged information that is prejudicial to the defendant in the course of the representation. The notion that a lawyer would be compelled to testify against his client to the courts/law enforcement is simply not how the system works. It is true that a lawyer cannot ethically put you on the stand to offer testimony when the lawyer knows that your testimony to the court will be an outright flat lie, and that this lie is your strategy to prevail in your defense, but that is the sole meaningful limitation on what a lawyer can do for you. However, I can't think of a single instance, in which a desire to defend yourself at trial with a lie has caused someone to represent themselves. Usually, someone with that kind of motive will simply lie to their lawyer as well. It never makes sense to represent yourself if you are innocent and want to be acquitted of the charges against you. But, keep in mind that this is a small subset of all criminal defendants. Criminal defendants are overwhelmingly guilty of something. Usually, a criminal defense lawyer works to either exploit prosecution mistakes or lack of knowledge that prevent the prosecution from proving that guilt, or work to make sure that the defendant is not convicted of a more serious crime than the one committed, and/or work to see to it that their client does not receive an unnecessarily harsh sentence when alternatives are available. In real life, people represent usually themselves, either because they are denied access to counsel (which can be done in a criminal cases where the prosecutor waives the right to seek incarceration as a sentence), or because they are "crazy". Many people who represent themselves in a criminal cases do so because they want to proudly claim that they committed the crime as a means of obtaining of forum for public recognition of what they believe was righteous action even if this could lead to their death. Many terrorists, domestic and foreign, fall into this category. For example, the fellow committed a massacre at a Colorado abortion clinic tried to do this (if I recall correctly, he was later found incompetent to face a trial and has been committed to a mental institution until he becomes competent, if ever). Other people represent themselves out of a strongly felt guilt that they feel a moral duty to confess to, even if this means that they will face severe punishment for doing so. One subset of this group of people are people known as "death penalty volunteers" who try to get sentenced to death and try to waive all appeals and post-trial review. Sometimes they also plead guilty in the belief (often, but not always, inaccurate) that their swift guilty plea when they aren't actually guilty will protect someone else whom they know to be actually guilty. Other people represent themselves because they have deeply held, but paranoid and inaccurate views about the legal system such as members of the "Sovereign Citizens Movement" who think that if they say the "magic words" that they cannot be convicted and that lawyers are a part of a conspiracy designed to prevent them from doing so. Another situation that comes up is when an affluent person who is not entitled to a public defender as a result, chooses to represent themselves, usually with respect to a fairly minor charge like a traffic violation that carries a risk for a short term of incarceration, to save money. But, this is rarely a wise choice. But, unless you plan on pleading guilty or being found guilty at trial, self-representation does not make sense, and even if you plan on pleading guilty, a lawyer is usually worth it. For example, even if the direct consequence of a guilty plea is minor, the collateral consequences of that conviction (e.g. loss of eligibility to work in certain jobs and/or deportation and/or loss of a right to own a firearm) may be consequential and something that a non-lawyer would not realize was happening. Or, maybe you think you are guilty of crime X so there is no point in fighting the charges, but actually, the language of that statute has been defined in a manner that means you are really only guilty of less serious crime Y.
The most apparent potential offences would be under 18 U.S.C. § 1030, but these require the mens rea of "knowingly" or "intentionally" doing things without authorization, or doing so "with intent to defraud", etc. See also the Department of Justice's manual entry on this family of offences. Particularly relevant is this quote: As part of proving that the defendant acted knowingly or intentionally, the attorney for the government must be prepared to prove that the defendant was aware of the facts that made the defendant’s access unauthorized at the time of the defendant’s conduct. Given your stipulation that the person has unintentionally viewed or downloaded the material without authorization, this would not be a violation of 18 U.S.C. § 1030.
Yes. This is legal and it is done routinely. It is called executing a document in counterparts. To be clear, however, as the language of the question is ambiguous on this point, each signature would have to be contemporaneously notarized by the person notarizing that particular signature. In each case that a notarization took place outside the country where the Power of Attorney is to be utilized, normally, it would be necessary to also obtain an apostille for that notarization. An apostille is an official declaration of a designated official in the country of notarization that the notary of the signature in question was, in fact, a notary in good standing at the time that the notarization was done.
Can anyone prevail against government law enforcement agencies for defamatory press releases? The following problem is becoming notorious (among first search results: "online guilty before proven innocent"): Police arrest or charge citizen for a crime. Police issue press release about the charge, apparently as a matter of policy. Release is picked up and printed by at least the local paper. Citizen is exonerated. Citizen asks, "Now where can I go to get my dignity back?" People lose jobs because of these things, even when police themselves quickly realize they simply "got the wrong guy." And, thanks to Google and the relative "page rank" of online news sites, a citizen can be tainted by the press release in perpetuity. It appears that there is some sort of blanket immunity for law enforcement and prosecutors to convict people in the press without due process. Is there in fact explicit legal immunity from any liability for this practice? Or are there any examples of a citizen having won legal damages for this practice?
Defamation is a false statement. If the police have arrested you or charged you with a crime, then a press release stating that you have been arrested or charged is a true statement, and not defamation. If the agency falsely stated that you were guilty of the crime then you'd have a case for defamation. If the police did not actually have probable cause for arresting or charging you, then you might have a case, perhaps for false arrest or malicious prosecution. In 1996 Richard Jewell was investigated by the FBI in the Atlanta Olympics bombing. He was never officially charged. However, multiple newspapers and TV networks named him as a suspect in the bombing. Eventually the US Attorney in the case issued a press release explicitly stating that Jewell was not a suspect. Jewell filed at least 5 lawsuits for libel, and received settlements in at least four. Since no government agency had officially named Jewell as a suspect, the suits were against media outlets and Jewell's employer. One might guess that the basis of the reporting was someone in law enforcement speaking off the record, but the press generally doesn't name their confidential sources, so we don't know.
In the US, there are a number of non-government organizations which take on such cases, such as the ACLU or the Institute for Justice; individual law firms may also take such cases pro bono. There is no automatic right to free representation in case a constitutional issue is alleged, so if IJ doesn't like your case they won't take it. These are private organizations: there is no general government agency that one can call on, other than the Public Defender's office in case you are charged with a crime and can't afford legal defense. (A constitutional issue may arise in a case that a PD might handle, but you can't e.g. call on the public defender to sue the government for infringing your 2nd Amendment rights.) A state attorney general could file suit against the US government over a constitutional issue, as Washington's AG did in the case of the Trump travel executive order, where the underlying issues were constitutional. An individual might inspire a state AG to take on an issue, but the AG would be representing the interests of the state, broadly, and not individual interests.
Considering that the US legal system is more or less similar in practice to the English Courts, yes it is possible to plea bargian a deal. I'm linking to the wikipedia article on the matter with a specific link to the England and Wales for guidence. Normally, I'd explain, but I'm an American and the differences between Magistrate and Crown courts are big enough differences that I can't tell you what the differences in the case is. I should point out this is a legal area where America differences with much of the world. 90% of the United States criminal cases (and a good number of civil cases, which are settled privately before discovery phase) are plea bargained to lesser sentences. Additionally remorse has nothing to do with the plea bargain. You might only be sorry that you got caught breaking the law and can still plea. The lighter sentence is sort of a "thank you" for saving the state money in not having to build their case against you. It is also used to coerce cooperation with the police, as they may have the accused dead to rights and can prosecute him successfully, but he's a little fish who can give intel to a big fish (this usually comes with the caveat of it being a sworn statement, so they can still prosecute you for something if you're lying... OR that the deal holds on condition that everything is factually true. If evidence contradicts you, you're charged as if you never made a deal). It's also important to note that the police will not honor their deals made for your confession... but they will offer you deals (In the United States, police are allowed to lie to you and do it all the time). However, the prosecutor will honor their deals. Another thing to be aware of is that a prosecutor who offers a plea could be doing so because they have a weak case. If you are absolutely sure the prosecutor has the wrong guy, it may be to your benefit to go to trial and have them prove it. Innocent people do go to jail all the time because they think there is something worse on them than the plea deal and its hard to fight off as you cannot appeal a plea deal as easily as a court conviction. Finally, most jurisdictions allow the judge final say at sentencing, so if the prosecutor does honor the deal and advises the sentence, don't get upset if the judge is tougher and gives you a harsher sentence on the crime, or rejects your plea outright (expect him to scold the prosecutor for wasting his time with a horrible deal, too. Watch the Law and Order SVU episode Raw for a particularly wonderful instance of this rare event occurring). As a part of US federalism, the rules about this change from jurisdiction to jurisdiction, so make sure you understand this. Another thing to be aware of is that a prosecutor who offers a plea could be doing so because they have a weak case. If you are absolutely sure the prosecutor has the wrong guy, it may be to your benefit to go to trial and have them prove it. Innocent people do go to jail all the time because they think there is something worse on them than the plea deal and its hard to fight off as you cannot appeal a plea deal as easily as a court conviction. I would definitely do some leg work into the English Legal system's opinions on plea bargains. Just because they have it does not mean the state lawyers like employing it and many jurisdictions see it as full on corruption in other parts of the world, even the Common Law jurisdictions.
Are police required to contact a real lawyer if you ask? give opinions from a number of lawyers and police in different jurisdictions. The basic consensus is that in most jurisdictions, such behavior will get the case thrown out of court and often get the police officer who tried this fired. HOWEVER there was a case where this was tried and while the case was thrown out on appeal, it was not as simple as the postings in the above article may have made it appear. This story shows a case where the Tennessee police actually did this. While the lower court allowed it because the defendant was "gullible", the appeals court rejected this argument. [T]he conduct of the law enforcement officers in this case, and in particular Detective Henry, is so egregious that it simply cannot go unchecked. That Detective Henry would illegally pose as an attorney and arrange the circumstances of the defendant’s case to make it appear as though he had successfully undertaken legal representation of the defendant is abhorrent. That the detective would specifically instruct the defendant not to communicate the relationship to his appointed counsel, in what we can only assume was an effort to enlarge the time for the detective to gain incriminating information from the defendant, renders completely reprehensible the state action in this case. Given the unconscionable behavior of the state actors in this case and the fact that the defendant was essentially prevented from proving prejudice through no fault of his own, we have no trouble concluding that the only appropriate remedy in this case is the dismissal of all the indictments.
As far as I know, every jurisdiction in America limits perjury to cases of lying under oath. Because it seems unlikely that the driver would be under oath at this point, you would probably lack probable cause to make an arrest. At the same time, many states have separate laws addressing the making of false reports, lying to an officer, etc. I'd imagine most jurisdictions would have a law supporting an arrest for lying at the scene, even if not for perjury.
(Assuming the jurisdiction is the US.) Your question I was wondering whether there are any limitations on using photos of private individuals on websites. is the least of your potential problems. Photos of the public taken in public are mostly legal to use and publish, and you own the copyright on the photo, and generally don't need a model release. But your plan of posting the photo with accompanying information about (alleged) fraud: There's a fraud conducting business in my state and I want to create a website that warns others of his fraudulent practices. is potentially legally problematic. As phoog indicates in his comment, you need to be aware of defamation, both at the federal level and among states, as some have criminalized defamation (Wikipedia). Libel is the publication of provably false facts by one person about another person. For a full outline of defamation (libel and slander, and including private and public figures), see Libel and Slander | Nolo.com. What you want to do is publish "facts" about this alleged fraud on the website with a photo of the individual, linking the fraud allegations to them. That is potentially libelous. The facts of the fraud may be provably true, or they may be provably false; that remains to be seen. But the facts don't matter when considering what actions the person can take against you if you publish such information on your website. If this business and the individual(s) feel they are not committing fraud, they can sue you for libel in civil court, alleging that you have damaged their reputation and impacted their business by publishing those facts on your website with the photo identifying the person and their business. If they take legal action, and you can prove the business and the individual(s) are committing fraud with provable facts - hard evidence of fraud, such as legal documents and court judgments - than you should (no guarantees) be able to successfully defend yourself in a libel suit brought against you by that person. Even if the business and the individual(s) are aware of facts that prove their fraud, and know they will probably not prevail in court, they can still take you to court, and it will cost you whatever time and money it takes to defend yourself. My responses above concern what legal actions the alleged could take against you if you published the website with the photo and information about the alleged fraud. No one here is advising you to put up the website with the photo and the "facts" as you see them, even if you have hard proof of the facts of the fraud; you should find legal representation before taking any action with the website. And, no one here is advising you to open any legal action against the person; that's your choice in terms of determining your case and if you can show actual harm that was caused by the alleged fraud by the individual, and you should find legal representation before taking any action.
Based on the question, this was not perjury; if the officer did not review the footage, the fact that his testimony was in error indicates a mistake, nothing more. To even consider a perjury charge, the prosecuting authorities would need evidence that the officer knew the testimony was wrong when he gave it. You do not indicate the jurisdiction, so nobody can say whether an appeal would lie (since new evidence has come to light), whether the conviction could be quashed for procedural failure (if multiple requests for evidence were really not received) or whether a complaint could be made against the prosecutor, the defence lawyer, or even the judge. But no case has ever been strengthened by brandishing about words like 'perjury' without being able to substantiate them.
The validity of the NDA is not an easy question, but a related one is more clear. A lawyer in the U.S. in most states is not permitted to threaten criminal or administrative action (e.g. reporting someone to immigration or tax officials), to gain advantage in a civil case. You can unilaterally bring criminal charges or take administrative action, but it is deemed to be unethical and against public policy to refrain from bringing criminal charges or taking administration action to gain civil advantages. An NDA of the type described arguably violated the same public policy and might be invalidated as a result. Put another way, there is a privilege to make certain reports to public officials without legal consequences and such an NDA might violate that privilege. Some of these privileges found in what are called "whistle blower" statutes specifically prohibit this kind of agreement as to some specific kinds of illegal conduct, but not others. There isn't a general rule. This said, it is not black and white. For example, a private NDA can't prevent someone from testifying under subpoena, but can prevent someone from voluntarily testifying in the absence of a legal compulsion to do so such as a subpoena. Suppose a woman is sexually assaulted at work, and is given an NDA to sign. Can the company legally require her not to disclose the conduct of an illegal activity? I can imagine this example coming out different ways in different jurisdictions. For example, some states have a legal duty (rarely enforced) that requires people to report felonies, and an NDA in this case would contradict that affirmative legal duty, while others do not. Another source of gray in the analysis is that there is a difference between not reporting a sexual assault that actually happened, and, as part of a larger settlement, executing an affidavit stating under penalty of perjury and under oath that a sexual assault didn't happen. The first is potentially an NDA that is void as a matter of public policy. The other, in principle, is a settlement that the person signing the affidavit can only enter into if it is true. There is nothing, in general, wrong, about requiring someone to confirm that certain representations are true as part of a business transaction or contract and allowing the contract to go forwards only if certain facts are true. The gray gets deeper, because whether a sexual assault happened or not is not always a subjectively black and white clear issue of pure fact. (It is subjective because an affidavit or affirmation is made to the best of the declarant or affiants' knowledge and belief, not as a matter of objective fact.) For example, someone may not have perfect memory of what happened, or there could be doubt over the question of whether the perpetrators acted recklessly (the Model Penal Code intent requirement for sexual assault) or merely with criminal negligence (which would not be sexual assault under the Model Penal Code). A statement made under oath about whether a sexual assault happened to the best of your knowledge, thus, might be a mixture of factual issues (A penetrated B at a certain date and time) and legal or not perfectly factually known ones (A acted with X intent regarding consent during that act). So, in a case where there was some room to argue either way about how to characterize what happened and about what actually did happen, there might be some room for a settling party to make a non-perjured statement consistent with the settlement and then to agree not to a true NDA, but instead to not make statements which, if the affidavit is true, would be false. In a plea bargain in a criminal case, one can plead "no contest" without agreeing that the crime factually happened, but that isn't really possibly in the context of an affidavit about what really happened, with an NDA limited to not disclosing the incident since it was already agreed as a matter of sworn fact that there is nothing to disclose that rises the level of a crime.
Where is the line between copying code that isn't yours and getting idea from trivial code? I have a tendency to overthink things. Even when writing a paper in school I wondered when I needed to add a citation, as technically people are born knowing nothing and must have learned any fact from somewhere. For example should I cite who claimed Obama is the current president of the US? Should I cite where I got the speed of light from? This over thinking still haunts me when it comes to code without a license (or a restrictive license) found on the internet. Where is the line drawn between studying example code and applying what you learned violating copyright For example if I see some code with a license saying it can't be reproduced, and it has a method called is_prime(int x) and has a for loop checking odd numbers up with the square root, would I be breaking copyright if I wrote a similar method? What if I copied and pasted? What if I changed the names? (E.g. maybe is_prime is a better name for the method than check_if_prime.) The point is some ideas are so simple they can't really be changed, yet still complex you probably won't create it by yourself yet. If a person is implementing a linked list, they probably have seen example code for it somewhere. Is this not violating copyright as they just aren't looking at the code while they implement their own?
Not having immediate access to the source doesn't preclude a finding of copyright infringement. If you have seen the source material, subconscious infringement can happen. However, in this example, both the short phrases doctrine and the merger doctrine would likely prevent the is_prime function from having copyright. Words and short phrases are not individually copyrightable, so the name would be free to take. Regarding the implementing code, if it isn't an exact copy (i.e. copy and paste), courts will apply the abstraction-filtration-comparision test. They may find that you took the selection and arrangement of instructions from the original source, albiet using different names. That selection and arrangement would probably be considered a substantial similarity and, if not for the merger doctrine, infringement. However, given the limited number of ways to express the prime-detection algorithm means that the expression of that idea has merged with the idea, and thus is not protected by copyright. (Or in some jurisdictions, merger is a defence to infringement rather than a bar to copyrightability).
Written down computer code is subject to copyright. If you do not have the permission of the owner to copy it you are breaching their copyright unless your use constitutes fair use/dealing.
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.
Copyright doesn't protect methods, only particular fixed expressions. 17 USC 102 Some methods (but not algorithms) may be protected by patent. Diamond v. Diehr 450 U.S. 175 (1981) More exactly, "an algorithm, or mathematical formula, is like a law of nature, which cannot be the subject of a patent". However, in Diamond, the respondents here do not seek to patent a mathematical formula. Instead, they seek patent protection for a process of curing synthetic rubber. Their process admittedly employs a well-known mathematical equation, but they do not seek to preempt the use of that equation. Rather, they seek only to foreclose from others the use of that equation in conjunction with all of the other steps in their claimed process. Said another way: the algorithm cannot be protected, but if you are using the algorithm as part of a method or process that as a whole is patented, you would be infringing the patent. The paper does not have to disclose the patent - you could email the authors to see if they have any patent that protects any particular methods using the algorithm in the paper, but that doesn't rule out patents that the paper author is unaware of.
It depends on the nature of the quote. Quotes from Buddha, Aristotle and Lincoln are out of copyright. Otherwise, the two basic questions are: who put that quote in fixed form, and is copying it "fair use"? If for example you happen to be at a political rally where a politician makes a noteworthy extemporaneous quote, you could be the copyright holder, because copyright law protects the person who first puts the work into fixed form. (If he's reading from prepared text, the speech writer or his employer would hold copyright). You can also quote small bits from any source, such as "Don't think about your errors or failures; otherwise, you'll never do a thing". It would not be "fair use" to chop up a novel into a sequence of 2-3 sentence quotes. This assumes that you manually assemble the quotes from legal sources, such as a print copy of "The Martian". Whether or not you can legally pull the data from an online source depends on the terms of service for that site. That lets out brainyquote as a source, so check the TOS for whatever source you get the material from.
If I draw something, having been inspired by looking at some other thing, you are not copying that thing. If you carefully copy something even if you are also deliberately changing features of the original, then you are copying. Copyright law gives the copyright holder the exclusive right to make copies. There is a difference between copying music and visual art in this respect, since music can be reduced to a small set of specific symbols, so "being inspired by" a musical work is often found to be infringement. The difficult part is legally distinguishing "making a copy" versus "being inspired by". The courts use a subjective test of "substantial similarity" to decide if there has been copying. the case of Mannion v. Coors. "Pose" is an element that is considered in assessing similarity: the question the court would ask (itself) is whether such a pose could ever have come from elsewhere (such as, your own creative efforts).
That would be pretty much a classical case of copyright infringement. Drawing a thing from memory is copying just as much as drawing a thing with the original before you or xeroxing a thing. The degree of match between the original and your copy may vary depending on how good your memory is, but that doesn't matter, because copyright protection is not about "making exact replicas", it is about copying in any form.
Yes, if the book was published in 1913, the copyright has expired. You can freely scan it in and publish it. But note you have NO copyright to the material. You didn't write it. Copyright law gives rights to the AUTHOR of a work. It doesn't matter how much effort you went to scanning it in and formatting it. Nothing in copyright law says that that gives you any rights. If you add anything creative of your own, you would own the copyright to the new material. Like if you drew new illustrations and added them to the book. Or if you included your own commentary. Or you added explanatory footnotes. That still wouldn't give you rights to the original text, but you would own the new material. But in the same vein, if the book was originally published in 1913, but the copy you have includes material added by a later editor, that later material might still be protected by copyright. Just a side thought, it occurs to me that if I was going to republish a public domain book, a good idea would be to add footnotes. If my footnotes appear on almost every page, then no one else could just take my electronic files and sell them himself. He'd have to go through page by page and purge out all the footnotes. Make it hard for someone to "borrow" your work and you might scare them off.
How is a bicyclist regarded in a road rage incident with a bus? I was on a bicycle. A bus was tailgating me and honking his horn. When we stopped at light I twisted his mirror around. Did I commit any crimes? Driver was trying to scare me or he was just a crappy driver. When we stopped at a light I smacked the hell out of his mirror. Then when he got out of the bus and started yelling at me I hit it again a few times. But it wasn't damaged. This incident ended with him chasing me and pushing me off of my bike. I had my camera running the whole time so I have audio but the video is never pointing the right direction. While he was pushing me I was yelling at him that if he touches me it is assault. So, if I file a complaint am I in legal peril for having twisted his mirror around? The mirror (LOL):
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.
Civil claims have statutes of limitations too Usually shorter than 10 years. Therefore, Bob cannot sue anyone for recovery and therefore does not practically own the bike. In some jurisdictions, limitations acts make it explicit that Bob loses title to the goods meaning he doesn’t own the bike de jure as well as de facto. It’s not possible to say what a “typical” limitation period is but periods above 10 years typically only apply to actions on real property (land) not personal property (bike). However, that just begs the question. The criminal limitation is irrelevant to the civil action They are completely independent so whether a criminal action has happened, is in progress or can’t happen doesn’t affect the civil action. Bob doesn’t need the information The person who has the bike may or may not be the one who converted it: Bob doesn’t care because they are presently the one detaining it. So Bob sues for detinue: you have it, it’s mine, give it back, or, give me monetary compensation. Whether the person who has it acquired it lawfully or not is a matter of complete indifference to Bob. If they did acquire it lawfully then they have a breach of contract cause of action against the person who sold them goods without good title. But that’s their problem, not Bob’s.
You are completely in the wrong. It is against the law to operate a motor vehicle without a license. It is against the law to have a motor vehicle that is not insured. It is against the law to violate the conditions of your probation which almost certainly provide that you are not allowed to operate a motor vehicle until your license is reinstated and you have insurance in force. Your personal belief that you didn't break the law is not a valid reason not to pay a fine on a ticket that is ratified by a court. The cop was right when he told you that you were crazy.
A related post is here. Are police required to record in car dashcam video for traffic tickets in NJ, USA? Probably not. Is there any way to find out if they aren’t telling the truth? Ask and hope you are not lied to. Can I contact the police chief, mayor, or municipal judge? You can contact the police chief or mayor if you can get through to them. They are not required to answer you unless you make a formal discovery request or public records request. You cannot make ex parte contact with a judge when the other side's lawyer (in this case, the city's lawyer) is not present. How can I defend myself in court trial if the judge always believes highly credible police officers over defendants if I don’t have video? You can tell your side of the story under oath with any details that makes your story believable. You are correct that the judge will usually believe the police officer and not you. So, usually you will lose. This is one reason that most people try to plea bargain their traffic tickets, rather than going to trial. Due process rights give you an opportunity to tell your side of the story when contesting a ticket, but it doesn't give you a right to win (even if you are actually in the right) if the judge or other trier of fact doesn't believe what you have to say. It does not appear that you have a right to a jury trial in a traffic case in New Jersey, although this depends to some extent on the kind of violation being charged, so you are probably stuck with the beliefs of the municipal court judge about who is the more credible witness.
This is a no win situation. People who try to stop in a safe public place fearing that the cop may be an imposter risk prosecution for resisting arrest. But, no one will offer you any remedy if the cop was an imposter who was victimizing you. One recommended course of action if you doubt a cop is real is to call 911 as you pull over to confirm that the cop trying to pull you over is real.
Hope you have a good prosecutor and a sympathetic judge "They asked repeatedly how much she had to drink ..." Objection: Asked and answered "how she could claim not to remember certain details" Objection: Calls for a conclusion/speculation. The witness is not a brain scientist, she cannot speculate as to why people remember some details and not others. She is testifying as to what she does remember, not as to why she doesn't remember things. "asking if she had not been flirting with him in the days before the incident" Objection: Relevance. Is the defense seriously suggesting that flirtation, if it happened, in the preceding days amounts to consent at the time of the incident? "asked her why she had not chosen a more modest one" Objection: Relevance. Is the defense now suggesting that what the witness wore amounts to consent?
Any google review would be hearsay. That means, it would be proof that someone posted a review, and what was written in the review, but it wouldn't be proof that any facts claimed in the review were true. As it is proof of posting, anyone who feels slandered could sue for slander and be successful (depending on circumstances). But trying to claim that the contents of a review is a true fact will fail. You can of course try to contact the person writing a review, and they might be willing to appear in court as a witness. That would make it a statement by a witness which would be taken seriously, and not just hearsay. Since lying in a court as a witness is a serious matter, someone posting a false review will very likely not be willing to appear in court for you.
Rudeness is not a crime Thankfully, or I’d be writing this from jail. The threat or actually of intentional and unwanted physical contact is a crime. Historically these were seperate common law crimes (and torts) of assault and battery respectively. However, in most jurisdictions these have been codified and merged and redefined so there is common assault (which merges historic assault and battery and is what you are asking about), indecent assault, sexual assault etc. In general, there must be an intentionality to the contact - accidentally colliding with someone is not assault (although it can be the tort of negligence). Similarly the contact must be unwanted - participating in a game of rugby means you want to be tackled (in a legal sense, in a sports sense you don’t want to be tackled, you want to score). And finally it must intend harm - holding your hands up to prevent a collision does not intend harm even if harm may result, punching someone does. In the cases you describe, the aggressor is the “elderly person” and they have committed a crime. I am interested in the suggestion that public opinion in first-world countries like Canada is that being old and annoyed justifies you beating someone. That is not my understanding of public opinion in Australia- old people have to follow the rule of law here just like everybody else.
Intellectual property at employee hackathon? The company I am working for this summer is going to be hosting an hackathon for its summer interns. Out of idle curiosity, I asked about the IP rights for any resulting projects, and got the (not entirely surprising) response that the company would own any resulting projects. That got me thinking, though- is this legal? It's a company event for employees, yes, but it's taking place outside work hours with no compensation (aside from food and a few prizes), and projects may be totally unrelated to any existing IP owned by the company. Of course, it's entirely possible that there was some clause in the new hire paperwork about this, but outside of that, would this hold up in court?
"The company you are working for ..." Stop. We're done. An employer owns the IP created by an employee in the course of their employment: the hackathon is in the course of your employment.
What you're talking about is called black-box reverse engineering. It can be done, and as long as you are meticulous in your record keeping the fact that it has been done should be an appropriate defence against copyright infringement. But that doesn't help against patent claims - while in copyright cases the fact that code has or has not been directly copied is critical, in patent cases it its irrelevant: if you use a patented method, it's a violation. You therefore will need to be careful about any patents that may have been issued to the original author, as well as avoiding copying.
Yes, a work with no license is All Rights Reserved, reserved meaning the creator of the work. Who is the creator of the work ? Everyone who contributed it, unanimously. Yes. If people contributed any copyrightable part of your work, in theory you cannot add any license or grant any right to use/reproduce/whatever the work without their unanimous agreement. That's very cumbersome, and almost nobody really does that, but it's what the law is. Big serious companies and repos require contributors to waive their rights on the code they contribute, by agreeing to a contributor's agreement. For example, python/cpython requires you to give your contribs a license allowing the python org to do essentially what they want with it, even though you retain copyright over them. If your project is not so serious, I suggest it should be enough to make the license clear, and that by contributing people are agreeing to place their contribution's code under the license. If it's a free license, that's all you need.
In the UK it is an offence to cause a computer to gain unauthorised access to any program or data held in any computer (s1 Computer Misuse Act 1990). It seems likely that other European jurisdictions have similar laws. Certainly Germany does: Penal Code 202a data espionage (German text - English translation). (I mention Germany because the linked thread does.) It might constitute theft in the jurisdiction if the finder did not take reasonable steps to find the owner - which may include informing the police of the find. Depending on the jurisdiction it might count as 'treasure' or abandoned property such that the finder is obliged to inform the authorities (the jurisdiction has the presumption of ownership of abandoned or lost property - e.g. Scotland), which then decide what to do with it. Legally speaking it seems to me that, to declare it legal, we have to get over such hurdles. [edit] There seems to be some dispute in the comments that cryptocurrency is subject to any regulation, counts as property, is something of value or is something that is owned and can be stolen, such that the person in the questioner's scenario could be held to account under the law for his behaviour. Aren't they merely numbers? No - plainly they do have value because people trade them with currency and goods and services. The UK's tax authority, HMRC, "does not consider cryptoassets to be currency or money" but sees them as having economic value because "they can be 'turned to account' - for example, exchanging them for goods, services, fiat currency (that is money declared by a government to be legal tender) or other tokens". They are "a new type of intangible asset". Individuals are liable "to pay UK tax if they are a UK resident and carry out a transaction with their tokens which is subject to UK tax". They are liable for "Income Tax and National Insurance contributions on cryptoassets which they receive from their employer as a form of non-cash payment [or from] mining, transaction confirmation or airdrops." (HMRC cryptoassets for individuals) Are they property? Something that can be owned, something that can be dishonestly appropriate (i.e. stolen)? That's the interesting dispute. Recently, the High Court of England and Wales ruled in a bitcoin ransomware-related case that "for the purpose of granting an interim injunction in the form of an interim proprietary injunction ... crypto currencies are a form of property capable of being the subject of a proprietary injunction". In that judgment there is some discussion of the authorities for considering or deciding they are property. ([2019] EWHC 3556 (Comm)) read from para 50 if not the whole judgment. In at least two other cryptocurrency-related cases the High Court treated the cryptocurrency as property. Vorotyntseva v Money-4 Limited, trading as Nebeus.com [2018] EWHC 2598 (Ch) and Liam David Robertson v Persons Unknown 2019. There was also a suggestion in the comments that the police would not understand and would not be interested. But there are several jurisdictions where people have been investigated, arrested, prosecuted and convicted of crimes relating to cryptocurrencies. A simple internet search for bitcoin theft, fraud or money laundering will result in some reports. In any case their interest or lack of it is irrelevant to what the law may say.
Attribution is not a legal requirement If company A owns IP (copyright and trademarks in this case), they can licence it to company N on whatever terms are mutually acceptable. They may require company N to attribute their IP or they may not.
You Own The Code To answer your question on whether or not it is copyright infringement: Yes, you do own the rights to the written code but posting it on Github gives Github the right to store, archive, parse, and display Your Content, and make incidental copies, as necessary to provide the Service, including improving the Service over time. This license includes the right to do things like copy it to our database and make backups; show it to you and other users; parse it into a search index or otherwise analyze it on our servers; share it with other users; and perform it. To simply put it, no matter what license you use, you give GitHub the right to host your code and to use your code to improve their products and features. This license does not grant GitHub the right to sell Your Content. It also does not grant GitHub the right to otherwise distribute or use Your Content outside of our provision of the Service, except that as part of the right to archive your Content. So with respect to code that’s already on GitHub, I think the answer to the question of copyright infringement is fairly straightforward. Things aren’t quite as clear-cut in a scenario where Copilot is trained on code that is hosted outside of GitHub. In that situation, the copyright infringement question would hinge largely on the concept of fair use. If Copilot is being trained on code outside of GitHub, we accept that at least some of what they’re looking at is copyrightable work. So, the question then becomes if it’s fair use. Now, you ultimately can’t conclude definitively that something is fair use until you go to court and a judge agrees with your assessment. But I think there’s a strong case to be made that Copilot’s use of code is very transformative, a point which would favor the fair use argument. There is precedent for this sort of situation. Take the case of Google Books, for example. Google scanned millions of books, provided people who were doing research with the ability to search the book, and provided the user a small snippet of the text that the user was searching for in the book itself. The court did in fact find that was fair use. The use was very transformative. It allowed people to search millions of books. It didn’t substitute for the book itself. It didn’t really take away anything from the copyright holders; in fact, it made it easier for readers to access the work and actually opened a broader market for book authors. And, it was a huge value add on top of the copyrighted corpus. In the latter scenario, a lot depends on the thoroughness and the length of Copilot’s suggestions. The more complex and lengthy the suggestion, the more likely it has some sort of copyrightable expression. If a suggestion is short enough, the fact that it repeats something in someone else’s code may not make it copyrightable expression. There’s also the question of whether what’s being produced is actually a copy of what’s in the corpus. That’s a little unclear right now. GitHub reports that Copilot is mostly producing brand-new material, only regurgitating copies of learned code 0.1% of the time. But, we have seen certain examples online of the suggestions and those suggestions include fairly large amounts of code and code that clearly is being copied because it even includes comments from the original source code.
There is no fixed definition in the law of "outside activities" that is applied generally. This will depend entirely on how the employment agreement defines it, and/or how the management of your company defines it. There may be a useful definition in the agreement, ideally there will be. In the far too common case that the agreement leaves this key term undefined, you will have to ask them how they define it. While it is true legally that when they draft the contract and it is ambiguous, you may adopt any reasonable definition, as a practical matter, if you do not disclose something and they consider it an "outside activity" They may claim this is grounds for discharge. If the employment contract requires you to disclose outside activities, you must disclose them or be in breach of that contract, which is surely grounds for discharge, and possibly grounds for a breach of contract suit. Even if it is not part of the contract, saying that you have no such activities when you in fact do is arguably fraud. Saying that you decline to inform management of your outside activities is probably legal, but might well cause them to cancel the offer of employment. If you do inform management, and the activities are approved, there would be no automatic transfer of any existing IP rights. No transfer could occur without an agreement saying so. Some companies, in their employment agreements (or other related agreements) demand that an employee transfer the IP of any project created or worked on using company resources (such as a company computer or network). Some demand a transfer for any project worked on during the employee's working hours. Some demand a transfer for any project done during the period of employment, but they must clearly specify this for it to be effective. That last is unusual, because many employees dislike it enough to go elsewhere as soon as they can, which tends to be bad for the employer. But in no case can a transfer of IP for a project unrelated to the employer's business, not using company equipment or resources, and not done during work hours, be effective without a specific agreement to this effect.
Yes, there is legal precedent against this that would only apply to a government employee. First, let's discuss the private sector. In this case, you are a private employee that comes to your place of work and accuses you of "stealing the cookies from the cookie jar" which is a serious criminal offense. They wish to talk and your boss is in the room. You plead the 5th, but your boss says you're fired if you don't talk to the cops. This is legal because you still have the right to refuse to talk, you just lose your job. A private employer has the right to free association, and wants nothing to do with cookie thieves, alleged or actual. However, in the government employ, your boss is an agent of the government. This same situation is different because the government pays the boss and the agent... so in essence the government is saying talk or be fired. This is unconstitutional as the government cannot retalitate against you for your refusal to talk. Generally, in order to talk to you, the investigator would need either a signed Garrity Statement or a Signed Kalkines Statement. The former is a statement saying that they are investigating a wrong doing but you cannot lose your job if you refuse to speak to the investigators, where as Kalkines says you must talk but you are granted immunity for your part in the wrong doing, so long as you make truthful statements. For more on this, check this legal blog. There is also the matter that a false accusation (and let me be clear... this is academic, I'm not saying the accusation in the real life topic is false, nor am I saying that the defense is false... we're merely discussing a possibility) is made to your employer and they do not offer the job on the basis of the accusation alone, this is grounds for defamation actions... and in certain jurisdictions, it's criminal defamation, so there could be jail time. It's interesting you mentioned teachers, because this happens alot. Kids do know that there are certain things that get a teacher fired quickly, so teachers do get the occasional false accusation of sexual assault (I know one teacher who has had multiple accusations over the course of her career). One of the few good things I can say about the Teachers Union is they cover the legal defense of accused teachers. The accusations do get the teacher removed from the class for sometime, but they don't lose their jobs over this matter. It's followed up but the accusation doesn't immediately lead to the teacher getting fired..
Is truth a defense against defamation laws in Indonesia? If so how? I read 310 KUHP laws in Indonesia and it says that public interest is a defense. It doesn't list truth as defense. Some says that if we have evidences, that is defense. What kind of evidences are good enough defenses?
Relying on this version, proof of truth is only allowed in order to establish a "public interest" defense or for a "necessary defense"; but also "if an official is charged with the commission of an act in the exercise of his office". Good luck with "necessary defense". It is not a defense to say "But what I said is true". However, if the defamed person has been convicted in court of said act (the defamatory statement) then there can be no punishment.
A person isn't required to state their evidence that the claim is true when they make the claim, and as a public figure, a defamation suit filed by Trump would be judged under the stronger "actual malice" claim, meaning that the statement was made with knowledge that the claim is false or with reckless disregard of whether it was false. You would have to look at the specific statement. It is generally not defamatory to hurl insults like "rapist!", "pedophile!", "criminal!" etc. against a public figure especially a political figure, since such word don't generally amount to an actual accusation of wrong-doing. On the other hand, a detailed but false claim purporting to relate factual events could cross the threshold. Hyperbole is not actionable.
"Cancellation" is generally a result of some statement or action a person made becoming public or having been made in public. Tortious interference requires that the defendant's actions are independently wrongful, such as defamation or criminal acts against the plaintiff. Truthful speech and opinions which do not allege facts are protected by the First Amendment (as well as state constitutions) and thus cannot be wrongful conduct. To apply that here, anyone can react to public knowledge about a person and call for that person to be fired, that is protected speech. As far as I know in this particular petition's case, RMS does not dispute that he made the statements they are attributing to him and using as evidence for their call to remove him from the board.
In Wisconsin, right after the perjury law, they have a law prohibiting "false swearing". It applies if a person: Makes or subscribes 2 inconsistent statements under oath or affirmation or upon signing a statement pursuant to s. 887.015 in regard to any matter respecting which an oath, affirmation, or statement is, in each case, authorized or required by law or required by any public officer or governmental agency as a prerequisite to such officer or agency taking some official action, under circumstances which demonstrate that the witness or subscriber knew at least one of the statements to be false when made. The period of limitations within which prosecution may be commenced runs from the time of the first statement. So even if they couldn't actually get you for perjury, they could get you for violating this law. Perjury and false swearing are both class H felonies, so you can expect the same punishment. I am going to guess that the existence of this law suggests that it was needed to cover what would otherwise be a loophole in the perjury law, but I can't say for sure.
A judge has the authority to determine what law applies to a case and to instruct the jury accordingly, and also has the authority to determine which evidence is admissible. Presentation of a defense, in practice, involves presentation of evidence supporting a legal theory. In order to be admissible in evidence in an evidentiary hearing or trial, the evidence must be relevant to a legal theory that is in some way connected to the evidence. If no reasonable juror could make a ruling establishing that a legally recognized defense was established based upon the proposed evidence (especially if the proposed evidence is prejudicial to the prosecution case on the basis of reasoning that is not a legally valid defense) it can be excluded. For example, evidence in support of the theory that the defendant murdered the victim because the murder victim raped the defendant's sister six years ago, might very well sway a jury to acquit the defendant. So a defense attorney might want to make this argument. But, this is not a legally recognized justification for murder, so evidence in support of this defense would be excluded as irrelevant by the judge. In federal court, and in states with rules of evidence based upon the federal rules of evidence, the primary legal authority behind this is Rule of Evidence 402: Rule 402. General Admissibility of Relevant Evidence Relevant evidence is admissible unless any of the following provides otherwise: the United States Constitution; a federal statute; these rules; or other rules prescribed by the Supreme Court. Irrelevant evidence is not admissible. Some states also have procedural notice requirements for certain kinds of affirmative defenses. For example, if someone is arguing an alibi, a notice of an intent to present this defense must be provided by the defense a certain number of days before trial, so that the prosecution can develop the very different in kind type of evidence needed to rebut that defense, rather than having someone acquitted due to surprise when rebuttal evidence exists but the prosecution doesn't know in advance to locate the necessary witnesses and evidence to rebut this kind of defense.
Art. 19 of the Indian Constitution states that (1) All citizens shall have the right (a) to freedom of speech and expression... from which is follows that you may advance any argument that you want in support of an idea. The courts have never questioned this. There is a potential grey area regarding verbal acts that cause the use of violence, but in terms of presenting reasons that such-and-such acts are good (or bad), that form of expression is absolutely protected. The grey area comes from clause 2: Nothing in sub clause (a) of clause (1) shall affect the operation of any existing law, or prevent the State from making any law, in so far as such law imposes reasonable restrictions on the exercise of the right conferred by the said sub clause in the interests of the sovereignty and integrity of India, the security of the State, friendly relations with foreign States, public order, decency or morality or in relation to contempt of court, defamation or incitement to an offence whereby a law against inciting to violence might pass constitutional muster. "Justification" of an action is very different from "inciting" to do an act.
united-states But what is that legal reason? Why would an organization not be able to state their position with respect to the issue, such as "We believe we acted correctly, but this will be decided in court"? Is there a law saying that commenting a court case is illegal? Who does this apply to? Or is this just some guideline or established advice to avoid problems (which ones)? Legal Ethics Considerations There are circumstances when commenting publicly on litigation violates the ethical rules for lawyers related to trial publicity See Rule of Professional Conduct 3.6 (the numbering system for professional conduct rules for lawyers is uniform nationally in the U.S. although the substance of the rules can differ in detail from state to state - Colorado's rule is fairly typical). Mostly this rule calls for avoiding statements that could prejudice a jury unless the other side has already done so and those statements need to be rebutted. This rule states (in its Colorado version): (a) A lawyer who is participating or has participated in the investigation or litigation of a matter shall not make an extrajudicial statement that the lawyer knows or reasonably should know will be disseminated by means of public communication and will have a substantial likelihood of materially prejudicing an adjudicative proceeding in the matter. (b) Notwithstanding paragraph (a) and Rule 3.8(f), a lawyer may state: (1) the claim, offense or defense involved and, except when prohibited by law, the identity of the persons involved; (2) information contained in a public record; (3) that an investigation of a matter is in progress; (4) the scheduling or result of any step in litigation; (5) a request for assistance in obtaining evidence and information necessary thereto; (6) a warning of danger concerning the behavior of a person involved, when there is reason to believe that there exists the likelihood of substantial harm to an individual or to the public interest; and (7) in a criminal case, in addition to subparagraphs (1) through (6): (i) the identity, residence, occupation and family status of the accused; (ii) if the accused has not been apprehended, information necessary to aid in apprehension of that person;(iii) the fact, time and place of arrest; and (iv) the identity of investigating and arresting officers or agencies and the length of the investigation. (c) Notwithstanding paragraph (a) and Rule 3.8(f), a lawyer may make a statement that a reasonable lawyer would believe is required to protect a client from the substantial undue prejudicial effect of recent publicity not initiated by the lawyer or the lawyer's client. A statement made pursuant to this paragraph shall be limited to such information as is necessary to mitigate the recent adverse publicity. (d) No lawyer associated in a firm or government agency with a lawyer subject to paragraph (a) shall make a statement prohibited by paragraph (a). Statements such as "We believe we acted correctly, but this will be decided in court" are allowed and are not terribly uncommon. But, making a comment about something that can be easily inferred from the publicly available documents filed in court provides little or no positive advantage for a litigant. Also, one doesn't have to say much to create at least a colorable Rule of Professional Conduct 3.6 issue that a mediator can raise in settlement talks, or that a judge can be forced to analyze. Even if the claim of unethical trial publicity ultimately doesn't hold water, it still muddies the waters and distracts lawyers and litigants from dealing with the substance of the dispute. The Risk That A Statement Will Be Used Against You Usually, the main concern is similar to the concern about talking to police: Anything you say can and will be used against you at trial. For example, this week former President Trump's public statement about his knowledge of classified documents, which are the subject of an ongoing federal criminal investigation of him, seriously harmed his position legally. (His statement was made quite a while ago in a semi-private forum, but at a time when the possibility of a criminal investigation still should have been on his radar screen.) In the civil rape-defamation case against him (as noted, for example, in this Law.SE answer), Trump's decision to continue to speak publicly about matters that were the subject of active litigation against him in an earlier case resulted in an extended statute of limitations and an opportunity to refile the case without having to worry about Presidential immunity from liability for statements he made while in office. It isn't just former President Trump that does things like this, but his conduct provides good textbook examples of what lawyers worry about when their clients talk about cases that are being litigated. Social media statements about pending cases by litigants routinely provide powerful evidence against them in trials. Some clients (particularly politicians and many senior executives of big and medium sized businesses, but also more ordinary people with big egos) are "forces of nature" who can't resist running their mouths, usually to their detriment, when given the least leave to do so. It is easier to teach them to say "no comment" across the board about pending litigation, than to transmit the depth of understanding necessary to comment without saying something potentially harmful. Lawyers spend many hours and sometimes days preparing their clients for depositions for a reason. Avoiding Annoyance To Opposing Counsel, Parties, And Judges Making a comment about pending litigation has the potential to aggravate opposing counsel and can emotionally influence non-lawyer opposing parties with whom a negotiated settlement will be reached 90%+ of the time (only about 1-2% of civil cases go to trial, but some are resolved by default judgments or on motion practice as opposed to by settlement). It can also irritate a judge who frequently prefers to be out of the public spotlight when necessary, even when the statements made aren't prohibited, and judges in the U.S. have lots of discretionary authority.
canada The aspects of a defamation claim that seem to be in issue are the following: is the publication defamatory in the sense that it tends to lower the reputation of the subject in the eyes of a reasonable person does the statement fall within a defence to defamation, specifically fair comment or truth Your statement of the scenario is somewhat ambiguous for the purposes of the above analysis: But what if Bob instead publishes a hypothesis that Rob murdered Alice: he analyses the well known facts about Rob, Alice and the circumstances of her death, and concludes that those facts are consistent with Alice being murdered by Rob? It matters whether Bob: simply publishes "Rob murdered Alice", Bob's hypothesis publishes "Rob murdered Alice" accompanied with language or context that communicates that it is merely a hypothesis publishes the underlying facts, the analysis, along with the conclusion of consistency Your description is ambiguous because despite talking about Bob's methodology in arriving at his conclusion, you don't clearly say that he publishes that along with the hypothesis. The plaintiff's threshold burden: Is the statement defamatory? Depending on the precise content of the published statement it may meet the low threshold of tending to lower the reputation of the subject in the eyes of a reasonable person. If it does, then the burden will flip to the defendant to establish a defence, such as truth or fair comment. Of these, based on the methodology you have described, I view fair comment as the more directly applicable defence, but it does really depend on what the content of the publication is. Fair comment defence The test for fair comment is: (a) the comment must be on a matter of public interest; (b) the comment must be based on fact; (c) the comment, though it can include inferences of fact, must be recognisable as comment; (d) the comment must satisfy the following objective test: could any [person] honestly express that opinion on the proved facts? (e) even though the comment satisfies the objective test the defence can be defeated if the plaintiff proves that the defendant was [subjectively] actuated by express malice. For a fair comment defence, the receivers of the impugned statement must be able to identify the underlying facts on which the statement is based. Therefore, it would not be enough for the hypothesis to be "reasonably based on facts"; those facts need to be also published to the listeners/readers and a reasonable listener/reader needs to be able to associate the impugned statement as being based on those. Another component of the fair comment defence is that the statement must be one of opinion, not fact. If the statement, considered in its full context, is not amenable to empirical verification or falsification, then it is a statement of opinion.
Options for dealing with smoking neighbors I live in the city limits of Seattle. My next-door neighbors smoke cigarettes and marijuana outside their house multiple times a day, with one reliable smoke session between 10 and 10:30 PM. Due to the terrain and prevailing air flows, their smoke flows directly around and past my house on all sides (it's not clear to me if it depends on whether they do their smoking in the front yard, back yard, or what, but suffice it to say that smoke regularly comes on all sides). As we don't have air conditioning, in the summer we cool our house at night by opening windows and running fans to circulate air. Needless to say, this means that when the neighbors light up, their smoke heads straight into our house, an extremely objectionable situation for us. It is not a faint whiff. Do we have any legal options to try to put a stop to this? Are there any laws along the lines of "quiet enjoyment of my own home" that could help? Even though marijuana is not illegal in Washington state at the state level, does the fact that it is still illegal at the federal level make a difference? I know for a fact that the neighbor rents. If I were able to get in touch with their landlord, could there be any action that the landlord could be forced to take to deal with the tenants? The neighbors are not the type to care about the experience of others or to care much about observing inconvenient laws. One of their close relatives (who lives in the next house farther away) owns a marijuana shop. Their children have bullied mine, and they were unapologetic and angry when approached about it rather than open and receptive. If we have no legal options here, then something is wrong. It's ridiculous that we would have recourse about objectionably loud noises, but not about sending smoke into our very bedrooms when we're trying to cool off. [Help with tags would be appreciated.]
One option is an odor complaint filed with pscleanair, however Seattle's Department of Planning and Development opines that marijuana smell is not harmful. You can always try suing -- nuisance, breach of statutory duty to keep the premises habitable, breach of the common law covenant of peaceful enjoyment, negligence, harassment, battery, and intentional infliction of emotional distress – these guys (non-smokers) are not very encouraging about legal options. Also trespass, which was the first thing that came to my mind but they didn't mention. Merrill v. Bosser, No. 05-4239 COCE 53 (Broward County Ct., June 29, 2005) is an example of successful litigation based on trespass.
Theft is of course illegal in all US states, and pretty much every other jurisdiction. In the US that is a matter of state law, not federal. It could be reported to the local police, but it might be hard to prove. Both landlord/tenant law and privacy law are largely matters of state law in the US, not federal law. Such laws vary a good deal in different states. In many states a landlord is allowed to enter the rented premises, usually on "reasonable" notice, or without notice if there is an emergency. If the landlord actually lives in another part of the house, and simply rents a room to the tenant, the landlord may be able to enter the room more freely than if it was a separate apartment or house. In many cases where there is a written lease or rental agreement, it will specify under what conditions the landlord or landlord's agent may enter, and how much notice is required. What does the lease in the current case say about that?
In the US, many municipalities have ordinances outlawing loud noises during some night hours. It may start as early as 10pm or as late as 11pm, and end as early as 6am or as late as 7am. Unfortunately, you have to deal with it in the way which you indicated you would rather not. The people to call to deal with this are the police. You don't have to be present when the police arrives. Nor will they tell the neighbors who called them. But if the noise ordinance is violated, it is their job to deal with it. During the day-time hours, it is generally legal to make loud noises unless they exceed some very extreme levels. But those extreme levels are probably more than anything casual teenagers can do. If the walls of the house are not visibly shaking, that's probably not it.
You could sue them for commercially exploiting your image without permission, so the waiver is necessary. It is entirely legal to require of tenants (even if weird) that they be part of an advertising campaign, in a specified way: it's also your right to refuse to sign. There is a minuscule chance that there is a local ordinance prohibiting such a clause.
Indeed, article 3.24 of the Arbeidsomstandighedenbesluit: Toiletten en wastafels In een bedrijf of inrichting zijn in de nabijheid van de ruimten waar de werknemers hun werkzaamheden verrichten een voldoende aantal toiletten aanwezig. In of in de onmiddellijke nabijheid van de ruimten waarin de toiletten zich bevinden zijn voldoende wastafels. De toiletten of het gebruik van de toiletten zijn naar seksen gescheiden. My translation (intentionally less idiomatic than it might be in order to parallel the Dutch word order): Toilets and lavatories In a business or facility there are in the vicinity of the areas where the workers perform their work a sufficient number of toilets present. In, or in the immediate vicinity of, the areas where the toilets are, there are sufficient lavatories. The toilets or the use of the toilets are segregated by sex. It's a very long law, so I haven't read it all, but it doesn't seem to impose a penalty on people who disregard the sex segregation of the toilets. I suspect that it imposes a responsibility on the employer to enforce the segregation, and presumably a penalty could be imposed on the employer for failing to do so. I do not know what mechanisms would be available to the employer to penalize an employee who uses the wrong toilet. I don't know anything about the catering industry, and I cannot infer why you ask about it specifically. If you're asking about toilets provided by such businesses for their customers, however, I suspect it's likely to be governed by another law. (I further suspect that sex-segregated toilets for customers are optional in at least some circumstances, since small bars and restaurants often have only one toilet.)
In general, people have less expectation of privacy in cars than in their homes. To challenge a search and/or seizure under the Fourth Amendment, a person must have standing - the right to sue (that is, you must have had a reasonable expectation of privacy in the place where the search happened; if you didn't, no standing - can't claim your privacy was violated if you had no privacy). The US Circuit Courts are split on the issue of unauthorized rental drivers and whether they have the same reasonable expectation of privacy as the authorized driver of a rental car would have. Some Circuits allow the unauthorized driver to challenge a car search if the authorized driver gave them permission. Some Circuits look only at the agreement and if the driver isn't authorized on that, they're out of luck. The 6th Circuit is more case-by-case, with a presumption that driver can't challenge the search that can be overcome based on the facts. (All this info from US v. Haywood, 324 F.3d 514) There's a current case before the Supreme Court (argued January 9, 2018), Byrd v. US, on this very issue. This SCOTUSblog page has a lot of information on the case. Edited to add: Texas is in the Fifth Circuit, which follows the rule that unauthorized drivers don't have standing to challenge a search/seizure even with the authorized driver's permission to drive the car; unauthorized drivers of rental cars don't have a reasonable expectation of privacy because they lack a possessory interest in the car and/or they're violating the rental agreement. Basically, even though it seems the cops' stop of the car would've violated the Fourth Amendment if he were the authorized driver, since this happened in Texas, he's not going to be able to challenge the stop. IMO, this is incredibly unjust especially when the cops admitted there was no probable cause, so hopefully the Supreme Court makes this rule obsolete and allows unauthorized drivers to exercise their Fourth Amendment rights. Some law review articles on the topic of unauthorized rental drivers: "Hertz and the Fourth Amendment" "Resolving a Three-Way Circuit Split"
Growing marijuana is very often legally classed as "manufacture of a controlled substance." In criminal law, "manufacture" tends to be explicitly defined to include cultivation, but this is in fact a reasonably common use of the term (it doesn't have to mean producing with machinery). And so it's extremely unlikely that anyone will be convinced that you even might have thought the agreement didn't cover growing marijuana. The intent of the parties is fairly clear there.
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.
In English law, who or what body starts the process of creating a new statute? Statutes are legislation from the UK Parliament and devolved parliaments. I believe they all start in the form of "bills" which are proposed statutes. But who or what body is permitted to start the process of creating a new statute? Is it only the government of the day? If so, is it only cabinet ministers? If, on the other hand, it is anyone in Parliament; then is the principal advantage of winning a general election not the ability to make law, but to have the maximum chance of getting it through parliament by virtue of number of MPs?
Any member of parliament can move a bill. A member of the public can't, for example, mail a bill in to the Speaker's office and say 'here you go, get them to vote on that.' A member of one of the houses of parliament has to put it on the notice paper. Normally it is the Government of the day that introduces bills. Ordinarily it would be a Minister who would do this after receiving approval from Cabinet. When someone other than a Minister introduces a bill, it is called a 'private member's bill'. A Minister would not introduce a bill without Cabinet approval (that would make the Government look bad). A non-Minister Government MP (backbencher) may introduce a private member's bill and this could be a genuinely independent effort or it could be a way for the Government to distance itself from something controversial. The Government may control the business of the chamber in question (particularly if that is the House of Commons), and may be able to defer consideration of a private member's bill indefinitely if they really want to. See also Wikipedia. In terms of drafting, there are public servants who draft Government bills. It is up to the Government to decide whether to allow other members of parliament to have access to these resources. A private member's bill may be drafted by the member personally, by a lobbyist or by anyone with a word processor.
Judicial appointments in England and Wales (plus courts that cover the whole of the UK) are made by the Judicial Appointments Commission. This was set up in 2006 to improve the separation of powers in the UK, removing the ability of a government to select sympathetic judges. The committee comprises ...the judiciary, the legal profession, non-legally qualified judicial office holders and the public. So it could be said that judges in the UK are to some extent self-selecting, but the commission responsible also has members who are not judges.
These clauses are called recitals. Taken together, they are a form of preamble. The tradition of preambles is quite ancient. The Code of Hammurabi, for example, has a preamble. This preamble serves to establish the authority of the one enacting the laws, however, rather than his motivation. United Nations instruments typically use a series of participial phrases as preambular paragraphs (pdf) rather than subordinate clauses, but they have the same function of establishing context and motivation. I have not been able to locate the origin of this particular form of preamble, however. It seems to have evolved gradually from freely constructed preambles. I could not identify when this form became fixed.
It depends on the particular law in the particular jurisdiction in which you are charged. Most statute laws enumerate the defences that are available. In common law countries there is a general defence that (except in strict liability offences) the perpetrator must well ... perpetrate the criminal act; what you describe does not appear to meet that requirement. Other jurisdictions would not be so forgiving.
The differences are subtle in practice today as a result of technologies like the Internet. Enact means (according to Black's Law Dictionary, 5th edition (1979), hard copy): To establish by law; to perform or effect; to decree. The common introductory formula in making statutory laws is, "Be it enacted." Promulgate means (according to the same source): To publish; to announce officially; to make public as important or obligatory. The formal act of announcing a statute or rule of court. In the context of the U.S. legislative process, a law is enacted at the moment when it is signed by the President or Governor after being duly passed by the legislative branch (or when it is adopted by the legislative branch in a veto override). It is promulgated when the public act is published either in physical book form, or electronically, for example, in an online official government website containing the laws that were enacted. These days the time gap between enacting a law and promulgating it is a matter of minutes or hours. Historically, the gap would have been a matter of days or weeks. For example, in Colorado, the legislative session ends in the first few days of the month of May, with all laws passed during the session signed or vetoed by mid-May, but (subject to certain exceptions) laws passed in that session are generally effective on July 1 of the same year. This reflected the assumption of the people who drafted that part of the state constitution that it could typically take up to about four to six weeks to promulgate the laws enacted in the legislative session.
There is a firm difference between giving advice on "what the best decision is likely to be" and "what decision to make". The former is what lawyers must do, which comes from: Conduct and Client Care Rules: Whatever legal services your lawyer is providing, he or she must— discuss with you your objectives and how they should best be achieved: give you clear information and advice: Lawyers and Conveyancers Act 2006: legal work includes— advice in relation to any legal or equitable rights or obligations: So, there is nothing in the law that requires lawyers to advise you on "what decision to make". Instead, they explain to you the range of possible decisions and what ramifications / implications / consequences they have. They won't make the choice for you — it's always yours. Is it legally correct that a lawyer is not permitted to provide advice on what decision to make It is not strictly true that a lawyer "is not permitted". Rather, they are not obliged to do so. And they have a damn good reason not to: there is a huge difference between being responsible for legal facts based on which you make decisions, and being responsible for decisions themselves.
Do the Prime Minister's current statements mean that his previous actions in signing the Withdrawal Agreement were threatening to "deprive" the monarch of her territory, and that by pushing it through Parliament at speed and in the manner in which he did, that he "intimidated or overawed" at least one of those Houses in this regard? No. The Queen will not be "deprived" of any of her territory. She is still Queen of the United Kingdom of Great Britain and Northern Ireland. Northern Ireland has not reunified with Ireland, nor has Scotland declared independence and also removed her as Head of State. He also did not "intimidate or overawe" at least one of the Houses. This is for two reasons: The prime minister has political and legal legitimacy through the holding of a (sometimes substantial) majority in the Commons. If the Act passes the Commons, it will be because the prime minister enjoys the support of the MPs on their side (or at least a majority of MPs in the House, e.g. the Tory-DUP agreement of recent years). Under the Salisbury Convention, the House of Lords will not block any legislation that was promised in a Government's election manifesto. While the prime minister did not enter office on the back of a General Election when he agreed the Withdrawal Agreement with the EU, the subsequent amending and implementing Act of 2020 was mentioned in the Government's election manifesto in December 2019 and therefore the Lords will not block such legislation. Given these two facts, it is almost impossible to declare that either House were "intimidated or overawed". For example, the prime minister did not hold a gun to the heads of his MPs, he did not surround the House of Lords with an army until they voted the way he wanted them to. The fact that the Commons willingly supported his legislative programme, and by convention the Lords didn't block it, is evidence that the prime minister and his government enjoys political, and subsequently legal, legitimacy. In any event, the Queen cannot commit treason against herself. Anything done on the advice of her ministers cannot, on the face of it, constitute treason. Furthermore, the Prime Minister has not, on the facts, done anything that constitutes treason. Even if he were to technically commit treason by the letter of the Act somehow, the matter would have to be proven beyond reasonable doubt and it is highly likely that all but the most obvious and egregious examples would not meet the threshold for prosecution. For example, it would almost certainly not be in the public interest to prosecute a prime minister for delivering on their legitimate policy aims in line with the legal (correct) functioning of our legislative system. Indeed, it is hard to imagine any court agreeing that such activities are treason when the relevant Acts passed both Houses, and the Government of the day had legitimacy in the Commons with a substantial majority after a General Election in which the legislation formed a key manifesto commitment, and the Salisbury Convention means that the Lords didn't oppose it; they would likely hold that such activities are the intended outcome of our current democratic system. I cannot think of any examples (barring something like murdering the monarch) where a sitting prime minister could conceivably be charged with treason. Even advising the Queen to abdicate would not constitute treason, provided that the necessary Act had passed in both Houses. Perhaps it might be treason if the prime minister advised so without any legislation in place, but that would seem more of a political matter for Parliament to deal with in reality. I suppose it is possible that if a prime minister advised the Queen to abdicate without the legitimate consent of Parliament (as expressed through the passing of legislation), it is possible that they would be removed from office if a no-confidence motion was passed by the Commons and then they might be prosecuted, but it seems most unlikely.
Absent newly enacted law in response to the end of the separate sovereigns doctrine, the first case to which jeopardy attaches (generally speaking when a jury is sworn and the first item of evidence is presented to it) would bar subsequent prosecutions, without regard to whether it arose in state or federal court. It would be a race to the court house rule. This is how it works if there are multiple prosecutions within a state, for example, one commenced in a municipal court that is not part of a state court system, and another commenced in a state court of general jurisdiction.
Is downloading a Youtube video legal in this situation? Having read through the Youtube ToS, it states: Content is provided to you AS IS. You may access Content for your information and personal use solely as intended through the provided functionality of the Service and as permitted under these Terms of Service. You shall not download any Content unless you see a “download” or similar link displayed by YouTube on the Service for that Content. You shall not copy, reproduce, make available online or electronically transmit, publish, adapt, distribute, transmit, broadcast, display, sell, license, or otherwise exploit any Content for any other purposes without the prior written consent of YouTube or the respective licensors of the Content. YouTube and its licensors reserve all rights not expressly granted in and to the Service and the Content. I understand it's a breach of ToS to download a video from youtube without a download button. However, if I do have prior written consent from the respective licensors of the video, does downloading that video without a "download" button mean that I'm still breaching Youtube's ToS?
The video in some ways belongs to YouTube. Although it's a royalty free one, they have rights to the video, and you ARE using THEIR service, this means that you have to follow their terms of use. It's best to get an offline copy from the content creator. Source: YouTube Terms of use section 6C For clarity, you retain all of your ownership rights in your Content. However, by submitting Content to YouTube, you hereby grant YouTube a worldwide, non-exclusive, royalty-free, sublicenseable and transferable license to use, reproduce, distribute, prepare derivative works of, display, and perform the Content in connection with the Service and YouTube's (and its successors' and affiliates') business, including without limitation for promoting and redistributing part or all of the Service (and derivative works thereof) in any media formats and through any media channels. You also hereby grant each user of the Service a non-exclusive license to access your Content through the Service, and to use, reproduce, distribute, display and perform such Content as permitted through the functionality of the Service and under these Terms of Service. The above licenses granted by you in video Content you submit to the Service terminate within a commercially reasonable time after you remove or delete your videos from the Service. You understand and agree, however, that YouTube may retain, but not display, distribute, or perform, server copies of your videos that have been removed or deleted. The above licenses granted by you in user comments you submit are perpetual and irrevocable.
What copyright or trademark law permits and what Google's terms of service permit may well not be the same thing. It is not "illegal" to violate the ToS unless they form a binding contract, which often they will not. Even when they do, unless some cognizable harm is done, a violation of the TOS is probably not enforceable by suit or in any other way. Embedding via an Iframe simply points the browser to another site, and probably is not legally different from including a clickable link. Using CSS to alter the display might be considered to be creating a derivative work, and thus to be a copyright infringement if done without permission. Somce the linked document says: "Don’t remove, obscure, or alter any of our branding, logos, or legal notices." making any such change woule violate the terms of the ToS, although this might not be an enforceable restriction. It is also IMO doubtful whether a "share" button constitutes part, of the "branding, logos, or legal notices."
There are several misunderstandings here. First of all, the US exclusionary rule applies only to evidence gained by the police, or by people acting as agents of the government, and not always to them. Secondly it applies only in criminal cases. The question does not say which state this would be in, and these are largely matters of state law, so it makes a difference. But I don't know of any state where taking a video without explicit consent, in a place where the person has a right to be, is a crime. In some states it would not even be a tort. If a video is taken without the subject's consent, that may be an invasion of privacy, and the subject might be able to sue (not "file charges). In such a case the video itself would absolutely be put in evidence, and if it recorded verbal permission to take the video, the case would be promptly dismissed, quite possibly with sanctions for a frivolous lawsuit. Even if the video were taken by a police officer, and was presented as evidence in a criminal case, the office could testify to the verbal permission. That would be enough for the judge to view the video as part of a suppression hearing (which is not before a jury). If the judge saw and heard verbal permission to take the video, that would be an end to the motion to suppress, unless it was claimed that the permission was somehow coerced or faked, and evidence supported such a claim.
An album from 2011 is pretty clearly going to be protected by copyright. Downloading such a work without permission would be copyright infringement, and therefore unlawful. However, it is not a crime in the US. If the copyright owner or the owner's agent learns of the download, you could be sued. Whether the owner would choose to bring suit is hard to say. However, for some content the Internet Archive has a program where a digital copy can be "borrowed" or "checked out" for a limited period of time. This is supposed to work like a library. The IA has made arrangements that will authorize this, or it is supposed to have done so. You only retain use of such a download for a limited period of time.
The Youtube terms of service allow you to play music, and they do not impose any condition to the effect that you have to be alone in a soundproof room to play music. The school district might have a rule prohibiting the playing of music on school grounds (presumably with an exception for music classes), but there are too many school districts in Alabama to research that question. You might ask the superintendent of your local district about such rules, if it's important. Copyright law does include a separate requirement for permission to perform publicly, for example the music played in a store requires a performance license. Under 17 USC 106(4), the copyright owner has the exclusive right to authorize a person "to perform the copyrighted work publicly". The definitions section says what it means to perform publicly: (1) to perform or display it at a place open to the public or at any place where a substantial number of persons outside of a normal circle of a family and its social acquaintances is gathered; or (2) to transmit or otherwise communicate a performance or display of the work to a place specified by clause (1) or to the public, by means of any device or process, whether the members of the public capable of receiving the performance or display receive it in the same place or in separate places and at the same time or at different times. It does seem that we're in the realm of a "public performance", since the law does not specifically say "intentionally play so that others can hear it" (we don't know whether the teacher is being unintentionally overheard). However, the purpose of the performance license is to cover businesses that rely on playing music to make a buck, and is not intended to force people to watch out if strangers / co-workers are listening. There is a classroom-use exception, whereby teachers can perform music for instructional purposes, which this probably isn't. However, the Youtube TOS does say that all content-providers also grant each other user of the Service a worldwide, non-exclusive, royalty-free licence to access your Content through the Service, and to use that Content (including to reproduce, distribute, modify, display, and perform it) only as enabled by a feature of the Service. Therefore the teacher has permission to perform: except if the content is illegally uploaded by someone lacking the right to grant permissions (and to upload, in general). If you suspect that someone has illegally uploaded some artist's content to Youtube, you can contact the copyright holder with relevant information. They may or may not pursue a DMCA takedown; if they do, and they are really gung-ho, they could try go to recover lost licensing revenue. It isn't clear that there is a license for "teacher laying music that others can hear".
StackExchange probably has no obligation to continue to provide the content, however StackExchange probably cannot stop copies from continuing to be used, reproduced, etc. from the Terms of Service (click on Legal below): You agree that all Subscriber Content that You contribute to the Network is perpetually and irrevocably licensed to Stack Exchange under the Creative Commons Attribution Share Alike license. Bold added by me. The content is licensed to SE, unlike some sites where you transfer ownership of content to the site. SE can continue to use your data, but you still own the copyright. They can't limit your use of your own content, because you remain the owner. SE cannot use your content in a way that violates the Creative Commons Share Alike License, but I don't see any limitations on how SE makes your work available, including to a limited audience. They could, for example, probably move to a paid model because there are no commercial exclusions (unlike the Creative Commons non-commercial variations of the license). You could post a copy of SE content elsewhere, as long as you adhere to the requirements: In the event that You post or otherwise use Subscriber Content outside of the Network or Services, with the exception of content entirely created by You, You agree that You will follow the attribution rules of the Creative Commons Attribution Share Alike license as follows: You will ensure that any such use of Subscriber Content visually displays or otherwise indicates the source of the Subscriber Content as coming from the Stack Exchange Network. This requirement is satisfied with a discreet text blurb, or some other unobtrusive but clear visual indication. You will ensure that any such Internet use of Subscriber Content includes a hyperlink directly to the original question on the source site on the Network (e.g., https://stackoverflow.com/questions/12345) You will ensure that any such use of Subscriber Content visually display or otherwise clearly indicate the author names for every question and answer so used. You will ensure that any such Internet use of Subscriber Content Hyperlink each author name directly back to his or her user profile page on the source site on the Network (e.g., https://stackoverflow.com/users/12345/username), directly to the Stack Exchange domain, in standard HTML (i.e. not through a Tinyurl or other such indirect hyperlink, form of obfuscation or redirection), without any “nofollow” command or any other such means of avoiding detection by search engines, and visible even with JavaScript disabled. Making a complete copy of SE would seem to be within the terms of the license, as long as all the requirements for attributing, linking, etc are met, so you could mitigate the risk of the SE material going away in that manner.
The answer depends in part what venue you're talking about, e.g. Reddit, Facebook etc. The details are revealed somewhere in the Terms of Service for that venue. The general pattern is that you are allowed to use that venue, provides you grant permission for the service to do what they do with your content. You cannot legally send them a take-down notice for your stuff, because a take-down notice requires you to say that the stuff was posted without your permission (and that is false – and you can be punished for making that statement). There could be a venue where they do not hold you to an irrevocable license, in which case you could revoke that permission (but not Reddit: you granted them a "royalty-free, perpetual, irrevocable, non-exclusive, unrestricted, worldwide license to reproduce, prepare derivative works, distribute copies, perform, or publicly display your user content in any medium and for any purpose, including commercial purposes, and to authorize others to do so"). I've seen a site that actually asserts ownership of user-contributed content (I don't know if their TOS ended up being litigated) – if is not at all hard to write a TOS that includes transfer of copyright, rather than granting of a license. The only hard parts are (1) figuring out what you want in terms of permission to use and (2) whether your answer to (1) means nobody will use your service. SE and Reddit TOS probably are as close as you need to get for what you describe.
The program itself is probably not illegal - although as you point out, it may breach the terms of service of providers you are using. If you distribute the lyrics, you may be breaching copyright (regardless of whether the lyrics were from the original author or elsewhere - sites can claim copyright of material they create/ whose form they fix).
Case of a libel judgment when an author is basing the premise of the story (fictionally) on the actual negative activities of the company? I'm a fiction writer. (You all love these questions.) My publications ALWAYS begin with the general disclaimer "This is a work of fiction ..." However, I've been doing more realistic dramas, and I'll give an example of something I see myself doing (not specifically, but it's much easier to give an example). In a 1930s-era gangster drama, two Chicago mobsters are talking about the end of Prohibition and its effect on their lifestyle. One mentions, "Now that they took the cocaine out of Coca-Cola, I bet there's a whole country full of addicts just waiting to get their hands on it." Is this a form of defamation? Not necessarily because it's true (that Coca-Cola put cocaine in its product), but because I made an intuitive leap in a work of fiction suggesting the boom in cocaine usage in the 30s and 40s in America was at least partially due to the exposure and subsequent withdrawal of the drug by the company the decade before. Again, this is just an example of something I notice I tend to do. So if this is a form of defamation, can you point me to an example of something similar so that I can learn what not to do? It's true that in-house publishers' attorneys make decisions on these types of things, but if I write a fiction story about the pre-1960s cocaine trade in America, and I can't use my example conversation, I may have just wasted months of work product in developing a story based upon it.
Yes, quite a number of times, for example, Daniel FETLER v. HOUGHTON MIFFLIN COMPANY 1966. Rodney Smolla, a leading scholar on defamation, said: When an author wants to draw from a real person as the basis for a fictional character, there are two relatively "safe" courses of action from a legal perspective: First, the author may make little or no attempt to disguise the character, but refrain from any defamatory and false embellishments on the character's conduct or personality; second, the author may engage in creative embellishments that reflect negatively on the character's reputation, but make substantial efforts to disguise the character . . . to avoid identification. When an author takes a middle ground, however, neither adhering perfectly to the person's attributes and behavior nor engaging in elaborate disguise, there is a threat of defamation liability. Quoted from http://www.rightsofwriters.com/2010/12/could-i-be-liable-for-libel-in-fiction.html What you are doing is definitely defamation; an untrue statement that may damage a brand or person. Coca-cola was effectively cocaine free after 1904, therefore linking it to a boom in cocaine consumption in the 1930s (if that actually occurred) is ridiculously unlikely, especially since, in 1904 Coca-cola was, at best, a regional not a national brand. The Coca-cola company may not care as it is about events eight decades ago but that is not something I would count on. The bigger the brand, the more defensive its owner tends to be and they don't come any bigger than Coca-cola. They have a strong track record for pursuing defamation cases.
In all likelihood, the judge's order related to data collection and reselling is not legally enforceable. They weren't parties to the expungement action, so the judge doesn't have jurisdiction over them. And, the First Amendment protects the right to say truthful things pretty absolutely. Arguably, if the sites provided the information without making clear that it might not be current because records were expunged or corrected, there might be a claim for negligent misrepresentation, false light, or even defamation, but I seriously doubt that even those claims would hold up. The language in the order might cause sites to comply out of not legally justified concern, or just a desire to be accurate, even if it is not enforceable. So, it doesn't hurt to bring that information to the attention of such sites and ask them to take down the information. But, when push comes to shove, I very much doubt that you would prevail in court enforcing that order against them. Certainly, if you do nothing, they will do nothing, because they are not psychic and have no idea that the court order related to those records has been entered. Even a valid and enforceable order directed at a party over whom a court has jurisdiction is not effective until the person ordered to comply with it has notice of the order. And, there is no system that gives sites like that notice without you taking action to inform them of an order.
They can charge you with anything they think you did. And yes, the circumstances play a large part in the decision to arrest, charge and prosecute. However, circumstances include you: Reputation is everything. If you are a 17 year old male troublemaker with a long juvie rap sheet, including 3 past instances of stealing golf carts, then expect to be charged with the theft. Honestly you would probably be charged with the theft if you had simply stayed away and called the cops to report it abandoned. If you came upon it in your vehicle and it's obviously blocking the road and your apparent motive is to figure out how to move it so you can get by, then you're probably in the clear. If you're a 44 year old owner of a golf cart business, PAL supporter, city councilwoman and know half the cops including one in the car that stopped you, then, they're going to pretty much listen to you as far as what's the deal with the cart. Probably ask you for help moving it safely, might even ask you to get your cart-hauler to take it to impound. You won't hear from the D.A. obviously; nobody will say "Sue Councilwoman stole a golf cart" because it would sound absurd and make the speaker appear to be a politically motivated liar. That's the power of reputation; no one would speak it even if you did steal it. (Of course if you got caught doing it on a Ring camera, well, the hero takes a fall!) Anything in between, they'll deal with it in proportion to both the facts about you and the fact about the situation. You do not have a right to get the same credibility as the councilwoman; that is earned. That's the power of reputation.
I virtually never see "without prejudice" used in anything but court documents, unless the writer does not know what he's saying. A typical example would be when a person sues someone, but brings the case in the wrong court. The judge would dismiss the case without prejudice, meaning that the plaintiff could refile somewhere else. In contrast, if the person filed in the correct court, but the judge ruled that the plaintiff had done nothing wrong, the judge would then dismiss the case with prejudice. I believe I have on some occasions seen the phrase used in legal correspondence, perhaps noting, for example, that a party was willing to settle his sexual harassment claim for X amount of money without prejudice to their claims for some unrelated issue. In either event, "without prejudice" is typically referring to the ongoing ability to litigate a claim. I'm not entirely clear on how you're envisioning it being used as e-mail boilerplate, but I can't see any reason to do so. If you did, that would not have any effect on the e-mail's admissibility. EDIT: One other note, because I hadn't looked at it before. The LinkedIn article to which you linked and the comments on it are basically nonsense. Legal advice from a graduate of the "School of Life" is about as valuable as life advice from a graduate of a school of law.
20th Century Fox have a trademark on "Simpsons." They have trademarks on "Bart Simpson", on "D'oh", on "Duff Beer". I would assume that they take their trademarks seriously. What you can't do is to use someone else's trademark to make people believe your commercial product is related to theirs. It's quite reasonable to assume that someone seeing your book in a store would think it is written by the makers of The Simpsons show and therefore buy it. Even if you say that isn't your intention, it is what would happen. I'd try coming up with some different titles, maybe "How to write animated TV shows" with "Example: The Simpsons" (well, you are the writer so you should come up with something better), and take them to a lawyer. And then contact the makers of the show (again asking the lawyer for advice how to do this) because even if your lawyer says the title is fine, that doesn't mean you can't be sued.
Yes australia This is a straight up and down case of “deceptive and misleading conduct”. There is plenty of case law to support that testimonials (which this is) must be genuine, not paid for as they are from an actor. Further, they cannot be cherry-picked. If 5 real people reacted and 2 reacted negatively, you cannot just show the 3 who reacted positively - you have to show them all or otherwise disclose that 3 out 5 people loved the product. When actors (or people who are otherwise getting paid) are used that fact must be disclosed if it is not clear from the context. In a typical ad where people are just shown using the product without giving a personal endorsement it’s sufficiently clear that they are actors. However, in the type of ad you describe if they were actors this would need to be stated. Television and radio personalities must disclose when they are being paid for an endorsement under enforceable codes. Influencers are required to do so under non-binding codes, however, it is likely that breach of these codes would also be a breach of the law.
I don't think that's an accurate interpretation of the statement. The key difference between the two scenarios is the defendant's legal assessment of who owns the necklace. In the first he thinks he is the owner and can claim mistake of law; in the second, he he thinks someone else is the owner, so he cannot. To say he believes "the law allows for someone to do whatever they want with lost property even if they know who the rightful owner is" is very different from saying he thinks he's the owner. He doesn't think he's the legal owner, he just thinks he has legal rights that include some rights associated with ownership. So if the defendant's statement had actually been, "I thought I was the owner," that would have been a successful defense when the crime requires depriving the owner of the property. The defense was actually, "I thought I was allowed to deprive the owner of the property," which is an admission of guilt when the crime requires depriving the owner of the property. There are a couple questions here: a. A different crime that did not require intent -- or even required a different kind of intent -- could still lead to a conviction. A legislature is free to define larceny differently, so it could say that anyone who recklessly or negligently deprives another of property is guilty. Or it could say that your state of mind doesn't matter and that depriving another of property is larceny regardless of intent. b. In most cases, the mistake of law defense requires that the defendant honestly believe in the mistake; unlike mistake of fact, it does not require that his belief also be reasonable. Either way, the question of reasonableness would probably be a question for a jury, so a judge wouldn't be able to reject it (except in a bench trial). c. Mistake of law is a potential defense to any crime that requires an intent to do something that requires an assessment of what the law is. So if it's illegal to intentionally have sex with a woman who is not your wife, and you mistakenly believed you were in a legal marriage, sex with your non-wife would not be a crime. It has potentially very broad implications, but keep in mind that in many cases, the mistake a defendant would have to claim would be pretty far out there. If it were illegal to intentionally let anyone under 21 years old into your bar, I guess you could argue that you only let a 20-year-old in because you thought the law started calculating at conception, but I doubt you'll convince a jury. Mistake of law defenses still pop up pretty regularly. Here's one just yesterday from the Tenth Circuit. And this one is a Kansas case where a conviction for carrying a weapon while a felon was overturned because the court wouldn't allow a mistake-of-law defense. The Kansas case, though, uses the more modern definition of mistake of law, which also includes reasonable reliance on official statements from the government. In that case, the felon's parole officer had told him that it was OK to carry a pocketknife, but in reality, the law titled "Criminal possession of a firearm by a convicted felon" prohibited carrying knives, as well.
was there a good way to publicly shame Bob, and prevent him from getting his next job, without breaking Carol’s confidence? Apparently not. The conclusion that Bob's violations of company policy are short of breaking any laws leaves little to no reason for publicly shaming him. Details on the company policy, the facts, and the statements might make a difference, but your description is generic in that regard and would require us to speculate on what they could be. Could there have been grounds for a lawsuit? It largely depends on the terms of the publications, their veracity & import, and --if false or unfounded-- their effect on Bob's prospects and/or whether the statements are defamatory per se. Would a truth defense for a statement such as, “We completed an investigation of Bob for professional misconduct,” require disclosing the investigation? Yes. A defendant has the burden to prove the [affirmative] defense(s) on which he intends to premise his position. Note that the statement “We completed an investigation of Bob for professional misconduct” in and of itself is not really a truth defense because it is inconclusive as to whether Bob was found to have incurred misconduct. The sole fact that Bob was investigated does not justify imputing to him disreputable conduct. Would a defense that the investigation gave them legitimate reasons to believe that the insinuation they made is true require them to disclose it? Yes. Bob is entitled to gather from the defendant the bases for the latter's allegations. Otherwise defamers would systematically elude their liability by sticking to generic allegations only. Are there other good defenses that could have gotten the lawsuit dismissed as frivolous? That requires us to speculate because we are given no details about the underlying events, Bob's pleadings, the evidence obtained during discovery, and so forth. That being said, a prevailing defense does not imply that the lawsuit is frivolous. Would the identities of the witnesses have been redacted? No. The fact that Bob did not break any laws suggests that the matter does not warrant measures akin to witness protection. Nor does your description reflect that the communications are protected by some privilege. Is it credible that Ethan had a good legal reason to keep this “in the family” for Carol’s sake? That is unanswerable because, inter alia, it is not about the law, it is unclear what exactly "Carol's sake" entails, and the substance of the company's other scandals as well as Ethan's reason(s) are unspecified. Ethan's "good legal reason" does not necessarily have to protect or advance "Carol's sake".
Who's liable for copyright infringement when hiring a design company? If company A pays company B to create an ad/logo/video/etc. and then uses it, what happens if company B used copyrighted material without obtaining the necessary permissions, unbeknown to company A? Is company A liable for that? I assume they wouldn't be able to use the material after being informed of the infringement and presented proof of that. I'm asking about if they don't know about it.
Yes, company A is liable for that; ignorance is not a defence. For this reason, a prudent company A would put an indemnification clause in their contract with company B so that if A is sues then company B pays. This is, of course, completely useless if company B is out of business at the time of the suit.
Is it legal to make a video compilation of websites that use our product for promotion of our company? [...] We would only be showing brief clips of client's products, strung together for a short video. This will most probably be both copyright violation and trademark infringement. Copyright is generally violated if you copy a creative work produced by someone else - which is what you want to do. Trademarks are generally violated when you use someone else's trademarks (such as their logo or company name) to promote your product - which, again is what you want to do. There are various exceptions available - copyright may not apply if the work is very simple, trademark use may be allowed e.g. in comparative advertising, etc., etc., but the rules for this are complex, unclear and very different in various jurisdictions. You could risk it and hope no one sues you (and maybe no one will), but the safe route is to ask permission first.
It Depends If the person reusing the image (lets call that person R for reuser) is not complying with the terms of the Creative commons license, which include a requirement to provide attribution of the source work, then R cannot rely on the license, and the granting of the license ad the presence of a license declaration is legally irrelevant. R must have some other basis to reuse the image. This could be an exception to copyright, such as fair use or fair dealing. Or possibly the image is not protected by copyright, for example because its copyright has expired, or because it is a work of the US Federal Government being used in the US. In the absence of such a basis, R is infringing copyright. In much of the world copyright now lasts for 70 years after the death of the author (or of all co-authors). In some different terms apply, ranging from life+50 to life+100. Sound recordings and photos get shorter terms in some countries. In the US the term is life+70 for recent works, but for work created and published before 1978 more complex rules apply, depending on the date of publication, and whether laws on notice and renewal were complied with. See the well-known chart Copyright Term and the Public Domain for the various cases and when copyright expires in each case. The question asks about fair use. This is a US-specific legal concept. It is designed to be flexible, an is highly fact-dependent. As a result it is rarely possible to say if a use will qualify as a fair use with certainty until a court passes on it. See Is this copyright infringement? Is it fair use? What if I don't make any money off it? for more on fair use. Not providing attribution is itself often considered to weigh against fair use. The question does not give enough detail to make even a good guess as to whether such a use is likely to be held to be fair use. Identifying the kind of eagle has some educational value, which might favor fair use to some extent, but must be considered in light of the overall purpose of the use, which is not described. There is no indication as to whether the original work is creative or factual, or whether the reuse would be likely to harm the market for the original. Much use of images on social media does not stand up under a fair use analysis. Providing proper attribution might well help any fair use claim. See also Do you have to give attribution if an image falls under Creative Commons?
Making a profit does not make the act illegal: it is illegal without there being any profit. The act of copying without permission is what makes the act illegal. Profit might maybe enter into the matter if you are talking about the "fair use" defense, since certain kinds of works can be partially copied for certain purposes. You could quote a few lines from a novel in a review, for instance. The judgment of whether a given act of copying without permission is allowed under fair use is complex and involves a balancing act. Profit becomes relevant in that a non-profit use favors fair use and a for-profit use disfavors it. Wholesale copying of works of art as you describe is illegal (is infringement). However... "illegal" is a pretty broad concept. If you infringe on my intellectual property, you almost certainly will not suffer any consequences unless I sue you. Taking "illegal" to mean "in violation of the law", infringing copyright is illegal because it violates the law, but I have to make a federal case out of your infringement – I have to sue you. As it happens, it can also be a crime to infringe copyright, and in that case, the government and not the copyright holder pursues the matter. If a person knowingly infringes copyright, he might be prosecuted, thus the Megaupload case which in the US is realized in the indictment US v. Dotcom. Moreover, profit motive is a required element for criminal infringement. (Also note that you don't have to actually make a profit for the profit element to be present). You cannot sue a person unless they have harmed you, so if you know that Smith copied Jones' work you can't sue Smith for harming Jones. (This is what they call "standing"). You might sue Smith, but not for infringement itself. If they sold you an illegal infringing copy, then you could sue. Or, their infringement could diminish the value of your legal copy. This website gives a multi-nation overview of criminal copyright infringement laws.
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
Hypothetically speaking, if a program doesn't come with a EULA, does that mean someone in possession of it (who isn't the owner) would be breaking the law if they used it? If the copy on the stick was lawfully made with permission of the copyright holder, then you can lawfully use the software. Someone who lawfully comes into possession of a lawfully made copy of the software (that was not a backup) has the right to use that software in the ordinary way. For example if someone found a USB stick lying on the ground and it had software on it but no EULA, could they use the software? Maybe, but it would be hard for them to know whether they could or not. It might be a backup. It might be an unlawful copy. There was a case where a person found a CD in the trash that was clearly an original. The package had a shrink wrap agreement, but he found the CD without the package. The court held that he had every right to use the software on the CD (since it was a lawfully-made copy and not a backup) and was not bound by the EULA (since he hadn't opened the package). But he was very fortunate in being able to demonstrate these facts.
To the best of my understanding: US copyright law does not have anything in particular to say about credits of this nature, for the most part. The law doesn't even say that you have to credit people at all. It just says you have to get a license (i.e. "permission") to use the item in question. Even that is only required when the work is not a "work made for hire" (i.e. any work by an employee of the production company, within the scope of their job). There are some weird situations where the law does require a credit (e.g. a compulsory license acquired under 17 USC 115 requires the licensee to preserve metadata identifying the original song and artist), but this is the exception rather than the rule. The exact wording and ordering of film credits (and TV/other credits) is typically the product of extensive negotiations between all of the people credited, the production company, and (in most cases) their respective unions. It is thus subject to contract law rather than copyright law. Copyright licenses usually mandate some sort of credit be given, except for certain specialized types of work such as ghostwriting (where the whole point is that you don't get credited). Some licenses are more flexible on this point than others. For example, Creative Commons licenses set out a specific list of things that must be included, and mandate that it must appear alongside other credits if there are any, but other than that, you can basically word and display the credit in any way that is "reasonable." However, one-off private licenses will likely be much more specific and restrictive about how the credit is displayed. Speculating: It may be the case that different attorneys drafted different licensing agreements with different credit phrasings wholly by accident, or for no particular reason, simply due to a lack of direct coordination. In other words, nobody was actively trying to make sure all the credits matched, so they didn't.
The fact that a developer is showing off work that he/she has done for other another company doesn't imply that that developer owns any copyright to the work. In Canada, see the Copyright Act, § 13 (3): Where the author of a work was in the employment of some other person under a contract of service or apprenticeship and the work was made in the course of his employment by that person, the person by whom the author was employed shall, in the absence of any agreement to the contrary, be the first owner of the copyright and § 13 (4): The owner of the copyright in any work may assign the right... In the US, see 17 U.S.C. § 201 (b): In the case of a work made for hire, the employer or other person for whom the work was prepared is considered the author for purposes of this title, and, unless the parties have expressly agreed otherwise in a written instrument signed by them, owns all of the rights comprised in the copyright. and § 201 (d): The ownership of a copyright may be transferred... "What rights should and should not be attributed to the developer?" That is a business decision to be made on a case-by-case basis. Advice about the prudent balance of copyright between an employer/client and employee/contractor is legal advice. "Is it okay to use this projects as part of the developer's portfolio?" If the developer can link to public use of a product that he/she developed for a company, then the developer is not violating copyright by simply advertising that they worked on the product and linking to, without reproducing, the work. If the developer for whatever reason maintained copyright ownership in the code and other assets, it would not be copyright infringement to reproduce those as part of the portfolio. If the developer did not maintain copyright ownership in the code or assets, reproducing those may be copyright infringement, dependent on whether the copyright owner allowed the developer to reproduce those elements, or if the reproduction is fair use. There may be other laws or contracts implicated, though: non-disclosure agreements, trademark law, among others.
If a witness refuses to answer 'Has the defendant done this before?', then why can the jury appeal to ignorance? Source: p 186, The Art of the Advocate (1993) by Richard Du Cann QC (called to the Bar of England and Wales). Until then great attention will be paid to any question asked by the jury on the nod and wink principle referred to. Counsel will do anything they can to answer, or to explain why they cannot answer, the question that is put. Some can be very embarrassing. The one cited in the last paragraph [1.] [(for instance, in a criminal trial, 'has the defendant done this before?')] [herefrom] [2.] would probably lead to the discharge of the jury if the defendant did have any previous convictions [3.] since by refusing to answer the question the jury would be bound to infer that he had, thus taking from the defendant his right to anonymity of character. To me, 3 appears to be the Logical Fallacy of Appealing to Ignorance. So how would 3 imply 2? A refusal to answer the question does not logically imply a negative answer, though I understand why one may infer so. What if it is the Judge who stops and prevents the witness from answering 1? Then the jury cannot infer anything about the witness.
An appeal to ignorance asserts that a proposition is true because it has not yet been proven false. That is not in any way the situation here. The defendant knows if he/she has or has not so the only available answers under oath are "yes" or "no" - the jury knows this too so any other answer will be seen as disingenuous. However, this information (affirmative or negative) is off limits to the jury as it could prejudice their decision, hence the mistrial. A quick judge could instruct the defendant not to answer and instruct the jury to disregard the question but if a conviction results the defence team could use the fact that it was asked as grounds for appeal. A judge must decide if the interests of justice are better served by a retrial or a tainted conviction.
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.
united-states I am answering this in the case of a criminal jury trial (given the context of the previous question). It is my understanding that the judge must accept (almost?) all evidence admitted into court. So, this leaves me with three questions: What happens if an official shows evidence that the judge hadn't agreed to feature in the trial? . . . What happens if the evidence happens to be inadmissible? A trial in a criminal case takes place in a courtroom at a predetermined date and time, with the prosecutor physically sitting at one table in front of a judge and the defendant and the defendant's lawyer physically sitting at another table in front of the judge, and a jury physically sitting in a seating area to the side of the judge, and a witness (usually) physically sitting in a chair on the other side of the judge (in rare circumstances, for minor witnesses, testimony is provided by telephone with the phone put on speaker in the courtroom for all to hear), and a court reporter or tape recorder keeping track of what happens verbatim. In a trial, essentially all evidence comes in through witnesses sitting on a special the chair in front of the judge designated for witnesses (called the witness stand) at the request of either the prosecuting attorney, or the defense attorney. This is the only way the evidence is introduced (other than by stipulations of both side's lawyers). Prosecutors and defense attorneys don't testify or provide evidence themselves. The judge is usually not told what evidence will be offered at trial in advance, although sometimes a pre-trial hearing is held to consider a particularly important piece of evidence's admissibility prior to trial, in a hearing on what is called a "motion in limine" or a "motion to suppress". If that happens, the judge's decision made in advance will be honored by the judge when anyone tries to introduce the evidence at trial. But those are the exception and not the rule. Usually, any witnesses can be asked any questions at trial and the judge does not consider the admissibility of the answer to the question until it is asked and objected to by the other side's lawyer at trial. A defendant can choose to be, but is not required to be, a witness in his or her own case. In a trial, when it is their turn, the prosecution and defense, respectively, ask witnesses to sit at the witness stand one by one and ask them questions, which the witness answers under oath, absent an evidence objection from the other side's attorney. While a witness is on the stand, exhibits such as documents or physical objects can also be introduced into evidence in connection with the authenticating testimony of the witness (except in cases where both sides stipulate to the admission of the documents or other non-testimonial evidence). As the lawyers try to introduce evidence by asking a question to a witness on the stand, or by asking the judge for permission to introduce non-testimonial evidence, the other side's attorney can say, "I object". If that happens, the witness on the stand is not allowed to answer the question and the non-testimonial evidence (e.g. documents, or a knife allegedly used in a crime) is not made available to the jury until the judge rules on whether it is admissible or not in accordance with the rules of evidence. Usually, the judge rules on the evidence objection immediately in the moment, although in rare cases, the judge will let the jury have a break for a few minutes while hearing arguments from the lawyers for both sides on about the relevant evidence rules and/or researching the legal issue, before ruling on the evidence issue. Once the judge rules on the evidence issue, the trial continues immediately. If the judge "sustains" the objection to the evidence, then the question doesn't get asked and/or the jury doesn't get to see the non-testimonial evidence. The lawyer whose question or offer to introduce evidence was successfully objected to moves on to their next question (if any) for the witness instead. If the judge "overrules" the objection to the evidence, then the witness answer the question and/or the jury gets to see the non-testimonial evidence which is "received" into evidence by the judge. This process continues continuously, for as many business days as it takes, until all witness testimony and all non-testimonial evidence has been presented to the court and both sides have told the court that they have presented all of their evidence. Then each side makes closing arguments to the jury, the judge reads the jury instructions of law on how to resolve the case, and the jury is sent to closed room to discuss the case and decide whether to say "guilty" or "not guilty" with respect to each charge brought by the prosecution in the trial. This decision is called a "verdict" and when the jury has made up its mind on all charges present to it, the jury lets the judge know that it has made up its mind, and the judge calls everyone back to the courtroom, and the jury tells the judge what they decided in open court. If the verdict is "not guilty" on all criminal charges in the case, then the case is over, with no post-trial motions and no appeals. If the verdict is "guilty" the defendant is convicted, subject to post-trial motions to declare a mistrial and appeals by the convicted defendant. If the convicted defendant appeals the case, and the judge abused his discretion in overruling an objection to the evidence that is made by the lawyer for the defendant (or the defendant personally if the defendant is not represented by a lawyer), because no reasonable judge could have found that the evidence was admissible under the circumstances, then the appellate court rules that the judge has made an "error". The appellate court will not find that the judge's ruling is an "error" if the judge made the correct decision for the wrong reason. If it is reasonably possible that "error" possibly in combination with other errors made by the trial court judge could have caused a convicted criminal defendant to have been acquitted by the jury if the errors weren't made by the judge, then the defendant gets a new trial. The new trial usually before the same judge with a new jury. But the new trial is before a different judge and a new jury if the judge is no longer a judge on the court for any reason, or if the judge has been so defiant of the appellate court (typically ignoring its instructions in a retrial after a first appeal) that the appellate court decides it must remove the judge from the case. A criminal defendant is only acquitted by an appellate court if the appellate court finds that it would be impossible under any circumstances for the defendant to be convicted in a new trial, possibly with different evidence presented by the prosecution. What happens if a private citizen does the above? This doesn't make sense. Private citizens don't rule on the admissibility of evidence in a criminal trial, and can't introduce evidence in a criminal trial except at the request of a prosecuting attorney or defendant's attorney by being called as a witness and asking the questions that the lawyers (and sometimes the judge as well) asks the witness. Witnesses are not allowed to volunteer testimony or provide documents to a jury unless asked to do so by a lawyer in the case. What happens if someone provides evidence in court without the knowledge of the judge? As the process described above should make clear, this is basically impossible absent some extremely irregular event on the same level of irregularity as someone bribing a jury or threatening a jury with harm if he votes the wrong way.
How exactly would the court determine this to be the cause of divorce? 99.99% of the time, this would be purely a "he said she said" situation, for how can someone prove refusal to engage? You can prove the opposite if there are children born to both parents, but how can one prove a negative? Or is the statement by the divorce initiator considered sufficient for the judge? Testimony under oath is evidence. Judges resolve "he said she said" situations every day on a routine basis with witness testimony alone by judging the credibility of each witness before them. See also an answer by @Jen about the subject of how things are proved in court in general. In the appropriate case, testimony under oath with no other corroborating evidence can even support a murder conviction as proof beyond a reasonable doubt. It can certainly suffice to prove marital fault in a civil lawsuit for a divorce. If the judge finds that witness testimony under oath between more than one witness is irreconcilably different, and each witness is equally credible, and that it is impossible to tell which person is telling the truth, then the person seeking relief from the court has failed to meet their burden of proof to obtain relief from the court. But, this is rare. Usually, when witnesses are both testifying under oath and disagree about what happened, the judge will find that one witness is more credible than the other. And, in truth, while people certainly do lie in open court under oath, and probably are more likely to lie in that situation than when speaking to someone not under oath outside of a courtroom, most of the time, people don't lie and the testimony of all of the witnesses are consistent with each other subject to limitations based upon what they could perceive from their perspective and the limitations of imperfect memories. This could come down to demeanor in court, hesitation in answering, "tells", inconsistencies in their testimony, corroboration from other evidence and other witnesses (e.g. what someone said to a friend or wrote in a diary at the time), evidence that a witness has been convicted of a crime of deceit in the past, use of language that suggests coaching about their testimony, or common sense judgments about whose story seems more plausible under the circumstances of the parties in front of the judge.
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).
You could bring a motion to compel for failing to respond substantively to a motion to admit which is objected to, just as you could for an interrogatory. The process is the same. Normally, a request to admit would not be deemed admitted if a substantive objection was filed by the deadline, even if there was no express admission or denial. Only if the objection were completely and utterly meritless would a judge be likely to order that the request to admit would be deemed admitted in that case since the response was a de facto non-answer and the objection was a mere sham. @Iñaki Viggers states in his answer: the purpose of a request for admissions is [to attempt] to stipulate --rather than to discover-- the facts on which plaintiff and defendant agree. This is not really true. A request to admit is a discovery tool to prevent you from having to prove up what should be non-controversial facts that might nonetheless take time or documentation to prove at trial and to gather evidence for in advance of trial. The questions in a request to admit are typically ones that the other side would not willingly stipulate to (for example, because they'd like to be able to offer testimony to explain a seemingly unfavorable fact) but may not be able to deny. If a party denies a request to admit and then offers nothing to support the denial in discovery practice or at trial, that party risks court sanctions for the groundless denial. Good litigation practice is also always to include some requests to admit that are effectively outcome determinative to give the opposing party a chance to screw up and essentially default the case by not responding on time.
There are certain situations where the law may require you to provide some information -- particularly when you've been pulled over for a traffic violation -- but it is typically limited to basic identifying information. Beyond that, it is legally advantageous to refuse to answer questions. If you are doing so, though, you should explicitly invoke your Fifth Amendment right against self-incrimination, and your Sixth Amendment right to counsel. Invoking the Fifth prevents the police from using your refusal to answer as evidence, and invoking the Sixth requires the police to stop asking you questions. It may, however, be practically disadvantageous to refuse to answer questions, as there are cops who are just looking for a reason to act like a psychopath.
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.
How aggressive does a business need to be at preventing customers from bringing alcohol on premises? I volunteer at a new 501c3 art studio in Washington state where you pay to have space to do art. The organization policy is no alcohol on the grounds unless we have a special event with a liquor license. Trouble is artists bring a wide variety of drinks and there are so many available on every end of the spectrum. Fermented tea now has some alcohol. It is hard to police when you don't know what is in drinks. My question is what are the laws regarding customers bringing in alcoholic beverages? Are there % limits? Who's to blame if we disallow it? Does it have to be posted (we are already ending up with a lot of postings)?
They need only take " reasonable measures", which is fairly subjective sounding... I know... But it just means that it's a fact dependent analysis taking into consideration all of the facts that are readily available. So, for example, it would be a different burden if you had 10,000 people coming, vs 10. If you post a sign saying no alcohol allowed on premises and you keep an eye out for blatant violations and deal w/ them accordingly you're fine. You're not duty bound to ensure that not a drop makes it in. It's basically meant to just keep you from serving it while not paying the higher licensing fee.
Short answer Sorry. Everything you want to do is completely illegal. Consider the time you have invested so far a learning experience. Very little of your work will be salvageable. You need to start over pretty much from scratch with an original visual and musical pallet only vaguely inspired by the original. If you don't, you will be sued for many, many different reasons and lose. Longer answer Intellectual Property Problems There are multiple intellectual property-like problems with your plan. If you use any registered trademarks (or unregistered claimed of trademark designed with the superscript "TM" by the restaurant) you are probably looking for trouble. If the architecture or anything in the restaurant is protected by copyright or a design patent, you are looking for trouble. The restaurant can probably claim "trade dress" protections of its "look and feel" to the extent that those elements are a consistent part of the restaurant's image and is distinctive. If individuals in the game correspond to individuals in real life from whom you have not received permission, you are probably engaged in tortious violation of that person's right of publicity. If you use music used in the restaurant without permission in the game, this is probably a violation of somebody's copyright unless you obtain a license (or statutory license for covers of music copyrighted by someone else). If you are a former employee of the restaurant, there may also be contractual limitations in disclosures of elements that are considered "trade secrets". Tort Law Problems In addition to intellectual property issues, there is a good chance that if the correspondence between the real restaurant and your game is close enough, and the game displays the restaurant in a negative light (perhaps partially due to video game hyperbole) that you will be sued (quite possibly successfully) for defamation, for "injurious falsehood", or for the tort of "false light" (if that privacy tort has been adopted in a state where the game is sold). Bottom Line: You Are Screwed If You Proceed Basically, if you can't obtain permission, it is a really bad idea to proceed according to your original plan and you will be successfully sued to no end. Moreover, even if you do win a lawsuit in the end, you will go broke trying to defend it and will be hopelessly distracted for years from your main business of selling video games. Options To Make Your Video Game Legal You can either parody the original (which is quite tricky), or you can follow the advice in the comment from @schizoid04 and change things to a similar degree to what you commonly see on television or in movies where they clearly don't have the licensing rights to the real thing. If the game uses the images in connection with culinary or political criticism it could also be protected, but this video game probably would not rise to that level for intellectual property purposes. Should I simply give the restaurant a different name? Should I feature the restaurant in a different city than where it really resides? What if I mirrored all of the architecture to be backwards like how people "Mirror" copyrighted video on youtube? None of these measures (or even all of them combined) go nearly far enough to be sufficient to ward off intellectual property or defamation-type lawsuits. You need to rebuild from scratch touching on some of the general ideas or cliches for this type of business, but none of the distinctive specifics that associate this particular business with your images.
Rather than deciding that a restaurant is a convenience store, the restaurant owner can, following the text that you quoted ("unless the consumer specifically requests the single-use plastic straw"), wait for the customer to request a straw, in which case they can give the customer a straw. If a restaurant owner decides to declare that it is a convenience store and not a restaurant, there could be unintended consquences, since (for examples) a convenience store can't serve a glass of beer.
If your app is published under US law, then the DMCA would apply, just as if it was a web site. The DMCA doesn't say anything about what particular technology the distributor is using. TO be protected by by the DMCA's "safe harbor" provision, you will need to include a notice in your app that you accept takedowns, and provide an address or method by which they can be sent, and an agent who will receive them. (You can be your own agent if you choose.) When and if you recieve a take down notice, you must check if it is valid in form. According to this Wikipedia article, a takedown notice must include: (i) A physical or electronic signature of a person authorized to act on behalf of the owner of an exclusive right that is allegedly infringed. (ii) Identification of the copyrighted work claimed to have been infringed, or, if multiple copyrighted works at a single online site are covered by a single notification, a representative list of such works at that site. (iii) Identification of the material that is claimed to be infringing or to be the subject of infringing activity and that is to be removed or access to which is to be disabled, and information reasonably sufficient to permit the service provider to locate the material. (iv) Information reasonably sufficient to permit the service provider to contact the complaining party, such as an address, telephone number, and, if available, an electronic mail address at which the complaining party may be contacted. (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. (See the actual text of the relevant section of the law.) If you receive (through your designated agent) a valid takedown notice, you must promptly remove the content and notify the poster (or you can instruct to poster to remove it, but you must do so yourself if the poster does not). If the poster then files a valid counter notice (see the linked sources above) with your agent, you must notify the sender of the original notice, and if the sender does not notify you of a copyright suit filed within 10-14 days, you must restore the content. Provided that these rules are complied with, the host gets a 'safe harbor" and cannot be sued for copyright infringement, nor for the act of taking down the content. I believe that the agent must be registered with the US copyright office. The courts have not ruled on just how quickly an ISP or other host must react to the takedown notice. It must be "expeditious". Moreover, Under the DMCA (i) 1) (a) The host must have, post, and enforce a policy denying access to repeat infringers, or lose safe harbor protection. The text of the provision is: (i) Conditions for Eligibility. -(1)Accommodation of technology. —The limitations on liability established by this section shall apply to a service provider only if the service provider— --(A) has adopted and reasonably implemented, and informs subscribers and account holders of the service provider’s system or network of, a policy that provides for the termination in appropriate circumstances of subscribers and account holders of the service provider’s system or network who are repeat infringers;
Arizona law operates in terms of "spirituous liquor", which is defined as containing more than 0.5% alcohol by volume. You'd have to send the cheese to a lab to determine the actual alcohol content, but it is likely that the product has less than the threshold amount of alcohol. It is not clear why vanilla extract is not classified as a spirituous liquor, since it satisfies the definition (as a mixture of alcohol with another substance, and it is indeed capable of inducing intoxication).
You are referring to Michigan State Police v. Sitz 496 U.S. 444 (1990). It does not require or suggest a requirement of advance publication of any details regarding the checkpoints. The dissent mentions that "a sobriety checkpoint is usually operated at night at an unannounced location. Surprise is crucial to its method." This point was not countered or even mentioned by the majority. In this case, a state committee had created guidelines setting forth procedures governing checkpoint operations, site selection, and publicity. The mentions this as a background fact, but does not rely on the existence of these guidelines as a requirement for the constitutionality of checkpoint stops. It does contrast checkpoints with "roving patrol stops". Quoting from Martinez-Fuerte 428 U. S. 543 (1976), the majority in Sitz said: "at traffic checkpoints, the motorist can see that other vehicles are being stopped, he can see visible signs of the officers' authority, and he is much less likely to be frightened or annoyed by the intrusion". There are state guidelines, some states have constitutions prohibiting sobriety checkpoints (lots of case law at the state level regarding this), and some state legislatures have made these illegal. In Sitz, the checkpoints were being operated subject to guidelines developed by the Sobriety Checkpoint Advisory Committee (of the State Department of Police). Federally, the NHTSA has guidelines on visibility and publicity towards the goal of effectiveness.
Yes. There is no strict regulation of what kind of business can be operated out of a for profit entity in most jurisdictions, subject to some specific exceptions. In certain regulated industries, e.g. banking, pubic utilities, alcohol industry firms, firearms sales and manufacturing firms, marijuana industries, law firms, firms of medical doctors, there are limits on the scope of what can be in a single entity. But, these are exceptions to a permissive general rule.
I’m guessing you have seen a sign in a business that read - “Management reserves the right to refuse service to anyone”. At least in the US, they do not need a reason as long as the reason isn’t unlawful discrimination. They can decide not to serve you.
Signing vs initialing a contract When should/are initials used, in the context of a contract? How are they different from a signature of a full name? Come to think of it, is it required that a person's signature be their first and last name?
To expand on Dale's answer, the general principle applying to acceptance are as follows: The offeree's clear and absolute expression of intention and assent must be made in response to, and must exactly match, the terms of the offer. This expression must be communicated with the offeror in order to be effective. This means that a verbal contract is just as binding as a written one, with or without initial or signature. The importance of the initial or signature, as correctly identified by Dale is to be able to hold the offeree to account if a breach of the contract follows. Importantly, a contract can stipulate in what form the expression of acceptance must take. In the case of unilateral contracts, such as in adverts (see Carlill v Carbolic Smoke Ball Co. [1893], for a relevant item of UK case law), no expression of acceptance is needed to be received by the offeror - merely attempting to perform the act has been held as adequate acceptance.
is this absolutely required to be considered a valid document in most jurisdictions, most notably, the European Union? Not at all. There is no legal requirement that contracts, terms of service, and so forth be drafted, devised, or even validated by a lawyer. Law requires that certain types of contract be notarized. That refers to the moment where the parties sign/formalize the contract, which is different from --and independent of-- whether its terms were written by a lawyer. A messaging service like the one you have in mind definitely is not subject to such requirement either.
If you form an LLC, and then someone later obtains a registered trademark in the same name, the registered trademark would be enforceable everywhere except in the markets and places where the LLC developed common law trademark rights prior to their registration. Your LLC formation would also put a bump in the road in their trademark application. You can, of course, do both, although it is unclear to me why you feel such urgency in the likelihood of an infringement, which suggests that there may be relevant facts that aren't revealed by your post.
In the event of a dispute, the person resolving the matter, probably an arbitrator in the case of a commission dispute between two realtors and either an arbitrator or a judge and jury depending upon what your listing agreement says about that issue, would hear the testimony from both parties and decide. The intent of the parties is supposed to govern in cases of clerical errors, but a signed document has a lot of weight, especially in such a prominent term. It is a little hard from the way the question is posed to determine who is willing to correct the typo and who insists on enforcing the contract containing the typo.
Contracts A contract is not a piece of paper; it is an agreement intended to be legally binding between 2 or more people and it may be verbal or written or a combination of both. That said, where a person has signed a document knowing that it contains contractual terms, in the absence of fraud that person is bound by the terms: it is immaterial whether the person signing reads the document or not. So there are two reasons why a signed contract would not be binding: the person did not know it contained contractual terms fraud. It is in the second case that the validity of the signature would matter. Fraud would have to be proved: it would not be sufficient to say "I did not sign that"; the person would need to demonstrate that a fraud has been perpetrated. Signatures Particularly today, with the ability to scan a signature it is trivially easy to affix anyone's signature to anything. However, a party to a contract is entitled to rely prima facie on the validity of the signature. A person would have to provide evidence that it was not their signature or had been affixed without their knowledge or consent. A court would look at the entire circumstances surrounding such a claim; if a person had, up until the dispute, acted as though they had signed the document then a court would probably not countenance an argument that they hadn't. It is always possible to construct contrived circumstances where this or that could happen but, in reality, they are extremely rare. Unless you are dealing with a con-artist, you can trust the signature; if you are dealing with a con-artist, you have bigger problems. See, the President has endorsed this answer:
Most Likely Yes to both. It really depends on the nature of your agreement, oral agreements are as legally binding as written ones, but as a matter of evidence in court written contracts are of course better. So looking at your agreement: did you agree to pay the full amount, in return for a place to study? Or did you specifically agree to pay on a rolling basis, where you pay for however long you actually study? I would believe that you had agreed to the first type of agreement, since that is what most study contracts are. And if that's the case: You pay to be allowed to attend, whether you actually attend or not isn't important. And even if you pay on a rolling basis, I would think in a lawsuit the court would find that - judging on previous payments - you'd have agreed to pay on a per semester basis, meaning that the incomplete semester would round up and you would still have to pay for it. I would lean yes to the 2nd question (but im not sure so anyone with more info please chime in). This answer can be more useful if you be specific about the terms and conditions of your study
What if somebody copies your signature on a contract that says you can't sue them? what can the judge do to stop this paradox? I will assume that by "copying the signature" you mean "without the person's consent". In that case, the contract is void and consequently unenforceable. However, it would need to be proved that the person whose signature was unlawfully used did not intend to be a party to that contract. For a contract to be valid, the parties must have knowingly and willfully entered it, whether it is via a document or through their subsequent conduct/actions. False pretenses, identity theft, and akin offenses preclude these two essential requirements of any contract. Moreover, if the person who forged the signature is a party to the contract, then that unlawful act clearly contradicts the prerequisite "covenant of good faith and fair dealing" that is presumed in contracts. The remedies or actionability available to a person whose signature has been forged depend on the laws of each jurisdiction.
Does this mistake make the agreement invalid? No. Having worked at that company for six years already, it will be extremely easy for the company to prove that you clearly knew with which entity you were entering the contract. That is what matters in contract law. Thus, the discrepancy of name in te contract is inconsequential. This is similar to what I explained in this other answer. Are employment agreements for employees valid for share holders and officers of the company or should there have been a different one. In the U.S., there is no prohibition to that effect. What matters is that the parties' rights and obligations are stated and accepted with reasonable clarity.
Client side validation loss in profits Let's say I have found a site where you can buy some products. The site follows a typical shop flow, e.g. a shopping cart and a checkout. Now we assume that the developer made a bad decission and calculates the total amount on the client side and does not validate it any further on the server side, this amount is than passed to an online payment service. Now let's say we edit this total amount to something different then the original amount, as an example 0.01€, and pay this amount via the payment service and receive the products. Later on the site owner notices the difference and tries to sue you, what would be the outcome most likely? (keeping the ethical aspect out) Different country's have different laws so I share my thoughts with you from the german view (Other countrys welcome!): As far as I know to have a valid contract both sides have to give a "willing declaration" (Willenserklärung) following the pattern Offer + Acceptance = Contract So is a dynamically calculated price shown on your screen a valid offer you accept by submitting the digital form? Also one could argue that editing the field and sending it to the server makes it a completely new offer (stating what you're willing to pay) to the company and since they redirect you to the payment service without further notice they accept it. I would say this falls under an implied acceptance (Stillschweigende Annahme): Offer + Direct payment without further exchange = Receipt of Products (eg in a store) To set some boundaries let's say that the amount is shown as Text and not in a editable input box and the amount send to the server in some way hidden on the client. I don't know much about legals so feel free to ask if you need any other information
My thinking is that there was no meeting of the minds, thus no acceptance. ( I can see that shipping the goods implies acceptance, however I understand that acceptance implies a meeting of the minds - and there would have been subterfuge to modify the return page with the lower amount - thus at the moment of apparent acceptance there was no actual acceptance) I doubt you would have a case against the other party criminally, but quite possibly in a civil court.
Per GDPR Art 12(5), “any actions taken under Articles 15 to 22 and 34 shall be provided free of charge”. The right to rectification is Art 16 and reads in its entirety: The data subject shall have the right to obtain from the controller without undue delay the rectification of inaccurate personal data concerning him or her. Taking into account the purposes of the processing, the data subject shall have the right to have incomplete personal data completed, including by means of providing a supplementary statement. Thus, I think it would be invalid to charge a fee for an address change if that change was made in exercise of your data subject rights. If you didn't invoke this right, it's debatable whether charging a fee would be proper. On the one hand, they can charge whatever service they want (provided that this was part of the contract you entered). On the other hand, they have an obligation to assist you with your exercise of data subject rights. This includes recognising a data subject request even if you didn't explicitly invoke the specific GDPR article. For example, refusing a request for erasure just because you didn't invoke some magic GDPR words would be clearly noncompliant in my opinion. If the company offers multiple customer service options, charging for some of them may be all right. Typically, the lowest-cost solution for a company to deal with GDPR requests is to offer an online self-service option. An email to the data protection officer would typically also be free. Charging for phone support might be fine though. In an insurance context, there could also be a legitimate claim that updating your address is not a mere correction of your personal data, but a modification of the contract (depending on what you're insuring). Another possible counterpoint (which I think is not valid though) would be that the company never stored inaccurate data and therefore doesn't have to satisfy a rectification request.
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).
You ask them explicitly, maybe adding that you need that info specifically to calculate tax. IP address is not reliable because your customers could be using VPN, Tor, or be on vacation overseas. (By the way, "IP" on a website about law would more likely be understood as "Intellectual Property", not "Internet Protocol address".)
You premise is correct. The processor is someone that processes data on your behalf, and since the GDPR definition of processing is extremely broad, that is about every third party subcontractor that you use for data processing, including various cloud providers. I'm afraid it will soon become a huge mess with a gazillion contracts to sign. I disagree. Yes, the GDPR says that a contract between the controller and processor must exist, but Article 28 of the GDPR does not say anything about how the controller shall document these instructions. Basically, in cases like the one you describe where John Doe relies on a web agency for having a contact form on the web, there will be a standardized (by the web agency) service agreement between the John Doe (controller) and the web agency (processor). There is nothing stopping the parties from agreeing that this service agreement that John Doe accepted as part of the onboarding procedure is also the DPA as required by the GDPR. Putting something like the following in the service agreement would do it: The parties agree that this Service Agreement between You (controller) and Us (processor) set out Your complete and final instructions to Us in relation to the processing of Personal Data and that processing outside the scope of these instructions (if any) shall require prior written agreement between You and Us. You also agree that We may engage Sub-processors to process Personal Data on Your behalf. The Sub-processors currently engaged by Us and authorized by You are listed in Annex A. I think we will se a lot of amendments in service contracts as the GDPR gets better understood, but I don't really see a flood of DPAs in addition to these amended service contracts.
In contract law in the United States, this is a "liquidated damages" clause. It provides that when one side breaches the contract, it has to pay a certain amount of money to make up for it. Normally this is done where it is difficult to calculate the actual damages in the event of a breach, or where the parties would rather avoid calculating the actual damages--a common example is where you put in an earnest money deposit on a house and then forfeit the earnest money if you do not buy. However, there are restrictions on what kind of damages are permitted. Notably, a "penalty" usually refers to an unreasonable amount that is unenforceable as against public policy. It would ordinarily be unreasonable to make someone pay a hundred million dollar penalty for breaking a ten thousand dollar contract, for example. Liquidated damages clauses frequently say "this is not a penalty" and "the parties agree this is reasonable" to make it harder to invalidate them on public policy grounds. Instead, if the liquidated damage payment is a payment meant to reflect actual damages that are just hard to calculate, it is much more likely to be enforceable. You would need to research liquidated damages and penalties in the state whose law governs the contract to determine whether the particular clause is permissible under state law. See https://www.google.com/search?q=restatement+of+contracts+penalty&ie=utf-8&oe=utf-8
The website owner brings in an expert programmer who testifies that the user cannot have gotten to a certain part of the site (or download, etc.) without having clicked to accept the terms of service, and that this document they're holding is a true and correct copy of the terms of service as of that date. That's evidence in favor of the site, and an adverse party has to have stronger evidence in order to overcome it. If the person didn't save a copy of the terms themselves, they'll have a hard time on this. Then the other party's attorney tries to discredit the programmer by asking questions like "how do you know there are no bugs in the software which could have allowed somebody to reach this without agreeing to the terms of service" etc. Apparently, some sites don't require users to click indicating agreement. If the company has significantly changed the site, terms of service, etc. since the time the user registered, and doesn't keep any copies of old versions around, and admits this, they'll have a hard time enforcing an agreement (as they can't produce a copy of it). If the user kept a copy, the user might be able to present that. It's up to the finder of fact to decide what to believe and how much weight to give the various witnesses' testimony.
I find that Petri Mäntysaari: The Law of Corporate Finance: General Principles and EU Law: Volume II, p. 115-140 can pretty much explain the reasoning for this. It is in chapter 5.3 on Terms non-binding as intended. The contract might not contain all legal requirements for some reason, or a clause might become invalid due to law changes. Sometimes the contract becomes unenforceable for some reason or another in part or full. The salvatorian clause is there to fix the defective clause to become the closest estimate to the written form that is legal and not deficient instead of being just dropped from the contract. This can save a contract from becoming unenforceable or making it void in whole. Especially look at Page 140: If a contract term is invalid because of a mandatory provision of law, it will be replaced by legal background rules(§306(2) BGB). One of the standard ways to address the situation is to use a so-called salvatorian clause. [...] This [reinterpretation/fixing of deficiencies] would not happen without a specific contract term. (See §139 BGB. On the other hand see also §140 BGB. Compare DCFR II.-7:302 and II.-7:303) A caveat though: if the alteration to the clause needed is too big and substantial, the contract as a whole can become void and null, no matter what the salvatorian clause said. It cannot overcome some burdens and there are regularly courts (I know this for Germany) voiding contracts due to such serious deficiencies. Notes BGB is the German "Bürgerliche Gesetzbuch", an english translation exists §139 says "If a part of a legal transaction is void, then the entire legal transaction is void, unless it is to be assumed that it would have been undertaken even without the void part." Example: a sale lacking any payment is not a sale (which starts a legally required warranty) $140 says "If a void legal transaction fulfils the requirements of another legal transaction, then the latter is deemed to have been entered into, if it may be assumed that its validity would be intended if there were knowledge of the invalidity." Example: a sale lacking any payment can be interpreted as a gift if the intent was to do so (and does not grant warranty) DCFR is the EU Draft Common Frame of Reference, so the above rules are to be found in the document as follows II.–7:302: Contracts infringing mandatory rules - p. 565. Paraphrased: "if a clause in a contract violates a law, substitute the law for it, courts shall decide if that alters or voids the contract. They may fix contracts to cure them." II.–7:303: Effects of nullity or avoidance - p. 574. Paraphrased: "void contract (parts) can constitute unjustified enrichment, transfer of items might not have happened, courts may fix contracts to cure." From the DCFR document one can read what happens in absence of a Salvatorian clause, especially for UK law. II.–7:302: I. Contracts contrary to law 1 All European systems deal with contracts which contravene some rule of law, as opposed to contracts which are contrary to fundamental principles of morality or public policy. 5 In ENGLISH, IRISH and SCOTTISH law the standard texts all include chapter headings such as “Illegality”, or “Statutory Invalidity”. See further Enonchong, McBryde, Law of Contract in Scotland1 , paras. 19.28-19.36, and, for the confused development of Scottish law, Macgregor in Reid & Zimmermann vol. II, chap. 5. II. Effects of infringement 8 The general starting point in most European legal systems is that contracts violating legal rules are void. There is often, however, considerable flexibility in the law. 14 In ENGLISH and SCOTTISH law, while an illegal contract may be void, it is more often presented as “unenforceable”, in that neither specific performance nor damages are available to the parties. Thus a party may withdraw from an illegal contract with impunity. Courts will take notice of illegality of their own motion and dismiss actions accordingly (Chitty on Contracts I27, no. 16-199; MacQueen and Thomson, Contract Law in Scotland, § 7.15; McBryde, Law of Contract in Scotland1 , paras. 13.31-13.34, 19.17-19.27).). Again, however, there is flexibility in the law on contracts infringing statutory provisions. There are several cases in which the courts have considered whether giving effect to the statute requires the nullity of the contract as a supporting sanction (see e.g. St John Shipping Corp. v. Joseph Rank Ltd. [1957] 1 QB 267; Archbolds (Freightage) Ltd. v. S Spangletts Ltd. [1961] 2 QB 374, CA). English law is currently under review by the Law Commission: see its Consultation Paper on Illegal Transactions. The Commission’s provisional proposals were to the effect that courts should have the discretion to decide whether or not illegality should act as a defence to a claim for contractual enforcement. But the discretion should be structured by requiring the court to take account of specific factors: (1) the seriousness of the illegality involved; (2) the knowledge and intention of the party seeking enforcement; (3) whether denying relief will act as a deterrent; (4) whether denial of relief will further the purpose of the rule rendering the contract illegal; and (5) whether denying relief is proportionate to the illegality involved. II.–7:303: Notes 5 In ENGLISH law the general rule is against restitution but it is possible in exceptional cases where the claimant is not in pari delicto with the recipient, or the transaction has not been completely executed, or if the claim can be formulated without reference to the prohibited contract (Treitel, The Law of Contract9 , 490-504). IRISH law is similar (Clark 314-19), and so is SCOTTISH law (Stair Memorial Encyclopaedia vol. 15, paras. 764-765), although in one Scottish case where, by statute, contracts using old Scottish measures were void, restitutionary recovery was allowed in respect of a sale of potatoes by the Scottish acre, on the ground that there was no moral turpitude in such a transaction (Cuthbertson v. Lowes (1870) 8 M 1073; see further Macgregor, (2000) 4 ELR 19-45; McBryde, Law of Contract in Scotland1 , paras. 13.31-13.34, 19.22-19.26). The English Law Commission in its Consultation Paper on Illegal Transactions suggested that a court should have discretion to decide whether or not illegality should be recognised as a defence to a claim for restitution, various factors being taken into account. In addition the court should have a discretion to allow a party to withdraw from an illegal contract and to have restitution where this will reduce the likelihood of the completion of an illegal act or purpose, although it must be satisfied that the contract could not be enforced against the claimant, that there is genuine repentance of the illegality, and that it is not too serious.
MIT License for patented software Let's say I have patented an algorithm, but want to make the source of an implementation of the invention freely available and allow non-commercial use. The most common opensource licenses do not have "non-commercial" restrictions, and creative commons is not recommended for software. It is well known that the MIT and BSD licenses do not grant explicit rights to the use of patents embodied in the licensed software (the MIT license contains the phrase THE SOFTWARE IS PROVIDED "AS IS", WITHOUT WARRANTY OF ANY KIND, EXPRESS OR IMPLIED, INCLUDING BUT NOT LIMITED TO THE WARRANTIES OF MERCHANTABILITY, FITNESS FOR A PARTICULAR PURPOSE AND NONINFRINGEMENT. As such, I was thinking of using an MIT or BSD license for the software, while including a "patent pending" or "patented" warning somewhere, along with instructions on how to obtain a license to the patent (once granted). Is this a good idea? Does opensourcing my implementation have any legal implications, e.g. with respect to enforceability of the patent? Would an MIT / BSD license on the software not imply a right to use the patent, especially if the software license is granted by the patent holder?
You can't patent an algorithm, but I'll assume you are talking about the case where you have patented a machine or process that uses an algorithm, but that adds significantly more, and that the software being distributed implements much of this process. Courts might find an implied licence or promissory estoppel when distributing software under an open source licence that doesn't explicitly exclude patent licencing as part of its terms. It would be prudent to state your patent rights and explicitly exclude a patent licence if you intend to enforce your patent rights. As an example, this software implicates a patent , so they allow "permission to use, copy, modify, and distribute this software and its documentation for educational, research, and non-commercial" purposes. Users that want to use the software commercially need to contact the authors who also happen to be the patent owners, and I assume would negotiate a patent licence at that point.
So-called AI software does not enjoy a special legal status (at present: one never knows what new law might be added). The question of whether any software can be distributed "safely" or "responsibly" is also not a legal issue. Nor is "true sentience" a relevant consideration, and nothing is guaranteed. When you distribute software of any kind, there is an implied warranty that the product is "fit", and if software kills you, you may be able to sue the creator for negligence. A software creator may then want to disclaim liability, by saying "WARNING: THIS PROGRAM MAY KILL YOU. OCP IS NOT LIABLE FOR ANY INJURIES ARISING FROM USE OF THIS PRODUCT". This may or may not actually remove liability. In the UK "liability for negligence occasioning death or personal injury cannot be excluded", so such a disclaimer will not prevent a suit against the manufacturer. In the US, the issue is determined at the level of the state – here is a summary of the law in the states. Probably the primary question would be whether such a disclaimer is an unconscionable term, and the second question is whether the act constituted gross negligence (not simply "negligence"). Mississippi exceptionally does not allow disclaimers, but even then, it does allow disclaiming liability when it comes to computer hardware and software. A software disclaimer is not inherently unconscionable, though perhaps some specific disclaimer would be found to be. Courts typically disfavor disclaimers in the case of gross negligence, and again determining what constitutes "gross negligence" is determined on a state by state basis. If the act shows "reckless indifference to the rights of others" and "failure to use even slight care or conduct that is so careless as to show com­plete disregard for the rights and safety of others", then the act might be grossly negligent.
By "unlicensed" you mean that it doesn't state a license for use (MIT, GPL, etc.)? Those licenses are just a codified bundle of terms of use that cover many many edge cases. You have in place a much simpler agreement that covers the primary situation: you using/modifying the code for your own use. It's just like borrowing a car. You will ask a friend "hey, could I borrow your car for a bit?" "sure!". You know there's a possibility that you'll get in an accident or something weird will happen, but you think the chances of that are minimal and you would be able to work it out. If you ask a car rental company, they'll give you a full contract covering every situation that may happen. Similarly, a large company would be hesitant to borrow a car for corporate use without a legal framework surrounding it. So you will likely be in the clear if you are just using it for a small project with minimal legal/financial implications. If you plan on turning your project into a multi-billion dollar empire, you should revisit your agreement.
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.
This answer is limited to United States law. The situation in other countries is definitely different. Under United States law, the owner of a lawfully made copy of a copyrighted work has, as a right of the physical possession of that work, the right to the work's ordinary use. Licenses grant you additional rights such as the right to make derivative works, the right to make copies beyond what's needed for ordinary use, and so on. A pure license doesn't ask for anything in return, it just gives you new rights. Those rights may be conditional, but the conditions are just things you have to do to get new rights. They're not conditions imposed on any existing rights you had. A contract is an agreement between two parties. Both parties must agree to a contract for the contract to be enforceable. Contracts can take away rights you otherwise have. You don't need a license or contract to use a copyrighted work if you lawfully possess a copy of that work. Say you download a copy of a work covered by the GPL. You can refuse to accept the GPL license and you can still use that work. Why? Because no law prohibits you from doing so and there is no civil cause of action for using a lawful copy of a work under US law. But now say you want to give a copy of that work to your friend. This is illegal under US law because 17 USC 106 restrict that right to the copyright holder and there's no applicable exception since that's not part of the ordinary use. For a work covered by the GPL, the license offers to give you that right, a right you wouldn't otherwise have. It imposes conditions on you that are specifically in exchange for the grant of the new right. If you do accept the GPL, it functions as a contract. You got in exchange a right you didn't have before and if you don't comply with the GPL's terms, you don't have the copyright holder's permission to exercise those rights which is required under the law. By contrast, a click-through or EULA takes effect when you agree to it and such agreement is a condition for using the software. That's a pure contract and usually doesn't give you any rights you wouldn't have in the absence of such an agreement other than the use of the software.
In Germany, there is no concept that corresponds directly to public domain. You automatically hold the Urheberrecht (~ copyright) for all creative works that you make, and it can't be given up or transferred (§29 UrhG). The work only enters the Gemeinfreiheit (~public domain) 70 years after your death. You can however license Verwertungsrechte (economic usage rights). When you make creative works in the course of employment (see §43 UrhG), your employer automatically gets the Verwertungsrechte necessary in the context for the work, which is typically an exclusive right (no one else, not even you, can use the work). Your are not in an employment relationship with your school, so it has no rights to your works and cannot prevent you from publishing them on copyright grounds. When you see advice on the internet to check with your school first, that is U.S.-specific advice. Since you're still a minor (7–17), you only have limited capacity to enter contracts or legal transactions (bedingte Geschäftsfähigkeit). While you are able to make transactions involving your own means (e.g. buying something with your pocket money) or make transactions that are only to your benefit (such as accepting a gift), other transactions are schwebend unwirksam (~ pending ratification), until your parents agree. The relevant law is in §107 and §108 BGB. This is a problem with open source licenses. If you publish software under a license, this license is schwebend unwirksam. Someone might start using the software under the license. But then if your parents refuse ratification, the license would be invalid, and everyone would have to stop using your software and destroy any derivative works they made. This is a bit of a problem, especially since open source licenses are otherwise assumed to be irrevocable. So if you want to offer a license (including open source licenses), please give legal certainty to the recipients of the license and ask your parents for their consent first, possibly even in writing. Per §107 BGB, the license you offer with their consent will be valid.
The major differences: MIT has a general "deal in the Software without restriction" clause, where Boost enumerates the things a user is permitted to do. For the sorts of things the average user is likely to want to use the software for, there may not be any practical difference, but the MIT license is considerably broader. A copy of the Boost license does not need to be included with an executable binary, while a copy of the MIT license does. The Boost disclaimer covers "anyone distributing the software" in addition to authors and copyright holders; the MIT license doesn't. Other possible differences differences: A non-corporate-person organization may be unable to deal in MIT-licensed software as an organization, though I'm uncertain about this. You could probably keep an army of lawyers arguing about this point for years. The MIT license may not require including the disclaimer with the license statement. It's unclear whether the disclaimer is part of "this permission notice" or not.
No If YT#1 gets a license from artist A, that permits YT#1 to do whatever copying and reuse is stated in the license. It might be narrow or very broad. Usually such a license will only grant permission to the person who asked. Unless the license also grants permission to YT#2, or to some broader group which includes YT#2, YT#2 cannot claim any rights under such a license. Assuming that the license does not include him or her, YT#2 has the same rights as any member of the public would, but no more. In general, pitch raising a piece of music is a way of creating a derivative work. In the US, under 17 USC 106 one needs permission from the copyright owner to create a derivative work. Otherwise doing so is copyright infringement. The laws of other countries, and the Berne Copyright Convention have similar provisions on this point. Creating a derivative work requires permission in all countries that I know about. "Piggybacking" is not a thing in copyright law. A copyright owner can give permission (usually called a license) to any person or group of persons that the owner pleases. The permission does not extend to anyone else. This is true in all countries. I should be clear that YT#2 needs permission from both YT#1, and from A. The way the question is worded I have been assuming that YT#2 had permission from YT#1, but a comment from grovkin made it clear that I needed to be more explicit about this. It is possible for a license to permit a person to pass on the license to others. For example, all CC licenses and all copyleft and most open source licenses do this, and others could. But the license must explicitly grant such permission. The one way in which a person might create a derivative work without permission and without it being infringement is if an exception to copyright applies. In the US the main exception to copyright is fair use. See Is this copyright infringement? Is it fair use? What if I don't make any money off it? for more detail on fair use. Fair use decisions are made on a case by case basis, and generally depend on the detailed facts of the ase. But based on the limited info in the question, this would not qualify. It seems to use the whole piece of music, which tends to weigh against fair use. The new work does not seem to be transformative, that is, it seems to serve the same general purpose as the original. The new work might harm the economic value of the original, or might if many people did this. The original is creative, not factual. All of those weigh against fair use. Different countries have very different exceptions to copyright, and I do not know all of them. But the use described in the question does not seem to fit any that I know of. In any case, an exception to copyright applies to anyone, and does not depend on another person's license. It is thus never a form of "piggybacking". By the way, the question describes pitch raising ads "illegal". Making an unauthorized derivative work gives the copyright owner grounds to sue. If the owner does sue, and wins, s/he might be awarded money damages, and the court might issue an injunction ordering the infringer not to infringe again. But it would not normally be treated as a crime, and law enforcement would not be involved. In the US, only bulk copyright infringement, carried out as a business, is usually prosecuted (for example a factory churning out unauthorized music CDs).
What is the legal basis of speed signs in Victoria, Australia? When I went for my driver's licence test, they told me to follow the speed signs on the side of the road. What law requires me to obey these signs, and what law authorises whoever puts the signs there to do so?
Road Rules in Australia in each state and territory are based on the Model Road Rules 2012. Each state and territory has enacted these rules (with some modifications; mainly relating to administrative matters) through their respective parliaments. The laws specifically for Victoria are the Road Safety Road Rules 2009 (Part 3 of which includes the obligation to obey speed limit signs) and the Road Safety (Traffic Management) Regulations 2009 (Part 2 of which says who can put up what speed signs where and prohibit ordinary people from doing so), both made under the Road Safety Act 1996 (section 95 and Schedule 2, items 44 and 45).
You (probably) did not commit a crime in Colorado. The answer to your question though is probably Driving an unsafe vehicle Colorado Revised Statutes Title 42. Vehicles and Traffic § 42-4-202 (1) It is unlawful for any person to drive...on any highway any vehicle...which is in such unsafe condition as to endanger any person, or which does not contain those parts or is not at all times equipped with such lamps and other equipment in proper condition and adjustment as required in this section and sections... The above is not a crime , it is (5) Any person who violates any provision of this section commits a class A traffic infraction. A class A traffic infraction is a civil violation. Note that some driving offenses are crimes: In Colorado, driving more than 25 mph over the posted limit is a class 2 misdemeanor, and doing so in a constriction zone is a class 1 misdemeanor. Also note that I say probably because it is possible that they charged you with something more extreme- reckless driving? violation of noise or pollution ordinances?- but for a fine small enough that you don't say, 2 points, and you did not have to go to court (you could have if you wanted for the ticket, but not required) it is very unlikely.
Rule 286 states: If you are involved in a collision which causes damage or injury to any other person, vehicle, animal or property, you MUST stop. If possible, stop in a place of relative safety (see Rule 275) give your own and the vehicle owner’s name and address, and the registration number of the vehicle, to anyone having reasonable grounds for requiring them if you do not give your name and address at the time of the collision, report it to the police as soon as reasonably practicable, and in any case within 24 hours. This mirrors the underlying legislation at section 170 of the Road Traffic Act 1988: (2) The driver of the mechanically propelled vehicle must stop and, if required to do so by any person having reasonable grounds for so requiring, give his name and address and also the name and address of the owner and the identification marks of the vehicle. (3) If for any reason the driver of the mechanically propelled vehicle does not give his name and address under subsection (2) above, he must report the accident. (4) A person who fails to comply with subsection (2) or (3) above is guilty of an offence. The penalty for this offence depends on the particular circumstances, and, as per the Sentencing Council' guidelines, it is: Triable only summarily: Maximum: Unlimited fine and/or 6 months Offence range: Band A fine – 26 weeks’ custody A Band A fine is: 25 – 75% of relevant weekly income The Offence Range has three Categories to determine the appropriate sentence depending on the: Level of seriousness
The nuisance of potentially waiting for all the traffic on the main road is a notion alien to the law. Seeing the red light, y correctly does not enter the intersection, because it would block the intersection, § 11 Ⅰ StVO. Keeping intersections clear is a general consideration, say for emergency services. Nevertheless, if safely stopping required entering the intersection, it’s not an issue here, § 4 Ⅰ 2 StVO. Stopping before entering the intersection is not a hard requirement, because the traffic lights do not regulate the intersection but an “isolated” pedestrian crossing. § 37 Ⅱ StVO concerns traffic lights at intersections. x has to yield traffic as indicated by the sign, § 8 Ⅰ StVO. Making a U‑turn or right-hand turn would be no issue, since this would not interfere with traffic (assuming properly dimensioned streets). Going straight is permissible if done with caution, § 8 Ⅱ StVO, but I would not recommend that. y might decide any moment “Eff it! I’m taking B street [Am Falkplatz].” and boom! Going left, however, is not allowed, since x had to stop short of the traffic light, which is frowned upon (blocking the intersection), but moreover it would take y’s right of way.
In New South Wales it is entirely legal to film police (or anyone else). However, as discussed (What is considered "public" in the context of taking videos or audio recordings?) audio recording is more restricted: you must either have the permission of all the participants in a conversation or be a party to the conversation. I do not imagine the law is any different in Victoria.
Let's be quite brutal here. Inexperienced driver doesn't mean the driver made a mistake. Lots of friends in the car doesn't mean they interferred with his driving. Loud music in the car is totally legal. "Perhaps was distracted" - "perhaps" you were distracted by looking at the passengers of this car instead of yielding? It seems that you drove without due attention. You noticed at the last moment that you had to yield. "Yielding" isn't just stopping right at the last second, you have to drive in a way that it is visible for others that you are going to yield, and you didn't. The other driver was 100% correct to assume that you wouldn't yield. Then you come up with an accusation that a police officer was biased. That's a very, very strong accusation. It's impossible for you to prove. It's the kind of accusation that will cause the judge to believe that you can't accept your own faults, and that you need the maximum possible fine to make you realise your mistakes. That's why you need a lawyer. A lawyer will either make sure that you only say things in court that actually help your case. Or will advise you not to fight this in court at all, if that is better for you. If you go to court on your own, you'll only get yourself into trouble. And if there was bias by a police officer, and a witness lying, and a driver driving without attention, then a lawyer with experience in these things might be able to prove that it court, although that would be a very tough call, but you on your own don't have a chance in hell. You say "the shop owner lied". The shop owner says "no, I didn't". So what's your next step? You don't know. Your lawyer knows. That's why you need a lawyer.
Charged? Of course, the police can charge you with anything at any time Could you be convicted? Maybe. Their best shot is charging you with “Manslaughter by an unlawful and dangerous act” also called constructive manslaughter. The Crown must prove your act: was intentional, was unlawful, leads the reasonable person to realise that some other person is at risk of physical harm, and caused the death. The first two are uncontestable: the protesters are deliberately engaging in an illegal act. No 3 would be up to the jury. No 4 is also up to the jury and would turn on the evidence that the delay to the ambulance caused the death.
I am not a lawyer; I am not your lawyer In France, the Code de la Route (Article R413-15) outlaws the possession of devices that detect or disturb, or are intended to detect or disturb, the operation of devices or systems that record or regulate road traffic, or allow evasion of road traffic offenses. This Article was last amended on 3 January 2012, and it is punishable by a fine of up to €1,500, confiscation of the device, and confiscation of the vehicle. The law is not prescriptive about such devices, and this is likely intentionally so. This Article is technology-agnostic, and would apply to any device with such a purpose. You can therefore assume that all speed radar detectors are illegal.
Could anyone sue spammers? After reading this article about the lawyer who sued companies solely because they sent him spam, I was wondering if anyone could follow his steps and do the same thing, and how one would do so. (I am not sure that one should do it, but whether or not anyone could do it would really interest me).
The lawyer referred to in that article is suing in his capacity as the recipient of spam emails under California's anti-spam law. Not every jurisdiction has a law like this. I'm from Australia. In Australia, when we make laws prohibiting something, the law usually appoints a government agency to administer the law and bring prosecutions under it, and fines are paid to the government. In contrast, America has a lot of these laws where affected individuals can sue and collect the fines personally. So under the Californian law, you can get $1,000 per email for particular kinds of spam even if you haven't actually suffered any real damage: California Business and Professions Code s 17529.5(b)(1)(B)(ii). How? You need to work out who sent the spam, get evidence to prove it, and file a claim in a Californian court. Apparently you can sue in small claims court, which saves you on filing fees. It helps if you have many email accounts, because then you will receive many emails and therefore can collect many fines. One of that lawyer's wins was in Balsam v Trancos (2012) in the Californian Court of Appeal. Another example of a judgment discussing the Californian anti-spam law is Bontrager v Showmark Media.
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.
That's a sad story. The answer to your question is: Yes. If your case is attractive enough then a lawyer might agree to represent it on a contingency basis. Contact lawyers in the jurisdiction where the fraudster has a physical, business, or legal presence. In the U.S. you can ask for referrals to lawyers from the state bar association, or you can call or email them or their firms directly. However, if the amount of potential damages is too small, or the prospects of collecting them too low, then you will probably not find any lawyer interested in taking the case on contingency. If the fraudster has left many victims then you might try to pool your cases to make legal action more attractive. You also might contact the state attorneys in his jurisdictions, as they will sometimes pursue cases against serial scofflaws.
You can absolutely sue the entity that operates EZpass because it is a private company and you have a monetary dispute with it (unless the agreement you entered into with EZpass to allow it to charge your credit card contains an arbitration clause). But, this would make no sense. Everybody agrees that you owe EZpass money for tolls that you admit that you incurred, and if you don't pay that you are clearly in the wrong. The fact that they weren't able to charge your credit card for some reason (who knows, maybe there's a typo in your records or the phone line had static at a critical moment when they tried to process the charge, it doesn't really matter why), doesn't mean that you don't owe them money for the tolls that you incurred and if the sue you at a time when you still owe money for that toll you will definitely lose. The only dispute is over the late fee. And, the dispute is that you have to pay something that you haven't actually paid. So, in the status quo, in which you haven't paid a late fee which you believe you don't owe, and you are winning for now. Generally speaking, one brings a lawsuit to change the status quo. EZpass is the party that claims you owe money and hasn't been paid, so ordinarily EZpass would sue you and not the other way around, because it wants to change the status quo. Now, realistically, bringing a lawsuit for a single late fee is insane. The filing fee alone is more than the late fee, you couldn't afford to hire a lawyer for twelve minutes without paying more than the cost of the late fee, and the contract with EZpass very likely doesn't allow you to get your attorneys' fees if you prevail. The bigger question, which might make a lawsuit worthwhile, is that if you don't pay your late fee, EZpass could ban you from using toll roads entirely and impose big fines that are authorized by your agreement with you if you do. In short, if you can't work it out with customer service reps and their managers at EZpass over the phone, you would be a complete fool to sue rather than to pay the late fee that you think was wrongly imposed. Not every battle, even when you are in the right, is worth fighting.
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.
There are no laws requiring that any company must publish all opinions from its customers. I'll admit it's fundamentally dishonest to only publish the positives, but there's no prohibition against it either. Look at movie advertisements, for example. They'll paraphrase or selectively quote a review, citing only what seems to be positive, yet if you read the review and quote in context, you'll understand the review quite differently. How exactly would you police it if you were to require companies to publish all reviews? Would you have some kind of litmus test to determine whether the critique is justified and fair? How often do people post false reviews (good or bad), and how would you account for them? Company web sites offering reviews form their own customers are doing nothing more than using the web as an extension of their marketing, so one has to expect some manipulation of the information in order to present products and services in their best possible lights. Why, for example, would I tell you how much someone hates my product when my goal is to sell it to you? This is why it would be better to use independent third-party review sites that have no dog in the hunt when it comes to honest feedback about the companies they cover.
At least in theory an end user could be sued for infringing on a patent, especially a method claim. Given the cost of a patent lawsuit, this strikes me as extremely unlikely to happen though, unless the user in question were an extremely large company, or something on that order. Theoretically, the only difference between open-source software and proprietary software would be that availability of the source code makes it easier to prove use of a patent in open-source software. Releasing the software as open-source doesn't confer any immunity from patent law or anything like that though. Realistically, however, the chances of being sued for infringement if you're basically giving away the software in question are fairly remote. It rarely makes sense for a patent holder to spend millions of dollars on a lawsuit where they stand no chance of even recovering their cost (but no, that certainly should not be taken as legal advice that you're free to infringe on patents, or anything similar--in fact, none of this should be taken as legal advice at all). If you can actually prove that a technique was published or publicly known and used (e.g., in a product that was offered for sale) well before the patent was applied for, the patent is probably invalid (and if proven so in court, the case would normally be dismissed with prejudice, which basically means the patent holder wouldn't be able to sue anybody else for infringement of that patent). I'd note, however, that in my experience this is much less common than most people imagine--many look at (for example) the title of a patent, and assume it lacks originality because it refers to some well-known technique, and ignore the claims where it details the precise differences between the previously known technique and what the patent really covers. Just for example, the EFF used to have a web page talking about a (now long-since expired) patent on how to draw a cursor on screen. In an apparent attempt at scaring the unwary, they showed code they claimed infringed in the patent--despite the fact that the patent's "background of the invention" specifically cited the technique they showed as being previously known, and not covered by the patent.
Whether any person, provided that they are in full legal capacity (not a minor, not incapacitated etc.), needs a lawyer, is to be decided by that person. Even criminal defendants can be self-represented if they've got the balls for it — the law does not impose a requirement to have a lawyer when the person does not want it. Considerations as to whether to have a lawyer are very fact-specific and person-specific. Assuming that Steve is not literate in law, it would probably be good idea for him to get a lawyer before answering any questions. The facts are such that it is not totally impossible that he may be charged, especially if he inadvertently says something not in his favor, or otherwise says something favorable to McRobberface.
Reporter asked me to write article about my $product; removing all mention of $Product before publication Recently I was reached out by a reporter asking if I can write an article about an online software product of mine: 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. After some back & forth, and about a week of work, I wrote a detailed article about the niche, summarizing our findings, and explaining how we solve the problem. Reporter come back to me: Our editorial policy/guidelines does not allow us to publish articles that could be interpreted as endorsing any business where fees are involved even if the organization is a non profit. Therefore our editor will be tweaking your piece to fit our guidelines. They have specifically asked about the business, with no mention of this policy prior to me performing the work. They have put it in writing, that they will not be honoring the payment of mentioning the product. To me, this imports as classic bait&switch. Is this legally actionable? If so, what are maximum damages under penalty of law, that I can seek? And a what-if scenario: if damages are >$500, can I come back to them basically saying, that they can either run the original article as a full page advertisement (which is, according to their listing is $200), OR I will push this through court? Many thanks.
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.
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.
The example in the question is a pretty clear case of nominative use. The mark is being used to refer to, or name, the product (or service). It is not being used to sell a similar product, or anything else. No reasonable person could take it to indicate that the trademark owner has endorsed the person making the statement, nor that there is any sort of affiliation. This page from the International Trademark Association describes the concept. This concept is sometimes called "fair use" by analogy with the concept in US copyright law, but that term is not strictly accurate. It is better to simply say "nominative use" or "descriptive use". Digital Media Law's page on "Using the trademarks of others" says: As a general matter, if you are reporting on, commenting on, or criticizing a trademark owner, most ordinary consumers will not be confused about whether the company or organization is the source or sponsor of your work. You can reduce the likelihood of confusion further by avoiding a website design that looks like the trademark owner's site or resembles its product packaging, and you should never festoon your website with a company's logo (but isolated use when relevant to a discussion is OK) ... If someone threatens you with a lawsuit or sues you for trademark dilution, then a lack of consumer confusion will not help you. Here, one obvious line of defense is to argue that there is no likelihood of dilution. Federal and state dilution law protects a trademark owner against the whittling away of the distinctiveness of its famous trademark by association with other goods or services; it does not give a trademark owner the right to shut down all unflattering speech about it. If you do not associate a famous trademark with your own goods or services, then there can be no dilution (or at least that's how your argument goes). ... The nominative fair use defense protects your ability to use a trademark to refer to a trademark owner or its goods or services for purposes of reporting, commentary, criticism, and parody, as well as for comparative advertising. Courts impose three requirements on defendants who want to take advantage of the nominative fair use defense: (1) the trademark owner, product, or service in question must not be readily identifiable without use of the trademark; (2) the defendant must use only as much of the mark as is necessary to identify the trademark owner, product, or service; and (3) the defendant must do nothing that would suggest sponsorship or endorsement by the trademark owner. This defense works against trademark infringement lawsuits. The federal dilution statute, found at 15 U.S.C. § 1125(c)(3)(A), also makes nominative fair use a complete defense to trademark dilution claims.
As a preliminary matter: there is no, so far as I'm aware, a blanket FTC requirement that every ad carry a disclaimer or a label. Some FTC rules do require disclaimers in certain circumstances. This document gives some background. In summary: if a claim made in an ad is false, a disclaimer can't fix it. If it is true, a disclaimer is unnecessary. A disclaimer only comes into play if the ad is true, but contains a potentially misleading implication. So, for example: "In a survey, 4 out of 5 doctors recommended our product." If 4 out of 5 doctors actually recommended some other product, no disclaimer will help you. If the survey was taken in 1901, or the only choice was between your product and being eaten by wolverines, you will need to disclose that fact prominently in your ad. One of the most commonly encountered disclosure requirements, and one you mention in your question, are disclosures related to endorsements and testimonials. The endorsement rules are set out in this document, but in general, it's the same deal: if there's something about the endorsement that would qualify it in the mind of a person evaluating whether to buy the product, then you need to disclose that. This is why you see disclaimers such as: Stating that people praising a product are actors, not real users of the product Stating that celebrities are paid endorsers, not just enthusiastic users of the product If you post something on your personal blog raving about a product, for instance, and don't disclose that you were paid to say nice things about the product, that could be a violation. There are more good examples at the link above. The common ground in all of these situations is that the advertisement or endorsement is in some way actually or potentially misleading. If you run an ad that is not misleading in any way--for example, just a poster with the product logo or a non-informational tag line ("Coke: It's A Beverage!"), there is no need for a disclaimer that I'm aware of.
The first thing that has to be done (in court, or via lawyer-to-lawyer communication) is that The Company has to prove that they own the copyright. If they accomplish that, you can defend yourself by providing proof of a license to download and redistribute. From what I can tell, you cannot directly prove that, since the rights-holder did not give you the license. The issue is that a third party cannot impose a license on a work simply by putting it out there with a file that claims to be a license from the artist. So this brings in the Free Music Archive: they presumably have some evidence that the rights holder did indeed grant the alleged license, and may be able to provide proof. Your argument may be credible, in the sense that you had a good-faith belief that the item was so licensed, and the website would provide a basis for concluding that that belief is reasonable. If the work was licensed, then the some rights holder would know that, but not necessarily the current one. Assume the artist made a recording, transferred the rights to Company A, who later sold the rights to Company B who is now coming after you. Artist may have licensed it when it was his, and forgot to tell A. A may have licensed it when they sold the license to B. Artist may have improperly licensed it after he sold the work to A (under the "I wrote it, I have the right to do whatever I want" non-legal theory). A might have improperly licensed the work after selling the right to B (maybe by mistakenly including it in a package deal, i.e. via bookkeeping error, rather than ignorance of the law). Or, they may simply have forgotten. If this is a DMCA takedown notice, the notice-giver could just be abusing the system. But we don't know how you were contacted, so I'll leave DMCA out of this for now.
Making a profit does not make the act illegal: it is illegal without there being any profit. The act of copying without permission is what makes the act illegal. Profit might maybe enter into the matter if you are talking about the "fair use" defense, since certain kinds of works can be partially copied for certain purposes. You could quote a few lines from a novel in a review, for instance. The judgment of whether a given act of copying without permission is allowed under fair use is complex and involves a balancing act. Profit becomes relevant in that a non-profit use favors fair use and a for-profit use disfavors it. Wholesale copying of works of art as you describe is illegal (is infringement). However... "illegal" is a pretty broad concept. If you infringe on my intellectual property, you almost certainly will not suffer any consequences unless I sue you. Taking "illegal" to mean "in violation of the law", infringing copyright is illegal because it violates the law, but I have to make a federal case out of your infringement – I have to sue you. As it happens, it can also be a crime to infringe copyright, and in that case, the government and not the copyright holder pursues the matter. If a person knowingly infringes copyright, he might be prosecuted, thus the Megaupload case which in the US is realized in the indictment US v. Dotcom. Moreover, profit motive is a required element for criminal infringement. (Also note that you don't have to actually make a profit for the profit element to be present). You cannot sue a person unless they have harmed you, so if you know that Smith copied Jones' work you can't sue Smith for harming Jones. (This is what they call "standing"). You might sue Smith, but not for infringement itself. If they sold you an illegal infringing copy, then you could sue. Or, their infringement could diminish the value of your legal copy. This website gives a multi-nation overview of criminal copyright infringement laws.
Under United States law, copyright is normally held by the creator of a work. There is one major exception to this rule: the "work for hire." If something is considered a "work for hire" under the copyright statutes, the copyright is held by the employer. Whether something qualifies as a work for hire is a complex analysis: here is a Copyright Office circular covering some of the basics. To be clear, I'm not giving an opinion (and I don't have enough information to give an opinion) on whether any specific works you or your fiance may create or commission qualify as "works for hire." It's a narrower test than you probably think it is. If the work is not a work for hire, the copyright holder owns the copyright, and anyone else can use it only with a license from the copyright holder. A license can be implied by the parties' behavior and communications--but it shouldn't be. If you're in a situation where you need to know, for example: That you are allowed to use the artwork forever, and the artist can't ask you to stop later; That you are allowed to change the artwork if you need to, even a simple change like cropping or adding a filter or text; or That, if your product is successful, the artist won't be able to sell another license to someone else to compete with you; then you need a written contract spelling out who owns the copyright and what the rights of the other party are. A lawyer can draw up a simple, re-usable form contract for you cheaply that will prevent the problems you're worried about. Remember: even if this is a work-for-hire situation, if you need to prove that down the road, it may require a trial, or at least preliminary motion practice, to do so. That's a lot more expensive than getting your ducks in a row now will be. tl;dr: Get a lawyer. If you're in a major city, there may be a local arts law organization that will provide you with free help for a simple job like this one. (Volunteer Lawyers for the Arts operate in several East Coast cities, and I know many top commercial lawyers who do pro bono for them).
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.
Penalty for recording conversation in PA I was in jeopardy of losing my job so when I was called into a meeting with my boss I recorded without their knowledge for my own use because I was so scared I knew I wouldn't remember the conversation and I wanted to listen later to be sure I made all the corrections wanted of me. When asked during that meeting if I was recording, I did not lie. I said yes. I was asked to give a copy but wanted to wait to see if my boss would do as he said so I could correct my problems. He did not. Instead he called the company lawyer to see if he could fire me for recording and that is what he did. I am deathly afraid waiting for him to have me arrested. What kind of sentencing am I facing?
I am not a lawyer either, though I have been through Pennsylvania a few times. The relevant law is 18 Pa.C.S. 5703, which prohibits recording without consent of all parties (Penna is a "two-party consent" state, like Florida and Washington). Unfortunately, violation of that law is a third degree felony, which has a maximum of 7 year prison. A specific instance of someone getting in trouble for recording their boss is Commonwealth v. Smith (Smith used a cell phone to record his boss, then argued that a cell phone isn't a "device"; the court determined that it is, and that was Feb 16 2016 so who knows the final outcome). An attorney in Pennsylvania might be able to tell you how often people actually serve time for violating the law. You should call one.
Whatever crime or infraction you are charged with, it applies to you personally however they spell your name and however you spell your name. Whether or not you should go depends on the alternative that you face (large fine or jail time for failure to appear?). An argument that you didn't commit the offence because they misspelled your name would hold zero water.
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 confessions, to anyone, can be used against you. If A admits to B that A stole the car, B can testify to what A said. In fact, if B accuses A of a crime and A says nothing (and C witnesses this), C can testify as to what B and A said (or didn't say) – this is known as an adoptive admission, and it is up to the jury to decide if they think the silence is significant. Recordings are likewise admissible. All evidence is in principle defeasible, so if there is a video of "you" committing a crime, you can make the case that it wasn't really you, and the jury will weigh the evidence to see if they are firmly convinced that you did commit the crime (at least in New Jersey... long story about 'burden of proof').
I'd imagine that testimony from the defendant is rare enough that in the majority of cases, prosecutors do not meaningfully prepare for a cross examination. To the extent they do, I'd expect the preparation is similar to that for basically any other witness. So I wouldn't expect complicated flowcharts, because the general rule at trial is that you only ask questions whose answers are both known and helpful. So if I need to place the defendant at the OK Corral at 3 p.m., I'm only going to ask him where he was at 3 p.m. if I have evidence showing that fact is true -- maybe he gave a written statement to the sheriff, maybe he posed for a daguerrotype, whatever. I expect him to deny it, so I don't ask the question unless I have evidence more convincing than his denial. In this way, a defendant -- like any hostile witness -- is used less to provide any facts of their own, but rather as an involuntary narrator of my own story, authenticating evidence and validating the facts consistent with my theory of the case.
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.
If an employee takes home information that his or her employer considers confidential, that would be a matter of company policy. The employer could discipline or fire the employee if it learned of the incident, and chose to act. If the information is considered to be a trade secret, or part of one, disclosing it or mishandling it so as to risk disclosure could be a crime under US law. However, only in unusual cases is criminal action taken on such matters, normally it is left to civil lawsuits or internal company action. I do not know if Canada has a similar law.
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.
How can I determine if a person filed a case against me? A person in a different state claimed to have filed a case against me for posting something on Twitter (cyber bullying). That was 6 months ago. In the meantime I was out of the country and did not receive any documents from the cops or courts. Does this mean they didn't really file a case? I got a background report on me and it does not show any record against me.
You know that a judicial proceeding has been filed against you when you are "served" with notice. In fact, legal proceedings cannot generally proceed without somebody swearing that you were served notice. If a criminal complaint is being pursued against you then you might also learn of this fact when an investigating law enforcement agent contacts you to question you or arrest you. "Filed a case" could mean all sorts of other things. For example, it could be that they filed a police report, or filed a complaint with some company or non-law-enforcement entity. It could be that they have in fact filed a claim in a court of law and whoever is serving process just hasn't been able to find you. In any of these events I don't know of any way that you could proactively determine that without knowing exactly where and how the "case" was "filed." Actually, if a criminal complaint was filed against you and approved then a court in another state could have issued a warrant for your arrest. Contact your local police and they should be able to do a nationwide search for open warrants on you. Police will not typically release information on "open investigations." So even if you knew the exact agency where it was filed they may not tell you anything. If they decided not to investigate it then you might have a right to request the complaint under open-records laws – that depends on the state and the agency.
A properly cited case will include a reference to a case reporter, online database, or neutral citation. To confirm that the case exists, you would have to track down the purported reporter/journal/database and query whether the case exists at that location. There is a meta post that presents online legal research tools. Many universities and courts have public law libraries that have access to printed reporters and/or online databases.
A related post is here. Are police required to record in car dashcam video for traffic tickets in NJ, USA? Probably not. Is there any way to find out if they aren’t telling the truth? Ask and hope you are not lied to. Can I contact the police chief, mayor, or municipal judge? You can contact the police chief or mayor if you can get through to them. They are not required to answer you unless you make a formal discovery request or public records request. You cannot make ex parte contact with a judge when the other side's lawyer (in this case, the city's lawyer) is not present. How can I defend myself in court trial if the judge always believes highly credible police officers over defendants if I don’t have video? You can tell your side of the story under oath with any details that makes your story believable. You are correct that the judge will usually believe the police officer and not you. So, usually you will lose. This is one reason that most people try to plea bargain their traffic tickets, rather than going to trial. Due process rights give you an opportunity to tell your side of the story when contesting a ticket, but it doesn't give you a right to win (even if you are actually in the right) if the judge or other trier of fact doesn't believe what you have to say. It does not appear that you have a right to a jury trial in a traffic case in New Jersey, although this depends to some extent on the kind of violation being charged, so you are probably stuck with the beliefs of the municipal court judge about who is the more credible witness.
The law regarding proof of service allows service of summons by publication in case a defendant "is not a resident of the state, but has property therein and the court has jurisdiction of the subject of the action". Plaintiff must file an affidavit saying that he believes that you are not a resident, and he either mailed the summons to you or states that your residence is unknown. Knowing how to contact a person is not exactly the same as knowing their residence, so the statement in the affidavit might be true. There is a one year limit on your right to defend and reopen if not served personally. The statute of limitations tolls after the cause of action has accrued (which I suppose would be defective service of the summons, viz. perjury in the affadavit). For recovery of real property, the time would be ten years. The court rules allow that "At any time in its discretion and upon such terms as it deems just, the court may allow any process or proof of service thereof to be amended, unless it clearly appears that material prejudice would result to the substantial rights of the party against whom the process issued". (This is clearly a matter that your attorney needs to address).
Your question (when read with your follow-up comments) is somewhat complex, so I am going to make a few assumptions and break it down into several sub parts. Assumptions The conviction occurred in a state where the expungement statute allows you to tell employers that you were never arrested and convicted. When you say “public records websites” you’re asking about sites like atlaspublicrecords.com. That atlaspublicrecords.com is a US based company. They don’t list an address and the website used a private registration services, so can’t easily determine that they are US-based. Your questions and follow-up Considerations After I get it expunged, will it be removed from public records websites . . . . No. Websites like atlaspublicrecords.com do not link to actual public records. I searched a couple of common names and feel safe in assuming that it only collects and publishes the information—it does not actually link to court records. Nevertheless, it would not be available from the actual government agencies that keep those records. By getting your records expunged the convictions and arrest would no longer be available as public records that someone could request from the courthouse, police department, or whatever state agency does criminal history in your jurisdiction. do I have to show them proof of the expungement . . . . Yes, if you believe what the website claims. I can’t find a physical address for the website and don’t know if they are real or a scam, so understand that when you give them information about your expungement—or pay their silly fee, they might collect the money and do nothing. My opinion is that the company is shady and seems to operate in a gray area of the law that I will explain below. Options if they don’t remove the post: You could try to sue them for some type of secondary dignitary tort like defamation or false light. But these would have some significant legal hurdles. See G.D. v. Kenny, 15 A.3d 300 (N.J. 2011), where the New Jersey Supreme Court held that commenting on an expunged criminal records was not defamation or invasion of privacy because it was the truth. You could try to argue that they are a consumer reporting agency under the Fair Credit Reporting Act (“FCRA”). If they're governed by the FCRA, you have some additional legal remedies (like civil penalties/fines) if they don't remove/clarify an expunged record. The Fair Credit Reporting Act applies to credit reporting agencies, like Experian & Equifax but also covers companies that compile and sell information for background checks. This includes criminal records. See the Federal Trade Commission’s Advisory Opinion to LeBlanc (06-09-98). But . . . this website is operating in a gray area that appears to comply with the law. The FCRA only applies to consumer reporting agencies, which are defined as: Any person which, for monetary fees, dues, or on a cooperative nonprofit basis, regularly engages in whole or in part in the practice of assembling or evaluating consumer credit information or other information on consumers for the purpose of furnishing consumer reports to third parties, and which uses any means or facility of interstate commerce for the purpose of preparing or furnishing consumer reports. 15 U.S.C. § 1681a(f) Because they’re not charging money or a fee to access the reports and they’re not a nonprofit cooperative, they probably do not meet the definition of a CRA. Bottom-line is that you're best option is to give them the expungement documents once you obtain them.
Does criticizing public figures constitute libel especially in a private group? It depends on the specifics, but a priori your description suggests that the defense of honest opinion would be applicable. This is regardless of whether the subject is a public figure and regardless of whether the statements were in private --albeit non-privileged-- communications. Case law surely provides guidelines or precedents on how the details and circumstances of the events would fare on the parties' legal position, but I am not knowledgeable of UK/English law. Does X have a counterclaim for illegally accessing the data? The matter seemingly depends on how the religious leader had or gained access to the data. Even if he gained access by stealing or hacking a device or account, X would not have standing to [counter-]sue unless the device or account belongs to X. Be mindful of the possibility that third party might have made the disclosure to the religious leader. In that case, actionability (if any) of the disclosure only encompasses the third party, not the religious leader. X's intent that his statements stay only among the participants does not necessarily imply that participants' disclosure elsewhere is unlawful.
You are conflating the crime against the state of possession stolen goods with the common law tort against the owner for conversion. To your questions: How would this proceed? It seems like it would be very difficult to prove (short of getting public surveillance footage) that I even bought the item. If you read the second paragraph of the page you linked it says: In many jurisdictions, if an individual has accepted possession of goods or property and knew they were stolen, then the individual is typically charged ... If the individual did not know the goods were stolen, then the goods are returned to the owner and the individual is not prosecuted. Proof of the crime involves a "beyond reasonable doubt" standard of evidence of both the fact that you have the goods and that you knew they were stolen. If you become aware that they were stolen (e.g. the police tell you) and try to keep them then you have just committed the crime. Proof of the tort requires a "balance of probabilities" standard of evidence that you have the goods and that they belong to someone else; your knowledge that they were stolen is immaterial. In the first instance, the police would probably knock on your door, tell you why they were there and ask if the version of the story they have from the thief is essentially true. What happens next depends on your response: "Yes, I knew it was stolen; you better arrest me and I will plead guilty." This will play out as you expect. "Yes, I didn't know it was stolen, I will go and get it for you." You return the goods, give a statement and may have to act as a witness in the prosecution of the thief. You are down $1,000 but are now older and wiser. "No, I have no idea what you are talking about." Well, you have now committed the crime of hindering a police investigation and have also committed the crime of possessing stolen goods - you can no longer claim that you didn't know the goods were stolen; the police have told you they are. What happens next depends on if the police believe you or the thief. Surely they couldn't/wouldn't get a warrant to search my house? Want to bet? They certainly have enough to get a search warrant if they want one (probably). Whether they seek one probably depends on the value of the goods, how busy they are and how much you pissed them off. Could I be prosecuted if I didn't know it was stolen? Not if you return it as soon as practicable after being made aware that they were. The scam This seems like a lot of work for a very small return - spend your time worrying about things that are more likely to happen. Good Title All of this is tied up with the concept of good title. Basically, you cannot gain good title to property from someone who does not have good title themselves; if you buy goods from a thief you do not own them. For example, if A has good title to the goods, B steals them and sells them to C who sells them to D then A still owns them and can demand their return from D, D could demand the return of their money from C and C could do likewise with B but as far as A is concerned it doesn't matter that C & B have lost money; that is simply too bad for them.
Are police required to contact a real lawyer if you ask? give opinions from a number of lawyers and police in different jurisdictions. The basic consensus is that in most jurisdictions, such behavior will get the case thrown out of court and often get the police officer who tried this fired. HOWEVER there was a case where this was tried and while the case was thrown out on appeal, it was not as simple as the postings in the above article may have made it appear. This story shows a case where the Tennessee police actually did this. While the lower court allowed it because the defendant was "gullible", the appeals court rejected this argument. [T]he conduct of the law enforcement officers in this case, and in particular Detective Henry, is so egregious that it simply cannot go unchecked. That Detective Henry would illegally pose as an attorney and arrange the circumstances of the defendant’s case to make it appear as though he had successfully undertaken legal representation of the defendant is abhorrent. That the detective would specifically instruct the defendant not to communicate the relationship to his appointed counsel, in what we can only assume was an effort to enlarge the time for the detective to gain incriminating information from the defendant, renders completely reprehensible the state action in this case. Given the unconscionable behavior of the state actors in this case and the fact that the defendant was essentially prevented from proving prejudice through no fault of his own, we have no trouble concluding that the only appropriate remedy in this case is the dismissal of all the indictments.
Can a company be sued for storing plain-text passwords? Even if most of the developers nowadays understand the necessity of encryption, a consequent amount of websites still store the user's password as plain-text. It can be easy to spot : just asking for a password recovery and see if they send back your old password in the email, or harder trough pen-testing in order to see how are the password stored. If by any method someone had to find a website like this, is it possible to sue the company for "voluntary making the information system weak" ? Or should we be more "nice" and politely ask for the webmaster to remove the concerned user from its DB ? (let's keep in mind that some people just disable accounts without removing them, c.f. Ashley Madison's hack). Can the law change on this kind of issues according to the country hosting the DB ? to the country where the webmaster is from ? to the country the user is from ? Thanks for reading.
Yes a company can be sued (since anyone can sue anyone). But in order to win a lawsuit, you have to have damages as a result of some action, AND you must prove that the action was done with intent to harm or was otherwise negligent. So following your website example, a lot of things would have to happen: The website would have to be hacked. If the passwords are encrypted instead of hashed (which still qualifies as "plain-text" once they email it to you), the hacker would have to figure out how to decrypt the passwords. (Which a good hacker could probably do.) The hacker would have to take those passwords and do something with them that causes damage to their owners. Even if all of those things happened, you would still also have to prove negligence on their part which would be pretty difficult to do because the flaw that was hacked would be the focus of negligence discussions moreso than what was stolen. That being said, if your goal is simply to get them to fix the problem, rather than receive monetary damages, then you could still sue for an action to be taken. You'd have to pay by the hour for the attorney since they wouldn't have a chance of winning monetary damages. But in all likelihood the website owner, upon seeing the lawsuit, would fix the problem before it gets to court, so I could see that having the desired effect. That is if you think it's worth the cost of filing the lawsuit in the first place. Perhaps you could save yourself the cost of an attorney and just threaten to sue if they don't fix the problem.
From what I can see on the USPTO registry, "tweet" is still not trademarked for the purposes you're talking about. Twitter has been working to secure that trademark, but I can't find any record of them having actually secured it. Just the same, I'd predict that using it will get you at least a cease-and-desist letter, and possibly a lawsuit. Whether you'd win that case seems to be a very open question, but that presumes you have the resources to litigate.
At least as of 2011, when regulations under the Information Technology Act related to privacy and data security were issued (some of the relevant statute sections and regulations are linked in this answer at Law.SE), there was no non-contractual right to have your data destroyed, although a terms of service for a site could give you that right contractually. Instead, usually, a term of service agreement will do exactly the opposite and give a site owner an irrevocable right to keep your data forever. I am not aware of any subsequent statutory, regulatory or case law developments in India which have changed this situation, but that kind of tweak of IT Act regulations in India wouldn't necessary make headlines outside of the local IT industry press coverage in obscure trade journals. The EU is the only place of which I am aware that has any individual right to have data destroyed or suppressed even if it doesn't violated copyright, wasn't obtained illegally and isn't fraudulent or defamatory. Even then, as I understand it, in the EU this is not a unilateral right that applies in all circumstances and is instead a specific remedy for certain situations that have a particularly intense privacy aspect to them.
I think this shows a misunderstanding of the meaning of the GDPR. A data subject has the right to demand information, correction, deletion etc. about some of their data held by some institutions, depending on the legal basis for the data processing. One John Smith does not have the right to see the data of any other data subject named John Smith, and he cannot even demand to know if there are other John Smiths in the database. The data controller has to make reasonable steps to ensure that an individual who seeks account information is in fact the individual who is the data subject. In the case of an email, that's usually easy -- if John Smith can access the mail account [email protected], one can assume that he is the John Smith who opened the account. If not, then not. If the data controller has the birthplace and birthdate in their records, they can possibly match that against some government-issue identity document, too, but why would they have that data?
First of all, a contract is valid without a signature and even without being in writing; all that is needed is consent by the parties. Therefore, the signature is merely evidence of that consent and is only relevant if a dispute arises over the general consent or the particular terms that were consented to. A digital signature would make it harder for Bob to argue that those were not the terms he signed but if I have Bob's signature on them then the onus of proving he didn't sign rests with Bob, I don't have to prove he did. All of the methods you suggest are valid as would an email saying "Got the contract. I agree. Bob."
You haven't suffered a legally cognizable harm because you got your money back, before you even had a chance to complain, so you have no basis for a lawsuit. For what it is worth, pretty much every adult in the United States was affected by the Equifax breach. Also, usually Equifax wouldn't have had access to full bank account numbers in the first place, so that is an unlikely source of the problem. You could open a new account and close the old one (as suggested by @mkennedy in the comments) because then if anyone had access to your bank account number and was abusing it, they could no longer do so. The fact that it only happened once rather than involving many transactions, which is what you commonly see when there is a true identity theft, however, suggests a more benign possibility. There is a pretty good chance that this errant transaction which was reversed was simply a clerical error involving an inaccurate typing in of an account number that got your number instead of the intended one and was reversed when the money didn't leave the intended account (in contrast, identity theft incidents are almost never reversed without a complaint from the account holder). In other words, this may have simply been the banking equivalent of dialing the wrong number by mistake. If this happens again, you should definitely shut down the account, but so far, it seems more likely that this was a one off clerical error. Humans are just not built to input scores of fifteen digit numbers on a daily basis in a 100% accurate fashion. As long as this job is in the hands of humans rather than computers or robots, the humans are going to make mistakes.
Think through what really happened. You are using terms like fraud, while they may be thinking they're doing fraud protection, or otherwise following laws and regulations. You wrote that you didn't use it for a long time, could the credentials have been compromised? It sounds highly implausible that a platform would defraud a single user. Either there are many more people with similar stories, or your claim is a bit suspect. Think about what your goal is. Reactivating the account, or getting the balance back? Is the balance big enough to spend time and money? Check with which legal entity you have a contract. AFAIK BitPanda is Austrian, so they cannot refuse a GDPR information request on what they have about you all that easily. Consider communication in writing, by registered mail.
I do not have the phone number, email, or anything else associated with the account. Well, neither do I - so it must be my account. Unfortunately, the fact that you appear in most or all of the pictures on that account does not prove that you own it. It could be the photographer's account. Do I have ANY options here Can you reactivate the email account associated with the Twitter account? Or the phone number? Either would allow you to reset the password and access the account. You can go to court (in California) and seek an injunction ordering Twitter to delete the photos or give you access. Of course, you have the same issues proving ownership here as you did with Twitter but the court may have different priorities (justice) than Twitter does (corporate protection). I had an idea. If you (or your husband) own the copyright in the photos (i.e. one of you was the photographer) you could issue a DCMA take-down notice because the poster (who, according to Twitter, isn’t you) does not have permission (even if they did at the time: permission can be revoked). Twitter would be unable to contact the account holder and would be required to remove the images when they got no response.of course, if the photographer was someone else, they could do it. Or you could break the law and say it was you, although I would never recommend this even with a near zero chance of being caught.
Who has to yield when waiting at the median lane in Florida? It will be best to illustrate it. The red car was turning left from the bottom of the picture and is waiting on the median until the traffic is clear to enter the lane. The yellow car is coming from the left of the picture after the red car is already there waiting and wants to turn left. Red car is looking to the right direction to see when no traffic is coming and doesn't even see the yellow car.
Florida Statutes 316.121(1): The driver of a vehicle approaching an intersection shall yield the right-of-way to a vehicle which has entered the intersection from a different highway. I'm not an expert in Florida traffic law, so I don't know that there aren't other statutes or local by-laws that supercede this one.
united-states Speed limits can be enforced by any means (except photo-radar) in most U.S. jurisdictions without notice that it is being used. Those laws are close to being uniform in the U.S. due to federal coordination on federally funded roads, even though state and local laws are what governs them directly. Some U.S. jurisdictions prohibit the issuance of photo-radar speeding tickets without notice before entering the photo-radar picture taking zone. I'd have to research further to see if New York City does. The purpose of the language on the sign is to make drivers more fearful of being caught in circumstances where they don't see someone trying to enforce the law, not to have greater legal effect.
"Lemon laws" are about new cars and manufacturing defects. Used vehicles are sold "as is", except that dealers are obligated to offer a 30 or 60 day warranty that the vehicle will continue to function. Using the term "owner" suggests that this is not a dealership sale. Generally speaking, you are out of luck, except for the verbal add-on to the sales agreement. If there is no written agreement, just a verbal contract and exchange of money for truck, you may be able to enforce the contract in regular court. The prospects decrease if there is a written agreement that does not include the money-back guarantee, and become effectively zero if there is a clause that says "This is the whole agreement, the car is sold as-is". Assuming there is no written agreement, then you and perhaps the third party would testify as to the money-back guarantee, the seller would testify that there was no such guarantee (or that you misunderstood what he said), and the court would decide which version of the story is more believable.
No, they don't. Mass. General Law 85 Section 15: A vehicle, whether stationary or in motion, on a public way, shall have attached to it headlights and taillights which shall be turned on by the vehicle operator and so displayed as to be visible from the front and rear during the period of 1/2 hour after sunset to 1/2 hour before sunrise; provided, however, that such headlights and taillights shall be turned on by the vehicle operator at all other times when, due to insufficient light or unfavorable atmospheric conditions, visibility is reduced such that persons or vehicles on the roadway are not clearly discernible at a distance of 500 feet or when the vehicle's windshield wipers are needed [...] On all cars I know of, having running lights on does not turn on the taillights, so using running lights would not comply with this law. This point is also emphasized in this MassDOT press release, which, while it is not law, does give some indication of how the government intends the law to be interpreted: Relying on daytime running lights for these conditions is not sufficient under the law.
Has friend A got any chance of disputing the cost of the seizure as the police didn't issue the notification? I don't think so (see below for why), but you should pay a lawyer if you need legal advice. The met say A FORM 3708 seizure notice will have been given to the driver where practicable, giving full instructions on the reverse. A notice letter will also be sent to the registered keeper, if they were not the driver. In the meantime, this information will assist you. (my emphasis). Section 165A of the Road Traffic Act 1988 does not, so far as I can see, mention any legal requirement for the Police to issue a paper document at the time of seizure. Here's 165A in full 165A Power to seize vehicles driven without licence or insurance Subsection (5) applies if any of the following conditions is satisfied. The first condition is that— a. a constable in uniform requires, under section 164, a person to produce his licence and its counterpart for examination, b. the person fails to produce them, and c. the constable has reasonable grounds for believing that a motor vehicle is or was being driven by the person in contravention of section 87(1). The second condition is that— a. a constable in uniform requires, under section 165, a person to produce evidence that a motor vehicle is not or was not being driven in contravention of section 143, b. the person fails to produce such evidence, and c. the constable has reasonable grounds for believing that the vehicle is or was being so driven. The third condition is that— a. a constable in uniform requires, under section 163, a person driving a motor vehicle to stop the vehicle, b. the person fails to stop the vehicle, or to stop the vehicle long enough, for the constable to make such lawful enquiries as he considers appropriate, and c. the constable has reasonable grounds for believing that the vehicle is or was being driven in contravention of section 87(1) or 143. Where this subsection applies, the constable may— a. seize the vehicle in accordance with subsections (6) and (7) and remove it; b. enter, for the purpose of exercising a power falling within paragraph (a), any premises (other than a private dwelling house) on which he has reasonable grounds for believing the vehicle to be; c. use reasonable force, if necessary, in the exercise of any power conferred by paragraph (a) or (b). Before seizing the motor vehicle, the constable must warn the person by whom it appears that the vehicle is or was being driven in contravention of section 87(1) or 143 that he will seize it— a. in a section 87(1) case, if the person does not produce his licence and its counterpart immediately; b. in a section 143 case, if the person does not provide him immediately with evidence that the vehicle is not or was not being driven in contravention of that section. But the constable is not required to give such a warning if the circumstances make it impracticable for him to do so. If the constable is unable to seize the vehicle immediately because the person driving the vehicle has failed to stop as requested or has driven off, he may seize it at any time within the period of 24 hours beginning with the time at which the condition in question is first satisfied. The powers conferred on a constable by this section are exercisable only at a time when regulations under section 165B are in force. In this section— a. a reference to a motor vehicle does not include an invalid carriage; b. a reference to evidence that a motor vehicle is not or was not being driven in contravention of section 143 is a reference to a document or other evidence within section 165(2)(a); c. “counterpart” and “licence” have the same meanings as in section 164; d. “private dwelling house” does not include any garage or other structure occupied with the dwelling house, or any land appurtenant to the dwelling house. Also what consequences could Friend A face for knowingly allowing friend B to drive his (Friend A's) car whilst he was drunk and didn't hold a valid license or insurance? A few random thoughts: B is clearly committing several criminal acts and A appears to have possibly aided and abetted them. I imagine A's insurance company might consider this invalidates A's insurance. I'm just some random bloke in the intertubes, not a lawyer.
I believe the answer you seek can be found by searching for the terms "(desired state name) statutes pedestrian crossing." In the case of the state of Florida, there are references to the situation you describe. Some of it appears slightly contradictory, but the ones that apply are not ambiguous: (10) Every pedestrian crossing a roadway at any point other than within a marked crosswalk or within an unmarked crosswalk at an intersection shall yield the right-of-way to all vehicles upon the roadway. (12) No pedestrian shall, except in a marked crosswalk, cross a roadway at any other place than by a route at right angles to the curb or by the shortest route to the opposite curb. The contradictory portion appears thus: (11) Between adjacent intersections at which traffic control signals are in operation, pedestrians shall not cross at any place except in a marked crosswalk. There appears to be no reference regarding distances between adjacent intersections. It's unreasonable for one to be expected to walk a half mile (0.8 km) if there's a mile between intersections. There's an area nearby in which the traffic control signals are spaced about that distance apart. Cities may have specific regulations regarding such activities.
I have beaten all but one of my traffic tickets just by going to court. In one case, the judge threw out the charge because he couldn't read the officer's handwriting on the ticket. In another, the officer charged that I was parked in a "no parking" zone on a particular street (at night), but gave a cross street where parking was, in fact, allowed.
Does the flashing red light eventually turn into a steady red light before it changes to green? Not really. Fail Mode For Regular Stoplights A flashing red light is usually a default mode of a traffic light system when the control system is broken, or the power grid is down. In these cases, it returns to its usual red-yellow-green mode when the system is back up and running. Visibility Enhancing Red Only Flashing Red Lights But, sometimes a permanently flashing red light with no other colors is deployed in addition to, or instead of, a stop sign, at intersections where stop sign visibility has been a problem. In these cases there is never a solid red light, or a light of any other color. It looks like this: or like this: (Obviously, none of these still images actually shows the flashing in action, you have to use your imagination.)
Do I have to be an adult to register a business I just want to know if there is any way I could register my business as an LLC without being an adult.
While most states do not specify a minimum age in order to form an LLC, most states do specify a minimum age in which one has a capacity to contract and that age is 18. Here's a good explanation of capacity to contract at Wikipedia. It would be difficult if not impossible for a minor, acting alone, to create an LLC without a capacity to contract. Although, it could be quite possible that a minor could go through the machinations to form an LLC without ever being challenged on their age. I don't recall ever being asked my age when I created my LLC. It would be interesting to see what would happen if such an LLC were created and then the minor disaffirmed the LLC filings or any of the contracts to which the LLC was a party that bore the minor's signature. I have heard of suggestions elsewhere that a minor who wants to own an LLC have it owned by a trust where the minor's parents are the trustees until a specific age is attained by the minor, at which point the minor becomes the trustee. This would allow the minor to have an interest in the LLC that is managed via the trust. The trustees (the parents) would sign contracts for the LLC via the trust giving the contracts enforceability.
The issue is not exactly with minors, it is with FERPA and COPPA. This assumes that you have some indication of what students are connected to the web page. If you have students under 13 (surely you do), you need verifiable parental consent. The FTC approves or disapproves particular methods of verification, here is their page on that. One approved and patented method is ChildGuardOnline Technology (it;s a business, not a free service). The other concern is that you have to scrupulously protect "student records". You already know that you can't disseminate "student records" without parental consent, what this adds is possibly new concerns with online security. However, many schools are exempt from the COPPA requirements. Here are some "exceptions" to the rule, and nonprofit organizations are not subject to Section 5 of the FTC Act.
You are a resident of one state, and a non-resident of the other. Or you could be a "part-year resident" of both. Read the applicable personal tax rules for each state, or hire an accountant to do it for you. Note that, in the end, each dollar of income is only taxed by one state. It's figuring out which state that gets tedious.
No, it is not illegal There is no law that says a business must have a bank account, let alone that they must make deposits to it.
Of course it doesn't work. You haven't discovered an end-around to property ownership I gave someone a car and want it back (they refuse) You no longer own this car. It is now titled in their name. Your interest in the car is now exactly zero whether or not they paid for it. I use a shell company to buy my own debt Okay. This has nothing to do with the car. You're now out of the cash it took you to set up this new entity. How are you doing this? I assume it means paying off your creditors with money you already have. You will also have to come up with some type of bogus documents that explain to the future court why this was even done. If you have the money, why do you have debt? My shell company sues me for conveying the car to conceal it from creditors Um, Ok. Now you're also out filing fees. Let's assume you know how to do this without paying an attorney to do it for you. I settle Makes sense, since you're suing yourself. The shell company now gets a court order to seize the car Seize the car how? This is a stretch. A judgement would be against you for the value of the car. You can't settle a lawsuit using assets you do not own. A court won't order something repossessed because of an unrelated squirrelly lawsuit. An exception would be a bankruptcy court that rules the item was sold or disposed of outside the court's orders. I would expect an astute court to hit you with contempt or sanctions for trying to use it to further your interests with some sort of end-around to property ownership. Expect more fees for this use of the court's time. The shell seizes the car No. Now I have the car back No.
@Rick aptly answers your first question (and I totally agree with his answer including his conclusion that the cited provisions apply to single member LLCs). So, I'll touch on issues associated with your second one. Would there be anything legally wrong with my intentionally wasting the company's money or doing something similarly pointless and harmful to the business, considering I'm the only actual person (as in human, not legal person) who is harmed in any way? If the way you use the money wastefully is considered by a court to be a de facto distribution by the LLC to you, its sole member, and this renders it insolvent (as defined in ORS 63.229 (Limitations on distributions), you could have personal liability for the distribution to the company. See ORS 53.235. Creditors of the company could then garnish that obligation to collect their debts owed to the company from you (a garnishment is technically a right to obtain money or property from someone who owes a debt to a judgment debtor, usually a bank or employer, but not always as in this case). Intentionally wasting the company's money would probably constitute a "fraudulent transfer" on the part of the LLC which could expose you to liability to third-party creditors if those actions left the company unable to pay its debts as they came due, or with assets with a fair market value that was lower than the fair market value of its current and currently anticipated liabilities. This parallel liability would arise under the Oregon Fraudulent Transfers Act and related provisions of Oregon law found at ORS 95.200 to 95.310. If you were anticipating or in the process of divorcing, it could constitute economic waste that could be held against you (treating the wasted assets as if they still existed and were allocated to your in a property division). Likewise, if the waste reduced your income for child support purposes, a court would seriously consider imputing the income you could have had if you had not acting in that matter to the income you actually had, in order to calculate your child support obligation. And, you might be disallowed a deduction for the waste of the company's money, rather than having it treated as an expense, which could increase your income tax and self-employment tax liability. But, to the extent that you are the sole owner of the company, no creditor, spouse or child has rights impaired by your actions, and you don't claim the wasted assets as income tax deductions, there would be no one with standing to complain about your conduct in court.
Likely not, unless A finds a jurisdiction with sufficiently lax accounting and taxation standards. As described in the question, A, B, and C are distinct legal entitites. For each entity, the tax office would want to know what the revenue, expenses, and net income are. By providing a service (use of the house) free of charge between two entites of the shell construct, profits are moved from C to A. This is usually illegal. The required paperwork might not have to look like a normal rental contract between a tenant and a landlord, since many questions are resolved by the ownership, but it would have to specify payments. The tax office should complain if they differ too much from the going market rate. Consider that C might be a LLC, and that C might be a civil judgement against C. Someone would look at the assets owned by C, and that includes the house D.
Yes - there is no age upper limit written in the law. However it does include this exception at 29 U.S. Code § 623(f)(1): allowing an employer - (1) to take any action otherwise prohibited under subsections (a), (b), (c), or (e) of this section where age is a bona fide occupational qualification reasonably necessary to the normal operation of the par­ticu­lar business, and there may be actual job requirements that a specific older person might not be able to perform and therefore they would be eliminated from further consideration legally.
Do I need permission to reimplement application programming interface calls/classes? Suppose MS Excel has an API so that other programs can communicate with it. Suppose I'm the developer of OpenOffice Calc, and I want other programs to be able to communicate with my program in like manner. So, for example, let's say Excel's API has a function called "run" and takes a formula as an argument. Calc's API would then also have a function called "run", which takes a function as an argument. Is that legal?
My opinion is that the copying of a single API endpoint, "run" that takes a function as an argument is not infringement. I can think of several lines of argument that get to this same conclusion: Originality: It doesn't exhibit the modicum of creativity required by the originality test. (Feist) Short phrases doctrine: It is a short word or phrase, which both the copyright office (Copyright Office Circular, 37 CFR 202.1) and courts (e.g. Hutchins v. Zoll) have declared ineligible for copyright. Merger: The merger doctrine allows reuse of an expression if it is one of only a very few number of ways of expressing an idea. I can't think of many other ways to express a function intended to run a function other than with the verb "run". Scènes à faire: It is not infringement to use an expression if it has become standard, stock, or common in a particular setting. Naming a function "run" is common in the programming community. Any one of these alone would be enough to rule out copyright infringement by taking this individual component of Excel's API. Note: Whether merger and scènes à faire are part of the originality/copyrightability analysis or part of the infringement analysis is not uniform across circuits. For example, the 6th circuit considers both merger and scènes à faire part of the copyrightability analysis. But, the 2nd and 9th circuits treat them as part of the infringement analysis and in the 9th circuit, they are affirmative defenses.
You can't grant or license that which is not yours. For example, the Slack terms of service say: We grant to Customer a non-sublicensable, non-transferable, non-exclusive, limited license for Customer and its Authorized Users to use the object code version of these components, but solely as necessary to use the Services and in accordance with the Contract and the User Terms. So Slack's agreement with Org A does not give A any right to let any other organization B use the software. It does not matter how A and B are related, nor whether B is nonprofit or for-profit, nor what A would be getting in exchange. If B wants to use it, they need to make their own agreement with Slack.
It's not clear exactly what you're asking, when you say "the company I work for" – i.e. are you asking "can they fire me?" (almost certainly they can, even if their TOS thinking is legally misguided – unless in your country there are laws that prevent firing employees). To be certain, you need to hire an attorney who is sufficiently savvy about web page technology that they can accurately judge what you are doing, and whether you can fruitfully resist their demands. You seem to be skeptical of their position because you are "not affecting their servers in any way". The TOS is not about affecting their servers, it is about affecting their intellectual property. It appears that your code does a number of the prohibited actions such as and perhaps most importantly "modify". If you have distributed a program that allows users to modify company content on their own computers, then the user might be in violation of the TOS, but not you (since you're not running a server that redistributes). However, I am betting that in order to create and test the program you had to violate the TOS. Additionally, you could be vicariously liable for the infringements of others, especially if this program can only be used to infringe on copyright, and you know this fact. That is pretty much the end of the legal part. As for how you should respond, your attorney, and not Law SE, deals in recommendations.
You could establish your own server which calls the API and maintains a counter, and have al your applications call that server, the server call the API, and the server can also return a count to the application, or even return a failure code if the count is too high. As for when the count turns over, a few days experiment should establish that, but given that the API is based in the EU, I would guess it turns over at midnight UTC (aka Greenwich mean time), but of course that is only a guess. Has the API management declined even to tell when the count rolls over? That seems odd. As to the legal obligations of the API management, it would be good practice for them to have the API return a count, but I don't see that they can be required to do that. I don't know of (and could not find) any law which mandates such a count. I do think that they should inform you of the time of day at which they roll the count over. I have not yet found a law which specifically requires this.
Forget about copyright or EULAs. In the UK this would be illegal under the Computer Misuse Act (1998) and you could be jailed for up to a year - specifically Unauthorised access to computer material. (1)A person is guilty of an offence if— (a)he causes a computer to perform any function with intent to secure access to any program or data held in any computer, or to enable any such access to be secured; (b)the access he intends to secure, or to enable to be secured, is unauthorised; and (c)he knows at the time when he causes the computer to perform the function that that is the case. This law has been applied even to simply altering parameters in a GET request to a website, so it is incredibly broad. Other jurisdictions have similar wording, so be aware!
It depends on what you are selling to the enterprises. You could be selling just a licence to use the program, and retain all the rights on the source code. You could be selling the rights to the source code. For #1, the source code is yours and you can do what it pleases with it1. In fact many programs offer both an open-source licence (which usually forces the user to make its changes to the code publicly available) and a commercial one (which allows the user to keep the modifications of the source code for themselves). For #2, the source code is no longer yours so it is not up to you to decide what to do with it. 1I am assuming no other agreements imposing limits on those; for example that none of your contracts to your customers have a clause forbidding you from making the code available to the public.
One cannot use the works of others unless one of the following applies: The copyright holder has given permission, usually in the form of a license, often explicit, but sometimes implied. The work is not protected by copyright. This can happen in several ways, but the most common is that the work is old enough that copyright has expired. In the US, works older than 1927 are currently out of copyright. So are some others, the rules are a bit complex. In many countries, if the author or creator died more than 70 years ago, the work is out of copyright. In some countries this is a different number, between 50 and 100 years. This is not likely to apply to a file distributed with current software. If an exception to copyright applies. In the US this would most likely be fair use. In the UK it would probably be fair dealing. In other countries there are a variety of exceptions that might apply, including personal use in some. AS a comment by Jen points out "use" here refers only to those rights protected by copyright, such as making and distributing copied, making nd distributing derivative works, and the like. (Displaying and publicly performing seem unlikely to apply.) Now lets consider the specific situation, and which if any of the reasons for lawful use might apply. License or other permission. There is no explicit license. Since the program is distributed to be run, there is an implicit license to make the sort of use of the file needed to run the program. If the documentation describes how to employ the file as part of running the program, there is almost surely an implied license to employ it in that way. There is not, however, permission to make copies unless that is needed to run the program. There is surely not permission to make derivative works of the file or distribute copies to others, even if you do not charge anything. Expired copyright This pretty clearly will not apply. Fair use This might apply, or might not. There isn't enough info in the question to tell, not even to make a good guess. If any use would be non commercial, that helps fair use a bit. If the use would be for a different purpose than the one the developers used it for, that helps fair use a lot. If the use of the file harmed the market for the program, or served as a substitute, that lean against fair use. without knowing what the file is, what it does, and how it might be used, one really cannot weven guess.
In Google LLC v. Oracle America, Inc., 593 U.S. ___ (2021), the US Supreme Court addressed the reproduction of a subset of the Java API. The majority assumed for the sake of argument that the Java API was protected by copyright, but went on to hold that the reproduction was a fair use. We shall assume, but purely for argument’s sake, that the entire Sun Java API falls within the definition of that which can be copyrighted. We shall ask instead whether Google’s use of part of that API was a “fair use.” Unlike the Federal Circuit, we conclude that it was. So, it is an open question whether an API is protected by copyright, but the precedent from the Federal Circuit will be persuasive authority. The Federal Circuit held that the API is protected by copyright and the Supreme Court did not upset that conclusion. Second, the factors that led the court to conclude the reproduction of part of the Java API was fair use could turn out another way in another fact scenario. Some of the reasoning seems to generalize, but some seems specific to the Java development ecosystem. Briefly, the court recognized: API authorship is a creative process, but is "functional in nature" The reproduction was intended to assist interoperability; it was commercial; there was no evidence of bad faith The amount of code taken was a small amount of the entire Java work, an amount consistent with its goals The market harms to Oracle were dubious My prediction is that there will continue to be significant case-by-case uncertainty as to the applicability of the fair-use defence in this context.
Libel of website Is it possible to libel a website such as Craigslist or Facebook in a work of fiction? For example, if one were to write about a fictional character who had an interaction with another character, and it depicted the website in an unflattering light, would that be actionable? Or is it necessary in a work of fiction to make all names anonymous?
Yes Defamation is the communication of a false statement that harms the reputation of an individual person, business, product, group, government, religion, or nation. https://en.m.wikipedia.org/wiki/Defamation
The term "defamation" describes an untrue statement that’s been presented as fact and causes harm to the character of the person it describes. In some jurisdictions an admittedly true statement can still be defamatory. See Can true statements or statements of opnion be libel or defamation in any country? If A claimed that B defamed A, but a court rules that there was no defamation, this might make A's statement legally false. But it will not be defamatory unless it also harms B's reputation. Statements made in court, and in legal filings, have absolute privilege and may not the be basis of a defamation action. Public statements by A accusing B of defamation might be the basis of such an action.
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.
The Quora statement that the word "facebook" cannot be used in a domain name without permission is incorrect, or at least too broad. If a site or app is intended to work with Facebook, it may say so. However it may not use the word "Facebook" whch is trademark, in such a way as to suggest that it is an official Facebook product, or that it is endorsed, authorized, or sponsored by the makers of Facebook, or to cause confusion with the original Facebook. Whether a domain name containing "facebook" does that depends on the details. There are multiple precedents for criticism sites. A domain such as "facebooksucks.com" would not be trademark infringement, and there is caselaw to support this. But that is not what might be wanted here. Perhaps "unofficialfacebookhelper.com" would suffice. But to return to the question asked, use of a word in the hypertext metadata in the "Head" element is a reasonable way of indicating that the site is to be used in connection with Facebook, but there would need to be some additional notice or disclaimer making it very clear to any user that the site is in no way affiliated, endorsed, authorized, or sponsored by the makers of Facebook. The use of a trademark to identify another product with which a given product works is known as nominative use. The law specifically allows it, providing it is not done in such a way as to cause confusion, or to falsely suggest sponsorship, approval, or some relationship that does not exist. However, large corporate trademark owners are known to claim more rights than the law allows them. Such owners may try to suppress nominative use that they hae not approved, although they could not win a trademark lawsuit over such use. US Law 15 U.S. Code § 1125 (c)(3) provides the relevant part: The following shall not be actionable as dilution by blurring or dilution by tarnishment under this subsection: (A) Any fair use, including a nominative or descriptive fair use, or facilitation of such fair use, of a famous mark by another person other than as a designation of source for the person’s own goods or services
From http://grammarist.com/usage/libel-slander/: (emphasis mine) Libel is the use of false, defamatory claims about someone in written or printed form. Slander likewise denotes false statements that damage a person’s reputation, but it is committed orally or in any other transient form So a false claim satisfying the definition of defamation would be libel if written (including on the Internet, per Varian Medical Systems, Inc. v. Delfino), and slander if made in a transient form.
Defamation of public figures is governed by the "actual malice" standard: the person making the statement must either have known that it was false at the time they said it, or must have been acting with reckless disregard for the truth (meaning they had serious doubts that the statement was true at the time they said it). The First Amendment bars a public figure from winning a libel suit unless they demonstrate that the defendant fell in one of those categories, because any lesser requirement would discourage people from speaking on topics of public concern for fear that they might say something wrong and be sued for it. The standard was first applied for public officials in New York Times v. Sullivan, and later cases have extended it to public figures in general. If someone genuinely thinks Obama was born in Kenya, it is not libel for them to say that. Even though you could argue that any reasonable person should know that's wrong, it's not enough -- the defendant had to have known it was wrong or seriously doubted it. Even if your sole basis for claiming he was a gay prostitute is that you heard a rumor from a friend, if you actually believed them, you can say he was. You aren't required to check Clinton's book to verify a quote before repeating it; if you read it on a website and had no reason to think they were lying, you can say that the quote was in there. It is extremely difficult for a public figure in the United States to win a defamation lawsuit. This is the system working as designed; a public figure who wants to correct lies being told about them can put out the correct information (which is easier for them than for most people), which is preferable to government action (and libel judgments are government action, because they involve a government officer ordering you to pay someone else money and/or do and/or not do something).
Any legal issues for writing about your parent(s)? No. Furthermore, the answer you got from the Free Legal Aid Clinic is wrong. There is no need for pseudonyms or ambiguities such as "a family member". As long as your statements of fact are truthful, identifying actual individuals in your narrative is lawful (this applies to US as well as Canada defamation law). A word of caution, though: Your post reflects deficiencies in how you explain yourself. This has more to do with your way of articulating ideas than the possibility that English might not be your first language. Although it is palpable from your post that you do not intend to defame someone, reading it raises some concern that you might inadvertently convey a defamatory falsehood when you talk about matters which are understandably sensitive. Knowing how to transmit your message clearly and accurately is far more important --and safer from a legal standpoint-- than avoiding ironic acronyms such as "A m o m f".
"...the listing ad of property is not a property of website." Why do you think that? Just because a website exists does not mean you can legally scrape it. Read the Terms of Service of the site; there is a good chance the TOS forbids scraping or copying of any part of the website in any manner, including scraping. If the property listings are from a third party service that provides real estate listings to websites, then those property listings are licensed to that website, and by scraping them you will likely be violating the TOSs of those two services. By illegally scraping the content of a website, you are opening yourself up to being involved in copyright infringement and/or being liable to be the subject of a civil lawsuit.
Would what happened in South Park (human centipede) be legal? There's an episode of South Park where buried in the terms and agreement of iTunes, you agreed that Apple could forcibly make you into a human centipede. See: In the real world could this happen? They did agree to the terms and conditions which did include that.
In the real world, the contract could not be enforced, as being unconscionable. See Williams v. Walker-Thomas Furniture Company, 350 F.2d 445. This, from the ruling, seems particularly applicable to TOS conditions: Did each party to the contract, considering his obvious education or lack of it, have a reasonable opportunity to understand the terms of the contract, or were the important terms hidden in a maze of fine print and minimized by deceptive sales practices
No. Oregon does not recognize this as within the scope of its self-defense law justification, except insofar as its owner is allowed to use non-deadly force to protect property. But, a sentient AI is also not a proper party to a criminal case and can't commit a crime.
Yes, the original designer (or the designer's employer) would have a legal right to the design, insofar as it included protectable design elements. Copyright on the design of "useful" products is limited, and the exact limitations vary from country to country. However, it might be hard for the designer (or the company for which the designer works) to prove that the creation was original, and was not an actual leak. But if the designer or company has retained sufficient evidence to convince a court, then a suit could be successful. Such a possibility makes me doubt that Apple or a similar large company would do that. The risks are too great when a design of their own creation would probably be quite good enough for their purposes. But that is all speculation.
Most games have a TOS to playing that include provisions such as sales of in game items through out of game currencies (i.e. real world money changes hands for digital product or account). I believe Pokemon does have this as part of the TOS which could get you and potential customers banned from competition and possibly the modern online trade features, but am unable to look at the current TOS to verify. It should not be hard to find such a document and read for yourself.
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.
Anyone seriously planning on doing this or anything like it would be well advised to consult a good trademark lawyer with the specifics. Specifics will matter in such a case. That said: Under US trademark law, the key question is whether a reasonable person would be confused into assuming that there is some connection, and that the new firm could be relied on based on the reputation of the old one. if so, this is a trademark infringement unless permission is obtained from the trademark holder (not likely to be granted). Since "orbitz" is a coined term its protection is stronger, there is no natural object or concept this can refer to. "AppleMoving" is less likely to be confused with "Apple Computers" because apples are real things and need not refer to computers. The likelihood of confusion depends on the specific facts of an individual case. Note also that trademark protection is a matter of private civil lawsuits. If orbitz didn't choose to sue for whatever reason, nothing would have stopped OrbitzMoving.
It is not obvious that is it illegal in Washington state. Everett WA has local ordinances against "lewd conduct" (there are versions of this at the state level and in most municipalities). Having sex and masturbation are included in the class of "lewd acts", and are also included in "sexual conduct". An activity is "obscene" if three things are true. First, the average person, applying contemporary community standards, would find, when considered as a whole, appeals to the prurient interest and when considered as a whole, and in the context in which it is used, lacks serious literary, artistic, political or scientific value. I think having sex or masturbating could pass these two tests. The third condition is that the act explicitly depicts or describes patently offensive representations or descriptions of... [sex, masturbation, or excretion] The prohibition is more narrow: A person is guilty of lewd conduct if he or she intentionally performs any lewd act in a public place or under circumstances where such act is likely to be observed by any member of the public. If lewd conduct were completely illegal, you could not excrete or have sex withing the city limits. Now we have to turn to the definition of "public place": an area generally visible to public view, and includes streets, sidewalks, bridges, alleys, plazas, parks, driveways, parking lots, automobiles (whether moving or not), buildings open to the general public, including those which serve food or drink or provide entertainment and the doorways and entrances to buildings or dwellings and the grounds enclosing them, and businesses contained in structures which can serve customers who remain in their vehicles, by means of a drive-up window Focusing not on the probable intent but on the words, it is primarily defined as "an area generally visible to public view". Your house qua building is probably generally visible to public view, as is a public toilet or hotel. The inside of your bedroom is probably not generally visible to public view, nor is the inside of a toilet stall. While the building is probably a public place, a closed stall within the building does not meet the definition (nor does a hotel room). It might however qualify under the clause "or under circumstances where such act is likely to be observed by any member of the public". The statute does not give a definition of "observe", but under ordinary language interpretation, observation may be seeing or hearing. Silent sex, masturbation or defecation might not qualify as being public. Obviously, excretion in a stall of a public bathroom cannot be a lewd act, presumably because the average person does not generally consider ordinary excretion as appealing to the prurient interest: but there could be contexts where it does. Another avenue for prosecution is the Indecent Exposure state law which is when one intentionally makes any open and obscene exposure of his or her person or the person of another knowing that such conduct is likely to cause reasonable affront or alarm. It is totally non-obvious that sex or masturbation in a toilet stall is "open". There is a slippery slope regarding quiet sex or masturbation w.r.t. knowing that the conduct is likely to cause reasonable affront or alarm. Because the contexts where sex and masturbation are not clearly spelled out by statutory law, the matter would depend on how courts had interpreted previous cases. There have been arrests in Washington of people having bathroom sex, but I don't know if anyone has ever or recently-enough been convicted for having quiet sex out of view in a toilet stall, or similar place. There is a potentially applicable case, Seattle v. Johnson, 58 Wn. App. 64, which seems to involve public sex, and the conviction was overturned because the complaint was defective, in not including the element "that the defendant must know 'that such conduct is likely to cause reasonable affront or alarm'". It is not clear from the appeal what the act actually was – it probably was for public nudity. There is also an decision by the state appeal court division 3 (not publicly available) in Spokane v. Ismail which, in connection with a charge of public urination declares that "A toilet stall is not a public place. The center of Riverfront Park during the lunch hour is a public place", in connection with an ordinance just like the Everett one against public lewd acts.
First of all derivative works are not exactly "illegal". They are fully legal if the owner of the copyright in the original work has given permission. If no permission has been given, they may be copyright infringements. But they may fall under an exception to copyright. Under US law, the most common exception is "fair use". See this question and answer for more on fair use. But particularly relevant in this case is that a parody is usually a fair use, although as in every fair-use decision, there is pretty much no clear-cut, hard&fast rule on what is and is not fair use. In the UK and much of the EU (or maybe all of it, I am not sure) there is a somewhat similar concept known as "fair dealing". It is also an exception to copyright. So it is possible that such works fall under fair use, fair dealing, or another exception to copyright, or that the rights-holder has given permission. Secondly, copyright infringement is a tort, not a crime, under most circumstances. It is enforced when, and only when, a copyright-holder chooses to take action, sending a take-down notice or copyright complaint, of filing suit for infringement. Some rights-holders choose as a matter of policy not to take such actions, thinking that such derivative works actually benefit them. That is their choice to make. Some rights-holders don't have the time or money to track down and take action against most infringements, and will only act if they think the derivative work will in some way cost them a lot of money or harm their reputation. Some rights-holders may just not have heard, yet, of specific possible infringing derivative works. As for Acta2, it has not yet been approved, the Wikipedia article linked in the questions says: In order for the text of the directive to become law in the EU, it must be approved by the European Council on 9 April 2019 The article also mentions significant continuing opposition. If it is approved, it is not clear, to me at least, how it will affect sites hosting such content, nor how it will interact with the copyright law of individual EU nations. If approved, it will no doubt take some time before enforcement is widespread. And of course it will only apply when EU law applies. If both site and author are outside the EU -- say if both are from the US -- it seems that it could not apply.
"Right to silence" for witnesses in Norwegian law I know that the Norwegian Criminal Procedures Code §90 gives a suspect the right to refrain from testifying against themselves. There's this Norwegian fictional story where a group of friends witness someone they know commit a crime. They are then called by the police to come testify regarding the incident. Since the accused is their friend, they don't want to contribute to him being convicted. I know that it's illegal to give false testimony in Norway, so to claim the accused didn't commit the crime would clearly be illegal. But would they have the right to say "I don't wish to comment"? Or simply refuse to show up at the questioning? (Since they themselves were not accused of any crime.) Is that legal in Norway? If not, what kind of punishment can be given for someone refusing to testify in a case where they themselves are not the accused or a family member of the accused, but rather their friend or something like that? What if the accused is a stranger and they simply don't wish to testify? Is there any difference in this regard between the right to silence during the initial police investigation and the right to silence during an actual trial in court? I prefer answers that cite their sources.
This appears to be covered by the Norway Criminal Procedures Code, of which an English version can be found here. Chapter 10 deals with witnesses. Here are some relevant sections: § 108. Unless otherwise provided by statute, every person summoned to attend as a witness is bound to do so and to give evidence before the court. There follow a number of exceptions (spousal privilege, attorney-client privilege, state secrets, etc). None of them seem to apply to your example. § 115. The court may decide that a witness who fails to attend or who leaves the place of sitting without a valid reason shall be brought before the same or a subsequent sitting of the court. In special cases the court may decide that a witness shall be detained in custody until he can be examined. § 128. Before the examination the president of the court shall admonish the witnesses to tell the whole truth without concealing anything. He shall inform the witnesses of the liability consequent on giving false evidence or making a false affirmation. § 137. If a witness refuses to give evidence after being ordered to do so by a legally enforceable court order, the court may by a new order decide that the witness shall be kept in custody until he fulfils his obligation. Nevertheless a witness may not be kept in custody for more than three months altogether in the same case or in another case relating to the same matter. So effectively, if the witness fails to show up voluntarily, he can be brought in forcibly. He can be ordered to testify, and if he refuses, he can be held in custody (probably a jail) for up to three months. However, the authority to compel testimony is limited to courts; the police cannot compel statements from witnesses. § 230. The police may take statements from suspected persons, witnesses and experts but may not order any person to make a statement. So in your example, it appears that the witnesses would be free to refuse to speak to the police. However, if the case came to trial, they could be ordered to testify, and could be held in custody if they refused.
In McCarthy v. Arndstein, 266 U.S. 34, the Supreme Court declared that The privilege is not ordinarily dependent upon the nature of the proceeding in which the testimony is sought or is to be used. It applies alike to civil and criminal proceedings, wherever the answer might tend to subject to criminal responsibility him who gives it. Kastigar v. United States, 406 U.S. 441 It can be asserted in any proceeding, civil or criminal, administrative or judicial, investigatory or adjudicatory, [Footnote 10] and it Page 406 U. S. 445 likewise finds that the privilege can be asserted in any proceeding, civil or criminal, administrative or judicial, investigatory or adjudicatory, and it protects against any disclosures that the witness reasonably believes could be used in a criminal prosecution or could lead to other evidence that might be so used. There may be some confusion over criminal vs. civil cases, so first we should restate the self-incrimination clause: nor shall be compelled in any criminal case to be a witness against himself There are many ways that this language can be interpreted, for example it could mean that a person who is a criminal defendant cannot be compelled to testify against themselves in that case; or that the protection applies to a possible, future criminal case against them (when they are the defendant in a criminal trial); or when they are a non-defendant witness in some criminal trial. Instead, the courts interpret the privilege as protection against any being compelled to testify, when that testimony has a tendency to incriminate. The line that exists, w.r.t. civil cases, is that you can be compelled to testify against your civil case interest – you can be compelled to testify that you breached a contract, for example. When testifying in a criminal case, you can be compelled to testify to a breach of contract. It is not about the nature of the case where you are testifying, it is about the nature of the possible case where that testimony could be used against you.
The Sixth Amendment states that "In all criminal prosecutions, the accused shall enjoy... the right to be confronted with the witnesses against him". You are not being criminally prosecuted, so the Sixth Amendment simply does not apply. https://en.wikipedia.org/wiki/Confrontation_Clause
Generally speaking, witnesses are not legally represented at trial, unless they are also parties. While a witness may choose to seek legal advice about a request or order they have received to give evidence, they would generally be expected to take this opportunity before they actually show up at trial. A witness examination would not normally be adjourned because a witness said something damaging to their own credibility or to one party’s case, and would like to pause and obtain legal advice. One goal of cross-examination is to expose unreliable evidence by obtaining this kind of tactical advantage over a witness. It is up to the party whose case was damaged to try to fix the problem in re-examination or reply evidence. That party may not be particularly interested in protecting the witness’s personal interests. There may be exceptions in specific factual situations, when it becomes clear that a witness does not understand their right to object to giving evidence on the grounds of self-incrimination or some other privilege. A judge may choose to halt further questioning of the witness if there is a real risk of a mistrial or some other procedural unfairness, which can be addressed without unfairly depriving the cross-examiner of their opportunity to challenge the evidence.
The Criminal Code says: (1) A person commits an assault when (a) without the consent of another person, he applies force intentionally to that other person, directly or indirectly Touching is applying force, even if it is slight. The law also says (same section) that apparent consent evidenced by submission isn't actually consent: (3) For the purposes of this section, no consent is obtained where the complainant submits or does not resist by reason of (a) the application of force to the complainant or to a person other than the complainant; (b) threats or fear of the application of force to the complainant or to a person other than the complainant; (c) fraud; or (d) the exercise of authority. This pretty much means that consent is always required. If you are wrong about there having been consent and you end up being charged, you can explain why you thought there was consent, and the judge may find the story sufficiently plausible that you can use that as a defence, because: 4) Where an accused alleges that he believed that the complainant consented to the conduct that is the subject-matter of the charge, a judge, if satisfied that there is sufficient evidence and that, if believed by the jury, the evidence would constitute a defence, shall instruct the jury, when reviewing all the evidence relating to the determination of the honesty of the accused's belief, to consider the presence or absence of reasonable grounds for that belief. Here is a model jury instruction pertaining to consent Third – Did (NOC) consent to the force that (NOA) applied? To decide whether (NOC) consented to the physical contact, you must consider (NOC)’s state of mind. Consider all the evidence, including the circumstances surrounding (NOA)’s physical contact with (NOC), to decide whether (NOC) consented to it. Take into account any words or gestures, whether by (NOA) or (NOC), and any other indication of (NOC)’s state of mind at the time. Just because (NOC) submitted or did not resist does not mean that (NOC) consented to what (NOA) did. Consent requires (NOC)’s voluntary agreement, without the influence of force, threats, fear, fraud or abuse of authority, to let the physical contact occur. The instruction pertaining to the "honest but mistaken belief in consent" defence goes like this: (NOA)’s position is that s/he was unaware that (NOC) did not consent. In fact, it is his/her position that s/he honestly believed that (NOC) consented to the physical contact in question. A belief is a state of mind, in this case, (NOA)’s state of mind. To determine whether (NOA) honestly believed that (NOC) consented to the physical contact in question, you should consider all the circumstances surrounding that activity. Take into account any words or gestures, whether by (NOA) or (NOC), and any other indication of (NOA)’s state of mind at the time. (NOA)’s belief that (NOC) consented to the physical contact must be an honest belief, but it does not have to be reasonable. However, you must consider whether there were reasonable grounds for (NOA)’s belief; the presence or absence of reasonable grounds may help you decide whether (NOA)’s belief was honest. Look at all the circumstances in deciding this issue. Do not focus on only one and ignore the rest. You must consider all the evidence, including anything said or done in the circumstances. Use common sense. (NOA) does not have to prove that s/he honestly believed that (NOC) consented to the physical contact. Rather, the Crown must prove beyond a reasonable doubt that (NOA) had no such belief. In other words, if the story is believable, the jury might believe it. Asking for each and every kind of contact can be annoying and a little silly, but if you might be at risk, better silly than sorry.
The Legal Answer: An officer's job is to turn over all evidence to the State's attorney and testify at trial truthfully. It is the State's attorney's job to turn over all evidence in discovery to the defense; to only prosecute people they believe are guilty or likely guilty; and to remedy clear and convincing false prosecutions as outlined in ABA rule 3.8 which is echoed in many state laws. Rule 3.8: The prosecutor in a criminal case shall: (a) refrain from prosecuting a charge that the prosecutor knows is not supported by probable cause;... ...(d) make timely disclosure to the defense of all evidence or information known to the prosecutor that tends to negate the guilt of the accused or mitigates the offense, and, in connection with sentencing, disclose to the defense and to the tribunal all unprivileged mitigating information known to the prosecutor, except when the prosecutor is relieved of this responsibility by a protective order of the tribunal;... ..(h) When a prosecutor knows of clear and convincing evidence establishing that a defendant in the prosecutor’s jurisdiction was convicted of an offense that the defendant did not commit, the prosecutor shall seek to remedy the conviction. If this new exonerating evidence is turned over to the prosecutor they would be required to submit it to the defense and the trial would likely be postponed for both sides to evaluate the new evidence. If they suppress the evidence it would be grounds for appeal and disbarment of the prosecuting attorney. It is not the officer's job to direct the trial, just supply evidence that supports the truth. But it also wouldn't help if the State's own witness suddenly started offering testimony contrary to supporting guilt and in light of new evidence the prosecution may reevaluate to not have this happen. The Ethical Answer: Kind of sticky going into ethics and the exact right response to this situation, but it sounds like the answer you want. Assuming an ethical prosecutor the this would be the same as the legal answer. If this is not the case and the officer reasonably believes evidence will be suppressed, they could turn over evidence to both parties directly or to the prosecution and make the defense aware that he submitted evidence. He could also notify the state bar association of the suppression by the prosecution should that happen. Of course these actions may be at peril to their job as an officer despite whistle blower protections, but if ethics were easy, people wouldn't have to talk about them so much.
I haven't found a recent case like this where it constitutes evidence. Military members didn't have an express right to remain silent until somewhere in the 1950s, so one chances are there might be cases prior to that point. The present right is codified in 10 U.S.C. 831, which is Article 31 of the UCMJ. That said, there is certainly a well documented adverse inference effect. While jurors aren't supposed to take the silence into account (e.g. when a defendant elects not to testify or exercises a right against self-incrimination), it's a difficult thing to do, practically speaking.
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.
Is this contract valid? Does this contract meet the requirements to be enforced by a court? If not, what challenges might be raised? Promissory Note Principal Amount: £500.00 GBP Date: For value received, the undersigned (the “Promisor”) at _________, promises to pay to the order of _______(the “Promisee”) at ________ the sum of £500 shall the Promisor fail to meet his target of 47.5 work hours per week between 6th - 26th June 2016. Sum shall be paid in full within seven days of the end date of said period. This agreement will be governed and interpreted according to English law. All disputes and claims arising under the Agreement (including non-contractual disputes and claims) will be subjected to the exclusive jurisdiction of the English courts. Promissor (name): Promissor (signature): Date:
Having done a bit of brief research, I find that "legit" is a synonym for "good". So, no. The header announcing a "principal amount" serves no purpose and could be misinterpreted as indicating that there is a loan. There is no reason to indicate the date twice, which gives rise to two different values of "date". The phrase "For value received" can be interpreted in at least two ways, one being "in exchange for some unspecified value to be received at some future date by Promisor", and "in exchange for a specific value already received by Promisor". Under the later interpretation, Promis(s)ee probably could not breach but under the former, Promis(s)ee could. So it makes a difference. You can just pay to the Promis(s)ee, and not imply that you are creating a pay-to-order instrument such as a check. That still leaves you the option to pay with a check. Or was the intent to say "pay on demand"? The expression "the sum of £500 shall the Promisor fail to meet his target" is not grammatical in US English, and I'll leave it to a UK speaker to judge if this is, over there. I assume that this is supposed to express conditionality, in which case "if" is a useful term. Then the meat of the contract, I guess, is that if the Promisor fails to meet somebody's target of 47.5 work hours per week, then Promisor has to pay Promissee £500 (and not otherwise). It's really not clear how anyone would know whether "meet a target of 47.5 work hours per week" has come to pass. Does that mean "work at least 47.5 hours per week"? Does that mean "for each of the three weeks within the time period" (or did you mean "work 47.5 hours within some one week, within the 3 week period"). Being explicit that the work obligation extends for 3 weeks would be legit (vide supra). Supposing that the second clause means "Promisor will pay £500 by 5:00pm 2 July 2016", you should put it that way. Or if you mean "Promisor will pay £500 by 5:00pm 3 July 2016", say that. Deadlines for performance should be stated very directly and clearly, and require no calculation and interpretation. And I'd suggest including a clause stating that "Promissor" and "Promisor" are used interchangeably in this contract. Or else be consistent in spelling. Note that almost any contract can be given some interpretation. From the perspective of creating a contract, the first concern should be over clearly expressing the intentions of the two parties in written form. After all, you don't have a contract if there is no meeting of the minds.
Give the contract language now included in the question, it seems that payment is not due until after the invoice is submitted. I don't see any obligation on the homeowner's part to prompt the contractor to submit the invoice, nor to pay until it is submitted. It might be well to keep a sum reserved so that a late invoice will not find the homeowner with a cash flow problem leading to a default, which could allow the contractor to claim damages or file a lien. But I don't see how a lien can be field before the invoice is delivered, because the payment is not due until 30 days after the invoice date, and no lien can be field until payment is overdue. It seems that the warranty on the work is not in effect until after final payment is made. If there is any reason to consider a warranty claim, it might be desirable to get and pay the invoice.
Is the agreement made by the seller binding? Yes. You "secured" reimbursement of 90% of what you paid and de facto waived your entitlement to the remaining 10%. Prior to that signing the agreement, you were entitled to be fully reimbursed regardless of how long it takes for the counterparty to sell the car to someone else. Depending on the exact terms of the agreement, the counterparty might have the meritorious argument that your waiver is in exchange for a "timely" (i.e., two week) reimbursement of at least 90% of your payment.
The site that you provide is explaining basics of contract law, and that quote attempts to explicate (and they refer to) the Latin maxim consensus ad idem, generally explained in modern language as "meeting of the minds". Here is a brief overview of that legal concept. The basis idea is that the parties are talking about the same thing. An example of a lack of meeting of the minds is here, where a complainant agreed to withdraw a complaint in exchange for a service pin plus "any/all straight time compensation" lost. It was later established that the complainant believed that this included time off from work on sick leave, but the agency held that this had already been compensated – thus the parties did not agree to what was "compensation lost". The "agreement" was thus found to be void, because the parties did not in fact agree on the meaning of the terms. Your purported example would not indicate a lack of meeting of the minds, though it might indicate fraud. A lack of meeting of the minds could arise if the seller intended objects A, C to be items on offer but the buyer believed objects A, B, D to be the offer. It should be noted that the law does not let a person get out of a contract simply by declaring "I thought that...", the courts will look at the objective evidence as to what the parties did believe.
Let's analyse the landlord's claims: You have an assured shorthold tenancy agreement. The fact that there isn't a written contract doesn't change this as a verbal agreement is legally binding. That's true. A tenancy exists even if this was never written down, and it's an AST by default if the requirements for being one are met. Payment of rent constitutes acceptance of these terms. Payment of rent by the tenant, and its acceptance by the landlord, is sufficient for a tenancy to be regarded as existing. The tenancy can only be terminated early from the permission of the landlord. That's rubbish. A tenant can always end a tenancy, but there may be restrictions. In particular, a tenant cannot end a tenancy before the end of a fixed term without the agreement of the landlord, but the landlord has an obligation to find new tenants if this happens. However, I've been unable to find any information as to whether a fixed term exists if there's no written agreement. Assuming there is no fixed term, then for a month-to-month tenancy, the tenant must provide one month's notice to end the tenancy, with that month ending at the end of a rental period (i.e. the day before the next payment would be due). If you leave early this is legally abandonment and you are still responsible for paying rent for the duration of the tenancy That's true. ... if you do leave next month I'll consider you in rent arrears and pursue payment through legal means That is possible - but if you give notice as described above, then the tenancy will end, and (assuming you're up to date with the rent) you'll no longer be liable.
If I did not sign promotion bonus document, my career would be over. Is this duress? No. The premise is hardly true or even logical, and what you describe falls short of duress. Not every imbalance of bargain power implies duress. First, it seems that you could have declined the bonus, thereby preempting the sanction/remedy for leaving within 12 months. Second, it seems hard to prove (and unrealistic) that your career would have been over if you refused to sign the document. The employer can easily refute that allegation by pointing out that there are many others who did not sign that employer's document and yet work elsewhere as investment bankers. You would need certain, additional context to reasonably allow for a conclusion that your career altogether depends on what happens with this single entity. Third, your mention that "the bonus mitigates the horrendous weekly hours" reinforces the idea that signing the document was your preference (namely, for the purpose of obtaining some additional, non-compulsory stimulus) rather than employer-inflicted duress. The rationale and decision for acceptance of those conditions reflects that you knowingly exercised your freedom of contract. A party is not entitled to void a contract only because he belatedly changed his mind about conditions of which he was aware beforehand.
English common law has centuries of experience on this issue, and has developed some settled principles that are applied by the courts. Prior to 1925, references in contracts to months were interpreted as lunar months. There are 13 lunar months in a year. By section 61 of the Law of Property Act 1925, references in contracts to months are to be interpreted as calendar months, unless the context otherwise requires. Calendar months are counted from a specified date. It is not necessary to consider the period from the 1st of a month to, say, 31st (unless the notice period starts on 1st of a month). This contrasts with the usual understanding of calendar year, which tends to be thought of as the period from 1st January to 31st December. The “corresponding date rule” requires that one looks at the same date in the diary the relevant number of months ahead. Thus a period of 3 months from 20th April expires on 20th July. In the case of Dodds v Walker [1980] 1 WLR 1061, in the Court of Appeal, Templeman LJ said: "…if an act is authorised to be performed on any arbitrary day in any month of the year, then one month elapses on the corresponding day of the next month, provided that the day of the act itself is excluded from computation." In the same case, in the House of Lords, Lord Diplock said: "The corresponding date rule is simple. It is easy of application. …all that the calculator has to do is make in his diary the corresponding date in the appropriate subsequent month." In the same case, Templeman LJ clarified that if the period expired on a date that did not exist in a particular month (eg 31st February), then the period would expire on the last day of that month. Source
Do you have a contract? It depends on the website’s terms but almost certainly not. It is standard practice in e-commerce terms and conditions that your selecting “buy” and giving the vendor money does not create a contract; you are merely making an offer that the vendor can accept or reject. For example, Amazon’s terms are clear that the contract only comes into existence when they dispatch the goods, until then they are free to cancel your order and return your money. Here the vendor rejected the offer. Is this false advertising? Maybe. It would depend on the specifics of the ad and whether, overall, a reasonable person would be mislead or deceived. It’s possible you misunderstood but that doesn’t necessarily make it misleading or deceptive. I misunderstand a lot of things; that doesn’t mean they were objectively misleading or deceptive. Notwithstanding, a business does not have to make good on false advertising. An incorrect advertised price does not force the business to anccept offers of that price. It may force a correction and may require the item to not be sold until the price is corrected and it may expose the business to fines, but it does not give anyone the right to buy at that price.
Is it legal for a university to tell police and security to not stop a battery on campus? There is an evidence video showing how BLM protestors invaded a closed, planned and paid event. The security did nothing to help the speaker who was assaulted and battered. According to newspapers, the college told police and security to not intervene. Is that legal? Are there legal consequences for such an abdication of security?
In the United States: Government law enforcement agencies have no specific duty to provide security to an individual. This was established in Warren v. DC: The duty to provide public services is owed to the public at large, and, absent a special relationship between the police and an individual, no specific legal duty exists. Private security personnel don't have any special duties above those enumerated in their contract. The closest legal requirement to provide aid to another may be under the common law "duty to rescue" concept, but statutory law on that does not seem substantial in the United States.
The specific elements of the crime in question are going to be defined by Maltese law, which appears to be a blend of a European-style civil code with English-style common law. However, under ordinary Anglo-American standards, the alleged acts do seem to meet the legal definitions of these terms. At common law, an "assault" consists of placing someone in fear of an unwanted touching, and a "battery" is a completed assault; that is, an actual unwanted touching. If Mr. Suda, as alleged, took the victim's hand and touched it to his own genitals, without her consent, he committed an assault and battery. Any touching can constitute a battery, from a tap on the shoulder to a bullet in the head. Likewise, at common law, "violence" is any degree of physical force. If he tricked her into touching his genitals, that would not be a crime of violence; if he physically moved her hand to his genitals with his own hand, then he used physical force, or violence, to commit the crime. Again, what actually needs to be proven will depend on specifics you would need a Maltese lawyer to go into--but under general common law principles, neither "assault" not "violence" are particularly surprising.
Edit: I didn't notice a that this question was tagged for Canada; this answer is based on U.S. law. "Must you stop walking" and "can the police detain you for leaving" are different questions. Must you stop? I'd expect a lot of variation from state to state, but there are definitely situations in which you must stop. In Ohio, for instance, an officer who "reasonably suspects" that that you have committed, are committing, will commit, or have witnessed the commission of violent felony, is permitted to stop you and ask for your name, address and date of birth, and it is a crime to refuse to provide that information. R.C. 2921.29. But at the moment the officer asks you to stop, you're in a tricky position. If you haven't done anything wrong, you'd be inclined to think that the officer has no basis to stop you and that you're justified in walking away. But if someone just called the police and said someone fitting your description just robbed a store two blocks away, the officer has reasonable suspicion that you committed a violent felony, but you have no way of knowing that. This sort of thing happens pretty much all the time. In the absence of that reasonable suspicion, though, Ohio courts have repeatedly held that it is not obstruction for you to just walk away (or even run!) from the officer. Can the police detain you for walking away? Obviously, if you're in a situation where it is a crime to not answer questions, the police can detain you because they just watched you break the law. But what about when you're within your rights not to answer? The police can still detain you with a Terry stop when they have a reasonable and articulable suspicion that you are committing a crime, or that you just did, or that you're about to. And they can continue that Terry stop until that suspicion is confirmed or dispelled, or until they can't reasonably expect to get anymore information by detaining you. Based on the facts you described, it seems unlikely that they could legally detain you based on your termination of the conversation. Still, I imagine that there could be circumstances where they might stop someone, ask questions, and then reasonably suspect that the person was engaged in a crime based on his decision to walk away, especially if the person hasn't explicitly invoked his Fifth Amendment right to silence.
In the scenario you described, you were both right: Police have no authority to demand that you leave a public space because you are photographing, nor does the government have the right to prevent you from photographing anything that is visible from a public space, including government facilities or employees. However, the police would likely have followed through on their threat to arrest you. In that event, any vindication for wrongful arrest and violation of your civil rights would only come (if ever) at the end of protracted and expensive litigation in the courts. (A plethora of examples is accumulated by watchdog groups like the ACLU and Photography Is Not A Crime.)
Actually, neither the council nor a private owner are responsible for illegal actions by unauthorised people on their property. This is obvious: if an intruder enters your property and, while there, shoots someone you cannot be held responsible. However ... Since you have made them aware that there are intruders on their property acting illegally and causing a nuisance to the neighbours and they have done nothing they are quite likely negligent, even recklessly negligent. Rather than sue them, consult a lawyer and get them to write a letter that if they do not take action by X date you are going to sue them.
None, if the intention is merely trespassing, unlike burglary which requires intent to steal, commit criminal damage, or inflict grevious bodily harm or if the building is a protected site - neither of which isn't evident from the question. Note, for both offences, the actus reus is entry - there is no requirement for any form of "breaking" Further to ohwilleke's comment, unless the lock is damaged or destroyed etc, then there is no offence of criminal damage
If you consent, the evidence can almost certainly be used against you. Florida v. Bostick, 501 U.S. 429 (1991) ("Even when officers have no basis for suspecting a particular individual, they may generally ask questions of that individual, ask to examine the individual's identification, and request consent to search.") If you refuse consent, it is not clear whether the evidence can be used against you, as we don't know why the officer is asking to frisk you. A stop-and-frisk must be supported by a reasonable and articulable suspicion that you have just committed or are about to commit a crime, and that you are at that moment armed and dangerous. If they reasonably suspect you have just committed a crime but do not reasonably suspect you are armed and dangerous, the police may stop you, but they may not search you. That point is worth emphasizing because several other answers are incorrectly assuming otherwise. For one example, in Thomas v. Dillard, 818 F.3d 864 (9th Cir. 2016), the police responded to a report of domestic violence. Based on their reasonable and articulable suspicion that the suspect had committed that crime, the police stopped and frisked him. Because they had could reasonably explain why they thought he had committed a crime, but could not reasonably explain why they thought he was armed and dangerous, the court said the stop was legal, but the frisk was not: Whereas the purpose of a Terry stop is to further the interests of crime prevention and detection, a Terry frisk is justified by the concern for the safety of the officer and others in proximity. Accordingly, whereas a Terry stop is justified by reasonable suspicion that criminal activity may be afoot, a frisk of a person for weapons requires reasonable suspicion that a suspect is armed and presently dangerous to the officer or to others. A lawful frisk does not always flow from a justified stop. Rather, each element, the stop and the frisk, must be analyzed separately; the reasonableness of each must be independently determined. Even then, the search is basically limited to a minimally intrusive patdown to ensure you don't have any weapons on you, and the officer is generally not permitted to actually search inside pockets or the like, though the search may escalate based on what the officer is able to feel during the patdown. Minnesota v. Dickerson, 508 U.S. 366, 375–76 (1993) ("If a police officer lawfully pats down a suspect's outer clothing and feels an object whose contour or mass makes its identity immediately apparent, ... its warrantless seizure would be justified by the same practical considerations that inhere in the plain-view context.") The refusal to respond generally operates as a refusal to consent. The police are therefore free to conduct whatever search they could have conducted without your consent. If they have a reasonable, articulable suspicion that you're carrying a gun, they can probably frisk you to see if that's the case. If they have a warrant to search your pockets, they can search your pockets. If they don't have any of that, they need to keep their hands to themselves.
The grain of truth is what you've read is that Mass. Gen. Laws ch. 149 § 19 says No person shall, by intimidation or force, prevent or seek to prevent a person from entering into or continuing in the employment of any person This is referenced in a compendium of state laws loosely subsumed under the notion of "blacklisting". In Arkansas, this would be writing, printing, publishing, or circulating false statements in order to get someone fired or prevent someone from obtaining employment; in Indiana it is using any means to prevent a discharged employee from obtaining employment. The Massachusetts law only prevents use of intimidation or force to prevent a person from getting employed. In other words, "blacklisting" is not the same thing in all jurisdictions.
How can one give advice without risk? How can one give advice that he or she thinks is correct without incurring legal liability from possible negative effects of the advice? Is there some phrase that can be used for that? Something like "I don't take responsibility for this advice. I'm just expressing my personal opinion."? Does this matter if it's done in a blog or personally? If the clause is on a blog's TOS or on every page? If the advisor is an expert in the field he or she is advising about?
The most important consideration is whether you're giving advice "as" something special. An example would be claiming to be a medical doctor and advising people to do something clearly harmful such as "take 10 Tylenol and call me next week". In such an extreme case, there could be criminal charges. Less severe would be an accountant giving grossly wrong and incompetent tax advice to a client, in which case the accountant could be civilly liable. (For instance, telling a client "you don't have to declare royalties for textbook sales"). In such cases, a client depends on the professional to give competent advice, and you rely on him to work according to a certain professional standard of care. There is a difference between the standard of care that an ordinary "reasonable person" owes to any other person, and the standard of care owed by a professional in an area. What would be excusable bad advice that I might give on how to build a wall would be inexcusable if given by an engineer. The basic idea is that if you interact with a person (even indirectly, manufacturing something that a 3rd party buys), you have a certain duty to be cautious. If this is just an ordinary-person on ordinary-person interaction, then the parties (both parties) are expected to exhibit the degree of caution that a "reasonable person" would exhibit (attempts to pin down what a "reasonable person" would do have proven impossible, though juries always know subjectively what a reasonable person would do). However, your duty to not give bad advice is offset by the advice-taker's duty to not take bad advice – that is, if a reasonable person would know that taking 10 Tylenol is a bad idea (thus I, as a non-physician might have some duty to not give such stupid advice), then the person who stupidly took 10 Tylenol was contributorily negligent in taking the 10 Tylenol. As far as I can tell, if you do not represent yourself as a member of a technical guild (lawyer, doctor, accountant, many others) giving technical advice in that capacity, and you are not directly contracting with a person (i.e. they hire you to give them advice on how to keep your yard from falling over the cliff), then you can say stuff like "If X, then you should Y", and not have to pay if someone does that Y and they suffer a loss.
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.
It is certainly possible to transfer a copyright or other IP without an explicit charge, indeed it can be a pure gift, and normally would be when it is left by will, as is common enough. From a paid consultant it might be clearer to include a statement that the transfer is part of the consulting assignment, rather than putting a price of zero in a blank. But one could instead convey a permanent non-exclusive license, granting permission to use or modify the work in any way desired, ans saying that this is provided as part of the consulting process. Then there would be no question of what rights the consultant retained, or that the same or a very similar solution could be provided to different clients. Indeed such a license would not be so very different from a CC-BY license, or any of several open source licenses, although I would not use one of those by name. But the legal effect would be much the same, and the wording could be similar. Otherwise there could be a later claim that the right transferred precluded the consultant from using the same solution for other clients. Even if such a claim was not legally sound, and was not upheld, it could be a distraction and costly of time and energy at least.
It is the tenant's responsibility to understand the written contract. Oral statements about the contract do have to be consistent with the written contract (that is, in the context where you ask the landlord what a particular clause means before signing -- not in the case where you are modifying an existing contract). If I were renting a room and the contract says "Du må betale $1000 hver dag", which I don't understand because my Norwegian is terrible, I would ask about this, and the landlord might say that it means "You must pay $1000 every month", which could be a decent deal. Actually, the clause says "You must pay $1000 every day". When the reality of the situation becomes clear, then it is obvious that we didn't have an agreement in the first place. Perhaps he mis-spoke, or his English is as bad as my Norwegian, but I would not be held to rate in the written contract, assuming that I could back up my claim that he gave me that interpretation: the lease would probably be voided, as not an actual agreement. The underlying principle is that there has to be a "meeting of the minds" where the parties understand what they will get and what they must give, and there was a demonstrable failure of understanding. On the other hand, if I sign a contract without really reading it carefully, and there is a clause in English (which I speak) saying that I have to pay $1000 a day, but I didn't really think about the clause so that in a sense I didn't understand what I had agreed to, well, I may still be on the hook. (On the third hand, a court would probably say that's a ridiculous rent and void the contract on policy grounds). In general, "not my first language" is not a get-out-of-contract card, though attempts to trick people into signing documents in languages that they really have no understanding of won't be successful. Virtually nobody but a lawyer actually understands contractual language, yet contracts are enforced all the time. A contract can be explicitly modified by verbal agreement, or can be entirely verbal, but oral agreements face evidence problems, namely, what exactly did A and B say? It's scientifically well established that parties can be morally certain that the conversation went "A" (for one person) and "Not A" (for the other person). Using "could" rather than "would" in speech makes a huge difference in interpretation. There is a rule, the parol evidence rule, which essentially says that unless there is a good reason to not do so, the contract as written is what is enforced. Even if the conversation had been written into the contract, there's no basis in the contract for objectively determining whether a thing is old and "just broke". So even as an additional clause in the contract, it doesn't afford you a clear escape hatch. You might be able to prove with expert testimony that indeed the pipes had been corroding for a hundred years, and you could not have caused the pipes to burst.
It is actually because "this is important". Under US law, disclaimers must be "conspicuous" (UCC 2-316). So you can talk regularly when you're just stating the terms, but if you're disclaiming liability, YOU MUST BE CONSPICUOUS ("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"). There are many ways to make text conspicuous, so bold or larger type would do, but all-caps is pretty bullet-proof from a technological perspective. Thanks to ohwilleke for salient citations: invalidation of a plain-type buried indemnification clause, all-caps clause held to be sufficient, law review article on the conspicuousness requirement.
I think that one cannot answer a question such as "Will the personal use exception in the GDPR apply to personal blogs?", because it is unclear if you refer to: personal information published on the blog pages personal information collected from the Website, by way of forms, cookies, server logs, strictly collected and processed for the purpose of operating the Website for your own personal purposes as a blogger (by yourself of through a subcontractor in the sense of GDPR) and not personal information collected from the Website's operation, transferred or provided to third parties for their own purposes (this would include cookies used to identify and track users across multiple domains) Regarding 1., a personal blog wanting to benefit from the exemption should not publish third party's personal information without their consent or another legal basis, and C-101/01 certainly applies here. About 2., if the information is strictly collected and used for the own personal purpose of the operation of the blog, I would tend to agree that it should benefit from the exemption. I feel that C-212/13 would not necessarily be an indication that because the blog is publicly accessible it is then "directed outwards from the private setting" in the sense of this ruling, and should not be considered as "purely ‘personal or household’ activity". C-212/13 case was relating to a camera installed by an individual on his family home for its own security purposes which was also monitoring a public space. The persons filmed on this public space had absolutely no direct connexion with the person collecting their images. In case of a blog, the visitors of the blog interact with the blog for fulfilling the own personal purpose of the operation of the blog of the publisher of the blog. Another argument is given by the Recital 18 which you quote: a personal blog can be viewed as a type of social networking or related online activity. Finally, about 3., there is no doubt for me that, in this case, the publisher of the blog is engaged in an activity which is not personal, since it willingly provides personal information to third parties which they use for their own purposes (and not as subcontractors in the sense of GDPR). There may be other approaches apart from these 3, but that's a start for your considerations.
Every state requires at least two witnesses to a will unless it is entirely written in your own handwriting. A lawyer as a witness is fine. A spouse as a witness is not ideal as she would be an interested party if there was a dispute over whether it was executed. It may not be prohibited, but I would never do that in my practice ever. I discontinued a will signing just last week because we only had a lawyer and a spouse and not other witnesses. I would be somewhat concerned.
Attorney-Client privilege is a one-way duty: The Attorney has to maintain protected information in confidence. It's a professional duty supported in law. There is no corresponding duty for the Client to maintain anything in confidence. The client can waive the privilege at will. Some sample limitations to waivers are governed by Federal Rule Evidence 502. (Granted, in this scenario the concerned board member may be bound by some confidentiality agreement or fiduciary obligation as a consequence of service on the board, or membership in the association, but that's a different matter.) The ABA points out , in its article "How to Lose Attorney-Client Privilege" that: Either voluntary or inadvertent disclosure to outside or non-covered recipients, professional advisors outside the privilege, and experts and consultants, can result in waiver as a matter of law. In this "Ten Things" article the author points out: Business advice, however, is never privileged and – for in-house counsel in particular – the line between the two can appear blurry. ... If a document that is otherwise privileged is shared with third parties, then the privilege is lost. ... A common misperception among the business is that all confidential information is privileged or if they label the communication as privileged they can keep the documents out of the hands of third parties. As we’ve seen, this is not correct and the fact that there is a non-disclosure agreement or other type of confidentiality agreement in place will not make a document privileged nor will it preserve the privilege if it is disclosed to a third party.
Legality of the shooting of a gorilla at the Cincinnati Zoo A video has been all over the internet today. It shows a gorilla at the Cincinnati Zoo in contact with a 4 year old child who had fallen into the enclosure. The gorilla was shot and killed. The gorilla in question was considered "critically endangered" but the Endangered Species Act does not apply if the death of the animal in question was a result of self-defense. That being said, the gorilla was treating the boy in approximately the same way it would one of its own children and it was unlikely that the boy would have been seriously injured. Given that and the fact that there were probably several other ways for the child to have been rescued which would not have involved the death of the gorilla, is there a legal basis for charges to be brought up against the responsible party or could they reasonably argue that it fell under defense?
The relevant (criminal) defence is Sec 11(b)(3) [the Civil defence in Sec 11(a)(iii) is an easier one]: (3) Notwithstanding any other provision of this Act, it shall be a defence to prosecution under this subsection if the defendant committed the offense based on a good faith belief that he was acting to protect himself or herself, a member of his or her family, or any other individual, from bodily harm from any endangered or threatened species. I would say that the defendant could easily demonstrate a "good faith belief that he was acting to ... any other individual, from bodily harm from any endangered or threatened species." Even if there were other ways to rescue the child other than lethal force to the gorilla they all would have necessitated exposing the child to a longer period of danger, exposing another person to danger or may have had less predictable outcomes (e.g. tranquilisers have an onset time) all of which would be unconscionable.
At the federal level, per 18 USC 751, escaping is a crime. In United States v. Allen, 432 F.2d 939 it was held that an arrest need not be lawful in order for an escape to be illegal; Laws v. US states that "This court has said that a sentence imposed for a violation of 18 U.S.C. § 751 is 'not affected by the validity of the sentences being served at the time of the escape'", giving numerous citations. I don't find cases where the escapee was exonerated; prosecutors have the discretion to not prosecute for committing a crime, so it would be hard to find a case where the legality of such a conviction was upheld (also, hard to find a jury willing to convict in such circumstances).
I assume this took place in Washington state. There are a number of self-defense provisions in Washington law. The first, RCW 9A.16.110, is primarily about reimbursements for prosecutions of acts of self-defense, but includes an applicable limit on prosecution: No person in the state shall be placed in legal jeopardy of any kind whatsoever for protecting by any reasonable means necessary, himself or herself, his or her family, or his or her real or personal property, or for coming to the aid of another who is in imminent danger of or the victim of assault, robbery, kidnapping, arson, burglary, rape, murder, or any other violent crime as defined in RCW 9.94A.030. This provision is relevant, since executing a prisoner on death row is not a crime (the state Supreme Court recently struck down the death penalty, so I assume this took place before that ruling). RCW 9A.16.020 states the more classic law on justified use of force, saying The use, attempt, or offer to use force upon or toward the person of another is not unlawful in the following cases:...(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; Statutory law does not define offense against his or her person. Grabbing a person and strapping them down for some harmful purpose would normally constitute battery under the common law, but in this instance it is privileged, so it is not an offense against the person). RCW 9A.16.030 says that Homicide is excusable when committed by accident or misfortune in doing any lawful act by lawful means, without criminal negligence, or without any unlawful intent. The person is under court order to be executed, and it is not lawful to resist that order. The guard, however, RCW 9A.16.040, may use deadly force pursuant to the legal mandate to carry out the court orde ((1)(b)"to overcome actual resistance to the execution of the legal process, mandate, or order of a court or officer, or in the discharge of a legal duty").
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.
There sort of is a law, this one. It does not absolutely forbid owning a possum, but it is required that you have a license to take or keep a wild fur-bearing animal including a possum. There is no existing "license to take and possess as a pet", but you could try under trapping licenses. However, they warn that the Fur-bearing Propagation Permit does not authorize individuals to possess live fur-bearing animals as pets.This IS NOT a “pet permit.” Ultimately, what would happen is you apply for a license, but they would deny the application because you don't plan to propagate the animal, or skin it. Although the statute does not specifically prohibit keeping a fur-bearing animal as a pet, it does authorize Parks and Wildlife to promulgate and enforce regulations. Another approach would be to seek a wild animal rehabilitation permit, pursuant to PWD regulations (here). This is also not a general pet permit, but in case your program of possum rehabilitation fails, you are not required to kill it or release it into the wild to die. There is a test required, to be sure you know how to rehabilitate wild animals, plus a requirement for letters of support from conservationists, veterinarians or rehabilitators.
I do not know what actually happened to anyone in the aftermath of this incident, but it is unlikely that there is a basis for civil or criminal liability in this case. Criminal liability does not generally attach to negligent conduct except in cases of homicide or criminally negligent motor vehicle operation. But, this case appears to have involved mere negligence. It appears that somebody made an honest mistake rather than acting recklessly or intentionally to cause harm. Governmental entities and officers of governmental agencies acting in their official capacity have immunity from liability for negligence except in some vary narrowly defined areas (e.g. failure to maintain government buildings, medical mistakes in government hospitals, and car accidents) which seem unlikely to be implicated here. But, it seems likely that the responsible parties were all governmental entities or officers of governmental agencies acting in their official capacities. So, it is unlikely that there would be civil liability either. Needless to say, however, this does not look good on the job performance record of any civil servant below the Governor (who doesn't get evaluated in that way) when being considered for promotion, demotion, unfavorable transfers or even termination of employment. Obviously, if new facts were uncovered and this was actually more nefarious than it seems, and this hidden truth was discovered, there could be a basis for civil or criminal liability. But, if this was the case, it would have made headlines.
If I were a DA (District Attorney) looking out "stamp out" statutory rape, I would make the rounds of the hospitals, identify women who gave birth, or were impregnated when underaged, and go from there. But few, if any DAs, do this. No, you wouldn't. First, you have neither the time nor the budget to do this. Second hospitals are not public property, you would need a warrant which the court won't give you because you don't have probable cause to believe a crime has or is being committed. As a DA, I would of course, follow up on any complaints lodged by the victim, or even by her/his parents. And maybe I would prosecute a case where people were "caught in the act, or there were nude pictures, etc. May even an especially egregious PDA (public display of affection). No, you wouldn't. You would follow up on complaints to the extent that you have the time, budget and manpower to do so and you would prosecute cases where you believe that you have a reasonable prospect of getting a conviction and where prosecution is, in your opinion, in the public interest. In the real world, that means where the police hand you a brief of evidence that is a lay-down misere and (for statutory rape) where there is a real power imbalance between the perpetrator and the victim - giving 2 willing 15 year old kids the label of 'sex offender' for life is probably not in the public interest. But suppose there were no complaints or smoking guns. Could someone investigate based on something like a teenager "holding hands" with someone much older? To make the question objective, what has historically caused DAs to prosecute people outside of the above parameters? With some exceptions, it is not the role of the DA to initiate or conduct investigations of criminal actions - that is the role of law enforcement officers, usually for this particular crime, police officers. Notwithstanding, the general rule in western, liberal democracies (which the United States, with a certain generosity of spirit, can still be considered) is that citizens are allowed to get on with their lives without day-to-day interference from the state. That is, law enforcement officers do not 'go fishing' for crimes, they investigate crimes that they have a probable cause to believe have actually happened, either because they themselves saw it happen or someone has reported it to them as having happened. The term for having a law enforcement officer following you around waiting for you to break the law is 'harassment' and may itself be illegal. A law enforcement officer can initiate an investigation based on anything but as no law enforcement agency has unlimited resources, they tend to follow only those investigations that might lead somewhere. For example, it has been known for parents to hold the hands of their children and even to publicly display affection towards them and parents are often "much older" then their children - this would not generally be grounds for initiating a statutory rape investigation.
The question is oddly phrased: The law does not give allowances for its violation. Many laws have exceptions. E.g., the law against killing endangered animals contains an exception for defensive killings. Perhaps you are thinking of safe harbors? For example, there are general provisions in the law like "exigent circumstances" that allow police to proceed with actions that, absent those provisions, would constitute violations of law. "Permission" to violate a right can be granted explicitly in the form of a warrant, which allows law enforcement to "violate" specific property and freedom rights. Finally, one might consider an executive pardon or jury-nullification to be ex post "permission to break the law."
Forming an LLC in Idaho: Is programming professional? I'm forming an LLC in Idaho for a software development / consulting business. I'm planning to go directly through the Secretary of State. I see two different forms: A "Certificate of Organization Limited Liability Company" and a "Certificate of Organization Professional Limited Liability Company" The "professional" one has this description: “Professions shall be held to include the practices of architecture, chiropractic, dentistry, engineering, landscape architecture, law, medicine, nursing, occupational therapy, optometry, physical therapy, podiatry, professional geology, psychology, certified or licensed public accountancy, social work, surveying and veterinary medicine, and no others.” [30-6-102, Idaho Code] I'm not sure if programming / software development would fall under this - would it be "engineering"? Idaho Code 30-6-102 doesn't shed much light on the subject. Although I didn't read the whole thing, it has the exact same paragraph under definition 20. Which should I use to file for my LLC? Why?
The threshold question is if you have a state license for your work. That is why a software developer/consultant is not an engineer. Take a look at paragraph 19: "Professional company" means a limited liability company organized under the provisions of this chapter for the sole and specific purpose of rendering professional services, allied professional services, and services ancillary to the professional services and which has as its members only: (a) natural persons who themselves are duly licensed or otherwise legally authorized to render one (1) or more of the same professional services as the professional company; and/or (b) professional corporations, partnerships or limited liability companies, all of whose shareholders, partners or members are duly licensed or otherwise legally authorized to render one (1) or more of the same professional services as the professional company.
Am I correct to infer that content/data created by a US city have an open license (public domain if created by US city employees or open license if created by a contractor)? No. For example, Larimer County, Colorado created election administration software in-house rather than using an outside contractor to do so, and it would be lawful for it to license that software to other governments in a manner that helps recover its development costs. There is an issue over whether a city or state can copyright its municipal ordinances or statutes or regulations in a legally enforceable way when people have a legal duty to comply with them. Some courts have held that state statutes that are binding upon people can't be protected in that manner. Efforts of the West Corporation to protect its page numbering system that was widely used by courts to refer to public domain case opinions were mostly invalidated in litigation. An open question is that most municipal governments incorporate by reference in their ordinances Uniform Building Codes that are subject to private copyrights and are not terribly cheap to obtain copies of. Yet, every person doing construction work is bound to follow the enacted ordinance including the parts incorporated by reference.
As a native English speaker I would read this as requiring the DPO to monitor all the things listed (i.e. you are correct). Furthermore it would be ridiculous for the DPO to be personally responsible for doing all of these things. If you were supposed to perform "assignment of responsibilities" yourself that would pretty much make you the Chief Operations Officer. If you are only required to monitor job assignments for compliance then by the same logic you are only required to monitor training. Having said that, there is an established principle in the safety industry that compliance should have an independent reporting line up to the top management, and I think its the same for financial regulations too. You cannot be an effective DPO if you are just watching from the sidelines. So I would expect a DPO to have: Line responsibility for audits and routine compliance work such as privacy impact assessments, with a dedicated team of people if necessary. This ensures that there is an independent reporting line from everyday work up to the DPO. Do not accept a situation where data protection work is carried out by the project and then handed to you to file once it is complete, because it never will be. Project managers have a lot of competing priorities and they are extremely good at avoiding anything that sits between them and project completion. You MUST have your own people in the project to see what is happening and the power to stop a project if it is not compliant. If they won't give you that, turn down the job. Budget responsibility for training (with the work actually done by specialist contractors or the company in-house training department) Notification of job assignments where data protection is part of the responsibility.
In the US, code that you write in the course of employment is the property of your employer. Otherwise, anything that you create is your property. The gray area is things that you write during your employment but not in the course of your employment (hence the terms of the employment contract are vital). Something that you write before becoming an employee is not "in the course of employment". However, if you use that code in the in the course of employment, you invite the argument that in fact the code was written in the course of employment. That argument can be squelched if you have an agreement with the employer that acknowledges that you are licensing your code to the employer in exchange for ... some consideration. It could be $1, or a similar unit of currency.
This is a duck I might want this duck to work for me laying duck eggs (only not this duck because it's a boy duck). If I call this duck a chicken; it's still a duck. Similarly, the duck may call itself a chicken. It may even believe it's a chicken. It's still a duck. Now, I might want to call the duck a chicken because ducks have fewer workplace rights than chickens. Similarly, the duck might want to be a chicken because chickens can be more ... creative ... with their taxes; they might even be able to funnel their income through special C-corporations (C is for chicken). It's still a duck. The law doesn't care what you call your relationship or even what you think your relationship is - it cares about what it actually is. Is a freelance software developer a duck or a chicken? The actual law can be found here. Starting from the beginning: 2750.3. (a) (1) For purposes of the provisions of this code and the Unemployment Insurance Code, and for the wage orders of the Industrial Welfare Commission, a person providing labor or services for remuneration shall be considered an employee rather than an independent contractor unless the hiring entity demonstrates that all of the following conditions are satisfied: (A) The person is free from the control and direction of the hiring entity in connection with the performance of the work, both under the contract for the performance of the work and in fact. (B) The person performs work that is outside the usual course of the hiring entity’s business. (C) The person is customarily engaged in an independently established trade, occupation, or business of the same nature as that involved in the work performed. So a freelance software developer who is working without their client's "control and direction" about when, where and how they do their work (obviously, direction on the final product is OK), for a client who doesn't normally develop that type of software (e.g. writing a website for a hairdresser or even writing accounting software for a computer game developer but not writing computer games for a computer game developer) and that there exists such a 'thing' as independent software developers (which there are) can be correctly classified as a contractor. A person who goes into a software house to work on their in-house code is an employee. So after the initial classification, there is a bundle of exemptions and exceptions. None of them are particularly relevant until we get to: (e) Subdivision (a) and the holding in Dynamex do not apply to a bona fide business-to-business contracting relationship, as defined below, under the following conditions: (1) If a business entity formed as a sole proprietorship, partnership, limited liability company, limited liability partnership, or corporation (“business service provider”) contracts to provide services to another such business (“contracting business”), the determination of employee or independent contractor status of the business services provider shall be governed by Borello, if the contracting business demonstrates that all of the following criteria are satisfied: (A) The business service provider is free from the control and direction of the contracting business entity in connection with the performance of the work, both under the contract for the performance of the work and in fact. (B) The business service provider is providing services directly to the contracting business rather than to customers of the contracting business. (C) The contract with the business service provider is in writing. (D) If the work is performed in a jurisdiction that requires the business service provider to have a business license or business tax registration, the business service provider has the required business license or business tax registration. (E) The business service provider maintains a business location that is separate from the business or work location of the contracting business. (F) The business service provider is customarily engaged in an independently established business of the same nature as that involved in the work performed. (G) The business service provider actually contracts with other businesses to provide the same or similar services and maintains a clientele without restrictions from the hiring entity. (H) The business service provider advertises and holds itself out to the public as available to provide the same or similar services. (I) The business service provider provides its own tools, vehicles, and equipment to perform the services. (J) The business service provider can negotiate its own rates. (K) Consistent with the nature of the work, the business service provider can set its own hours and location of work. (L) The business service provider is not performing the type of work for which a license from the Contractor’s State License Board is required, pursuant to Chapter 9 (commencing with Section 7000) of Division 3 of the Business and Professions Code. Summarising this: if the freelance software developer is part of a bonafide business providing services to the 'public' and not just to this employer then they can be correctly classified as a contractor.
(IANAL, of course) My employer tells me that EVERY professional activity belongs to the company and for EVERY activity I mentioned before I need to get written permission, That's true for software (and inventions) that may be relevant for them, but not for other professional activities. which could be withdrawn at any moment. No, not in that very general sense. they can give the permission to publish possibly relevant pieces of code on SX, and they can withdraw that permission for the future. But they cannot take it back for the past. Once they tell you they don't want your invention, there's no way back from that decision (and there are legal deadlines for claiming relevance). Even if they require written permission for you to take a side job, they must give it unless they can show a valid reason against you taking the side job in question. And that would be a per-side-job decision. And it doesn't matter if I do it on my free time on my computer at home or not. That is indeed the case for copyright of software and for inventions. clause is to protect your employer from you helping anyone who is their competitor/you being their competitor while the employment lasts. This is pretty standard and, I believe, not only legal but would be the case also if they had not spelled out this to you. The lines between what is and what is not competition are sometimes a bit complicated* So, if your employer specializes in subway station surveillance systems and you work on face recognition and then help out your local pigeon breeder's association by implementing automatic door opening by camera + automated face recognition of the [unwinged] members that's close enough to touching the interests of your employer that I'd consider it off-limits unless you had talked to your employer and they are happy with this project (after all, they could be preparing similar products unknown to you). OTOH, overhauling the crappy Excel macros for the regional annual breeder's competition would be fine. And in general, the lower your position there and the further from the actual focus of the company, the more normal it is to have another job (think janitors, canteen staff of a software company as opposed to a janitor in a hire-a-janitor-service company) The general duty not be in competition with your employer also in general prevents you from being involved in a competitor business to the extent that you have noticable influence over that competitor. So the second part of clause 1 shouldn't be too surprising, neither. (update) OTOH, what may make this particular clause invalid is the requirement also for publicly traded shares that they cannot come with voting rights. I somehow suspect that thus prohibiting you from "normal person small scale ownership" of publicly traded stocks (not all of them even have non-voting shares) is undue and invalid (too broad a restriction). However, if that clause is invalid the legal default of "no competition to employer" still applies. Here's a (German language) web site of a lawyer that discusses these questions See also here https://www.hensche.de/Rechtsanwalt_Arbeitsrecht_Handbuch_Wettbewerbsverbot.html Unlike the 1st clause, this is AFAIK not a spelled out default of German employment law, but it may be a spelled out version of a Tarifvertrag (unionized group contract). In any case it is probably legal to have this clause in the contract. The point is that the employer can only forbid the side job if it is against their reasonable interests, a general "no side jobs whatsoever" would be invalid. Side note: they may even be of the opinion that employment law forces them to have some such clause: the employer has a legal responsibility to ensure that you are not working more than the number of hours allowed by law. I've had such a permission that stated the constraint that the permission is valid only as long as I ensure that I stay within those legal limits and my working ability for employer is not compromised. https://www.hensche.de/Rechtsanwalt_Arbeitsrecht_Handbuch_Nebentaetigkeit.html https://www.fachanwalt.de/ratgeber/nebentaetigkeit-als-arbeitnehmer-anmelden-zustimmung-und-muster-antrag https://www.haufe.de/personal/arbeitsrecht/top-thema-nebenbeschaeftigung/nebentaetigkeit-und-arbeitsrecht-was-erlaubt-ist_76_418602.html Copyright law for employees in Germany is somewhat difficult. the one exception is copyright of software where §69b UrhG transfers the transferrable rights automatically to the employer. Whether the software is written out of office and outside working hours is irrelevant, as long as it is done in "fulfillment of the employee's role or the employer's orders" (famous court case) so again, if at work you code facial recognition systems and in the evening the pigeon breeders accounting system, the latter is not related to your work. Your open source game is also OK unless you are employed as game developer. Also that not all code is subject to copyright. An obvious explanation on SX explaining a typical pattern would not be a creative work (though the full answer may very well be) in the first place. But for creative works other than software such as plans how to implement features, technical drawings, etc. working hours or not seems to be more important for assigning the rights and the rules seem to be more similar to employee invention law ArbnErfG): if it is outside working hours and possibly relevant for the employer, the employee has to offer it to the employer before trying to sell to someone else. The clause that employer must give permission to publication of content that is possibly relevant for them seems to me to be in line with these general rules. https://www.zeit.de/karriere/beruf/2011-06/arbeitsrecht-urheberrecht https://eventfaq.de/25510-urheberrechte-im-arbeitsverhaeltnis/ http://www.urheberrecht-leipzig.de/urheberrecht-nutzungsrechte-des-arbeitgebers-an-kreativen-leistungen-der-mitarbeiter.html * I've been advised in a situation where I still believe I was not competing, and even had a written permission, that this is the stuff that makes lawyers rich, and both employee and employer poor.... Take home message: even if you believe to legally have the right to publish on SX/contribute to an open source project, think again whether you'd want this to be the source of a conflict with your employer - or whether there isn't a win-win possibility that makes everyone happy instead. What is the most legal way to participate in public activities in such situation? I'd advise to be open about what public activities you'd like follow. Whatever the contract says, your employer can always give your more permissions. In the past, I've found the majority of employers being happy to see me contributing (some had similar clauses to yours and just wanted to know, some was happy about an open source project I brought, some like to be able to say where their employees volounteer, etc.). Although there was one who wasn't (and that did contribute to my decision to leave there). From that experience, I'd personally discuss this early on now: in case the employer turns out to be too intrusive (speak to Betriebsrat or lawyer or your union if you have one to make sure they really overstep their rights) for my liking, for me that would be a reason to cancel the contract which is easier & faster during probation period.
Law (regardless of its type) supersedes contract, provided it has jurisdiction over the persons bound by that contract. Contract provisions that are counter to law are generally held to be void. State law has authority over an employer's policies or hand book. However, there may be exceptions in state law (so I would double check). A frequent exception (at least in California law, which I am most familiar with) is for very small businesses. Another exception, from C.R.S. § 8-4-101(5), is if you are considered a "contractor" rather than an employee, per the government's determination. It is possibly worth your time to let you employer know of this conflict before termination if possible, so that they can adjust their policies, rather than in an adversarial position after termination, if only to avoid the headache.
As to #1, the US Patent and Trademark Office has a patent practitioner search where you can verify if someone is a registered patent practitioner. If so, it means they passed a [registration process] that evaluates their "legal, scientific, and technical qualifications, as well as good moral character and reputation", as well as a multiple-choice exam. I looked up a few of the attorneys listed on the firm's About Us page and they show up as registered. So this seems like a good indication that they are a "real law firm". This does not address whether they are "credible" (I'm not sure what that means), or how to evaluate the firm's quality, and I will leave it to someone else to answer that.
Can software be legally rewritten if the original source code is not used? Let's say I have propriety software which I recreate using solely my observations of its user interface, input and output. I recreate this software to near-perfection leaving out only trademark icons and symbols. Then, I publish the source code of my rewritten version of the software, under a different name to the original program, on GitHub (or something similar). Does the owner of the original software have grounds to sue me or make me take my code down from GitHub? Is this still considered reverse-engineering even though I haven't disassembled the original binary or accessed the original source code in any way?
What you're talking about is called black-box reverse engineering. It can be done, and as long as you are meticulous in your record keeping the fact that it has been done should be an appropriate defence against copyright infringement. But that doesn't help against patent claims - while in copyright cases the fact that code has or has not been directly copied is critical, in patent cases it its irrelevant: if you use a patented method, it's a violation. You therefore will need to be careful about any patents that may have been issued to the original author, as well as avoiding copying.
Reviewing https://stackexchange.com/legal/trademark-guidance shows the following: The logos associated with Stack Exchange Inc. and any Stack Exchange site are a trademark. The purpose of trademark law is to prevent consumers from being misled as to the origin of a product. So if you were making a product, and you used a Stack Exchange name or logo in your product (or in its advertising) in such a way that would mislead someone into thinking that your product was owned by, operated by, endorsed by, or in any way part of Stack Exchange Inc., you would be violating the trademark and this would not be legal. Our logo images and site names are copyrighted. Any content on the Stack Exchange Network not contributed by users is copyrighted. Copyright is different than trademark. Ordinarily you couldn't copy it. But if you were writing a news story or blog post about a Stack Exchange site, reproducing the logo image would almost certainly be considered "fair use" and allowed under trademark law because you were not using it "in trade." So the answer to your question is yes, you would need to seek the permission of the trademark holder.
This is going to depend on several things. First of all, do you have a lawful, licensed copy of the SDK? My understanding is that Nintendo only licensed the SDK to selected game companies. If what you have is an unauthorized copy, you do not have the legal right even to use it. If what you have is properly licensed, then you do. Or is what you have an unofficial SDK created by someone other than Nintendo? Secondly, what does the license agreement that comes with the SDK provide? Does it require developers to register with Nintendo? If it does, you will need to comply. Nintendo cannot prevent others from writing programs designed to run on their hardware. But they can control who uses their development software, if they choose to. You cannot reproduce in your game any of Nintendo's copyrighted software (or anyone else's) without permission. That applies even more strongly if you intend to sell the software. But you can use any development software for which you have a valid license in whatever ways its license permits. I would expect this includes creating games. It would include selling games that you create that do not use any of Nintendo's code, unless there is a specific provision forbidding that in the license agreement.
The software being free and open source has no impact on whether it infringes any patents or violates any copyrights. Copyrights attach to fixed representations of creative work in a tangible medium (e.g., the actual code and graphical elements of the software in question). As long as you aren't copying the copyrighted work of someone else, you should be in the clear. So, if you write your own code from scratch, or rely on code that you're allowed to use (e.g., "free" software with a permissive license that allows it to be used freely), you should be fine. On the other hand, if you copy a chunk of code that you aren't allowed to use, and then change the variable names so that it's superficially different, you're likely violating someone's copyright. Patents are a much more difficult question. To determine whether you would infringe any patents, you would have to read the independent claims of every patent that might be related. If you perform all the steps of any one of those claims, then you are infringing that claim (and therefore, the patent in which it is found). Unfortunately, this is much easier said than done. First, it may be difficult to search for all the potentially relevant patents, and once you've found them, there may be far too many to read. Second, claims are written in a type of language that is specific to patents, and someone without experience in patent law may not understand them correctly. Finally, the terms in the claims may not take on their plain English meaning, but rather may have been defined by the language in the rest of that patent, so it's possible that you might incorrectly think you were in the clear based on a misunderstanding arising from that. All that said, it may be best to go ahead with implementing an idea and then waiting to see what happens. Chances are that the implementation will arguably infringe some patent in some way, no matter what's done. But chances are also high that there will never be any worrisome enforcement action taken against it by a patent owner, simply due to the difficulty and expense associated with enforcing patent rights.
That a computer language is proprietary does not mean that all code written in that language is copyrighted by the holder of copyright on the language. Anyone may write, and publish, code in a particular language without permission from the language designers, or anyone else, provided that the code is original and is not a close paraphrase of code written by someone else. If the code to be published was created by someone else, permission would be needed unless the code falls under fair use or some other exception to copyright. Permission might or might not have to be paid for.
As far as I can tell, whenever GitHub redistributes code, it adheres to all of the requirements of the GPL/BSD etc. For example, it never gives away code without including the license text, and it doesn't claim to add unpermitted restrictions to the code. The section you're concerned about is this: That means you're giving us the right to do things like reproduce your content (so we can do things like copy it to our database and make backups); display it (so we can do things like show it to you and other users); modify it (so our server can do things like parse it into a search index); distribute it (so we can do things like share it with other users); and perform it (in case your content is something like music or video). That section isn't worded very precisely, but I understand this to mean they want to reproduce your content in full, not just the code without the license text attached. They want to display your content in full, as you provided it. They want to modify it internally (i.e. they are not redistributing this modified form) in order to allow searching. To the extent that they display code-snippets as search results, that is likely defensible as fair use (search engines are frequently cited as examples of successful fair use defenses). GitHub appears to be acting consistently with the GPL when it reproduces, displays, modifies, and distributes code that you upload. If I'm correct about these facts then nothing that GitHub does with the code goes beyond what the many contributors to a GPL project have explicitly permitted, or what is otherwise permitted by fair use law. If you had some code with a more restrictive license, you might not be able to simultaneously comply with that restrictive license and GitHub's License Grant. Consider the scenario where you have some code that is licensed exclusively to you, and you are not given permission to reproduce or distribute it. In that scenario, the code's license prevents you from agreeing to GitHub's request for a license grant.
Yep, you are. You still need to keep the LICENSE and NOTICE files in the repository, if there were any in your copy of the project. These files contain the terms and conditions for the project, and provide attribution to the original developers. If you're trying to attribute in the UI of your application, you probably should. It's considered courteous and in the spirit of open source as well. This is also related: Do I need to include the full text of the MIT license in the UI of my app?
Pseudo-code written down somewhere is protected by copyright, even if the article containing it doesn't say anything about the pseudo-code contained in it (i.e. doesn't mention "this too is copyrighted"). For example, let us assume that the following isn't actual compileable / executable code in some extant programming language: procedure bubbleSort( A : list of sortable items ) n = length(A) repeat swapped = false for i = 1 to n-1 inclusive do /* if this pair is out of order */ if A[i-1] > A[i] then /* swap them and remember something changed */ swap( A[i-1], A[i] ) swapped = true end if end for until not swapped end procedure It does nevertheless constitute an expression of an abstract algorithm. If it can be copied and pasted, it is an expression. If you run this through a filter to create executable code in some language, you will have created a derivative work (and possibly one with no copyright protection, if the conversion is totally automatic). If you read the lines and say "Ah, I know what that would be in Pascal", that has the modicum of creativity required to make your conversion protected, but you've still infringed the underlying work. On the other hand, a logical flow chart, which is a picture of the abstract idea of what to do, is copyright-protected only as a graphic object. If you look at it and it inspires you to write pseudo-code or actual code, you are not copying the flow chart.
Can work licensed under a Creative Commons license WITHOUT ShareAlike attribute be republished UNADAPTED without the CC license? If I license a work under Creative Commons and do not apply the ShareAlike (SA) attribute, can someone else re-publish the UNADAPTED work without the license or with another license? All I find about the ShareAlike (SA) attribute is about adaptations. But what about re-publishing a work unadapted? For instance if I publish a work on my site (site 'A') under CC BY license -(only 'attribution') - without ShareAlike (SA) attribute, someone who re-publishes the work on a site 'B' should credit me and notify that the original work (on site 'A') is under CC BY license, but he or she need not share it alike. That gives the impression that the re-publisher could apply any license to the copy of the work on site 'B', e.g. open domain, or a copyright under own name. Then, what is the value of the original CC license?
The Creative Commons Attribution 4.0 license (and all versions) is explicitly "non-sublicensable". If you receive a copy of the work under that license, you cannot place the work under a new license. The license grants you only the rights to A. reproduce and Share the Licensed Material, in whole or in part; and B. produce, reproduce, and Share Adapted Material. When you give copies of someone else's CC-licensed work to downstream recipients, they do not receive a license grant for the original work from you; they receive it from the original author/licensor: Downstream recipients. A. Offer from the Licensor – Licensed Material. Every recipient of the Licensed Material automatically receives an offer from the Licensor to exercise the Licensed Rights under the terms and conditions of this Public License. When you include someone else's CC-licensed work in an adaptation, you may license the adaptation under other terms, but the underlying CC-licensed work remains under its CC license. From the CC FAQ: If I derive or adapt material offered under a Creative Commons license, which CC license(s) can I use? If you make adaptations of material under a CC license (i.e. "remix"), the original CC license always applies to the material you are adapting even once adapted. The license you may choose for your own contribution (called your "adapter's license") depends on which license applies to the original material. Recipients of the adaptation must comply with both the CC license on the original and your adapter’s license. When sharing someone else's work, the original CC-licensed work always remains under its original license. By contrast, the "ShareAlike" condition means that your own work used in an adaptation of a CC-BY-SA work must be placed under CC-BY-SA terms as well. ShakeAlike does not refer to the requirement to preserve the license on existing CC-licensed material (which is always present), but rather it refers to the requirement to include it on new material.
united-states The license won't let you sell the .stl file. Probably you have created a derivative work, which means you can't sell it without a copyright license (and the CC-A-NC won't do). If it were licensed under CC-A you could sell it without problems (you'd have to give attribution, of course). You could also sell it under the CC-A-SA, but once you do you have no control over the result -- anyone you sold it to could give it to someone else under the terms of the license. This could work, though, if it were (say) a commission and you only expected to sell one copy. I don't know what the situation would be with the physical objects printed under any of these licenses.
The Apache 2.0 license purports to be irrevocable, but it also presupposes that the supposed licensor has the right to grant permission to copy. In this case, that is untrue, so there never was a proper license and nothing to revoke (the copyright owner grants permission in the form of "a license" which is a legal abstraction, that normally is specified in the license document). An end-user snared by this illegal license might attempt to sue the author because of the legal screw-up but paragraph 9 says that the supposed licensor cannot be held liable. In this case, though, "licensor" is defined not as the person who hands you the license document, but as the copyright owner. So it's the employer who would be not liable under the terms of the document (but since the employer had nothing to do with the license, it's as though the license never existed). The end-user is a secondary infringer (the employee is the primary infringer, in illegally distributing the material). Under US law, that doesn't matter, the user is still liable. Under UK law, secondary infringement includes the element that you have to have reason to know that the copy is infringing, which in the scenario that you describe is not the case.
I know that some of this may be covered by either the Creative Commons license or the OGL it was published under, but it's not clear to me how far those freedoms extend. It was all published as materials under copyright to the original authors, TSR, WotC, &c. and if things had been left like that hszmv's answer would've been completely correct: stay vague and allow users to enter those names and descriptions, talk to WotC's lawyers and sales department about license fees, or just keep it to yourself and your friends. You're right, though: WotC went whole-hog, dumped their partial OGL idea, and relicensed some things as Creative Commons. There are different Creative Commons licenses, though, some restricting commercial use that would still keep your app to yourself and friends without a specific licensing agreement. Go find out exactly what WotC put under CC. If it's only the Player's Handbook, then you can only use names and descriptions that are from the Player's Handbook and you're still facing a cease-&-desist if you start adding in Monster Manual info.If it's everything, it's everything they have but still won't include any older modules that they don't have the right to change the copyright status of. It'll still be under copyright, usually until 70 years after the death of the original creator. For Gary Gygax, that'll be 2078. Expect that length to extend during your lifetime though. US copyright usually extends every time Mickey & friends come close to entering the public domain. [Edit: The comments below suggest it might only have been the Systems Reference Document (I assume for 5e). It's 403 pages of not nothing but it's not much given the universe we're talking about. The spell and monster lists are generic. Bigby is nowhere to be found and the only mention of a beholder is a reminder not to use the name beholder without their written approval.] Go find out exactly which CC WotC used. The article above says "all use" but you need to find out the exact number of the Creative Commons license for each thing you're using and make sure all of your uses fall within its terms. Some are basically free use but still insist you mention the copyright holder prominently or in every use. Go ahead and do that if you have to. [Edit: The comments below say it is probably CC 4.0. The SRD download page says you can use CC 4.0 or their own OGL. In both cases, yes, you must acknowledge WotC by name in a way prominent enough to satisfy the license you choose.] And of course, Don't trust legal advice from internet randos or ChatGPT. If this is a serious thing you're going to be spending a good chunk of your life working on or expect to make significant money from, go talk to an actual lawyer. Bonus points for one specialized in IP with a knowledge of roleplaying and the way it's been (partially) opening up lately.If you start off just by talking to WotC's lawyers, just do that somewhere where you get their explanations and permissions in writing. Then keep that somewhere safe in electronic and hard copy. Then still take that with you when you go talk to your own lawyer.
If I lock you in a room without access to anything and tell you "Write a novel" and you write a novel with characters, you have copyright in the work. But it's not absolute: If you use your own characters, you own all the copyright in the work, but not in the idea, as ideas are not copyrightable, see Feist v Rural. If you use someone else's characters extensively (as in more than a short hommage/cameo), you very likely make a derivate. You own a copyright in your part, as in the expression of the story or pictures you created, but you do not gain property interest in the existing characters' expression. Since the copyright to the characters lies with the owner of their IP, you need their OK to release (and also to even make) your work - as with the owner of a copyright is the sole right to decide on distribution and creation of derivates under 17 USC § 106 (2). Also remember that making an unlicensed derivate work risks having nothing you can sue for in case the original copyright owner lifts your ideas and scenes-a-faire parts and adapts them for their own derivate, see Anderson v Stallone The strange case of fanfiction chains... Now, there is a strange situation when a work is based on a work which is based on a work... Then, publishers and editors start with red ink and the result is, that what people know as Twilight now has nothing to do with the fanfiction it started as (It wasn't Vampires in the original draft), and 50 Shades of Grey ended up striking any and all supernatural from it, despite it having been a Twilight fanfiction originally. By making own characters and own expression of the world, there could be no copyright infringement. US law vs Egypt law? Both Egypt and the US have signed the Berne convention, meaning that copyright is very very similar in the broad strokes that the right to allow or disallow derivates is with the copyright holder. Also, since Ben10's copyright owners are to the best of my knowledge in the US (Cartoon Network Studios & Men of Action Studios), they will sue in a US federal court.
By the terms of the CC license, you cannot "cancel" or "revoke" it. But as the copyright owner, you may separately release under a different license: a less restrictive CC license, or a completely different license such as the GPL or the MIT license. You could even release under a more restrictive CC license, going say from a CC-BY to a CC-BY-ND or a CC-BY-SA. You could remove all mention of the earlier license from any website or app you control. Anyone who had obtained (or later obtains) a copy under the earlier release could use it or give it to others under the terms of that license, but anyone who did not so receive it, but instead gets it from you under the different terms it could only use it under the terms of the later release. By the way, although the CC license describe themselves as irrevocable, there is under US law, a five-year period during which any license grant may be canceled, provided the proper procedures are followed. This is under 17 USC 203, and the period starts 35 years after the license was granted, or 35 years after the work was published.
You are not "citing" the image - a citation is a reference to a (scholarly) work from another work, you are attributing a work that you have directly copied. The licence tells you what you must do: Attribution — You must give appropriate credit, provide a link to the license, and indicate if changes were made. You may do so in any reasonable manner, but not in any way that suggests the licensor endorses you or your use. I highlighted the important point: they tell you what you must do, the how is up to you so long as it is reasonable.
In the US, the original author still owns the copyright, unless the original work was out of copyright (in which case no one owns the copyright): copyright is not granted for just pressing a "scan" button, and mechanical reproductions are not eligible for copyright (copyright protects creativity, and a scan involves zero creativity). To quote 313.4(A) ("Mere Copies") of the Compendium of US Copyright Office Practices, Third Edition: A work that is a mere copy of another work of authorship is not copyrightable. The Office cannot register a work that has been merely copied from another work of authorship without any additional authorship. [...] Examples: [...] Photocopying, scanning, or digitizing a literary work. That doesn't necessarily mean the repository can't put any restriction on your use of the copy; the repository may have a terms of service. Terms of service are rooted in contract law, not copyright; just because the work is in the public domain, doesn't force the repository to show it to anyone who asks, and they can force you to agree to a contract first. The enforceability of that contract is fact-dependent.
How can a barrister succeed, if a barrister lacked 'the depth into law'? From the 3 m 51 s juncture of Lord Neuberger's interview at the Cambridge Union of 2015/12/12: On the other hand, I do honestly feel, and I am sure some people who read my judgements would agree, that because I didn't have 3 years concentrating on law, I didn't get quite the depth into law that I might have got if I had read law. Having read Lord Neuberger's biography, I know that he has a BA in Chemistry, but he converted to law via the CPE instead of studying for an undergraduate degree in law. But I do not understand the bolded above. If he had less 'depth into law', then how did he succeed as a barrister, to be appointed: a QC, then a High Court judge, Court of Appeal judge, Lord of Appeal in Ordinary, Master of the Rolls, and then the President of the UK Supreme Court? Surely he must have done something right?
The legal system advances practitioners on a number of criteria, not all of which relate to their legal education. It's essentially the same for all professions - your schooling/education may or may not determine your success in the field. Also relevant would be the social circles you navigate, your achievements post-education, and so on.
This would be virtually impossible to do from scratch. If you had the guidance of someone who successfully pursued a similar legal action it might be possible. In theory you should be able to pursue grievances in court by becoming well versed in the applicable laws and rules, having impeccable attention to detail, exceptional deductive and writing skills, and getting lucky enough to run your filings through patient clerks who will tell you every time you're missing something or doing something wrong. New York Courts even offer this encouraging CourtHelp website for pro se guidance on common actions. But if you really want to attempt a pro se civil action, especially against a government entity, or other entity with essentially unlimited legal funds, you not only need all of the above but also some sort of assistance from somebody who knows the system. I would spend as much time looking for sympathetic advocacy groups and lawyers offering pro bono service as I would reading relevant law and procedure. (One more thing: The word "quick" is never used in conjunction with formal legal actions, except in jest ;)
In most places I imagine the issue would go before a probate judge who would attempt to determine the validity of each presented will, and if both were valid, then they would attempt to reconcile the disparities to the best of their ability. Broadly speaking, the process would look like this (I'm using UK law as an example): You die An individual is chosen to handle your affairs (executor or administrator [or possibly both depending on jurisdiction]) They choose a will to go off of (these steps could be reversed if the wills named different administrators, in which case each administrator would file for the grant of representation and consequently involve the probate judge earlier) Someone challenges and suggests using the other will (probably because they feel they're not getting what's theirs) A probate judge is involved The probate judge decides Appeals would be made to Court of Appeals and then to the Supreme Court That being said, every jurisdiction is different, and this is more of a template answer for English common law (and derivative courts), than an attempt to describe in detail any specific jurisdiction's procedures.
Florida bar membership is something that can be determined from public records to see if he is an attorney or not. I would be stunned if he was not. It could be that he was an enrolled patent agent prior to being admitted to the practice of law and has never updated the record. Alternatively, it could simply be that there was a data entry error. No large database is 100% accurate. For most purposes, the rights of an enrolled patent agent and an attorney admitted to patent law practice are the same in PTO practice, so correcting this error (assuming that it is one), even if it was discovered, wouldn't be an urgent priority.
Once a case has been commenced, you can definitely lose, or you can probably lose. If you decline to proceed, you definitely lose. If you proceed, the jury (or judge as the case might be), might find some witnesses more believable than others and might find that the forensic evidence is not as convincing as it seems. Empirical evidence suggests that criminal trials reach the correct conclusion in about 90% of cases that aren't resolved on an uncontested basis. Generally speaking, the Crown is only going to press a case where the prosecutor subjectively believes that they are correct that the defendant is, at least, guilty of something. So, a Crown prosecutor can also justify "rolling the dice" in a case with a low probability of winning, because at a minimum, a factually guilty defendant (whether it can be proven beyond a reasonable doubt or not in a particular trial with a particular finder of fact) has to suffer through a trial which is a form of punishment (particularly if the defendant can't secure pre-trial release). Also, while the Crown prosecutor ultimately represents the state and not the victim, the victim of a crime is a quasi-client and sometimes a victim who often has personal knowledge of a defendant's factual guilt, really wants to have their "day in court" and a chance to present their case to the public for all to hear. Law enforcement officers working on the case may want it to go to trial for similar reasons. Strategically, bringing even weak cases to trial also makes a Crown prosecutors threat to go forward with a trial even in a seemingly weak case more credible and that can increase the prosecutor's negotiating power. Also, a trial always reveals information, and sometimes the information revealed in a trial that is lost can provide value in future law enforcement efforts. Finally, prosecutors are humans and people, in general, don't like to admit their own mistakes. So, they may go forward even when their case is weak because they don't want to admit that they were mistaken and would prefer to have somebody else say they were wrong than to admit error. The personality type that doesn't admit mistakes is pretty common in this area.
The purpose is to avoid the possibility that the solicitor will inadvertently end up providing advice to more than one side of the same dispute or transaction, putting the solicitor in a conflict of interest situation. In the simplest case, the solicitor might already represent the landlord that the tenant is seeking to discuss legal rights vis-a-vis. Even if the advice is merely hypothetical, this is not O.K. A solicitor has a very high duty of loyalty to the solicitor's clients. Providing aid of any kind to someone adverse to the solicitor's clients that benefits that person, even if another solicitor would probably say the same thing, is a serious breach of that duty and is forbidden and sanctionable. It could get the solicitor kicked out of the profession in a worst case scenario. The duty of loyalty includes a duty to take reasonable care not to inadvertently or negligently act disloyally. There is also a risk of a more subtle sort of conflict that has to be evaluated since many disputes and transactions are not just two sided. For example, perhaps a solicitor a big commercial tenant client on the brink of a settlement with a particular landlord after lengthy and extensive negotiations (perhaps in a business lease renewal deal), and another prospective tenant client might, for example, have an interest in leasing the same property as your existing client at a higher rate. Representing both tenants/prospective tenants could creating a conflict between your two tenant clients. Screening clients based upon their landlord relationships helps solicitors to identify these conflicts and to prevent them from arising. More generally, the best practice is for a solicitor to make sufficient inquiry prior to providing any legal advice to a prospective new client, to avoid having clients that have a conflict of interest with each other. This regulation (to the extent that it is really as specific as suggested) is simply a codification of this general rule in a specific, commonly recurring situation. In large law firms, every single legal professional in the firm typically spends the first half hour or so of every day reviewing lists of new prospective clients and parties related to them in order to screen for potential conflicts of interest. (I used to have to do that when I worked in a large, international law firm for a while.) There would typically be one or more paralegals or administrators in the firm who do nothing but manage that conflicts of interest screening process. Obviously, however, this requirement is a lot less burdensome if you are solo practicing solicitor who almost entirely represents individual human being and family tenants with isolated residential leases, and works in a large city where few clients have any connections to each other.
Now after 4 years I still can't get it off my mind and it's consuming me thinking that I was fooled into believing that the rule of law was the norm in this country (not the jungle law) and the beautiful constitution we have is not there just to look pretty, but something we can rely on. So, at this point, do I need legal help? Or mental help or some kind of miracle pill to help me cope with the situation (?) I know that 6' under we can have peace, but can I live a peaceful (bully free) life here too? We do have rule of law as a powerful norm in this country. But, we also live in a very complex society and the exact content of the law will always be the subject of fierce dispute. The solution is, pretty much, to lower your expectations. The vast majority of the time the law works. Your beliefs about exactly how far you are allowed to disobey an order from a law enforcement officer as a matter of practical reality, were miscalibrated. But, you did get out of jail the next day and the punishment you received was very survivable. In much of the world, this wouldn't be true. The rule of law doesn't mean that everyone perfectly obeys the law. It means that when the law is seriously broken in a manner that has big consequences that there is usually a way to legally mitigate the harm or to obtain a remedy. Pushing the limits of the freedoms the law gives you is rarely wise. But, that is no reason to refuse to live your life. It is one thing to learn from experience. But, sometimes, you can overlearn from experience and need to recognize that your anecdotal experience on a single occasion is not all that there is the law.
Generally speaking, courts take whatever time they need to write their decision and then release it close to immediately. In cases where a judge believes she has the information she needs, she may rule "from the bench," announcing a decision and entering an order for the parties to comply, and then follow up with a written order later. The research process is fairly open-ended, but legal research databases are pretty advanced, and a good researcher can generally get his hands on the vast majority of what he'll need in very short order. But practically speaking, there are few limits on how long that process takes. A litigant who was growing impatient could seek a writ of procedendo to force a court to move faster, but my experience indicates that most attorneys wouldn't attempt that move unless a decision had been pending for at least a year with no action, which would be unusual.
My physician gave my meds away to another patient. Has he broken any laws? I receive my essential medication through a patient assistance program for the needy. They are not a controlled substance. The patient assistance program does not send medications directly to needy patients. As such, my meds are sent directly to my physician for my sole use. My physician gave away my medication to another patient. Now I don't have access to my medication. The cost of my medication is about $900. I don't have $900. I have tried to work with my physician and his staff to replace it, but have been unsuccessful for over a month. I keep getting excuses even though I have been assertive by calling every week begging for my medication. The patient assistance program will not send another batch of my meds, because they have signed proof that my meds were delivered to my physician. Has my physician broken any laws?
IANAL, and I don't live in America, but some of this depends on their intent. If they gave the drugs away by mistake, they probably have not broken any laws. If they were given away deliberately (and you would need to prove this – which might be hard) then yes, he has broken laws. Either way, I expect you have a right to compensation (i.e. $900) from the physician to "make you whole again." If required necessary you could file for that in your local small claims court: The physician will either come to the party pretty quickly and sort it out, or the court will award you the money you need to buy the replacement meds. (But you will need to evidence the replacement cost, for a start....)
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.
In this statement of "Patient Rights & Responsibilities from Nash UNC it is said that: A patient has the right to know the names and the jobs of his or her caregivers. But I do not find any actual law that establishes such a right. Hospitals usually have a policy that doctors and other caregivers must wear name-tags and identify themselves to patients, but that does not necessarily apply to questions after the fact, nor can I be sure that any law mandates such a policy.
I think the officer is probably lying, not just mistaken, but they are not required to always be truthful. In addition to the law against possessing ID with intent to commit, or to aid or abet, any crime, it is also against the law to be knowingly in possession of a stolen credit card, or any other property. An example of a strict-liability possession crime, which the officer knows of, is that it is a crime to possess heroin, period. I am skeptical that the officer actually believes that there is a law making it a crime to be in possession of a credit card with permission, and suspect that he thinks it is stolen.
Yes. HIPPA does not apply to exchanges of information between professors and students, it only governs disclosures of medical information by medical providers and insurance companies. Educational privacy laws might prohibit the professor from sharing that information with someone outside the educational institution, but that is a different question entirely, than whether this information can be requested from a student. If you have a disagreement with the professor's decision, your remedy would be to ask the department chair, or the dean with jurisdiction over that professor, or provost (a.k.a. the chief academic officer) at the institution to reconsider this decision (ordinarily, in that order).
This is not a HIPAA violation. HIPAA requires that personal information not be revealed to people lacking a statutorily-defined interest, without the patient's consent. A password itself is not "personal information", though having it could lead to such information. An example of personal information would be the fact that you personally had a certain tooth filled (not that "somebody had a tooth filled"). Protected information can be revealed to certain people, such as the lab that they send samples to, or your insurance company. This is covered by what is known as "The Privacy Rule". There is a related rule, the Security Rule, which essentially says "you need to keep information safe". An example of a required security rule standard is that the provider must Implement policies and procedures to address the final disposition of electronic protected health information, and/or the hardware or electronic media on which it is stored HHS recommends degaussing, but other means of satisfying the rule exist (burning, dissolving in acid). Tossing in the trash would not satisfy the rule. Password management falls under the weaker category of "addressable", that is, a provider needs to think about how they will manage passwords, but there is no specific requirement regarding what you have to do (unlike the requirements of Data Backup, Written Contract. Incident Reporting or Media Disposal). Printing and distributing to customers your account and password would, on the other hand, be a reportable incident. Information about your name, the dental procedure done, and the cost of the procedure, is probably also on the paperwork that they give you, and that even more than your password is protected information. A provider is allowed, indeed required, to disclose protected information to the patient. The assumption is that once you have processed that information, you will destroy or protect the paperwork, as you see fit.
There are vendors providing software to facilitate this sort of task. Avalara is perhaps the best known, but I don't have any experience with it and couldn't say whether it's actually any good or not. But the bottom line is that in a destination-based sourcing regime, sales taxes must be computed based on the address of the destination, not city or ZIP code associated with that address. As Avalara has noted, this is a giant hassle, but it's nonetheless the current state of the law. Of course, this assumes the seller has sufficient nexus with Louisiana to trigger a duty to collect sales taxes in the first place. From the question, it is not clear whether this is true.
A medical practitioner may use whatever methods s/he thinks proper and appropriate, subject to the limits of malpractice law, and to the right of the patient (or patient's parent or guardian for a child) to give informed consent to any procedure or treatment. A patient can not insist on a treatment or method that the doctor or dentist does not wish to perform, having only the right to seek another practitioner. Nor is a practitioner required to use only procedures covered by insurance, unless bound by contract to do so (as may be the case with some "in-network" or HMO agreements). Again, the patient is free to seek treatment elsewhere. So the parent could insist that the dentist not use "conscious sedation" by withholding consent, the dentist may then refuse to treat at all, unless perhaps this was an emergency situation not allowing the parent to seek another treatment venue.
Can contract have a clause that changes the contract So there is a noncompete that I may have signed, but I don't feel the noncompete will be held up in the courts due to it being unreasonable in its restrictions. Here's the Kicker. There is a clause that says this... Agreement to Modification of Restrictive Covenants: While the restrictions in sections 1, 2 and 3 are considered by you and the Employer to be reasonable in all of the circumstances as of the date of this Agreement, it is hereby agreed that if any one or more of such restrictions shall be judged to be void as going beyond what is reasonable in all of the circumstances for the protection of the interests of the Employer, but would be valid if part of the wording thereof were deleted or the period thereof reduced or the range of activities covered thereby reduced in scope, the said reduction shall be deemed to apply with such modifications as may be necessary to make them valid and effective and any such modification shall not thereby affect the validity of any other restriction contained in this Agreement. Basically saying if a judge says something else would have been reasonable, that the contract will now reflect that terms instead of the voided term. Is it legal to basically have a clause that rewrites the contract?
Yes, this is a very common use of a "reading down" provision used in lots of contracts, albeit worded in an unusually clumsy way.
The contract remains valid. Most contracts don't need to be written at all. Even if yours did need to be written under the Statute of Frauds or some other law, you're saying that it was made in writing, even though you later tore it up. The fact that the contract is missing or destroyed doesn't change the fact that it exists and obligates the parties; it just makes it harder to prove what it said.
Restraint of trade clauses are tricky. They are only enforceable if there is a legitimate interest which needs to be protected and only to the minimum extent needed to protect that interest. Therefore, you must have specific business knowledge (algorithms, code, customer information etc.), not general knowledge (stuff taught in schools or generally available) and preventing you working for a competitor is the only reasonable way of protecting it. If this is so then 6 months is not unreasonable. Assuming that the clause is valid then for you to take a job with a competitor is a breach of contract and you would be subject to all the normal sanctions including an injunction to stop and damages. Your new employer is not exposed as they are not a party to the contract, however, if you are forced to breach your new employment contract then they can sue you too. In both cases the employer has to initiate action and it may not be worthwhile. You can take the risk if you want but you should seek legal advice.
You are never obligated to sign a contract. You already have a lease agreement in place, which will be enforceable for the agreed-upon duration. The lease can be changed if both parties agree to it, but one party cannot unilaterally demand that other agree to any changes to the contract - a landlord can't, for example, change your lease agreement to increase your rent payment in the middle of your lease term and demand that you sign it. The landlord is certainly allowed to ask, in the hopes that both parties can come to an agreement, but again, both parties need to agree in order for an existing contract to be changed.
Yes, there is a reasonableness limit, and this is especially true in consumer transactions. If you were given an estimate and the final bill is a lot more than what you were expecting, you can dispute it. The final price should be ‘reasonable’. The law doesn’t say what counts as reasonable, so you’ll have to agree it between you. You should consider: the estimate you agreed to [if there was one] any changes, and why they happened anything that happened that was beyond the control of the trader, like bad weather or the cost of materials going up https://www.citizensadvice.org.uk/consumer/getting-home-improvements-done/problem-with-home-improvements/ When it comes to work itself, the act states that a tradesman or professional has a 'duty of care' towards you and your property. Any standard or price you agree must be honoured. But if it isn't agreed in advance the work must be done to a reasonable standard, at a reasonable cost, and within a reasonable time. So if you haven't fixed a price, you don't have to pay a ridiculously high bill. All you have to pay is what you consider 'reasonable' and invite them to sue you for the rest. Be careful though, in some circumstances when you are withholding payment you may have a claim made against you by a supplier if you are in breach of contract. What's a reasonable amount would be what similar tradesmen would have charged for the job. So get a few quotations. https://www.bbc.co.uk/programmes/articles/1fdlwC9xzyxjCpWMlsCGG3j/supply-of-services NB that article refers to The Supply of Goods & Services Act 1982, which was partially superseded by the Consumer Rights Act 2015.
The issue of who pays directly for the items and/or to contractors is irrelevant. The important thing is to memorialize the agreement/arrangement in writing so as to preempt or solve eventual disputes. A clearly written agreement signed by the parties would supersede any presumption of conditions and rights arising solely from the parties' conduct.
are contract terms enforceable that say the employee has to pay the employer if they leave without giving notice? Yes, as long as the penalization is not of punitive nature. The doctrine of at-will employment is only the default condition, but a contract may supersede it. As for the extra question, reciprocity of sanctions (as in leaving without notice) is not a requirement for enforceability of a contract. In general, the lack of reciprocity only signals that there is a difference in the parties' bargaining power, but usually that does not affect enforceability.
Conditions pertaining to cancellation of a contract are contained in the contract, that is there is no general "right to cancel a contract", apart from certain 3-day window rights in some jurisdictions. For example, Washington state has some specific cancellation laws, summarized here. If the contract does not allow for cancellation, then you can't cancel the contract. I assume that your contract does have a cancellation clause: then you could have to see what that clause actually states. As it turns out, Florida has a law (Fla Stat. 501.017) which regulates health studio (gym) contracts, requiring certain clauses above the signature box. One required clause per (1)(b)2 is that notice of intent to cancel by the buyer shall be given in writing to the health studio. However, If the health studio wishes to enforce the contract after receipt of the notice, it may request the department to determine the sufficiency of the notice. This means that if they want to enforce the contract after a cancellation, they may request "the department" (Department of Agriculture and Consumer Services) to rule whether the notice was according to the contract (as mandated by law). It will also contain under (1)(d) A provision for the cancellation of the contract if the buyer dies or becomes physically unable to avail himself or herself of a substantial portion of those services which he or she used from the commencement of the contract until the time of disability, with refund of funds paid or accepted in payment of the contract in an amount computed by dividing the contract price by the number of weeks in the contract term and multiplying the result by the number of weeks remaining in the contract term. The contract may require a buyer or the buyer’s estate seeking relief under this paragraph to provide proof of disability or death. A physical disability sufficient to warrant cancellation of the contract by the buyer is established if the buyer furnishes to the health studio a certification of such disability by a physician licensed under chapter 458, chapter 459, chapter 460, or chapter 461 to the extent the diagnosis or treatment of the disability is within the physician’s scope of practice. A refund shall be issued within 30 days after receipt of the notice of cancellation made pursuant to this paragraph. It appears, then, that you simply need to give notice in the correct form (written, with a doctor's notice). In case the club does not have the required provisions in the contract, the contract violates state law and is unenforceable.
What exactly are the "Java APIs" that were under debate in Oracle America, Inc. v. Google, Inc.? In Oracle America, Inc. v. Google, Inc., the debate was over Google's use of 37 "Java APIs" in Android, and whether or not it was fair use. However, I've never found a clear description of the nature of those Java APIs. Are they method signatures? Compiled classes? Something else? And how was the number 37 arrived at?
Oracle v Google, CAFC (2014), at footnote 2: The 37 API packages involved in this appeal are: java.awt.font, java.beans, java.io, java.lang, java.lang.annotation, java.lang.ref, java.lang.reflect, java.net, java.nio, java.nio.channels, java.nio.channels.spi, java.nio.charset, java.nio.charset.spi, java.security, java.security.acl, java.security.cert, java.security.interfaces, java.security.spec, java.sql, java.text, java.util, java.util.jar, java.util.logging, java.util.prefs, java.util.regex, java.util.zip, javax.crypto, javax.crypto.interfaces, javax.crypto.spec, javax.net, javax.net.ssl, javax.security.auth, javax.security.auth.callback, javax.security.auth.login, javax.security.auth.x500, javax.security.cert, and javax.sql. The "declaring code and the structure, sequence, and organization of the API packages" is what Google took and what the CAFC held was entitled to copyright protection. This was composed of "over six hundred classes, with over six thousand methods". Both sides acknowledged that "Google wrote its own implementing code".
Modern websites use large amounts of Javascript scripts. These are small programs that are run on your machine. By accessing the website you implicitly give permission for this to occur. (Aside: I'm not aware of any case law on exactly what this implicit authorisation covers. CFAA case law on "authorised access" suggests that this is going to be complicated if it ever becomes an issue). Javascript is supposed to be run within a limited framework which allows the website to control the rendering of the website and track how you use it. So they can track your mouse clicks when the browser window has "focus", but not clicks you make when accessing something else. Like all software, the Javascript programs and the web browser "interpreter" that runs them can contain bugs. Javascript has to work on lots of browsers, so its not surprising when things don't always work properly. Coming on to the CFAA, criminal penalties only apply to intentional access. 5 (c) intentionally accesses a protected computer without authorization, and as a result of such conduct, causes damage and loss. So if a website runs Javascript on your computer with the intention of crashing it, that is a crime. However if the crash is inadvertent due to ordinary programming errors then it isn't. In this case it is almost certainly innocent. To prove otherwise you would need to study the code they are sending in detail to see if it is doing something strange and unreasonable.
Does this mean everybody using the Google Maps API is in violation of the terms of use? No. 'Incorporate' could mean several different things but clause 10.5(f) would be interpreted in its context. The other paragraphs within clause 10.5 relate to conduct by which you use Google's data to populate your own system or obscure the fact that you are using Google's system to provide a service. Accordingly, the kind of 'incorporation' whereby your software makes part of the Google Maps system's user interface appear as part of your software's user interface is not prohibited. The other key bit of context is the fact that Google Maps is obviously intended to be used. It would be absurd to offer a service and, in the terms of service, prohibit anybody from using it. A court would interpret the words such as to avoid such absurdity. See e.g. Dockside Holdings v Rakio [2001] SASC 78; Westpac Banking Corporation v Tanzone [2000] NSWCA 25.
"Any perceived compliance or non-compliance of other developers’ apps does not have any bearing on the compliance of your own apps." Could this mean that Google Play's policies are applied differently for different developers or apps? No, it means that you can't break the rules even if others are breaking the rules or you think they are breaking the rules. I think it is worth noting that those apps are for the Indian market. I don't know which one you are in, but google will have different rules for different countries to comply with various regulatory requirements.
Q1 and Q2 are definitely not copyright violations. Copyright protects original expression. Your questions are yours; the only things you are using are the names, and copyright doesn't cover them on their own. The quotation in Q3 might conceivably come under copyright. However in practice it is very likely to be fair use (unfortunately nothing is definitely fair use until a court rules on it, but I can't imagine a short quotation in a quiz being an issue).
There is no such thing, legally, as "an attack on someone's writing". The only way in which any use of one person's writing by another could be the subject of legal action would be if it infringed copyright. But individual words, short phrases, and individual numbers are not subject to copyright protection. In theory such things might be protected as trademarks, but that would give protection only if they were being used "in trade", that is, to sell or advertise something, and then only if it is in the same industry or market. But a license plate is not selling anything. You may have assigned code meanings to particular numbers. Many people have done this before, using many different schemes or codes. It would be hard to demonstrate that a license plate is referring to your coded meaning and not to some other code. But even if the user admitted an intent to reference your use of a particular number, you have no legal cause of action. You might as well ignore such references, because you cannot do anything to prevent them. Plagiarism is not a crime, nor a tort when there is not copyright or trademark infringement, even if it is openly admitted. If you could prove harassment or some sort of stalking you might have a case, but nothing you have described (in the question or associated comments) comes close to that. If a police car actually hit yours intentionally or negligently you would clearly have a case, but the plate numbers would be no part of it. Response to recent comment: The source of authority (which is not the same thing as jurisdiction) to place license plate numbers on police cars is state MV laws and regulations. To the best of my understanding, such numbers are assigned automatically and sequentially, and have no reference whatever to anyone's blog or political statements. No evidence seems to be cited to show otherwise. The question asks What jurisdiction authorizes these reappropriations of my work/writing/speech? But no one authorizes tjhings that did not happen, and as far as i can see no appropriation occured. Jurisdictions, by the way, do not authorize things, people and organizations do. The question asserts: For my writing I coined "317" and "037" but no one can "coin" a number, and people use numbers in many ways. Use of a similar number on a license plate need not be a reference of any sort to a particular blog or writing.
Distribution on YouTube implicates, at least, US copyright law. Shropshire v. Canning 809 F.Supp.2d 1139 (N.D. Cal. 2011), Subafilms v. MGM 24 F.3d 1088 (9th Cir. 1994) Are you infringing? Is the original work eligible for copyright? "It is undisputed that computer programs— defined in the Copyright Act as a set of statements or instructions to be used directly or indirectly in a computer in order to bring about a certain result, can be subject to copyright protection as literary works." 17 USC 102, Oracle Am., Inc. v. Google, Inc., 750 F.3d 1339 (Fed. Cir. 2014) (internal citations omitted). Are you making a copy or displaying the work publicly? (17 USC 106) You concede that you are doing this in the hypothetical, so we can skip this step. Do you have permission to do this? Some work is licensed to allow your proposed use. If you have permission, then this entire answer is moot. Are you taking what amounts to a substantial taking of the original? Presumably, you will not need to show the entire source file to present the naming conventions and techniques that other developers have used. But, what you do show will be an exact reproduction of the original. In the case of computer programs, all US districts use the abstraction-filtration-comparison test. Computer Associates International, Inc. v. Altai, Inc., 982 F.2d 693 (2d Cir. 1992). The abstraction stage of this test is irrelevant in this hypothetical because the reproduction is exact. Filtration excludes any uncopyrightable elements of the original from consideration (due to scènes à faire, merger, lack of originality). The comparison stage compares what remains after the filtration stage, to determine if the new work takes substantially from the original. Fair use defense If your use is found to be infringing based on the above analysis, the affirmative defense of fair use is available. I can't tell you whether a fair use defense would be applicable or successful in your particular case. However, you can search the US Copyright Office's Fair Use Index for many examples successful fair use defenses when a literary work was reproduced in part or whole for educational purposes. There are also other affirmative defenses available (implied license, for example), or defenses that directly attack the elements of copyright infringement. Some confusion exists regarding "idea/expression merger" as a defense after a prima facie case of copyright infringement has been made. This isn't completely correct. Where idea/expression merger enters the analysis differs from circuit to circuit. In the 6th circuit, merger enters in the copyrightability analysis (paragraph 1. above). But, the 2nd and 9th circuits treat merger as part of the infringement analysis (paragraph 4. above) and in the 9th circuit, merger is an affirmative defense. Ets-Hokin v. Skyy Spirits, Inc., 225 F.3d 1068 (9th Cir. 2000) The idea/expression merger doctrine is not implicated just because "the idea one that is expressing is 'this is the code they used.'" When you need to cite/show the original work for purposes of "criticism, comment, news reporting, teaching", that is a direct implication of fair use. Using using this justification triggers the full four-factor fair use analysis. (17 USC 107). You don't get to reproduce a work just because you want to say "this is the work they created."
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.
Check if a book is in the public domain? How do you go about finding out if copyright on a book is expired? The particular book I'm looking at is from 1923 published in Europe, I live in Canada. Ideally I'd like a method to figure this out myself for other books. I've read that the answer depends on a few factors: Where it was published When it was published Does it has a copyright notice Was copyright notice renewed (?) Where the person using the book is (?) Figuring out the first two aspects is obvious but I'm less clear on points 3 and 4 as well as determining whether the work is copyrighted still once I have all this information. edit: Added point 5. Does where the person using the material matter? Or does enough countries agree on a common copyright policy in 2015 that this is irreverent?
As mentioned in the comments, there is no general method for this, but there are certainly good ways to get started. Note that copyright status is determined on a country by country basis, so "the country" in this answer refers to one you are living in, in this case Canada. First, there's a quick test to determine if a work is definitely copyright. Most countries have signed the Berne Convention which provides for copyright lasting a minimum of 50 years after the author's death for literary works. In general, it also provides that a country treat works published in other Berne countries as if it were published in its own, with respect to copyright. I'll call this the equality rule. So we have that: If the country acceded to the Berne Convention before the publication date of the book and the author is still living, or died less than 50 years ago, the book is under copyright. If the above did not apply, there are still steps you can take: Look up the country's copyright term. Find the legislation that established the copyright term. If the country has changed copyright terms over the years, the legislation will often provide for how books published before term changes are to be treated with respect to the new legislation. For Berne parties, does the country apply the rule of the shorter term? This is the main exception to the equality rule. The country may choose to use the country of origin's term instead of its own if it is shorter. If this is the case, then, you must read the country of origin's legislation with respect to copyright terms. The vast majority of legislation introduced affecting copyright terms has served to increase its length. Thus, if you pretend that the current copyright term applied back when the book was published, and find that the book is no longer under copyright, you can almost always assume that is actually the case. For an example of how complicated this can be, see this analysis on whether public domain works in the US are copyright in the UK. The UK has been a Berne party from the start, but has at times changed its term length, and whether or not it applies the rule of the shorter term. The US has only been a Berne party since 1989. Before this, they required copyright registration and didn't always base the copyright term on the author's death. In general, the factors you mentioned have the following effect: For Berne parties (as of publication date), this is only relevant for those applying the rule of the shorter term. Important to know this date when reading copyright legislation, as the applicable term often depends on this. Mostly relevant to pre-Berne accession, especially in the US Same as 3. Important, to know what laws ultimately apply. An additional factor you usually need: date of author's death (longest living author in case of multiple authors), as the term is based on this for Berne parties.
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.
There is something wrong-sounding about that claim. Owning a thing (such as a book) means that you can dispose of it however you want. If it is a physical book, then unless this is a book of top secret classified information, the US government has no control over the item, nor does the copyright holder have any right to prevent you from giving away your copy. Electronic books, however, are another matter, since often you don't buy such books, you buy a license to use the book (like a software license). The license terms of an electronic book could be subject to various controls, and the license might be non-transferable. The underlying logic of this is that under the doctrine of first sale, you are allowed to do whatever you want with intellectual property that you buy, and therefore to restrict re-distribution of electronic IP, software especially is typically not itself sold, and just the permission to use it is. If this is an electronic book, the copyright holder would be able (though not necessarily willing) to permit you to transfer your copy to someone else. Of course you can't give a copy to two people unless you have two licenses.
Yes. The copyright owner of a work has the exclusive right to "reproduce the copyrighted work" or to make "derivative works" of it. 17 USC 106. Copyright law is older than the photocopier, and it applies to copies made by means of any technology. If your intent is to duplicate the protected work, whether you do it by tracing, photocopying, or even freehand, you are infringing that right. It is possible that you could squeeze into one of the copyright exceptions, such as fair use, but these are much narrower than people tend to assume they are (especially outside of the U.S.), and they boil down to: "Well, yes, I copied your copyrighted work, but..." The bottom line is: is it copyrighted? Did you copy it, in whole or in part? Then, unless you have a very good reason, you've infringed the copyright. Whether you do it by means of tracing paper, jellygraph, or iPhone doesn't matter.
According to US law according to Cornell, copyright applies to derivative works. A derivative work is an original work based on a previous work (Definitions), so the adaptations would be copyrightable unless they were held to be unoriginal. In general, the courts don't require much creativity to consider a work original. Translations are original works. Therefore, the adaptations are almost certainly under copyright, while the originals remain public domain.
Probably Not The creator or owner of a piece of software does not in general have any copyright over the output when others run the software, unless that output is itself a derivative work of input supplied by the copyright owner, or forming part of the software. In this case the translation is a derivative work of the 19th century original, but that is assumed to be in the public domain. SAo google has no copyright on the resulting translation. But copyright protection is only available for "original works of authorship". (See 17 USC 102 in the US, and similar laws elsewhere.) A machine-produced translation is not an original work, and it is surely not then work of the author of the overall book. However, the author would still have a copyright on the book as a whole. The legal situation is no different than if the author had simply quoted a 19th century work. One may incorporate public domain works into a later work, and that later work is still protected by copyright, provided that there is enough original contentr to make the work as a whole "an original work of authorship". Others may use the PD [arts, or the original from which they are taken, but not the rest of the work (beyond what fair use would allow in any case). For example, I have made a number of posts here on LAW.SE. In several,of those I quoted sections from one of the numbers of The Federalist. That 19th century work is in the public domain. Anyone else may re-quote the passages I quoted from it. But that gives them no rights to use the rest of my work, except as the CC-BY-SA license or fair use permits. So the author would retain copyright on the book as a whole. But soemoen who merely quotes or uses the translated 19th century article but none of the original parts of the book would not be infringing that copyright. I say probably in the header, because I do not have any actual case-law to cite here. It is possible that some court has rules otherwise on the subject of the copyright on the output of a software tool, but I strongly doubt it.
In the US, the original author still owns the copyright, unless the original work was out of copyright (in which case no one owns the copyright): copyright is not granted for just pressing a "scan" button, and mechanical reproductions are not eligible for copyright (copyright protects creativity, and a scan involves zero creativity). To quote 313.4(A) ("Mere Copies") of the Compendium of US Copyright Office Practices, Third Edition: A work that is a mere copy of another work of authorship is not copyrightable. The Office cannot register a work that has been merely copied from another work of authorship without any additional authorship. [...] Examples: [...] Photocopying, scanning, or digitizing a literary work. That doesn't necessarily mean the repository can't put any restriction on your use of the copy; the repository may have a terms of service. Terms of service are rooted in contract law, not copyright; just because the work is in the public domain, doesn't force the repository to show it to anyone who asks, and they can force you to agree to a contract first. The enforceability of that contract is fact-dependent.
Your title and your question are totally different. If someone pirates a book, makes printed copies, and sells them for profit, that's the point where it switches from plain copyright infringement to being criminal copyright infringement. Which means jail instead of paying damages is possible. If you buy one of these printed copies, not knowing that they have been created illegally, and not being willfully ignorant that the printed copies were created illegal, then you didn't commit copyright infringement yourself. Since you are asking the question, it's obvious that you now know that there was copyright infringement, and buying any more copies would be encouraging copyright infringement with no excuses for you. You can be sued for damages. It is unlikely to happen since suing takes likely more effort than getting any damages from you is worth. The correct thing to do is ask the seller for your money back and destroy the copies. If they don't refund your money you can inform the copyright holder.
Hypothetical question about value created using stolen money I was thinking about this scenario where a person steals some money and uses that to start a business and even becomes very successful and makes many times the initial money. I was wondering that if he gets caught, what would happen to the value he has created? I think that it is not fair to give all the created value back to the person the money is stolen from. I also think that the thief (here) has put some effort to make that business successful so he would not get anything back for his effort if all the value is taken away. What does the law say in this type of situation? (US-law)
In general, the law seeks to make all parties whole. There is no mechanism for profit-sharing between thieves and their victims. Victims of theft are entitled to receive their money back plus the applicable rate of interest (called the judgment rate). They are not entitled to profits or windfalls above and beyond the statutory judgment rate of interest. What if the act of stealing the money has destroyed the owner's business and has left him with a lot of debt and bankrupt? Criminal statutes provide for the return of stolen funds plus interest. Recovery of damages, as you describe, is provided by civil statutes and common law. So, to recover damages, the victim would need to sue the thief in civil court.
Stealing money is theft, see RCW Chapter 9a.56 in Washington, and analogous laws in other jurisdictions. What you describe is theft, as defined under RCW 9A.56.020, and that is a crime. Defenses are available only in case of an open taking made under a good faith claim to title to the property ("it's my money"), or an irrelevant defense related to pallet theft from a pallet recycler. There is no exception arising for goods "in the possession of a criminal organization". There is also no applicable attainder process for declaring an organization to be a "criminal organization" to which such an exception could be referred, in Washington or any other state that I am familiar with. At the federal level, 18 USC Ch. 96 does not have a provision for declaring some organization to be a "criminal organization", but it does prohibit using proceeds from "a pattern of racketeering activity" that a person or organization participated in, to support a business engaged in interstate or foreign commerce. There is an extensive but specific list of trigger crimes, which are all federal crimes. Supposing that a state wanted to make it legal to steal from criminals, there would have to be a suitable definition of "criminal". Compare the various sex offender laws, where under dell-defined circumstances, a person is legally declared to be a sex offender required to register. If the property is in fact the proceeds of a criminal activity (not merely "in the possession of a criminal") or is used to support criminal activities, it might be seized under civil forfeiture statutes. However, those statutes only allow the government to seize the property – vigilante civil forfeiture is still theft, a crime for which you can be prosecuted. The state might seize such assets and, when challenged in court, may have to prove that the assets a seizable (this is highly jurisdiction-dependent). The prospects that a prosecutor will turn a blind eye to a theft on the grounds that the victims are criminals is pretty small. More likely, everything gets seized and everybody gets prosecuted.
The crime of theft generally requires two elements - taking control of property, and the intent to deprive the rightful owner of it. If Bob had no intent to leave without paying, he may lack the intent often required for theft. In the scenario described, it's possible Bob has not committed theft, but his actions may indeed constitute theft depending on the jurisdiction. As pointed out in the comments, some jurisdictions codify the concealment of merchandise as prima facie presumption of an intention to steal, or may even codify the act of concealment itself as a crime. There are some shoplifting laws statues that specifically call out "willful concealment", which does not require leaving the premises of a store to have committed a crime - merely concealing the item may be a crime in itself, although perhaps not the crime of "theft". Whether a court would find Bob guilty of theft will depend on a number of factors, depending if there is leeway in inferring intent, and how that intent is inferred. If Bob's actions are found to be sufficiently inconsistent with the behavior of someone who truly intended to pay, the court may find him guilty. If a reasonable person would infer a lack of intent to pay from Bob's actions, he may be found guilty.
I'm confident that there has been no successful breach of contract lawsuit on that basis: that is not the right legal basis. Actions against a shoplifter would either be under tort law or, much more likely, criminal law. Put simply, theft is a crime, encoded in the laws of all nations, and the government will shoulder the burden of punishing a shoplifter. Since the goal of criminal law is to guarantee a well-ordered society (not to restore the victim of the crime), a victim of theft may have to pursue their own legal case against the criminal, if they want to be restored for their loss (let us say that the criminal also ate the evidence).
It isn't necessarily "illegal" (in the sense you are committing a crime) but you may be in violation of a verbal contract (which would fall under tort law). Let's take this a bit further. Perhaps Joe Schmoe gave you his debit card information so that you could make deposits for him and he said you could take $5 out for yourself for the trouble. This is a contract between you and Joe for a service. You can't extend Joe's offer to Jane Doe by saying "here is some debit card information, take $2.50 out for yourself". You have no right to extend your contract with Joe to somebody else. Now specifically for passwords it basically boils down to the same thing. Unless Joe gives you explicit permission to give that to somebody else, you can't just decide to unilaterally give what Joe gave you to somebody else. This may be different if Joe said "here, I'm buying you a subscription to service XYZ because you are a nice guy", this may be construed as a gift which transfers ownership. At that point you have control over what is or isn't done with the account. As another example let's say Joe let you borrow his car. You can't turn around and say to Jane, "here's a car you can use", Joe did not extend the offer to Jane, nor did Joe give you the right to extend the offer to another person. It's a moot point though, in the original context of this question, Netflix does restrict you from sharing your passwords "outside your household". Almost every paid service has some restriction against sharing with others. In the end Netflix may shut off Joe's account and Joe may sue you for damages, but you aren't going to be thrown in jail for this. This would be a civil case (tort) which you may be liable for monetary damages.
The statute of limitations is quite relevant. A couple points to help explain why: First, there are a lot of different legal actions that could arise from someone stealing property. You could have criminal charges for theft, you could have a civil claim for conversion (to pay the value of the stolen property), you could have a civil claim for replevin (to return the stolen goods), and you could have a civil action to determine the true owner of the property. All those cases arise under different laws, and all of them could have different SOLs. The fact that time has run out for one doesn't necessarily mean that time has run out for all of them. Second, improperly obtaining title does not mean that you are not and never will be the true title holder. Take a look at the doctrine of "adverse possession," which basically allows you to become the true owner of real or personal property by simply acting like the owner for a long enough period of time -- ranging from 5 to 21 years, depending on the jurisdiction. Third, SOL is a restriction on when you can start a lawsuit. Sometimes, as Dale M said, it starts when you actually learn about the transfer, but it could also start when you would have learned about the transfer if you had exercised reasonable diligence. So the fact that a lawsuit is happening now regarding something that happened a long time ago doesn't necessarily mean the SOL was inoperative; it may just mean that the SOL didn't start until long after the transfer, or it majy just mean the litigation is dragging out. Fourth, the Facebook example is not a good one. That lawsuit is primarily focused not on the transfer of property, but on breaches of contract, for which the relevant statute of limitations is six years. Second, those breaches are focused on a contract reached in 2004. Because the lawsuit began in 2010, it was started within the statute of limitations. Had Ceglia waited until today to file it, he probably would time-barred.
No, it is not. Just as it is illegal to steal from a thief, it is illegal to hack a hacker. Criminals are often considered a good target for crimes from a practical standpoint, but crimes against criminals are still prosecuted. As criminals are unlikely to report crimes against them to the authorities (particularly when doing so runs the risk of them being arrested for their crimes), targeting them does tend to result in a lower risk of being caught by the authorities, but if the crime is discovered, it will generally be prosecuted all the same. To that point, two Florida men have recently been arrested and are being prosecuted for stealing millions of dollars in Bitcoins from an illegal, darkweb drug marketplace in 2013, and there is always the more famous case of the two government agents who are in jail for stealing from the Silk Road. In your specific example, if all you did was hand over the information to the FBI, it's less likely that you'd be prosecuted than if you did so for personal gain, but you would be at risk of prosecution for engaging in vigilante computer hacking, yes. Also consider that if your actions happened to interfere with an ongoing investigation or result in the inability to prosecute (say, for the evidence you gathered being tainted and inadmissible by your involvement), you could be charged with crimes such as obstruction of justice or interfering with a police investigation as well.
Whoever "derived" the illegal derivative work most likely has copyright in his derivations, unless they are not worth copyright protections. Say I take the Harry Potter books and add a few chapters and try to sell it - that's copyright infringement of course, but I have the copyright on these additional chapters. However, I don't have the right to allow you to copy the derived work. And even if you have the right to copy the original work, you don't have the right to copy the derived work because it is a different work. I could extract my changes, and allow you to take them and do with them what you like. You could then create an illegally derived work yourself. I couldn't sue you, but the original copyright holder could. To the comments: One, a work and a derivative of the work are not the same, so even if you have the right to make a copy of a work, that doesn’t give you any right whatsoever to copy a derivative work - they are not the same work. Two, the copyright holder has the exclusive right to control copying and the creation of derivative works. If the copyright holder doesn’t want derivatives to exist, then creating them, copying them etc. is always copyright infringement.
In Oracle America v. Google, what was the District Court jury's rationale behind its "fair use" finding? In the case of Oracle America v. Google, the District Court of Northern California ruled on whether or not Google's reimplementation of 37 Java APIs constituted fair use. My question is, how - in the said jury's opinion - is Google's action "fair use"?
Here are the jury instructions. These describe how to evaluate witness testimony, burdens of proof, and the four-factor fair use test, among other things. The jury had to answer yes or no to the following question: Has Google shown by a preponderance of the evidence that its use in Android of the declaring lines of code and their structure, sequence, and organization from Java 2 Standard Edition 1.4 and Java 2 Standard Edition Version 5.0 constitutes a "fair use" under the Copyright Act? They answered yes. Juries do not explain their reasoning (different jurors might even have different reasonings), but the assumption is that they followed the jury instructions to arrive at this conclusion. To be clear, the issue wasn't reimplementation of 37 Java APIs, but a more limited taking, including "the declaring code and the structure, sequence, and organization".
No, it does not fall under fair use: It is commercial use in nature It is a copyrighted work It is hard to say what portion of the copyrighted work you'd be using based on your description, so test three is inconclusive It could be argued in your favor that the infringement would not have an impact on their potential market, but it could potentially impact the value If discovered the owner of the copyright could pursue action against the company you work for.
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.
You should probably get a lawyer, but my reading is this: The company whose SDK you use owns their SDK, owns their code, and is free to take any of your ideas how to improve their code without paying you. But they say that ideas are ten a penny, so this is mostly there to prevent pointless lawsuits. On the other hand, it says that everything you do with your product is yours. I might be completely wrong, that's why you should get a lawyer.
Q1 and Q2 are definitely not copyright violations. Copyright protects original expression. Your questions are yours; the only things you are using are the names, and copyright doesn't cover them on their own. The quotation in Q3 might conceivably come under copyright. However in practice it is very likely to be fair use (unfortunately nothing is definitely fair use until a court rules on it, but I can't imagine a short quotation in a quiz being an issue).
I'm not aware of case law on point, other than Riley, which you mention (which doesn't mean that there isn't any - I'm not a specialist in this area). But, I think that the answer would be that you do have an expectation of privacy because the Riley holding that there was an expectation of privacy in a smart phone didn't really hinge in any meaningful way on the existence of a password. The linked summary of the Riley decision explains the court's reasoning as follows: Chief Justice John G. Roberts, Jr. wrote the opinion for the unanimous Court. The Court held that the warrantless search exception following an arrest exists for the purposes of protecting officer safety and preserving evidence, neither of which is at issue in the search of digital data. The digital data cannot be used as a weapon to harm an arresting officer, and police officers have the ability to preserve evidence while awaiting a warrant by disconnecting the phone from the network and placing the phone in a "Faraday bag." The Court characterized cell phones as minicomputers filled with massive amounts of private information, which distinguished them from the traditional items that can be seized from an arrestee's person, such as a wallet. The Court also held that information accessible via the phone but stored using "cloud computing" is not even "on the arrestee's person." Nonetheless, the Court held that some warrantless searches of cell phones might be permitted in an emergency: when the government's interests are so compelling that a search would be reasonable. Justice Samuel A. Alito, Jr. wrote an opinion concurring in part and concurring in the judgment in which he expressed doubt that the warrantless search exception following an arrest exists for the sole or primary purposes of protecting officer safety and preserving evidence. In light of the privacy interests at stake, however, he agreed that the majority's conclusion was the best solution. Justice Alito also suggested that the legislature enact laws that draw reasonable distinctions regarding when and what information within a phone can be reasonably searched following an arrest. The 4th Amendment expressly protects "papers" in your possession, which can't be password protected, and a smart phone file is analogous to a "paper" for 4th Amendment purposes. Your expectation of privacy in an unlocked smart phone flows from your exclusive possession of the phone as a piece of tangible personal property containing information, and not just from the password protection. In the same vein, I don't think that you would need to have a lock on a diary to have an expectation of privacy in it. This said, this is a cutting edge area of the law and password protection for a smart phone provides both more practical protection and potentially a less ambiguous cases of legal protection from search (since it brings you closer to the facts of Riley), and is therefore still a good idea.
From Baker, Donald I. "To Indict or Not to Indict: Prosecutorial Discretion in Sherman Act Enforcement." Cornell L. Rev. 63 (1977): 405: The Assistant Attorney General must ultimately decide whether to bring a criminal prosecution. He bases that choice in part upon articulated principles, in part upon intuition gained from experience, and ultimately upon the facts of the particular case. The choice to prosecute Microsoft and not Google, Apple, or Mozilla for (what you claim to be) ostensibly similar activities is an exercise of prosecutorial discretion. My guess is that the Attorney General's office simply does not believe the actions of the other companies rise to the level of an antitrust violation. When they believe they do, they prosecute. (United States of America v. Apple Inc., et al., 12 Civ. 2862 (DLC)). Microsoft settled their case. No other party is responsible for Microsoft's decision to settle, even if they were doing the same thing, and even if they are later found to be guilty for or come to a settlement agreement regarding the same thing.
In the United States, the case law on framing as copyright infringement is fairly scarce and somewhat conflicting. Consider first the 2007 Ninth Circuit Appeals ruling in Perfect 10 vs. Amazon.com. Google included framed images on their site. Google did not have the right to display these image works, but the ruling says ultimately that they did not display the works (emphasis mine): Instead of communicating a copy of the image, Google provides HTML instructions that direct a user’s browser to a website publisher’s computer that stores the full-size photographic image. Providing these HTML instructions is not equivalent to showing a copy. First, the HTML instructions are lines of text, not a photographic image. Second, HTML instructions do not themselves cause infringing images to appear on the user’s computer screen. The HTML merely gives the address of the image to the user’s browser. The browser then interacts with the computer that stores the infringing image. It is this interaction that causes an infringing image to appear on the user’s computer screen. Perfect 10 argues that Google displays a copy of the fullsize images by framing the full-size images, which gives the impression that Google is showing the image within a single Google webpage. While in-line linking and framing may cause some computer users to believe they are viewing a single Google webpage, the Copyright Act, unlike the Trademark Act, does not protect a copyright holder against acts that cause consumer confusion. Note that this second paragraph highlights that iframe linking may not be a copyright violation, but it may be illegal for other reasons, e.g., trademark violation, by confusing the origin of the framed content. This ruling appears to be in contradiction to the 1998 district court case Futuredontics Inc. v. Applied Anagramic Inc., which found that framing creates a derivative work. The most striking difference from the Perfect 10 case is in the following passage (emphasis mine): Defendants primarily rely on Louis Galoob Toys, Inc. v. Nintendo of America, Inc. [...]. In that case, the Ninth Circuit held that a Game Genie which merely enhances audiovisual displays which originate in Nintendo game cartridges does not constitute a derivative work because... it does "not incorporate a portion of a copyrighted work in some concrete or permanent form." Id. at 968 (emphasis added). The Court also noted that the Game Genie could not duplicate or recast a Nintendo game's output. Galoob did distinguish Mirage and noted that the Mirage decision would have been different had the plaintiff "distributed lenses that merely [*10] enabled users to view several art works simultaneously." Id. Nevertheless, Galoob... is distinguishable from the instant case. Galoob does not foreclose Plaintiff from establishing that AAI's web page, incorporates Futuredontic's web page in some "concrete or permanent form" or that AAI's framed link duplicates or recasts Plaintiff's web page. There appears to be a fundamental disagreement between these two cases over whether a webpage that includes a link actually "displays" the linked work. The Perfect 10 ruling viewed the page as HTML instructions that were only related to linked works insofar as those instructions could cause a user's browser to render framed content from a copyright holder different from the author of the HTML page. By contrast, the Futuredonics case considered the intended rendered output of a browser as a derivative work that includes the framed page in a "concrete or permanent form" and that "duplicates" the framed page. I'm not sure how to reconcile these two cases. Perfect 10 is more recent and from a higher court, but I'm insufficiently skilled in law to determine if and how that counts for anything. It's also possible that facts of the two cases are sufficiently different that the different rulings could be reconciled and both remain true simultaneously. Now that we've considered the case law, if you will indulge me in a moment of armchair speculation, let us consider an interesting hypothetical. Suppose I am the owner of apsillers.com. I host an HTML page on my site at http://apsillers.com/my_favorite_stories.html. My my_favorite_stories.html page frames a public domain resource at http://example.com/PD_Story.html. (I am not the owner of example.com.) Surely, we can agree that this is not copyright infringement. At a later time, the owner of example.com changes the text at http://example.com/PD_Story.htmlto include copyrighted content whose use by me would constitute infringement. My my_favorite_stories.html page remain totally unaltered. Does my_favorite_stories.html now violate copyright? The Perfect 10 ruling says no, because my_favorite_stories.html is only instructions. The Futuredontics ruling would appear to say yes, because it considers the final rendered output of the HTML, which now suddenly includes infringing content. It seems powerfully counterintuitive that the infringing status of my written work (my_favorite_stories.html) should change, dependent on the copyright status of a linked resource, when the content of my written work has remained totally unaltered. Perhaps you might argue that my case is different because I did not intend at the time I wrote my HTML page to infringe copyright. However, intent is irrelevant in making the initial yes/no determination of infringement (but may grant me a lesser punishment, as it would be innocent infringement.)
Is the term "ZIP Code" trademarked? The exact words: " Look Up a ZIP Code™ " appear at the top of one of the pages at USPS.com. "Zip Code" seems to have the Trademark™ next to it in many other places on the site, but not everywhere. According to Wikipedia, it did have some sort of trademark, but it expired. What sort of trademark was this (without getting too complicated)? And if Wikipedia's right that it expired, can they still use it like a Trademarked Phrase™?
ZIP and ZIP+4 are registered trademarks. ZIP Code is a common law trademark or the USPS has an application pending. Source: Subset of USPS trademarks in Postal Explorer
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
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 infringe a trademark when you use it in a way that allows confusion between your goods and services and their goods and services. Trademarks are limited by geography (although global brands are ... global) and industry. You can use the word “apple” to sell, say, apples or plumbing services, but not computers or consumer electronics. You can also use the trademark Apple to identify goods and services made by Apple - because that’s what a trademark is for. You can’t use it in a way that people could be confused that your goods and services are their goods and services or are related to or endorsed by them.
Disclaimer: I'm from the US and don't claim to know German or Turkish law. So let me discuss some general principles here, but details may well be different in Germany and Turkey. You're mixing together three very different things: trademark, copyright, and patent. Copyright protects the expression of an idea, in this case, the exact computer code, images, etc. If you didn't copy his code, the chance that you would coincidentally write identical code is remote. The fact that you both have a line of code that says x=x+1 wouldn't give him any grounds for a lawsuit. He'd have to show substantial portions of the code were identical. If you didn't deliberately copy his code, this isn't going to happen. Barring some extraordinary and unbelievable coincidence, you can't violate copyright accidentally. Trademark protects names and symbols used to identify a company or a product. If you decided to call your software company "Microsoft", then that other Microsoft could sue you for trademark infringement. Likewise if you copied somebody else's logo or other distinctive graphics. This is very different from copyright. It is quite possible to violate someone's trademark accidentally. Especially if he gave his company or product a rather generic name. Like if someone called his product, say, "Password Manager", someone else might make a product with the same name without ever having heard of the original. Ditto if he has some simple logo or other graphics. If you did accidentally duplicate a name or graphic elements, well, in the US a court would likely order you to change your name or graphics and that would be the end of it, unless you refused, in which case you'd end up in court. US Courts have ruled that very generic names have limited trademark protection. An example I saw recently was "Main Street Auto Repair". A court said that the owner of that name could prevent someone else from opening a shop in the same town with the same name, but he couldn't sue someone in another town who happened to use the same name. This is why, by the way, companies often use made-up words for their product names. In your case, this should be a trivial issue. If he is claiming trademark to the look of the main menu screen, just change the colors or move some buttons around. If it actually went to court, you should be able to argue that the similarity was accidental and when you were informed you promptly changed it, and that should be the end of it. Depending, I guess, on how hard-nosed the judge is, etc. Patents are different still. A patent gives the owner the exclusive right to use an invention or process for a specified period of time. It doesn't matter if you invented the same thing entirely independently. Whoever filed the patent first has exclusive rights. There have been cases where an inventor lost out to someone with a similar invention because he submitted his patent application one day later. If this other person has patents that you are infringing, you are pretty much out of luck.
Under US law: It depends, but it is likely legal. Trademark is designed to prevent confusion in consumers, to avoid someone's good work and reputation from being taken advantage of by another, and/or damaged by another's poor work/service. The game's name and character names are (generally) not trademarked, nor are they copyrightable. Even if they were, there is nominative fair use to consider as a defense. There are still some legal issues that might occur (e.g. this does not apply to the novel's name; using the game's logo on cover art might constitute trademark violation if it was so positioned as to be associating a relationship with the game publisher, descriptions of the game's content, especially story content, is a bit hazy), but not with using the game name or character names.
This smells strongly of "bait and switch" fraud: offer a product at an attractive price, then "discover" that the product is not really available at that price. By that time the customer has sunk costs and is therefore willing to accept an alternative product with a lower quality or higher price than was originally promised. Looking at the homepage for ".club" it seems that they do indeed offer different prices for different names. I see "examples.club" listed at $101 while "model.club" is listed at $19,000. From your post it sounds like your hosting company have cancelled your purchase and will not actually charge you the higher fee. This is, as you say, a very dodgy practice. You might want to move to another company which is more up-front about unknown costs for such domains. If you have already paid the £7.99 then you are entitled to that money back. You do not have to accept a different name: that would be a classic bait-and-switch scam. They are NOT entitled to charge you a higher price unless you agree to it. If they won't return your money or try to charge you more then you should drop them like a hot brick and report them for fraud. Edit in response to question edit The situation is not clear-cut, and will probably depend on the exact wording in the company's terms and conditions to determine exactly when the contract was formed. An article about a similar case in The Telegraph had this to say: The legally binding contract is complete when a retailer accepts an order. However, acceptance does not necessarily happen at the point of order. Even the confirmation email may not be an acceptance. Some retailers reserve the right to cancel an order up to the point of delivery. It is therefore important to carefully check the retailer’s terms and conditions (which must be available on their website) and emails – if a retailer simply acknowledges an order, there may be no contract at that point. Lots of companies have T&Cs saying that there isn't a contract until they actually deliver the item, so if they don't deliver then they are not in breach of contract. The company may also be able to argue that its offered price was so grossly disproportionate that it was an obvious mistake and therefore they should not be held to it. UK contract law is based on the concept of a "meeting of minds" where two people have the same view of the contract and agree to it, but this is rather problematic when one of the minds was represented by a buggy computer. You might be able to counter this by showing that they are still doing it, and hence this is an ongoing business practice rather than an honest mistake. Ultimately your only options, assuming they decline to honour the purchase, are to either accept the refund or take them to court requesting an order of specific performance.
This is very common in all sorts of legal documents, not just the United States Code. Another familiar example where this is seen is on checks. It serves as a sort of "redundancy check", to help catch errors where either the words or the numerals could have been incorrectly transcribed. Of course, one could ask why similar redundancy isn't used to avoid errors in other contexts; there doesn't seem to be a good answer for this besides "tradition". Some people feel the practice is obsolete and should be abandoned, e.g. https://www.butlersnow.com/2020/04/five-5-reasons-to-stop-writing-numbers-like-this/.
In Ontario, does it matter which municipality issues the marriage license? The Ontario government web page tells you how to go to City Hall or a Municipal Office and get a marriage license. However, it doesn't say you can go to whatever municipality you feel like, nor does it tell you how to choose. If a couple are both living in City A, and the ceremony will be in City B, must they get their license from A or B? Does it matter? If they both work in C and it's easier to stop by the C offices at lunchtime, is that OK? Or could there be a problem if the certificate was issued by the "wrong" municipality?
Any municipality is fine In addition, they could get married in a different province and it would be a valid marriage in Ontario. They could also get married in a different country with which Canada has agreed to honour their marriages (i.e. most of them) unless they offend Canadian law (e.g. bigamy, child marriage etc.)
Standing requirements are different in state and federal courts, and from one state to the next. A random individual would not have standing to object to a stranger's abortion in federal court, and likely not in any state court, under normal circumstances, as they are not injured in any meaningful way by the abortion. I don't know what the normal rules of standing are in Texas, but it is likely perfectly acceptable for the Legislature to wave its wand to grant standing to whomever it wants regarding any violation of the law it sees for. That seems to be what is happening here.
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.
There is not uniformity of law on this question, which is usually decided in the period after a death, but before a will is admitted to probate or an executor is appointed (typically in three to five days). As a result, the legal jurisdiction (usually a country or sub-national state or autonomous region) involved matters a great deal. For example, Italy used to presume that you did not want organ donation if you didn't execute a document during life saying that you did, and now has the opposite presumption. Similarly, many jurisdictions used to give a blood relative priority over a same sex partner, but now recognize a civil union or same sex marriage as having priority over a blood relative. Some jurisdictions give you some say over, for example, whether your body's organs will be donated or your body will be used for medical research. Some have formal documents that can be drafted and there are such things as "negative" provisions that are documents saying who cannot do something with your body. Other jurisdictions, as user6726 suggests, have a fixed priority system for determining who is next of kin and that applies strictly. Needless to say, a critical issue is how any such directive would be enforced. Obviously you, being dead, can't do that, and documents don't simply crawl out of desk drawers and walk themselves into court houses after your death either. Your wishes will never be enforced unless someone takes it upon themselves at the critical moment, to take action, and in that case, local law determines under what circumstances that person's statement regarding your wishes will be honored. Often, the person who might step up to take action doesn't learn of your death and of the location of your body until it is too late. If you die in circumstances where your identity is unknown, or where no relatives can be located and no directives can be located, some public official or whomever else ends up in possession of your body (often a corner) will have to decide for themselves what to do without your input.
This is an appeal from the decision in A Local Authority v JB [2020] EWCA Civ 735. In the part of the hearing to which you refer, Lord Stephens is asking the appellant’s counsel about the following principle, quoted at [31] of the judgment under appeal: When considering capacity to marry, the question is whether X has capacity to marry, not whether she has capacity to marry Y rather than Z. The question of capacity to marry has never been considered by reference to a person's ability to understand or evaluate the characteristics of some particular spouse or intended spouse: Re E (and Alleged Patient); Sheffield City Council v E and S [2004] EWHC 2808 (Fam). In Re E, Munby J said at [91]: The point is suggested by Miss Waddicor's very pertinent rhetorical question: Can it seriously be suggested that the court has the right to vet E's suitors, to decide that X is suitable but that Y is unsuitable, to select who E is to marry? The answer to that question, in my judgment, is that the court quite clearly has no such role. The ‘father of the bride test’ is the proposition rejected here: that the Court of Protection could play the traditional role of the father of the bride, by granting permission to marry a particular person, rather than determining the person’s capacity to marry in a more general sense.
One can find contradictory claims out there. Here is an English version of the marriage law. There is a surprising amount of legal rigamarole (in Norway, as well) pertaining to clearing "impediments". Assuming that the parties have done their part, then we move to Chapter 4. Article 16: Marriage may take place before a minister of the church, a representative of a registered religious organization empowered to perform such ceremonies, cf. Article 17, or before a civil official so empowered So turning to Article 17: Religious solemnization of marriage shall be performed by the ministers of the National Church, and priests or other representatives of registered religious organizations in Iceland who have been empowered to perform such ceremonies by the Ministry of Justice and Ecclesiastical Affairs and that is now part of the Ministry of the Interior. I can't find any indication that ULC has been approved. There are 49 religions officially listed by Statistics Iceland, including Siðmennt, a secular humanist organization which gained official status on May 3rd, 2013 when the organization was officially registered as a secular life stance organization under a law passed in the Icelandic Parliament on January 30th of that year. A formal ceremony was held by the Interior Minister Ögmundur Jónasson who had strongly supported our cause, to mark this historical event. As a result, Siðmennt gained the same legal and funding status as religious life stance organizations in Iceland. Weddings conducted by Siðmennt celebrants since then are legal and couples no longer have to go to government offices for that purpose. In light of the fact that Siðmennt is officially listed and ULC is not listed, I would conclude that you did not accidentally marry anyone, even if they had dealt with the impediments.
It's not possible to marry the US citizen until the first marriage is terminated, and the F-2 status ends when the marriage is terminated. It's not the F-2 status that prevents the marriage to the US citizen; it's the continued existence of the previous marriage. It might be possible to file for change of status (to B-2 perhaps) in anticipation of the termination of the marriage, but it seems unlikely to be accepted by USCIS. It would certainly be unwise to attempt anything like that without the advice of an immigration lawyer.
2201.4 Upon a roadway so designated for one-way traffic, a vehicle shall be driven only in the direction designated at all or such times as shall be indicated by official traffic control devices. I'm failing to see the "... except when pulling over for the police" subclause. Equally there is no "... unless you think you should" subclause. If you choose to have a hearing the evidence will show unambiguously that you drove the wrong way in a one way street and you will testify as to your reasons for doing so. For you to avoid the violation you would need to convince the examiner that a) you are telling the truth and b) that your mindset is in any way relevant. Unless the officer clearly directed you to pull into that spot, the decision to do so appears to be yours. I'd pay the fine if it was me.
How are emotional distress damages quantified? In TV lawsuits, it's common for the plaintiff to request large amounts of money for emotional distress not caused by physical harm. What actual guidelines can be used in California for evaluating the amount of damages a plaintiff should aim to recover in a settlement regarding intentionally inflicted emotional distress? What are some examples a layperson can look at?
Here is a 1999 report on the topic. It has actual figures and a brief description of dozens of types of emotional damage award amounts. Along with complete case citations for further research. There are about 30 different categories and the amounts range from about $25,000 to $300,000. It's not a comprehensive answer to the question. But at least it can give you a feel for the types and amounts in play.
Yes. The term for this situation is a "civil dispute." It can be resolved via a civil claim. In New Jersey, for claims under $3000, you can use the Small Claims courts. The process is designed to be followed without the assistance of counsel. Let the internet be your guide.
If an adult had physically restrained the miscreant brat, they could be sued for / charged with battery (which does not mean "beating up", per Cal Penal 242, it is the "willful and unlawful use of force or violence upon the person of another". In either case, there is a defense that can be mounted, the "defense of others" defense, to the effect that the person had a reasonable belief that it was necessary to prevent physical harm to others. Which means, the jury would imagine themselves in that situation and guess how likely it is that someone might get hurt. Lofting 5 lb chess pieces at a 2 year old could poke out an eye, especially since they haven't learned to duck at that age – however, I question (as would an opposing attorney) the characterization "quite dangerous". At any rate, it would depend on the level of danger posed. There is also a "proportionality" requirement for the defense of others defense: "The defendant used no more force than was reasonably necessary to defend against that danger" (CalCrim instruction 3470). The battery might not have been necessary, since simply getting between the criminal and his victims could have been sufficient. As to whether there would actually be a lawsuit, that depends in part on the mind-set of the parents. Assuming that the level of force did not rise above simple bodily contact, it is unlikely that a jury would vote to convict / find liable, but certainly not impossible. If under those circumstances the results would not be in serious doubt, then it is unlikely that the person would be prosecuted (the prosecutor wouldn't bother with such a case). We may also assume that a decent attorney would persuade the offended parent-client that it is not a good use of their money to pursue he matter. Still, the risk is not negligible, since you don't know whether you'll have bad luck with the jury, or whether the child suffers from eggshell skull syndrome and then you would be is serious trouble. I don't think the fears are unrealistic, though they may be improbable, and they could be definitive for people who live in fear.
The amount requested has little or nothing to do with the amount, if any, eventually awarded. Once can sue "for 100 million dollars" and be awarded 100 dollars, and although it is rarer, one can be awarded more than the amount asked for when suit is field. That initial amount now serves as a peg to hang sensational news stores on, and nothing more. The plaintiff, and the plaintiff's lawyer, may consider that such publicity serves them well. Such inflated amounts are not grounds to dismiss the suit, so there is no downside to including them, except possibly negative publicity if people mock the demand.
Let's say that the mediation doesn't succeed to achieve voluntary compliance satisfactory to both sides. What happens next? Under Sec 706(e) it appears that the complainant has to litigate himself in a civil court, and potentially be exempt from any fees and have an appointed attorney. Not really. The EEOC at that point (within a certain time period) either decides to litigate the case itself, or if it chooses not to litigate itself, authorizes the employee to litigate the case at his or her own expense, and if the employee prevails, the remedy awarded by the Court includes what the court determines to be the employees reasonable attorneys' fees. The details of the process and the relevant deadlines are available at the EEOC's website. Basically, if the case isn't resolved in mediation, the employer makes a position statement, the employee responds, the EEOC investigates (using its subpoena power, if necessary) on average for ten months, and the EEOC either prosecutes the case itself, or it issues a "Notice-Of-Right-To-Sue" which allows the private employee to hire a lawyer and sue the employer. How often does it actually happen? The EEOC handles about 90,000 charges per year and wins about $525 million a year in judgments and settlement awards (parallel agencies at the state level handle additional cases in a similar manner). The vast majority of the cases are settled or result in a Notice of Right To Sue letter, with only 100 to 400 lawsuits per year actually filed by the agency resulting in $22 million to $168 million a year of awards in court cases. About 25% of these cases go to trial. The rest settle before trial or are resolved in motion practice before trial (including default judgments, when the employer simply doesn't respond to the lawsuit). Once the EEOC brings a lawsuit, settlement is the most common resolution. So, there are a lot of cases, although there is only about one EEOC claim per 1,000 employees in the workforce subject to EEOC jurisdiction per year. Whether this is a lot of complaints or not many, is really a matter of opinion. Only about one in twenty-five people will ever file an EEOC claim in his or her entire life, although this will vary considerably based upon a person's race, national origin, religion and sex. A non-Hispanic white Christian male of European descent is much less likely to file an EEOC claim during his lifetime than someone who does not fit that description. Realistically, a majority of cases that aren't abandoned by the employee in the administrative process (which is a significant share of the total) or found to have no factual basis (a small but significant percentage) are settled for fairly modest dollar amounts (an average of about $10,000 to $20,000 per claim). The bigger dollar cases for a single employee usually end up being brought in a private lawsuit rather than by the EEOC itself. About 14,000 of those charges each year result in a Notice of Right to Sue letter followed by a civil lawsuit filed by a lawyer for the employee. It isn't terribly easy to determine from official statistics what proportion of cases resulting in a Notice of Right to Sue letter rather than an EEOC lawsuit ultimately do not result in a lawsuit being filed by the employee. About 250 of these cases (not quite 2%) go to trial each year. The rest settled or are resolved in motion practice before trial (including default judgments, when the employer simply doesn't respond to the lawsuit). Once an employee brings a lawsuit, settlement is the most common resolution. Folk wisdom in the employment litigation field is that the average settlement of a case of ordinary strength on the merits that is settled fairly early on in the process is about six months of wages. An estimate that the employees in private lawsuits secured more than $200 million a year in settlements and money judgments is probably a gross underestimate. It could easily be $500 million to $1 billion per year. But, there are no good statistics available since settlement amounts are overwhelmingly confidential. The EEOC sues on behalf of the employee in cases it chooses to litigate itself on a weekly basis, and likewise declines to prosecute and certifies the case to allow the individual to prosecute the case with a private attorney all the time. Is there any relevant case law? Yes. Pretty much every relevant detail of the process has been litigated in case law that has produced reported decisions because there have been many thousands of employment discrimination cases litigated under the Act. There are probably at least two dozen to four dozen new published appellate decisions in the federal circuit courts each year on these kinds of cases, if not more, and those decisions have come at a pretty steady rate for the past half century. There are hundreds of published decisions interpreting these statutes in almost every one of the federal circuits. On quite a few issues, there are splits of authority between different circuits regarding how to interpret the law that will ultimately be resolved by the U.S. Supreme Court, or by Congress, or that may remain unresolved forever. How will the civil court try the case? Will the judge reference the Civil Rights Directly? It is a little unclear what you are asking here, but I will do my best. Regardless of whether the EEOC or the individual employee brings the case, it is filed as a Complaint in federal court like any other federal lawsuit, litigated according to the Federal Rules of Civil Procedure, and resolved in the vast majority of cases either by a judge in a pre-trial motion, by a settlement between the parties, or by a jury trial presided over by a judge. In a jury trial, the judge tells the jury what the applicable law says and the jury decides if the employee has proved a case against the employer when applying that law after hearing the evidence presented at trial and then decides what damages award to make, on a very short jury verdict form. In a bench trial (i.e before a judge without a jury), the judge makes those determinations in a lengthy written ruling setting forth the factual and legal basis for the judge's determination on the merits. Jury trials are much more common than bench trials in these kinds of cases, partially because plaintiffs want juries to make a damages determination, and partially out of a perception (not entirely inaccurate) that judges tend to be pro-employer on average. What is a likely punishment? Punishment is mostly the wrong term. It is a lawsuit for money damages to compensate the employee for harm actually suffered. The jury (or the judge if the case can be decided before trial in a motion for summary judgment or if a jury trial has been waived) determines the amount of compensation, if any, which should be awarded for lost wages, non-economic compensatory damages, etc. and the judge then awards attorneys' fees and court costs based upon the submissions of the parties after the trial is over based upon a determination of what is allowed by law and what is reasonable. To some extent, an employer's obligation to pay attorneys' fees and costs acts as a proportionate punishment for not immediately settling a case where the employer is found to be in the wrong. To some extent, non-economic damages can constitute a punishment. But, when an employer is found to have discriminated intentionally, which is most of the time, punitive damages can also be awarded, although they must be proportionate to the amount of actual compensatory damages awarded, typical one or two times the compensatory damage award unless that award is very small. Statutory liquidated damages are sometimes awarded in lieu of certain kinds of punitive and compensatory damages awards in age and sex discrimination cases under the Equal Pay Act. There are also dollar limits on awards based upon the size of the employer. Why is the process convoluted by adding an extra step in form of the commission? Mediation is allowed as a compromise to encourage negotiated resolutions that avoid litigation costs before everyone has spent a lot of money on lawyers. In practice, a surprisingly large number of cases result in pre-trial mediation resolutions, often in cases where an outcome if the case had gone forward to a trial would have been uncertain. The involvement of the Commission is a compromise between having a system where all cases are prosecuted at state expenses and one in which all cases are brought privately with an opportunity to win attorneys' fees if one prevails. The EEOC has usually used its authority to bring cases that are clearly cases of improper employer conduct where due to the small dollar amounts involved or the number of employees affected, an individual lawsuit would not provide an adequate remedy since private lawsuits would not be brought otherwise. It is very hard for a private attorney to justify bringing an employment discrimination lawsuit over a case where the damages are likely to be in the $5,000 to $25,000 range because the employee doesn't make much money unless liability is 100% clear (e.g. there is an admission on videotape from the employer), despite the fact that a prevailing party can get non-economic damages, punitive damages, attorneys' fees and costs. So, it is particularly hard to bring employment discrimination cases on behalf of employees who don't earn much even when they aren't discriminated against. The availability of EEOC enforcement prevents employers of low wage workers and workers in temporary employment whose damages are small from ignoring the Civil Rights laws with impunity. A private lawyer does something on the order of $30,000 to $150,000 of billable work to bring an employment discrimination case involving a single employee-client to trial, and a lawyer defending such a case for an employer will typically incur more legal fees for their employer client than the employee's lawyers do, while the employer's lawyer defends the case all of the way through a trial, even before considering any amounts actually awarded to a prevailing employee in a case where the employee wins. Each side's legal fees, individually, will usually exceed the amount of compensatory and punitive damages awarded combined in a fairly small dollar case for an employee who wasn't paid very much, or at least didn't lose a huge amount of money economically due to illegal discrimination (for example, because the employee wasn't promoted while a less qualified candidate was promoted). This is an important reason why lots of cases settle and why the EEOC is necessary. The EEOC process also provides a means by which arbitration agreements with individual employees can be circumvented because the EEOC is not a party to those agreements and is not bound by them. Why isn't discrimination simply prosecuted by the state's attorney? After all racial discrimination very much fits the definition of a public wrong. Government agency resources aren't unlimited, so the government can't prosecute every credible complaint, so the EEOC has to pick and choose how to get the most bang for its available resources. In practice, the EEOC can only afford to pursue about one in ten of the employment discrimination cases subject to its jurisdiction that go to trial with its own lawyers. The cases it can't afford to bring, it delegates to the private sector rather than simply leaving those cases unprosecuted as would happen in the criminal justice system. This also provides a way for an employee who has a lazy or unenthusiastic government lawyer assigned to their case at the EEOC who doesn't take what the employee sees as a strong case seriously a way to get relief for employment discrimination despite the fact that the EEOC isn't willing to back them up. Private lawsuits are a check and balance against bad EEOC decisions about how strong cases are as well as a way for the EEOC to avoid financing the legal fees of people who can afford to sue on their own. Is the enforcement any good? Lots of employees over the years have gotten lots of money, although probably not 100% of the amount of the economic harm they suffered (and, of course, employee and employer attorneys have gotten paid a lot of money in the process as well, which is good if you are a lawyer, but is dead weight loss from an economist's point of view). But, more importantly, the behavior of employers has changed greatly as a result. In practice, most lawsuits, and almost all lawsuits not brought by the EEOC itself, involve either wrongful termination or failure to promote someone, rather than discriminatory hiring, since it is hard to show an individual right to be hired for which an individual is entitled to compensation. Even in EEOC cases, most are brought for discriminatory advertising or openly admitted discrimination in hiring, rather than covert discrimination by an employer in hiring on a non-permitted basis. The EEOC brings a handful of cases alleging covert discrimination in hiring against medium or large employers each year, in part, just to provide a credible threat to anyone considering doing so, often with a combination of tips from insiders (particularly those from hiring officials who are fired in retaliation for not following a discriminatory hiring policy) and with undercover "test applicants" who submit functionally identical resumes for the same job when many job openings are available. But, this is usually a tiny share of the total volume of employment litigation brought under the Civil Rights Acts. There is a certain irony in this, because employers who are willing to hire someone who belongs to a "protected class" in the first place, who hence, are probably not the most discriminatory employers in the market, are more exposed to a realistic risk of a discrimination lawsuit, than employers who refuse to hire anyone in a "protected class" in the first place, so long as the employer keeps its mouth shut about this practice and is willing to lie and come up with false pretexts for its actions. Dishonest gross racists and clear misogynists are under punished, while less culpable employers who are more honest but still a little bit discriminatory in the cases of a few well paid employees are over punished relative to more culpable employers. Also, employment discrimination laws provide the most monetary compensation to the most competent and well paid employees who probably have the greatest capacity to mitigate their damages by seeking other employment from less discriminatory employers, while providing the least compensation to the marginal employees for whom discrimination in employment most impacts their quality of life. Indeed, often the most marginal employees aren't even willing to risk filing a complaint with the EEOC for fear of being blacklisted in the future in a manner that is impossible to prove. Still, at a minimum, by making it illegal to publicly state a discriminatory reason or to state a discriminatory reason to someone who could testify against you in court, the laws in question have changed the internal normative standards that managers of medium and large sized business apply on a day to day business such that at least lip service and public commitment is given to the requirements of the civil rights laws. This change in corporate culture has probably had more of a real world effect than actual suits for damages have in regard to discrimination in hiring. The benefits of the voluntarily discontinuation of discrimination in employment as employers internalized the norms established by the civil rights laws for the most part has provided far more benefit to employees who were previously discriminated against than litigation and settlements resulting from the EEOC process. For example, when Sandra Day O'Connor (future Supreme Court justice) was a young lawyer, fewer than 5% of attorneys were women and she was often mistaken for a secretary or receptionist by clients. Now, about half of all young associate lawyers (even at very large firms who graduated from very prestigious law schools) are women. Almost all of this change was due to a change in professional norms that were a direct result of the Civil Rights Act of 1964 (women had legally been allowed to be lawyers since the 1920s almost everywhere and earlier in some places), rather than through case by case litigation. The Civil Right Act opened up a huge new lucrative profession to women and minorities, and the experience of the legal profession was the norm and not the exception. Before the act, women were pretty much limited to school teaching, being librarians, nursing, secretary work, food service, day care, piece work sewing and laundry work. After the Civil Rights Act, their employment opportunities dramatically increased. The Civil Rights Act of 1964 is likewise, more or less single handedly, responsible for today's black middle class which would have been an order of magnitude smaller otherwise. There are economic arguments that discrimination laws do or do not do much good, but those arguments rarely consider the fact that the law, when it was first enacted, dramatically changed corporate culture and the moral viewpoints and norms of the middle and upper middle class who act as employers making hiring decisions across the nation. Until the Civil Rights Act was enacted, tradition and prejudice kept a huge share of the population out of most of the marketplace in a manner completely contrary to what a naive Economics 101 analysis would predict.
You are describing a liability suit. My sense is that based on the facts you describe you will face two serious challenges to making a successful case. Damages and liability. In order to win a liability case, you must first establish that you have been damaged in some way. According to your facts, your damages are at best, the replacement value of a used controller. I'm guessing that's what, $20 or so? That doesn't cover the cost of an attorney's time to even begin to hear your version of the facts, much less give you advice or pursue a case for you. After you establish damages, you must prove the company is responsible or has some share of liability for causing your damages. Again, I think this is going to be an obstacle for you. Not placing a warning that the game will affect you by causing you to throw your controller and be mean to your mom would be unprecedented if you were to prevail. AFAIK.
Nope. Say I sue you successfully, and the court delivers a judgement that awards $1000 in damages. It is not the responsibility of the small claims court to ensure that the judgement is fulfilled. In fact, the debtor (person who lost) can outright refuse to pay the creditor (or the person who won). They are not in violation of any law at this point. However, the creditor can ask the court for options on enforcing their judgement, and these can include, but are not limited to: Garnishing wages Providing a court order Seizure of assets (through court sheriff, don't use this yourself or you end up getting into criminal matters) and others to enforce the judgement. The debtor isn't liable for refusing, unless when they are in violation of a court order. Violating a court order is a criminal matter, and the debtor could possibly be found guilty of contempt of court. Oh, and the case wouldn't move on to a higher court. Cases go to a higher court when an appeal is made, generally when there has been an error in enforcing the law. You also need to be provided leave to make an appeal.
It depends, in part, what is meant (and what can be proven) by D's intent: no apparent motivation to harm V Revenge porn, or more accurately, "Disclosing, or threatening to disclose, private sexual photographs and films with intent to cause distress" contrary to section 33 of the Criminal Justice and Courts Act 2015 which states: (1)A person commits an offence if— (a)the person discloses, or threatens to disclose, a private sexual photograph or film in which another individual (“the relevant individual”) appears, (b)by so doing, the person intends to cause distress to that individual, and (c)the disclosure is, or would be, made without the consent of that individual. If there is no intent, then the offence is not committed. If there is intent to cause distressto V, then setion 35 needs to be considered, especially subsection (2): Meaning of “private” and “sexual” (1)The following apply for the purposes of section 33. (2)A photograph or film is “private” if it shows something that is not of a kind ordinarily seen in public. (3)A photograph or film is “sexual” if— (a)it shows all or part of an individual's exposed genitals or pubic area, (b)it shows something that a reasonable person would consider to be sexual because of its nature, or (c)its content, taken as a whole, is such that a reasonable person would consider it to be sexual. I cannot find and caselaw or guidance on the particular issue - i.e. whether or not V's commercial sales of her own images would fall within this definition - and as D's intent is not clear, it would probably be a matter for a jury to decide.
Can taking notes violate copyright? Can a person violate copyright by taking notes? For example if I am reading a book and want to copy a full paragraph, word for word, into my notes and don't cite it, is that copyright violation? What if the notes are online (Google Drive) and I want to add a picture, and I copy and paste a picture of McDonald's or a famous piece of artwork into it. Technically, would that be breaking copyright? My understanding is that fair use has nothing to do here as fair use applies to something (sort of) new.
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.
This kind of quotation, for commentary, criticism, or reference, is generally allowed without obtaining permission. In the US, this falls under fair use (see 17 USC 107. In the UK and most commonwealth countries, it falls under fair dealing. In other countries there are various exceptions to copyright that will probably cover this. Even answers that do not directly quote the rule books often use information from those rulebooks to write an answer. Facts and ideas are never protected by copyright, so this is not going to be an issue. See 17 USC 102(b), which provides: (b) In no case does copyright protection for an original work of authorship extend to any idea, procedure, process, system, method of operation, concept, principle, or discovery, regardless of the form in which it is described, explained, illustrated, or embodied in such work. As a comment by user Trish reminds, game rules are facts and are not protected, although their exact wording may be.
Your question is whether you can copy instrumental portions of recorded music, and modify it to create a new work, without permission. The answer is that this is illegal. This would be creating a "derivative work", and under copyright law, only the copyright holder has the right to authorize creation of a derivative work. Whether or not you have paid for a copy of a recording, you would still need a separate license to legally extract and use part of a recording. This includes taking just one instrument, and includes taking just a part of one instrument. Material on Youtube is subject to different licenses: in some cases items are free of restrictions, in some cases, you can't legally copy them at all. The standard Youtube license does not allow any copying. Copyright infringement of music is rather common. Enforcement of copyright must be pursued by the copyright holder, and you would need to discuss your specific plans with a copyright attorney to determine your probability of getting sued. Ultimately, you might get away with minimal copying, relying on a fair use defense (you still get sued, but you might prevail and not have to pay). There are street rumors that there is an N-note threshold for copyright infringement, where people often pick numbers from 3 to 7, but in fact there is no clear rule. This resource assembles relevant case law. Bridgeport Music v. Dimension Films, in the 6th District, establishes the rule that any amount of copying is infringement, whereas VMG Salsoul, LLC v. Ciccone in the 9th District rejects that finding and allowed a case of .23 seconds (230 milliseconds) of copying. The "de minimis" doctrine is independent of "fair use" which has a statutory basis, but seems to have arisen from similarity doctrines which are involved in proving that copying took place.
You can report it to the publisher(s) Protection of copyright is a matter for the individual rights holder: some (I’m looking at you Disney) are vigilant, thorough and draconian in protecting their rights, others don’t care at all. Unless you are the rights holder it’s none of your business. In much the same way that the guy charging your neighbour for 4 hours gardening but being long gone in 2 isn’t. If you like your neighbour or feel duty bound to do something, you tell them and then leave it to them what they do with it. This is not a matter for the authorities as it doesn’t rise to the level of criminal copyright infringement. Just like the gardener above, this isn’t a crime.
Can he use another commercial product that is copyrighted, e.g. a map of a location (the map is a political map and has nothing to do with trees), for his tree research purposes, if such a map won't be part of the book he works on? Yes. Copyright protects particular expressions of ideas and knowledge, not the ideas and knowledge themselves. Using a map for research purposes when the map or a modified version of it does not appear in the final work does not make the final work a "derivative work" covered by copyright.
The creator of the derivative work has copyright in the derivative work. The copyright would protect only the new elements of the derivative work. Wikipedia is a good place to start. In the case of a book with updated grammar, depending on the extent of the changes, it would probably be easier to copy the original directly than to eliminate the updates from a copy of the derivative work.
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.
In the US, the original author still owns the copyright, unless the original work was out of copyright (in which case no one owns the copyright): copyright is not granted for just pressing a "scan" button, and mechanical reproductions are not eligible for copyright (copyright protects creativity, and a scan involves zero creativity). To quote 313.4(A) ("Mere Copies") of the Compendium of US Copyright Office Practices, Third Edition: A work that is a mere copy of another work of authorship is not copyrightable. The Office cannot register a work that has been merely copied from another work of authorship without any additional authorship. [...] Examples: [...] Photocopying, scanning, or digitizing a literary work. That doesn't necessarily mean the repository can't put any restriction on your use of the copy; the repository may have a terms of service. Terms of service are rooted in contract law, not copyright; just because the work is in the public domain, doesn't force the repository to show it to anyone who asks, and they can force you to agree to a contract first. The enforceability of that contract is fact-dependent.
US juror qualification: could a stripper be a juror on a Sunday school teacher? I have just watched the "Eleven Angry Jurors", a sequel with the CSI, Crime Scene Investigation. One of the jurors was a stripper. The case was described as a high-profile, murder. http://www.imdb.com/title/tt0534680/ US courts explain a juror has to be a United States citizen, at least 18 years of age, reside primarily in the judicial district for one year, be adequately proficient in English to satisfactorily complete the juror qualification form, and have no disqualifying mental or physical condition; he or she also cannot be currently subject to felony charges punishable by imprisonment for more than one year, and he or she must never have been convicted of a felony (unless civil rights have been legally restored). http://www.uscourts.gov/services-forms/jury-service/juror-qualifications There would not be mention on potential for social bias. I imagine, a stripper would be biased against a religious spinster, as a Sunday school teacher, and well, a stripper would not be my idea for the law.
One option would be for an attorney to spend one of their peremptory challenges, which they could do as long as the juror is not a member of a racial minority (Batson v. Kentucky, 476 U.S. 79). Even then you can, you just have to give a valid reason other than race. Otherwise, the side wishing to strike for cause has to show that there is reasonable doubt that the prospective juror can be impartial (basing their decision just on the evidence presented and the law as explained by the court). Turning the accused / juror relation around, one might be able to strike for cause if the stripper was accused of some form of grave immorality and if the spinster was a leader of a radically puritanical religious sect that held that strippers must fry for said grave immorality crimes. The underlying assumption is that any prospective juror will be impartial, unless they say (or said, or have done) something that shows otherwise.
The jury isn't told what the law allows. They are told to come up with a number and if it exceeds what the law allows, the judge modifies it in response to post-judgment motions.
canada There are some degrees of anonymity available: The court can refer to jurors simply by their number ("Juror 5") when calling them to be seated at the outset of trial The court can order that no information that could identify a juror be published While the jury-selection cards are part of the court file, the court can order that they be sealed During the course of trial, jurors are to be referred to by their number In Canada there is no procedure available to have the jury be screened off from public view. The rationales for not having juries be completely unknown to the parties are: the open court principle it's a right of the defendant in a criminal case to be able to potentially challenge their conviction based on exceptional problems with the jury or its selection; a screened-off jury would prevent this practically, the defence and prosecution will have become aware of the jury through jury selection, including the ability to challenge their selection for cause there is a presumption that the ability to see directly and unmediated the demeanor of the witnesses is an important aspect of judging credibility; not everything would be seen via video There is likely much flexibility available for a court to allow a screened-off jury in a civil matter, but civil jury trials in Canada are not a right, and no court has seen it worth to experiment with such a thing.
There is virtually no chance this would be admissible. When a defendant argues that abuse at the hands of third party led to a mental defect that excuses her from culpability, the prosecution is free to rebut that argument. However, the prosecution's evidence must be relevant, i.e., it must have a tendency to make a fact of consequence more or less likely to be true. Here, none of the proffered evidence has any real bearing on any fact of consequence: The fact that the defendant is taller than the alleged abuser does not make it less likely that the defendant was abused. The fact that the defendant's "fake" voice (what does that even mean?) is deeper than the alleged abuser's does not make it less likely that the defendant was abused. The fact that young white women have more Tinder matches than middle-aged Indian men does not make it less likely that the defendant was abused. Even if you could find some thin reed on which to hang the relevance of these racial and gender stereotypes, the evidence would likely still be excluded under Rule 403, as the probative value would be so trivial that it would be outweighed by the likelihood of unfair prejudice or misleading the jury.
If an adult had physically restrained the miscreant brat, they could be sued for / charged with battery (which does not mean "beating up", per Cal Penal 242, it is the "willful and unlawful use of force or violence upon the person of another". In either case, there is a defense that can be mounted, the "defense of others" defense, to the effect that the person had a reasonable belief that it was necessary to prevent physical harm to others. Which means, the jury would imagine themselves in that situation and guess how likely it is that someone might get hurt. Lofting 5 lb chess pieces at a 2 year old could poke out an eye, especially since they haven't learned to duck at that age – however, I question (as would an opposing attorney) the characterization "quite dangerous". At any rate, it would depend on the level of danger posed. There is also a "proportionality" requirement for the defense of others defense: "The defendant used no more force than was reasonably necessary to defend against that danger" (CalCrim instruction 3470). The battery might not have been necessary, since simply getting between the criminal and his victims could have been sufficient. As to whether there would actually be a lawsuit, that depends in part on the mind-set of the parents. Assuming that the level of force did not rise above simple bodily contact, it is unlikely that a jury would vote to convict / find liable, but certainly not impossible. If under those circumstances the results would not be in serious doubt, then it is unlikely that the person would be prosecuted (the prosecutor wouldn't bother with such a case). We may also assume that a decent attorney would persuade the offended parent-client that it is not a good use of their money to pursue he matter. Still, the risk is not negligible, since you don't know whether you'll have bad luck with the jury, or whether the child suffers from eggshell skull syndrome and then you would be is serious trouble. I don't think the fears are unrealistic, though they may be improbable, and they could be definitive for people who live in fear.
No They look like pretty standard jury instructions to me. The only odd bit is “sure he is guilty” - that’s not what “beyond reasonable doubt means” and, at least in Australia, judges don’t tell jurors what it means, that’s one of the things they have to decide for themselves. However, in context, where the term “reasonable doubt” is clearly used latter, it’s probably ok.
There is nothing (that I can find) that allows for a defendant to elect for a trial without a jury in the Crown Court but such trials are possible, if there is evidence of jury tampering, under section 44 Criminal Justice Act 2003: [...] (2)The prosecution may apply to a judge of the Crown Court for the trial to be conducted without a jury. (3)If an application under subsection (2) is made and the judge is satisfied that both of the following two conditions are fulfilled, he must make an order that the trial is to be conducted without a jury; but if he is not so satisfied he must refuse the application. (4)The first condition is that there is evidence of a real and present danger that jury tampering would take place. (5)The second condition is that, notwithstanding any steps (including the provision of police protection) which might reasonably be taken to prevent jury tampering, the likelihood that it would take place would be so substantial as to make it necessary in the interests of justice for the trial to be conducted without a jury. [...] Althought the 2003 Act applies throughout to united-kingdom, there are also special provisions for terrorism-related trials in northern-ireland at section 1 Justice and Security (Northern Ireland) Act 2007: (1)This section applies in relation to a person charged with one or more indictable offences (“the defendant”). (2)The Director of Public Prosecutions for Northern Ireland may issue a certificate that any trial on indictment of the defendant (and of any person committed for trial with the defendant) is to be conducted without a jury if— (a)he suspects that any of the following conditions is met, and (b)he is satisfied that in view of this there is a risk that the administration of justice might be impaired if the trial were to be conducted with a jury. (3)Condition 1 is that the defendant is, or is an associate (see subsection (9)) of, a person who— (a)is a member of a proscribed organisation (see subsection (10)), or (b)has at any time been a member of an organisation that was, at that time, a proscribed organisation. (4)Condition 2 is that— (a)the offence or any of the offences was committed on behalf of a proscribed organisation, or (b)a proscribed organisation was otherwise involved with, or assisted in, the carrying out of the offence or any of the offences. (5)Condition 3 is that an attempt has been made to prejudice the investigation or prosecution of the offence or any of the offences and— (a)the attempt was made on behalf of a proscribed organisation, or (b)a proscribed organisation was otherwise involved with, or assisted in, the attempt. (6)Condition 4 is that the offence or any of the offences was committed to any extent (whether directly or indirectly) as a result of, in connection with or in response to religious or political hostility of one person or group of persons towards another person or group of persons. And, for completeness, section 43 of the 2003 Act is prospective legislation (i.e. not in force) for certain fraud cases to be conducted without a jury due to the complexity and/or length of the trial.
This appears to be covered by the Norway Criminal Procedures Code, of which an English version can be found here. Chapter 10 deals with witnesses. Here are some relevant sections: § 108. Unless otherwise provided by statute, every person summoned to attend as a witness is bound to do so and to give evidence before the court. There follow a number of exceptions (spousal privilege, attorney-client privilege, state secrets, etc). None of them seem to apply to your example. § 115. The court may decide that a witness who fails to attend or who leaves the place of sitting without a valid reason shall be brought before the same or a subsequent sitting of the court. In special cases the court may decide that a witness shall be detained in custody until he can be examined. § 128. Before the examination the president of the court shall admonish the witnesses to tell the whole truth without concealing anything. He shall inform the witnesses of the liability consequent on giving false evidence or making a false affirmation. § 137. If a witness refuses to give evidence after being ordered to do so by a legally enforceable court order, the court may by a new order decide that the witness shall be kept in custody until he fulfils his obligation. Nevertheless a witness may not be kept in custody for more than three months altogether in the same case or in another case relating to the same matter. So effectively, if the witness fails to show up voluntarily, he can be brought in forcibly. He can be ordered to testify, and if he refuses, he can be held in custody (probably a jail) for up to three months. However, the authority to compel testimony is limited to courts; the police cannot compel statements from witnesses. § 230. The police may take statements from suspected persons, witnesses and experts but may not order any person to make a statement. So in your example, it appears that the witnesses would be free to refuse to speak to the police. However, if the case came to trial, they could be ordered to testify, and could be held in custody if they refused.
What does "by conditioning our tax return preparation services" mean? Referencing Internal Revenue Bulletin 2013-3 (January 14, 2013) 5(1)(a) specifically, there's some pretty confusing language here that I can't figure out what it means. If we obtain your signature on this form by conditioning our tax return preparation services on your consent, your consent will not be valid. I encountered this while doing my free H&R tax return, and didn't want to agree to it without understanding what it's asking. From the context I assume it means that they're asking for consent to disclose information about my tax return, but that's really not clear.
Reworded: If the only reason you provide consent is because otherwise we won't prepare your taxes then you really haven't provided consent at all.
england-and-wales The government grants limited rights of return (thanks Jen), for which you are entitled to a cash or cash-like refund (e.g. reversal of a credit card charge as described below). The vendor has the option to go above and beyond that statutory minimum as a courtesy to the customer. In that non-compulsory zone, they have the liberty to offer store scrip rather than a cash refund. Of course, any business can try to cheat you, and then you have to stick up for your rights by insisting or reporting to relevant authorities. united-states If you buy with a credit card, the rules and contractual obligations of the credit card companies oblige the merchant to accept returns by doing a refund to the card. It's important to understand how this happens: the merchant isn't just picking an arbitrary amount of money and doing a new "sale in reverse"... they are identifying a specific past transaction that already happened, and modifying or reversing it. That is a system safeguard so they don't credit the wrong person or be tricked into a reversal on a transaction that never happened. That's why they want your receipt. On a cash transaction, it is sellers prerogative whether to issue cash or store credit. Issuing store scrip is a reasonable option to deter theft and fraud. For instance someone who wanted an item could get it for free, by buying the item, taking it home, returning the next day without the item, grab another identical item off the shelf and sneak over to the CS line and "return" it with yesterday's receipt. With cash sales, that would be completely untrackable, and the thief is gone. With credit card, they have your identity; with scrip they can "flag" the scrip in their system to either prevent its use and/or have a security officer detain you if you try to use it. For instance American home stores will cheerfully take re-saleable condition items back even without a receipt, but will issue a store voucher for the value rather than cash. That policy would be a disaster if they refunded cash. As it is, I find it rather convenient! So if you want the convenience of cash refunds, you can just use credit cards - gaining the feature at the expense of anonymity.
If you want to protect yourself or any property interests you may have in this circumstance you have to talk to a lawyer. You cannot get (or trust) legal advice from the internet. I will, however, make the following personal observations: I only provide a W-9 to people who are paying me money, and who request it as a condition of paying me. I don't know of a legal requirement to supply it after the fact. However, not providing it to someone who did pay you more than $600 in a tax year could certainly make it difficult for them to comply with their tax filing obligations. I do not sign any agreements, assignments, or contracts, without what I consider to be fair consideration. E.g., if on leaving a job (as has happened) I am asked by a former employer to sign something that I am not already obligated to sign due to some prior contract, then I negotiate what is commonly called a "severance package." They pay me and/or extend benefits, and I sign something that limits their liability.
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).
Is it legal to send a document with your signature claiming to be somebody else? Is it legal to allow somebody to sign a document "for you" (using your name)? I'll answer these two questions together. It depends on what laws apply to the specific document. For example: For a contract for the sale of land, the Statute of Frauds requires a signature. However, the Statute provides that the signature may be made by a person authorised by you. In Australia, a Commonwealth income tax return must be signed by the taxpayer. The taxpayer must sign it personally. If you get your assistant to sign it then you haven't filled it in properly and you are liable to be fined for failure to lodge a valid tax return. There are rules in the legislation for corporations, e.g. the public officer signs it. Sometimes the law allows a tax agent/accountant to sign a form. The theme is that the law provides specific rules. In Australia, banknotes must bear the signatures of two senior officials such as the Secretary of the Treasury and the Governor of the Reserve Bank. However, the law imposing this requirement allows a great deal of flexibility about how these signatures are applied, freeing these officials from the tedium of signing millions of banknotes: Reserve Bank Act 1959, s 37. In the case of a letter, there are no specific laws about who can sign it and how. You could very well get an employee to sign it for you. The other issue to be aware of is deception. If I write you a letter signed "Kim Kardashian", but she has no idea I've done this and has not given me permission, but I lead you to believe that Kim Kardashian just wrote you a letter saying you're great, and then you go and embarrass yourself posting that letter on Facebook, then potentially I am in a bit of trouble. (A more serious example would be where I impersonate your bank and purport to waive the repayments on your mortgage, resulting in you defaulting.) In such a case, the relevant laws are the various laws to do with deception, not laws specifically about who can sign a document. Is it legal for a single individual to use multiple signatures when signing legal documents (ie, is there a requirement your signature be identifiable or consistent)? This is fine. A real signature is not like a cryptographic signature. Its function is not to, by itself, prove the authenticity of a document. The act of signing something is significant because it shows commitment, etc, and for very important documents (e.g. deeds) people (or the law) will ask for the signature to be witnessed. The verification in that case comes from the witness being able to testify as to who they saw sign the document, not the appearance of the signature itself. Keep in mind that the law related to signatures evolved at a time when not everybody could write their name and continues to accomodate people who cannot today. There is no reason or principle requiring an individual to use a consistent signature. There is a practical exception in relation to banks. Banks keep a specimen signature on file for each customer and use this to decide whether to accept withdrawal slips, cheques etc. It is not an ideal system (it is not hard to forge a signature well enough to get past a teller) but in conjunction with the banks' other fraud prevention methods it is the best they can do. However, this is a matter of their own risk management not a legal requirement. If you were transacting in person at the branch and the teller knew you and the bank manager was happy, legally you could sign withdrawal slips with an "X" or a different signature every time.
Businesses are not required to do what the card says, they are required to do what the card-holder says, to the extend that what the card holder says relates to giving or denying consent to be vaccinated. Since they don't vaccinate people who are unconscious, consent will always be directly obtained from the patient and the card has absolutely no effect. Also, control subjects are selected at random and the subject does not know what group they are in. Possession of such a card therefore has zero scientific effect.
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.
My understanding is that the "flow-through" treatment is specifically a tax law concept. The LLC has its own income, which it can use to pay expenses or acquire assets or for whatever other purpose, and such assets become the property of the LLC. It's just that when it comes time to pay taxes, the LLC's net income is taxed as income to the owner. But that does not mean that the LLC's income is treated the same as the owner's income in all other legal contexts.
Possible to leverage copyright law in a way that enables the right to be forgotten? If I understand correctly, the "right to be forgotten" legislation and related efforts allows a content owner (human) to prevent derived works from being displayed in a search engine about themselves. Suppose we simplify the problem a bit, and I were to create an alias/A.K.A. for myself. Is there any way I can copyright, license, or publish unique content under this pseudonym that allows me to arbitrarily or wholly revoke discussion about that content? For example, the corporate personhood of Apple prohibits discussion and derivative works regarding their private and internal API's. None of these topics are visible on Google, even there are underground websites that discuss such content. How can an individual leverage similar rights? Question What legal frameworks allow me to publish unique and original content that also gives me the legal authority to: Remove that content from search results with the broadest international law support (in whole, or part) Remove that content from the republisher, or derived work (DCMA takedown equivalent) I'm guessing the right tools is some combination of Copyright, IP licensing, and NDA. I am unsure if the recipient/3rd party observer must consent to these terms of use prior to reading the content. Is there any example of how this would be done in practice?
One big hole in any scheme that relies on copyright is that it could not preclude people talking about the previous content or talking about you. This is well established First Amendment law. For example, see Near v. Minnesota 283 U.S. 697 (1931), which holds that except in rare judicially established exceptions (relating to military information, obscenity, and inciting acts of violence), government censorship is unconstitutional. Thus, no statutory scheme could be used to prevent third parties who happened to have seen the material while it was freely available from re-iterating what they had seen, or talking about it, or talking about the author (you). People could even reproduce portions of the published content. Some types of reproduction would be protected as fair use in the US, especially if the reproduction is for the purpose of criticism. (17 USC 107, and this previous Law.SE answer) The closest approach would be to protect your work as trade secret, making sure that anyone that you share it with agrees to non-disclosure. But, if you "publish unique content under this pseudonym" there is no way to "arbitrarily or wholly revoke discussion about that content". If the cat gets out of the bag, while you may have remedies against the person who violated the non-disclosure agreement, you would not be able to prevent third-party discussion or reproduction.
The site's owners would likely be immune from any civil action based on its users' conduct, under Section 230(c)(1) of the Communications Decency Act: No provider or user of an interactive computer service shall be treated as the publisher or speaker of any information provided by another information content provider. The users, though, could still face liability. Although it would be libel rather than slander (because it is published rather than spoken), any damaging falsehoods could be actionable. The emotional distress component would also be a possibility, but it would probably be a tougher case. The laws vary from jurisdiction to jurisdiction, but generally speaking an emotional-distress case requires really outrageous behavior and and very serious emotional damage.
Art. 17 GDPR, Right to erasure (‘right to be forgotten’) requires “erasure of personal data concerning him or her”. That’s all personal data. However, this only applies when this article applies. Section 1 details when this is and sections 2 and 3 detail limitations and exceptions to the right of erasure. For example, you would be allowed to keep financial records that you're legally obligated to keep. So, if they have the right, you have to delete all their personal data that is not exempted. Aggregate statistics and other anonymous data in the sense of Recital 26 are not personal data and don't have to be deleted. Whether the kinds of data you have mentioned would be sufficiently anonymous would require further analysis.
Unless the work has entered the public domain (after the copyright expires, or if a copyright notice or renewal was omitted when these were required, or in other ways) there is always an owner of the copyright. If the copyright was retained by the author, who has died, than the author's heir(s) own it. (If there are no other heirs, it becomes the property of the state. This is known as escheating.) If the author has sold or assigned the copyright (say to a publisher) then the buyer or assignee owns it. If the owner is a business that has ceased to operate, but has not sold the copyright, then the shareholders or proprietor has the right to sell or license it (technically the business still owns it). If the business goes through legal bankruptcy, the copyright would be sold, possibly as a part of "and all its other assets and good will", or else would escheat to the state. It can be hard to find the copyright to a work long unpublished. The original author may have died, and the author's heirs may be hard to track. The copyright may have been sold, and the sale may not have been properly recorded. In the US, the Copyright Office maintains records that try to identify the copyright owner of all registered copyrights. The office will search these, for a fee, but there is not always a correct or useful answer. Under current US law, if one cannot find the correct owner of a copyright, and secure permission to use it, one is simply out of luck (except for musing, where a compulsory license is available for some uses at a government-specified fee). Any use is then infringement (unless it is a fair use) and the owner could always turn up and sue. The term "orphan works" has been applied to works whose copyright owner is unknown and hard to find. The same term is also applied to works whose copyright holder is known, but which are long out of print and unlikely to be reprinted, particularly when there is no paying market for them. In the US, there have been several proposals for dealing with "orphan works" by granting a compulsory licensee for them, or by declaring them to be in the public domain, or by taxing them and declaring them to be PD if he tax goes unpaid. None of these have been passed into law in the US, nor have similar proposals been made law in any other country that I know of. (declaring Orphan works PD might cause a problem under the Berne Convention.) To be honest, as there is little economic value in orphan works, no one will spend much money or energy in lobbying for such a law, and the industries that make their money via copyright (music and film in particular) are often suspicious of and automatically oppose anything that weakens copyright in any way, or seems to. In any case, no such law has yet passed. (Edit I now learn that Canada and the EU have laws giving access to orphan works under some circumstances, and other countries may have such laws.) It is true that the owner of the copyright on an orphan work may well be unlikely to sue for infringement of that copyright. The owner may not even know that s/he owns the copyright. But a user could never by fully safe, because the owner (or a new owner after a transfer) could always choose to sue for any continuing infringement, and any past one if the statute of limitations has not run out. This answer is largely based on knowledge of US law, but I believe that this situation is basically the same in most countries.
How do you know if the copyright claimant or owner of them material you are using is allowing their content on Youtube? You don't. ... does fair use automatically cover you for anything related to this? No Is it illegal to share the music experience of a legally purchased MP3 ... or to provide services that play songs ... but are not hosted by your website (in which case you just act as a pointer to other sites which are participating in illegal activities)? Yes What rights/privileges can cover you if you wish to participate in this? None I've heard (rumours probably with no legal standing), that as long as you are not monetizing their material, you will not have any legal action taken against you. You probably won't have action taken against you. That said, you probably won't get busted for smoking weed in your basement. Lack of enforcement makes it no less illegal. What copyright means Copyright is a legal right created by the law of a country that grants the creator of an original work exclusive rights to its use and distribution, usually for a limited time. The exclusive rights are not absolute; they are limited by limitations and exceptions to copyright law, including fair use. The copyright holder decides how, when and by whom their work can be used and copied. At some point this right expires and the work passes into the public domain. It is not trivial to determine what works are public domain and what are not as it depends on the copyright law in the country they were created in at the time of creation and how that law has changed subsequently. In most of the world, the default length of copyright is currently the life of the author plus either 50 or 70 years. Many jurisdictions also grant workers for hire moral copyright in their creative work even when the proprietorial copyright vests with their employer. Copyright comes into existence automatically; it doesn't need to be registered or denoted in any way. For example, I have copyright in this answer and you have copyright in your question. A few countries (the USA among them) have a copyright register but that only limits the remedies an unregistered copyright holder has; failing to register does not negate copyright. Further, a single work can have multiple copyright holders: a music video for example has (barring contractual arrangements): the composer(s) holds copyright in the music the lyricist(s) holds copyright in the lyrics the performer(s) hold copyright in the music performance the actor(s) (if any) holds copyright in the acting the producer(s)/director(s) holds copyright in the finished product. In practice, most of these people have contracts which give their copyright to someone else. Almost certainly, every MP3 of every song is covered by copyright; that is, someone, somewhere owns the copyright; that is at least one someone. How can you tell who that is? Often, in the absence of a claim of copyright, you can't. Obviously, if it is a song published by a record label than its pretty obvious that they hold copyright on it and you don't need to worry about the deals they have with the artist/composer etc. Remember, copyright violations are a civil matter; the state does not get involved. It is up to each individual copyright holder to take whatever action they wish under the law to protect their rights.
They'd have a big hurdle to clear. According to 17 U.S. Code § 512(c): (d)Information Location Tools.—A service provider shall not be liable for monetary relief, or, except as provided in subsection (j), for injunctive or other equitable relief, for infringement of copyright by reason of the provider referring or linking users to an online location containing infringing material or infringing activity, by using information location tools, including a directory, index, reference, pointer, or hypertext link, if the service provider— (1) (A) does not have actual knowledge that the material or activity is infringing; (B) in the absence of such actual knowledge, is not aware of facts or circumstances from which infringing activity is apparent; or (C) upon obtaining such knowledge or awareness, acts expeditiously to remove, or disable access to, the material; (2) does not receive a financial benefit directly attributable to the infringing activity, in a case in which the service provider has the right and ability to control such activity; and (3) upon notification of claimed infringement as described in subsection (c)(3), responds expeditiously to remove, or disable access to, the material that is claimed to be infringing or to be the subject of infringing activity, except that, for purposes of this paragraph, the information described in subsection (c)(3)(A)(iii) shall be identification of the reference or link, to material or activity claimed to be infringing, that is to be removed or access to which is to be disabled, and information reasonably sufficient to permit the service provider to locate that reference or link. So long as these conditions are met, Google is immune. So, what is ESPN going to argue? Are they going to argue that Google had actual knowledge of infringement? Are they going to argue that Google received a financial benefit directly attributable to the streaming? Are they going to argue that they sent a DMCA notice to Google and the links were not then expeditiously removed? Or are they going to argue something else entirely?
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.
The particulars of "actual knowledge" are addressed in Viacom v. YouTube. The ruling from the appeals court states (emphasis mine): Under § 512(c)(1)(A), knowledge or awareness alone does not disqualify the service provider; rather, the provider that gains knowledge or awareness of infringing activity retains safe-harbor protection if it “acts expeditiously to remove, or disable access to, the material.” 17 U.S.C. § 512(c)(1)(A)(iii). Thus, the nature of the removal obligation itself contemplates knowledge or awareness of specific infringing material, because expeditious removal is possible only if the service provider knows with particularity which items to remove... Thus, actual knowledge must be knowledge that is specific enough to allow a service provider to take action against specific infringing content. "General" knowledge of infringement is not specific enough to be actionable, so it cannot qualify as "actual knowledge". (e.g., The general knowledge, "In the past, about 5% of the videos uploaded to our site were infringing, and we expect that trend continues into the present, so some of our videos right now are probably infringing," is not actionable to specific videos, so it does not quality as "actual knowledge".) That ruling also clarifies the distinction between (i) and (ii), which are respectively termed the "actual knowledge" provision and "red flag" provision: In other words, the actual knowledge provision turns on whether the provider actually or “subjectively” knew of specific infringement, while the red flag provision turns on whether the provider was subjectively aware of facts that would have made the specific infringement “objectively” obvious to a reasonable person. Actual knowledge is different from a notification, which the service operator must respond to according to section (c)(1)(C) (whereas your quote is from (c)(1)(A)): (C) upon notification of claimed infringement as described in paragraph (3), responds expeditiously to remove, or disable access to, the material that is claimed to be infringing or to be the subject of infringing activity. Expeditious removal is required in either event: the operator has actual knowledge of infringement, per (c)(1)(A)(i), or the operator gets a notification, per (c)(1)(C). Actual knowledge and notifications are different, but they impose similar responsibilities for the operator.
Do unofficial testimonies and civil recordings hold value in the US courtroom? As far as I know admitting to something while not under oath has no value, as it should. But if there is a case against you with some other solid evidence can an unofficial/not under oath confession be used against you in the US courtroom? And for that matter is confessing to a police officer while not under the oath of the courtroom considered a valid confession? Also, does recorded audio or video by a civilian, for example, hold value in the US courtroom? The reason I am asking is because in my country: 1. Any confession or testimony NOT made to a police officer or other similar legal party (we don't have oaths) is completely meaningless. This is because when speaking to a police officer, as he is considered an official representation of the law, etc. you are required to recognise the gravity of the situation and speak only truthfully, therefore anything you say is taken to be truth and can be used as valid testimony. Similarly if you just randomly tell someone you killed someone you could be joking, not of sound mind, etc. and that is why such a confession is worthless. .2. Audio or video footage not recorded by a police device or other officially recognised device, such as a security or traffic camera, is also worthless as you can never say for certain said footage is unedited or not inscenuated, i.e. that someone did not hire actors to look like you and perform a crime. EDIT: After some more researching it turns out I was wrong. Confessions to a police officer hold a lot more value than ones, say, made on the internet, but the ones on the internet could still be used in court, albeit almost noone would take them seriously for the aforementioned reasons. Confessions to civilians, however, are different because in that manner the civilian appears in the form of a witness, which has value. As for audio and video recordings it turns out it doesn't matter if they are made by a civilian or a security camera, both can be used in court but rarely have too much value for the aforementioned reasons. In the end here, and as I believe elsewhere, you need more than circumstantial evidence to successfully convict a person (you need witnesses, direct evidence, etc.).
Your confessions, to anyone, can be used against you. If A admits to B that A stole the car, B can testify to what A said. In fact, if B accuses A of a crime and A says nothing (and C witnesses this), C can testify as to what B and A said (or didn't say) – this is known as an adoptive admission, and it is up to the jury to decide if they think the silence is significant. Recordings are likewise admissible. All evidence is in principle defeasible, so if there is a video of "you" committing a crime, you can make the case that it wasn't really you, and the jury will weigh the evidence to see if they are firmly convinced that you did commit the crime (at least in New Jersey... long story about 'burden of proof').
You can't prove a negative, so they can't be convicted of perjury for lying about whether they remember; Yes, they can. The government can convict the witness of perjury by proving that they did remember. This may be difficult, but it's not impossible. Now you may say that we can't ever prove with certainty what a person did or didn't remember. But the legal standard isn't certainty, it's beyond a reasonable doubt. So a jury is allowed to draw a reasonable inference about whether they remembered, based on evidence of their outward behavior and other circumstances. As an extreme example, suppose Alice was overheard chatting freely about topic X an hour before the trial, but when asked about topic X on the stand, said she didn't remember. When presented with evidence of her earlier conversation, a jury could reasonably infer that she was lying about not remembering. Is it possible that she truly had a memory lapse in the intervening hour? Sure, anything is possible. Is it reasonable to believe that she did? Probably not. The US Department of Justice's Criminal Resource Manual has this to say on the subject: Witnesses who claim not to remember, rather than deny a fact, may be prosecuted for perjury. However, the government must prove both that the witness at one time knew the fact and that the witness must have remembered it at the time he or she testified. United States v. Chen, 933 F.2d 793, 795 (9th Cir. 1991). If the dates of the transaction and testimony are sufficiently close, memory may be inferred. Instances in which the witness remembered other events that occurred at the same time or earlier than the event in question, or mentioned the event either immediately before or after his testimony, would be probative of the witness's memory at the time of the testimony. The two witness rule does not apply to prosecutions based on false memory lapses, and circumstantial evidence is sufficient, since there is no direct evidence possible concerning what the defendant actually believed. Gebhard v. United States, 422 F.2d 281, 287 (9th Cir. 1970). There's a similar issue in all laws that deal with a person's knowledge or intent. Suppose Alice hits Bob with a stick and he dies. To convict Alice of murder, it must be proved that by hitting Bob, she intended to kill him. Can we ever really know what was in her heart? Maybe not, but if there is evidence that shortly beforehand, she told someone that she was going to kill Bob, it would be a reasonable inference that this was her intention.
As an example, under the laws of Colorado, USA, deleting the footage would be a crime. See CRS 18-8-610: A person commits tampering with physical evidence if, believing that an official proceeding is pending or about to be instituted and acting without legal right or authority, he: (a) Destroys, mutilates, conceals, removes, or alters physical evidence with intent to impair its verity or availability in the pending or prospective official proceeding; If you cause a crash, you should certainly believe that you are going to be sued, and a lawsuit is definitely an official proceeding. And it sounds like your purpose in deleting the footage is to prevent it from being used in that lawsuit. So you'd be clearly guilty under this law. It is a class 6 felony, carrying a sentence of 12-18 months in prison and a fine of $1,000 to $100,000. It may be counterintuitive, but according to a law firm, a digital video would be considered physical evidence: Physical evidence may include electronic records, videos, or audio recordings. This includes emails, text messages, social media messages, image files, video files, and computer files. If you don't delete the video, it is likely to be demanded by the plaintiff during the discovery process so that it can be entered into evidence. Rule 37 of the Colorado Rules of Civil Procedure lists the sanctions that can be imposed if you refuse, such as: charging you for legal fees incurred by the plaintiffs in trying to obtain it assuming that the video proves whatever the plantiffs say it would show (e.g. that you were speeding, driving recklessly, etc) entering a default judgment against you (the plaintiffs automatically win the suit, as if you had refused to show up in court) holding you in contempt of court, which can lead to you being put in jail until you choose to comply, as well as fined.
What are the factors in weighting whether to disclose substantive evidence vs. using it for impeachment at trial? In an adversarial system (such as that in the jurisdictions in the U.S.) the surprise factor is disallowed on trial. I am not knowledgeable on the procedural exceptions, but generally speaking the documentary evidence (including deposition transcripts) has to be filed during the discovery stage of proceedings. A discovery deadline is set up during case scheduling, and extensions of that deadline have to be requested via motion. There is the slightly related concept of sequestration of witnesses whereby inconsistencies may serve to impeach a witness's testimony, but that is different than withholding from the jury any pre-existing evidence that a plaintiff would like to be considered on trial (whether for impeachment or otherwise). Also, it is in the injured party's best interest that the jury get to see the evidence rather than have it merely rely on a witness's reaction of surprise. The wrongdoer's lawyer will try to confuse the jury and thus outweigh the jury's perception of a "surprised witness", but that attempt is likelier to fail if the jury has the evidence with which to compare the witness's testimony at trial.
SCOTUS suggests in Townsend v. Sain, 372 U.S. 293, that a subject's confession was constitutionally inadmissible if it was adduced by police questioning during a period when petitioner's will was overborne by a drug having the properties of a "truth serum." In Miranda v. Arizona, it is held that If the interrogation continues without the presence of an attorney and a statement is taken, a heavy burden rests on the government to demonstrate that the defendant knowingly and intelligently waived his privilege against self-incrimination and his right to retained or appointed counsel. Escobedo v. Illinois, 378 U. S. 478, 490, n. 14. This Court has always set high standards of proof for the waiver of constitutional rights, Johnson v. Zerbst, 304 U. S. 458 (1938), and we reassert these standards as applied to in-custody interrogation. Subsequently in Colorado v. Connelly, defendant suffered from psychosis that "interfered with his ability to make free and rational choices and, although not preventing him from understanding his rights, motivated his confession." The court found that Coercive police activity is a necessary predicate to finding that a confession is not "voluntary" within the meaning of the Due Process Clause. Here, the taking of respondent's statements and their admission into evidence constituted no violation of that Clause. While a defendant's mental condition may be a "significant" factor in the "voluntariness" calculus, this does not justify a conclusion that his mental condition, by itself and apart from its relation to official coercion, should ever dispose of the inquiry into constitutional "voluntariness." In the Massachusetts case Commonwealth v. Hilton, 443 Mass. 597, the Mass. Supreme Court (in the first ruling) said that We see no error in the judge's finding that the defendant's mental infirmities were such that she did not understand the Miranda warnings, and we therefore conclude that statements made after the interrogation did become custodial were properly suppressed. On remand and after in a second appear, in Commonwealth v. Hilton, 823 N.E.2d 383, the Massachusetts Supreme Court ruled that a finding that the defendant was unable to make a knowing, voluntary, and intelligent waiver of her Miranda rights is not enough, standing alone, to support the finding that her statements were involuntary. The court found that the defendant was competent to stand trial contrary to the trial judge's determination, and said that because we are unable to determine if the judge would have allowed the supplemental motion to suppress without the erroneous findings, we vacate the order for suppression and remand for further consideration. The point here is that being mentally disabled is not per se proof that a confession is involuntary. Turning specifically to intoxication, in Colorado v. Jewell, the trial court suppressed a confession while intoxicated "based on its finding that Jewell was too intoxicated to knowingly and intelligently waive his right to remain silent." The Colorado Supreme Court reversed the suppression [b]ecause the facts do not support the trial court's determination that Jewell's intoxication was so severe that he was demonstrably unable to knowingly and intelligently waive his Miranda rights which leaves open the possibility that there is some such degree of intoxication. The court determined that Intoxication only invalidates an otherwise valid Miranda waiver if the court finds through a preponderance of the evidence that the defendant was incapable of understanding the nature of his rights and the ramifications of waiving them. Subsequent discussion partially fleshes out how one might determine whether a waiver is unknowing or unintelligent. Citing Colorado v. Kaiser, the court suggested considering whether “the defendant seemed oriented to his or her surroundings and situation; whether the defendant's answers were responsive and appeared to be the product of a rational thought process; whether the defendant was able to appreciate the seriousness of his or her predicament, including the possibility of being incarcerated; whether the defendant had the foresight to attempt to deceive the police in hopes of avoiding prosecution; whether the defendant expressed remorse for his or her actions; and whether the defendant expressly stated that he or she understood their rights.” One issue was raised regarding "cases where, as here, the intoxication is self-induced." A fundamental result of the mass of Miranda case law is that coercive actions by police invalidate a confession. Getting a suspect drunk(er) would be a clear case of a coercive police action, and presumably would be inadmissible under Townsend v. Sain.
In many jurisdictions, there is a "witness fee" that one is required to pay, as a token recognition of the value of a person's time. Fact witnesses can often be obligated to appear and testify, for minimal compensation, but not against themselves. In federal cases, Rule 17(b) of the Rules of Criminal Procedure permit the defendant to apply to ask the government to pay the witness fee if they cannot afford it and the presence of the witness is necessary for an adequate defense. The other side of a case (in this example, the prosecutor) could try to impeach the witness's testimony (i.e. make him seem less credible in the eyes of the jury) by demonstrating that the witness is a "professional witness" (i.e. fees from saying things in court are a major part of the witness's regular income). That doesn't seem to apply to the facts you've listed, where the witness just happened to be in that place and time to observe what happened and (assuming for this question) accurately testified as to what he saw. Personally paying the police officer or judge for a favorable result is a different question with a different answer.
Confidential statements made in confession to a religious advisor are privileged in every U.S. state and in federal court. There is a body of law that surrounds each kind of privilege (attorney-client, psychotherapist-patient, doctor-patient, priest-parishioner, accountant-client, husband-wife) that covers exceptions to the general rule. At least a couple of privileges (attorney-client and husband-wife) actually involve more than one distinct privilege: attorney-client privilege has a confidential communications component and a work product component that have different rules; a husband-wife privilege has a confidential communications component and a 5th Amendment like component that allows one spouse to refuse to permit the other current spouse to testify against him or her. The privilege for confessions made to priests is generally speaking, broader than the attorney-client privilege. Both attorney-client privileges have crime-fraud and prevention of imminent harm exceptions that do not apply to priests. The work product component of the attorney-client privilege also has an exception when work product is the sole available source of critical information available by no other means (e.g. due to the fact that destructive testing was conducted on evidence). A judge cannot order a priest to disclose to a grand jury or any other tribunal or official, what was said in confession, and the priest could not be held in contempt for not testifying in this manner. Indeed, even if, for example, a secret microphone had been placed on a suspect and captured his confession to a priest, the recording of that conversation would not be admissible as evidence in any legal forum due to the privilege. Often, as in the case of a seal of confessional for a Roman Catholic priest, a privilege is also accompanied by a duty on the part of the person receiving the confidential information to keep the information disclosed confidential. But, the duty to keep privileged communications confidential does not always exactly match the scope of the privilege. For example, a Mormon minister's religious obligation to keep confessions confidential might not be precisely the same as those of a Roman Catholic priest, even though confessions to either one would be privileged from compulsory disclosure in a court or other tribunal. Similarly, confidential communications to an attorney can be disclosed by an attorney in furtherance of the representation in a way that a confidential communication to a priest usually could not be disclosed. In at least some jurisdictions, the priest could probably be compelled to testify regarding whether an individual came to a place at a given time to confess (which would establish alibi or lack thereof, and proximity to the time scene at a particular time) since that itself wouldn't be a confidential matter shared with the priest and could have been witnesses by anyone else in the church building who was not a part of the confession whether it not it actually was witnessed by anyone else. In such a jurisdiction, if the priest refused to testify regarding that matter, the priest could be held in contempt of court just like any other witness under a subpoena who refused to testify. The law is not entirely clear over the extent that the priest-parishioner privilege is mandated solely by a statute, common law rule, or court rule (as the case may be from state to state, this varies considerably), and to which extent the statute, common law rule, or court rule providing for the privilege is constitutionally mandated by the free exercise clause of the 1st Amendment to the United States Constitution (incorporated to apply to the states through the 14th Amendment to the United States Constitution), and by parallel state constitutional provisions. The question of whether the priest-parishioner privilege is constitutionally mandated matters because some states, in the wake of scandals involving sexual abuse of children by clergy, have sought to extend the requirement that a designated person knowing of instances of child abuse must report their suspicions to authorities, that applies to many kinds of licensed professionals who deal with children in most states, to religious officials who deal with children and their supervisors and colleagues in their churches or denominations. If the question is constitutional, it might be the case that these laws would be unconstitutional. Middle ground might find that there might be a duty of someone taking a confession from a priest to report child abuse (because this is an abuse by the priest of the privilege of receiving privileged confessions), but not a duty to report child abuse disclosed in confession by anyone else. Of course, if there is no constitutional dimension to the privilege, the legislature is free to modify it with legislation as they see fit. There is also an issue in every particular privilege regarding whom the privilege belongs to, and hence, who has a right to legally waive a privilege and allow testimony concerning the confidential communications to be provided. It might belong to the person making the confession, it might belong to the priest, or it might belong to both (hence requiring mutual consent for a waiver of privilege and not just consent by one individual who holds the privilege). I am not familiar with the state of the law in every jurisdiction regarding who holds the privilege for confidential communications with clergy.
united-states I am answering this in the case of a criminal jury trial (given the context of the previous question). It is my understanding that the judge must accept (almost?) all evidence admitted into court. So, this leaves me with three questions: What happens if an official shows evidence that the judge hadn't agreed to feature in the trial? . . . What happens if the evidence happens to be inadmissible? A trial in a criminal case takes place in a courtroom at a predetermined date and time, with the prosecutor physically sitting at one table in front of a judge and the defendant and the defendant's lawyer physically sitting at another table in front of the judge, and a jury physically sitting in a seating area to the side of the judge, and a witness (usually) physically sitting in a chair on the other side of the judge (in rare circumstances, for minor witnesses, testimony is provided by telephone with the phone put on speaker in the courtroom for all to hear), and a court reporter or tape recorder keeping track of what happens verbatim. In a trial, essentially all evidence comes in through witnesses sitting on a special the chair in front of the judge designated for witnesses (called the witness stand) at the request of either the prosecuting attorney, or the defense attorney. This is the only way the evidence is introduced (other than by stipulations of both side's lawyers). Prosecutors and defense attorneys don't testify or provide evidence themselves. The judge is usually not told what evidence will be offered at trial in advance, although sometimes a pre-trial hearing is held to consider a particularly important piece of evidence's admissibility prior to trial, in a hearing on what is called a "motion in limine" or a "motion to suppress". If that happens, the judge's decision made in advance will be honored by the judge when anyone tries to introduce the evidence at trial. But those are the exception and not the rule. Usually, any witnesses can be asked any questions at trial and the judge does not consider the admissibility of the answer to the question until it is asked and objected to by the other side's lawyer at trial. A defendant can choose to be, but is not required to be, a witness in his or her own case. In a trial, when it is their turn, the prosecution and defense, respectively, ask witnesses to sit at the witness stand one by one and ask them questions, which the witness answers under oath, absent an evidence objection from the other side's attorney. While a witness is on the stand, exhibits such as documents or physical objects can also be introduced into evidence in connection with the authenticating testimony of the witness (except in cases where both sides stipulate to the admission of the documents or other non-testimonial evidence). As the lawyers try to introduce evidence by asking a question to a witness on the stand, or by asking the judge for permission to introduce non-testimonial evidence, the other side's attorney can say, "I object". If that happens, the witness on the stand is not allowed to answer the question and the non-testimonial evidence (e.g. documents, or a knife allegedly used in a crime) is not made available to the jury until the judge rules on whether it is admissible or not in accordance with the rules of evidence. Usually, the judge rules on the evidence objection immediately in the moment, although in rare cases, the judge will let the jury have a break for a few minutes while hearing arguments from the lawyers for both sides on about the relevant evidence rules and/or researching the legal issue, before ruling on the evidence issue. Once the judge rules on the evidence issue, the trial continues immediately. If the judge "sustains" the objection to the evidence, then the question doesn't get asked and/or the jury doesn't get to see the non-testimonial evidence. The lawyer whose question or offer to introduce evidence was successfully objected to moves on to their next question (if any) for the witness instead. If the judge "overrules" the objection to the evidence, then the witness answer the question and/or the jury gets to see the non-testimonial evidence which is "received" into evidence by the judge. This process continues continuously, for as many business days as it takes, until all witness testimony and all non-testimonial evidence has been presented to the court and both sides have told the court that they have presented all of their evidence. Then each side makes closing arguments to the jury, the judge reads the jury instructions of law on how to resolve the case, and the jury is sent to closed room to discuss the case and decide whether to say "guilty" or "not guilty" with respect to each charge brought by the prosecution in the trial. This decision is called a "verdict" and when the jury has made up its mind on all charges present to it, the jury lets the judge know that it has made up its mind, and the judge calls everyone back to the courtroom, and the jury tells the judge what they decided in open court. If the verdict is "not guilty" on all criminal charges in the case, then the case is over, with no post-trial motions and no appeals. If the verdict is "guilty" the defendant is convicted, subject to post-trial motions to declare a mistrial and appeals by the convicted defendant. If the convicted defendant appeals the case, and the judge abused his discretion in overruling an objection to the evidence that is made by the lawyer for the defendant (or the defendant personally if the defendant is not represented by a lawyer), because no reasonable judge could have found that the evidence was admissible under the circumstances, then the appellate court rules that the judge has made an "error". The appellate court will not find that the judge's ruling is an "error" if the judge made the correct decision for the wrong reason. If it is reasonably possible that "error" possibly in combination with other errors made by the trial court judge could have caused a convicted criminal defendant to have been acquitted by the jury if the errors weren't made by the judge, then the defendant gets a new trial. The new trial usually before the same judge with a new jury. But the new trial is before a different judge and a new jury if the judge is no longer a judge on the court for any reason, or if the judge has been so defiant of the appellate court (typically ignoring its instructions in a retrial after a first appeal) that the appellate court decides it must remove the judge from the case. A criminal defendant is only acquitted by an appellate court if the appellate court finds that it would be impossible under any circumstances for the defendant to be convicted in a new trial, possibly with different evidence presented by the prosecution. What happens if a private citizen does the above? This doesn't make sense. Private citizens don't rule on the admissibility of evidence in a criminal trial, and can't introduce evidence in a criminal trial except at the request of a prosecuting attorney or defendant's attorney by being called as a witness and asking the questions that the lawyers (and sometimes the judge as well) asks the witness. Witnesses are not allowed to volunteer testimony or provide documents to a jury unless asked to do so by a lawyer in the case. What happens if someone provides evidence in court without the knowledge of the judge? As the process described above should make clear, this is basically impossible absent some extremely irregular event on the same level of irregularity as someone bribing a jury or threatening a jury with harm if he votes the wrong way.
Is it legal for a bank to discriminate against someone by the services they offer based upon their marital status? A bank is charging me this kind of fee: The fee is $0 if you have over a certain amount, or if you have $500 going in through a direct deposit each month. I don't meet these requirements, so I don't qualify for the $0 fee. (Paraphrased from clarifying comment) Is this discrimination based on marital status? If so, is that legal?
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.
The fact that the terms and conditions do not mention the word "disable" is significant, but not in the way you seem to think. You state: "...the merchant's T&C which does not explicitly allow the merchant to charge a fee for a disabled account". However, this doesn't mean that the merchant needs to explicitly state that they may. What it actually means is that the merchant does not recognize the term "disable" in the context of terminating the service contract. (Did they use stop, terminate, delete, eliminate, fall into disuse, log off, etc. or any other similar expressions?) You haven't defined what "disable" means, but perhaps it is more like a "pause" in service for which payment is still required? (Like having the post office hold your mail vs terminating all deliveries.) What you need to do is to read the section of the T&Cs that deals with terminating service and payment, understand what is required, and execute the procedures they describe. Whatever words they use, do that. If you have done all the steps and can prove it then you have a case against them, otherwise you are arguing semantics and interpretation... As to the title question, it does not appear that any "law" has been broken, this is just a contractual misunderstanding. P.S. This is the reason why I always set up payments through my bank to "push" money to vendors rather than authorizing them to "pull" money from me. When I am done I notify them and stop paying. I don't need to ask them to please stop taking it from me.
No They will list the price they are charging you. This will normally be greater than what they paid because that’s how business works. The amount they are allowed to charge is what you agreed in your contract with them (which may incorporate a price list) or, if the contract is silent, a reasonable amount. What is reasonable will be related to what the market in your geographical area charges. While this is indirectly related to the input cost of a given item, business can and do charge what the market allows.
None First, only cash transactions are reportable: electronic and cheque transactions aren't. The only ones that will be reported are your single withdrawal and deposit. As you say $10,000 is not a lot of money. What law enforcement is looking for a people who frequently have large cash transactions: they use data matching algorithms to identify these people. Your single transaction will not be noticed.
In the US, there are separate regulations pertaining to different forms of discrimination for employment, thus there is no one-size answer. For sex, 29 CFR 1604.7 states: A pre-employment inquiry may ask “Male........., Female.........”; or “Mr. Mrs. Miss,” provided that the inquiry is made in good faith for a nondiscriminatory purpose. Any pre-employment inquiry in connection with prospective employment which expresses directly or indirectly any limitation, specification, or discrimination as to sex shall be unlawful unless based upon a bona fide occupational qualification. Let us take it for granted that sex is not a bona fide occupational qualification for an academic position. Thus the question is lawful only if there is a legal underlying interest. Suppose the question were "As a man, would you be able to able to effectively empathize with your nursing students?": this does not serve a legally allowed purpose, and only serves to indirectly restate a sexually discriminatory premise. This University of New Hampshire guidelines pages summarizes the basic interview prohibitions succinctly. Notice that the language of the regulation is stated purely in terms of the existence of such an inquiry – it does not restrict such inquiries "as made by the CEO", or "as made by the hiring committee". It simply says that such an inquiry is not to exist. It is thus the university's obligation to assure that all administrators, faculty members, graduate students, undergraduates, staff members, and members of the general public who are allowed to participate in pre-hiring interviews know what kinds of questions are legal versus illegal.
The Company is performing wage theft I have never heard of a wage method that pays a salary according to hours but doens't pay for hours over 40. Monthly Salary, by definition, is paid regardless of hours. Your contract doesn't give hours, it just gives a monthly total. That's a contract, and you should be paid according to the contract. In terms of fairness, it certainly isn't right to dock pay for weeks you worked less than 40 but not give you credit for weeks you wored more than 40. Now, it's not clear if you moved to direct employment for the second month. If you did, the first month would be a contract violation, and the second would be a violation of wage & labor law. A company can't pay you salary as an exempt (exempt from hourly wage laws, like management) employee and also dock you pay according to hours worked. So what can you do? If you are still a contractor and actually want the job, not much more than arguing with payroll. Since you (why?) decided to be a contractor instead of a direct hire, you have exactly zero protections to getting let go. If you are a direct employee, you have protections from bringing action about being paid fairly, though your long-term prospects there would be problematic if you have to take the company to task using the government. Any HR rep should know all of the above. But never just go to HR without talking to your manager first. Remember that HR works for management, and working against your manager is generally a bad career move.
Is it legal to retaliate against an employee who answered falsely when asked an illegal question? It depends. It is important to ensure we understand the distinction between (1) questions which are illegal in and of themselves, and (2) the illegality of hiring, discharging, or failing to hire based on a candidate's/employee's answer(s) or attributes. You yourself might have been aware of the difference beforehand, but your question is a good occasion for clarifying a general misconception. In instances of the first category, it would certainly be illegal to retaliate against the employee insofar as the falsehood is traceable to the employer's violation of the law. Examples of this category are sections 432.3(b) ("An employer shall not [...] seek salary history information, including compensation and benefits, about an applicant for employment") and 432.7 ("An employer [...] shall not ask an applicant for employment to disclose, through any written form or verbally, information concerning an arrest or detention that did not result in conviction") of the California Labor code. Scenarios of the latter category are more intricate, since an employer might prove that his decision to discharge the employee falls outside of conduct sanctioned by statute. For instance, 42 USC § 2000e-2(k)(1)(A)(ii) does not outlaw --at least at a federal level-- questions about the individual's protected categories (such as sex, religion, or national origin). It only outlaws the decision making that is influenced by the protected categories which are the subject matter of the interview questions. The example you gave ("what would your husband do if you got this job?") serves to illustrate the difference, putting aside that questions of that sort might be intended to indirectly ascertain the candidate's marital status. Let's assume that the employer seeks to hire a waitress, and that the jurisdiction at issue outlaws discrimination on the basis of employee's marital status but not the questions about it. The employer has a cognizable interest to avoid employing any waitress whose husband is an overly jealous person with propensity to attack male clients. The waitress's lie when answering that question (for instance, by fraudulently representing that she is single or that her husband is ok with her employment as waitress there) contravenes the employer's legitimate interest to protect its clients. In that context, the employer's discovery that the employee lied during the interview gives reasonable grounds for discharging that employee. After all, the employee's intentional misrepresentation only strengthens the employer's suspicion of being at greater risk (of liability toward clients) than the employee is willing to admit. For the employer to prevail at law, it would need to be proved that the reason for discharging the female employee was not her marital status itself, but the employee's concealment of a risk that is a matter of employer's lawful concern.
The question does not say what reasons the other party gives for not paying, and so one cannot judge whether such reason is covered by the terms quoted in the question. In general a contract need not be highly specific if the intent is clear. However, any ambiguity will usually be resolved against the party who wrote the contract, so it is in that party's interest to be as clear and specific as possible. It is not clear from the quoted terms that they form a contract at all. No consideration is stated. Contractual provisions which deny all recourse are not always enforceable. They may be overruled by law or regulation, or by prior court decision or by an equitable decision. If there is a serious problem with the service provided, particularly in a consumer transaction, a court might reject a provision denying all refunds even if it is quite specific and clear. The question does not list the jurisdiction (country and, for federal countries, state or province). Laws on contracts and enforceable terms vary significantly in different jurisdictions. Without this a specific answer is not possible.
Company assets and minority share holders The majority share holder of this company allowed assets (land) to be auctioned off for non payment of municipal taxes through a deliberate scheme to escape paying profits to the minority share holders. One year later the land was repurchased from the buyer(his friend, with whom he arranged the whole thing) and placed the asset in his name. The minority share holders of this company are left with worthless shares totaling 48% of the company shares.They were kept in the dark about the whole thing and now want the $ value of their shares with the profits this man has gone on to make following several real estate transactions. Two questions: Is there a real chance of making a successful $ claim ? and was what the majority share holder do considered fraud by law in the province of Quebec? The company was formed in 1988 in Quebec.
What you describe is forbidden by corporate law in every jurisdiction with which I'm familiar. I don't know the law in Quebec, but in principle: An entity in control of a corporation can't use that control to unjustly enrich himself at the expense of other shareholders. (If he does so through deceit then he is committing the common law tort of fraud, and quite likely a criminal offense.) A trustee or fiduciary that uses his control of assets to enrich himself at the expense of those to whom he owes a duty (e.g., minority shareholders) is guilty of various statutory offenses, among which may be "Breach of Fiduciary Duty" and "Fraudulent transfer." Sales of corporate assets in general must be done through an "arms-length" mechanism. If they are being auctioned off, and the auction isn't open, so that an insider is able to purchase them below "fair market value," then, once again, a fraud has been committed. The grading and remedies vary by jurisdiction. Of course, whether it's worth pursuing a remedy through legal action depends (as always) on: the amount at stake, the cost of pursuing the remedy, statutory allowances for punitive damages, the likelihood and cost of collecting on any judgement won. Only a lawyer familiar with the jurisdiction, the complaint, and the corporation's governing documents could help you answer that question.
It is not uncommon for a company to issue additional shares to shareholders instead of paying a cash dividend. This is known as a "stock dividend". Such payment may (less commonly) be in shares of another, often related, company. If that is the source of the stock in question there is nothing illegal about it. Your broker should have a record of your transactions and whether any stock came from a stock dividend or some other source. Accordion to the Investopedia article on "Stock Dividend": Also known as a "scrip dividend," a stock dividend is a distribution of shares to existing shareholders in lieu of a cash dividend. This type of dividend may be made when a company wants to reward its investors but doesn't have the spare cash or wants to preserve its cash for other investments. Stock dividends have a tax advantage for the investor. The share dividend, like any stock share, is not taxed until the investor sells it unless the company offers the option of taking the dividend as cash or in stock. A stock dividend may require that the newly received shares are not to be sold for a certain period of time. This holding period on a stock dividend typically begins the day after it is purchased. Understanding the holding period is important for determining qualified dividend tax treatment. The Wikip[edia article "Dividend" says: Stock or scrip dividends are those paid out in the form of additional shares of the issuing corporation, or another corporation (such as its subsidiary corporation). They are usually issued in proportion to shares owned (for example, for every 100 shares of stock owned, a 5% stock dividend will yield 5 extra shares). (emphasis added) So dividends payed in the stock of another company are perfectly possible, although less common.
The brother is under no obligation to buy, the sister is under no obligation to sell. As co-owners they each enjoy the right to use the property; that the sister chooses not to does not change the brother's right. If the property is owned as tenants in common (the most likely arrangement), the sister can sell or lease her share to whoever she likes without the brother's consent. She could even extend an invitation to an outlaw motor cycle gang to be house guests. If it is a joint tenancy, there is no sister's "share"; the siblings own the whole property as an indivisible whole. In that case both must agree to any dealings.
Yes, they are. A business can decide not to do business with someone for pretty much any reason. The obvious prohibited reason is due to your race. But I don't see how eBay would even know your race. Some State laws might protect you, but I don't think there's any that applies in this case. For example, California might give you a means of appeal if someone stole your identity and they performed those transactions, not you. But I don't know of any Federal or State law that would change the very, very basic principle of law that a property owner gets to decide who can and cannot access their property. eBay owns eBay. One key benefit of ownership is precisely that you can make decisions that other people consider to be unfair, discriminatory (other than the specifically prohibited categories) and draconian. Other people don't have to agree with your decisions for them to be lawful.
New Jersey is not a community property state, but it is an equitable distribution state. This means that in a divorce marital property is divided, not automatically 50-50, but in a way that seems financially fair to the supervising judge, or according to an agreement entered into by both spouses. This also means that the state considers a car bought during the course of the marriage "marital property". There are also special rules for property bought before May 28 1980, which do not seem to apply in the case in the question. However, "marital property" mostly applies when a marriage ends which the question says is not in view here. NJ does allow for a car to be titled to only one, or to both. A title with both names may read "John Doe OR Mary Doe" or "John Doe AND Mary Doe". In the AND case both spouses must sign to sell or borrow against the car, in the OR case either signature will do. If only one name is on the title, that person must sign to sell or borrow. If it comes down to a dispute, the person whose name is on the title can decide where it is to be garaged, and who has permission to drive it. If the "sporty" car is in the name of both parents, either could move it to some other location, and either could move it back. Going back and forth could easily get ugly. If both names are on the 'sporty' car's title with an OR, the husband could sell it without consulting the wife. if there is an AND he would need her to agree. If the older car is in the husband's name alone, he could deny the wife or the son the right to drive it. The wife could, of course, buy a different older (used) car and allow the son to use it. Obviously it would be a good idea if the husband and wife came to a voluntary agreement about all this, but no law requires them to do so.
Of course it doesn't work. You haven't discovered an end-around to property ownership I gave someone a car and want it back (they refuse) You no longer own this car. It is now titled in their name. Your interest in the car is now exactly zero whether or not they paid for it. I use a shell company to buy my own debt Okay. This has nothing to do with the car. You're now out of the cash it took you to set up this new entity. How are you doing this? I assume it means paying off your creditors with money you already have. You will also have to come up with some type of bogus documents that explain to the future court why this was even done. If you have the money, why do you have debt? My shell company sues me for conveying the car to conceal it from creditors Um, Ok. Now you're also out filing fees. Let's assume you know how to do this without paying an attorney to do it for you. I settle Makes sense, since you're suing yourself. The shell company now gets a court order to seize the car Seize the car how? This is a stretch. A judgement would be against you for the value of the car. You can't settle a lawsuit using assets you do not own. A court won't order something repossessed because of an unrelated squirrelly lawsuit. An exception would be a bankruptcy court that rules the item was sold or disposed of outside the court's orders. I would expect an astute court to hit you with contempt or sanctions for trying to use it to further your interests with some sort of end-around to property ownership. Expect more fees for this use of the court's time. The shell seizes the car No. Now I have the car back No.
A bankrupt company's assets are transferred to its creditors. This includes intangible assets such as trademarks, copyrights, and other intellectual property. Whoever ends up with the rights to the game can continue to market and distribute it, or use legal means to prevent others from doing so.
Canadian law defines "theft" thus: Every one commits theft who fraudulently and without colour of right takes, or fraudulently and without colour of right converts to his use or to the use of another person, anything, whether animate or inanimate, with intent (to deprive the owner, pledge as security, mess it up) In this case, you accepted what seemed to be an offer of a free pizza, so if you took and consumed the pizza you did so with a colorable claim of right and without fraud. Perhaps you misunderstood, but it is not a crime to misunderstand another person's intent. They could sue you for the cost of the pizza (assuming that you took it and did not pay), in which case the question would be whether whatever they said to you could reasonably be interpreted as an offer of a free pizza (if not, pay for the pizza). As an advertising stunt, this would not be unusual. However, if they fix the pizza but then demand money before handing over the pizza, you now know that you have no right to the pizza (if you abscond with the pizza in that circumstance, it would be theft). You may of course pay for the pizza, but you can also not pay and not take the pizza. Again, they could sue you, and in this case your defense would be that there was no contract (no agreement). An important question would be how reasonable it is to believe that you were offered a free pizza. People are offered "free" steak dinners all the time (at the cost of sitting through a sales pitch), so that is a reasonable belief. If a Lexus yacht salesman appears to be offering you a free $5M yacht, it is not reasonable to think that this is an ordinary advertising stunt, if you're not a celebrity.
What branch of government is responsible for the voting system? Specifically, what branch of the federal government would need to be involved most to change the presidential voting system from its current electoral college, first-pass-the-post model to a popular instant-runoff voting model? And what is the best course of action for an individual to take to make that happen (short of befriending a billionaire or running for office)?
Since electors are in fact free to vote for whoever they want (though don't usually deviate from their assignment), the branch of federal government that would be most involved is Congress. A constitutional amendment would be required, to repeal Article II Section 1 Clauses 2 and 4 and the 12th Amendment (i.e. eliminate electors entirely), and substitute a different method. Most of the work would be done by the states, in ratifying the amendment. [Addendum] It is true that it is constitutional to require a pledge of faithfulness (Ray v. Blair 343 U.S. 214). A bit over half of the states have laws requiring 'faithful voting', though the laws have not been enforced. Washington RCW 29A.56.320 may be typical, in that the law simply says "thou shall" with no mechanism for enforcement. Even with strict enforcement such as class X felony penalties, this cannot implement IRV. The number of electors is not proportional to population (there is the "plus 2 for senators" factor), and various other reasons why state-based electors cannot be morphed into an IRV-like system.
Once a person is sworn in as POTUS, there are only two legal mechanisms for involuntary removal of that person from the office: Article II Section 4 of the U.S. Constitution provides only that: The President ... shall be removed from office on impeachment for, and conviction of, treason, bribery, or other high crimes and misdemeanors. The 25th Amendment was passed to establish clear procedures of official succession. Its Section 4 also provides an elaborate mechanism whereby "the Vice President and a majority of either the principal officers of the executive departments or of such other body as Congress may by law provide" can precipitate a process that would allow Congress, within 21 days, to transfer the office to the Vice President. Otherwise, there is no contemplation in the law of a "backsies" mechanism for removing a person from the office because "it should have gone to someone else." (The idea that a person who was in the designated line of succession, but in the wrong order, was sworn into office does not seem nearly as problematic as other events that have happened in real history. For example, in the 2000 Presidential Election it was conceivable – and some people probably maintain in fact – that the "loser" of the election would be sworn into office. The U.S. Supreme Court settled the legal questions before the inauguration. However, the realization at the time was that any legal challenges or decisions after that date would be moot, because "election error" is not a cause to remove a sitting U.S. President.) The question of a previous President reappearing, and his successor refusing to cede the office, takes us to the height of speculation. In this case I would merely note that I can find no law pertaining to Presidential Transition in which an outgoing President is "stripped of authority" or "removed from office." Rather, the acting POTUS is effectively the most recent person sworn to the office, and not removed from it.
To start, for this hypothetical to happen, a whole bunch of decisions contrary to sanity have to happen: The Vice President and President Pro Tempore do not invoke the 25th Amendment to temporarily remove the President from office Congress does not issue Articles of Impeachment The President does not pardon himself The District Attorney decides to prosecute the sitting President rather than waiting for his term to be over There are probably more I'm missing. With that out of the way, in theory there's no law that says a President cannot serve while in prison, and simply being a felon does not disqualify him from the Presidency. The judge might order that while he was still serving as President, he serve his time under house arrest - he'd constantly be surrounded by police officers, so it would be pretty difficult for him to run, and it would keep him as as able as possible to keep performing the official functions of the office. The judge could also just defer his sentence. Putting him in regular prison would have serious national security implications, both in terms of protecting his person and in allowing him to effectively serve as Commander-in-Chief, so the government could probably make a compelling case against putting a sitting President in prison. According to this Senate Report, the President will also continue to receive Secret Service protection once he leaves office, so long as he is not removed by Impeachment. There doesn't seem to be a provision against that protection if the President is in prison, so the Secret Service would be obliged to find a way to protect him while he is in prison. Most likely this would mean he would be put in an isolated prison wing, possibly with Secret Service protecting his section.
Generally not. Federal court uses a principle known as the enrolled bill rule -- in deference to the coequal status of the three branches of government, the "enrolled bill" (the thing printed on fancy paper that actually went to the President for signature) is irrebuttable evidence that the law was properly passed. The courts cannot deal with inquiries into whether legislative process was followed; it's the legislature's job to decide what the right process is. They can't even look into whether the same text passed both houses -- as a matter of law, the enrolled bill is conclusive evidence that it did. Senate rules are enforceable in the Senate. But the Senate is the body in charge of enforcing them, not the courts.
They Can The Senate re-adopts its rules every two years, often with minor changes, sometimes with major changes. But the Senate can, by vote, change its rules at any time. This could include a change back to a previous rule. I should mention that the previous rule did not strictly require a super-majority vote. The senate has a rule that any senator who wishes to do so may hold up a vote on any measure by stating that s/he intends to continue debate on it. It then takes a super-majority of 60 votes to "close debate". But there is no requirement that any senator do this, and if none does, a simple majority will prevail. Holding things up in this way is known as a "filibuster" for historical reasons. The Senate rules do not permit some measures to be filibustered. A few years ago, a then Republican majority changed the rules so that Supreme Court nominations could not be filibustered. Some are now suggesting that the rules should be changed further to eliminate or significantly modify the filibuster. If this was done, any future Senate could choose to change them back. Whether they would do so, is a political question.
Copyright Prominent at the bottom of the page is: © RealClearPolitics 2015 This is nice because it tells you who you have to approach for a licence. If it wasn't there the material would still be copyright you just wouldn't know who owned the copyright. Questions So: If I'm looking to build an app or write a book and I wish to use statistics, am I allowed to basically use their numbers as long as I cite where it is coming from? No, unless what you do constitutes fair use and I don't think it does. If I do make a profit from it, do I owe any royalties to the original scientists/surveyers? No, but you would owe whatever licence fee you negotiated with the copyright holder, ostensibly RealClearPolitics. Must I ask them for permission? Yes, unless you are OK with running the risk of being sued. Commentary I see books reference hundreds of studies all the time This is because they are generally protected by Academic Fair Use public polls should be open information to everyone The only public poll that I know of is an election and that information is available. What you are looking at is a private poll commissioned by and paid for by RealClearPolitics and it is their intellectual property; why should that "be open information to everyone"? commercial interests may be legally entangling Always
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.
Both Congress and the state legislatures are expressly forbidden by the Constitution from passing bills of attainder. That means neither can ever pass a law that names an individual and says "they are suspended." It is so important that it's one of the very few restrictions on government that the original Constitution (before any amendments) prohibited in bot state and federal governments. (Also, a "bill" is not a law. It's what a legislature is considering making a law.)
Is OCRed text automatically copyright? If someone puts out an OCR of a scan of a Public Domain work, is that OCR under copyright? On one hand, one may consider that "creative work", on the other hand, the "creative work" (the resultant text) is in Public Domain!
For copyright to subsist in a work, it must be "original". 17 USC 102: Copyright protection subsists, in accordance with this title, in original works of authorship... Or, in Canada, Copyright Act §5: Subject to this Act, copyright shall subsist in Canada, for the term hereinafter mentioned, in every original literary, dramatic, musical and artistic work... In the US, the test for "originality" is given in Feist Pubs., Inc. v. Rural Tel. Svc. Co., Inc. 499 U.S. 340 (1991): The constitutional requirement necessitates independent creation plus a modicum of creativity. In Canada, the test for "originality" is given in CCH Canadian Ltd. v. Law Society of Upper Canada, [2004] 1 S.C.R. 339, 2004 SCC 13: [A]n original work must be the product of an author’s exercise of skill and judgment. The exercise of skill and judgment required to produce the work must not be so trivial that it could be characterized as a purely mechanical exercise. The OCR process exhibits no modicum of creativity and is not an exercise of skill and judgement. It can be characterized as a purely mechanical exercise. Merely OCR-ing text does not create an original work in which copyright can subsist.
No. You can’t steal their test questions and claim you “came up with them yourselves.” That’s copyright infringement. The ownership of a copyright does not depend on whether the copyrighted material is published or not. The creator of the material owns the copyright the moment they create it.[1] http://www.legal-sherpa.com/legal-sherpa-school/blog/copyright-ownership Copyright ownership is instantaneous, when a work is created and it is in fixed form its author immediately becomes the copyright owner and is afforded copyright protection. Read more here.
From your question(s), as well as your various comments, I understand you to have two general inquiries: 1. Is there any infringement of copyright laws if you use things like the titles of books, games, apps, names, address (and any other number of things) which you will then put into datasets that will be licensed for proprietary commercial purposes? You may freely put titles, names of people, places or things into datasets without fear that you are infringing on copyright or any other laws. That is clear. Copyright law does not protect names, titles, short phrases or expressions. Even if a name, title, or short phrase is novel or distinctive it cannot be protected by copyright. So, there is no point in discussing the doctrine of fair use in this context, because Fair Use is a defense, or a legal safe harbor that is merely an exception to copyright infringement allowing people to use a copyrighted works under specific circumstances. As I understand your intended endeavor, you will not be infringing on any copyrights to the extent that you are merely using factual data, like names of copyrighted things for the purpose of creating a dataset or an application to help access it. This is why I say you need not concern yourself with the test for Fair Use with regard to this issue. The Copyright Office states clearly, despite what people may think, that there are no exclusive rights in brief combinations of words such as: • Names of products or services • Names of businesses, organizations, or groups (including the names of performing groups) • Pseudonyms of individuals (including pen or stage names) • Titles of works • Catchwords, catchphrases, mottoes, slogans, or short advertising expressions • Listings of ingredients, as in recipes, labels, or formulas. When a recipe or formula is accompanied by an explanation or directions, the text directions may be copyrightable, but the recipe or formula itself remains uncopyrightable. Hence, these things are not registrable under a copyright. While something may be potentially attached to or included in copyrighted material, is not in and of itself subject to the protections of these laws. If it (whatever it is) cannot be registered for a copyright, it is not copyrightable. Because copyright registration/notices have been optional since 1989, when the U.S. attached itself to the Berne Convention, whereby copyright protection is automatic as soon as a work is “fixed in a tangible medium of expression” (written down, recorded, painted, etc.) it’s protected. No notice is required. Registration only becomes required for litigation or enforcement purposes. But this is really extraneous to your inquiry anyway, as far as it applies to the actual data. When you get into copying whole databases for your purpose, that analysis is different. 2. You want to "scrub" the internet for information that you intend to put into your proprietary datasets and use for commercial purposes, some or most of which is already in a database or some organized form, and you want to know if there is some sort of copyright or duty owned to the person who originally databased the materials? Since ideas, procedures, principles, discoveries, and devices are all specifically excluded from copyright protection, if you want to compile this type of information from the internet for the purpose of creating datasets, or searchable databases, this is permissible. That said, there are protections for existing databases under copyright law, provided under the concept of a "compilation copyright". A compilation copyright protects the collection and creative assembling of data or other materials. Compilation copyrights protect the collection and assembling of data or other materials, such that databases are generally protected by copyright law as compilations. Under the Copyright Act, a compilation is defined as a "collection and assembling of preexisting materials or of data that are selected in such a way that the resulting work as a whole constitutes an original work of authorship." 17. U.S.C. § 101. The preexisting materials or data may be protected by copyright since the selections of materials and the form they take in an existing database may be original enough to be subject to a copyright. However, the data itself is merely information and is not protectable. The Copyright Act specifically states that the copyright in a compilation extends only to the compilation itself, and not to the underlying materials or data. 17 U.S.C. § 103(b). As a result, "compilation copyrights" can't be used to place protection upon those things that are otherwise not protectable. In the case of Feist Publications, Inc. v. Rural Telephone Service Company, Inc., the U.S. Supreme Court ruled that a compilation work such as a database must contain a minimum level of creativity in order to be protectable under the Copyright Act. Feist makes clear that even a copyright protected database does not hold the right to prevent an individual from extracting factual data from the database (so long as you're not copying the entire database as a whole). If you take an already compiled and copyrighted dataset in its entirety, you must obtain a license for its use. However, if you are merely amassing great amounts of data to then put into your own dataset, that you are free to do. The big issue will be (and you seem to realize this) where you will amass this data from. Some websites have specific licenses in place that say you cannot use or rework their content. However, many times these websites simply throw these license requirements out there for users to see, despite the fact that they may not be (and some would argue) are not enforceable. The courts have heard arguments that "contracts" (the end-user licenses) that protect databases and information on websites is beyond the protection available through copyright law should be "preempted" by the Copyright Act itself. The preemption argument goes like this: Federal law controlling something that is subject to interstate commerce or use, should be controlled by the federal laws. So,since the federal government has enacted the Copyright Act to govern any protections to any original works, states should be (arguably are) prohibited from having contradictory laws. Because of the ability of a federal statute to preempt state law, and the fact that the Copyright Act at 17 U.S.C. § 301 sets forth specific preemptions, no state may create rights that are equivalent to any of the exclusive rights provided under the Act. It is this concept of preemption that prevents copyright protection from varying depending upon the state where a work of authorship is created. Arguably, the same is true for the internet, and supposed contractual relationship created through licenses that dictates how non-copyrightable material may be used. In the case of ProCD, Incorporated v. Matthew Zeidenberg and Silken Mountain Web Services, Inc. the court examined whether an end-user of a CD ROM phone database was subject to the license, when they extracted a large portion of the database and made it available over the Internet. The database was almost the same as the type of data in the Feist case-The lower court rejected all copyright claims and found that the shrinkwrap license that controlled the end user's right to use the data was both unenforceable (as a shrink wrap license) and preempted by the Copyright Act. As a result, there was no relief available to the creator of the phone database and the end-user was free to extract the data and use it as he saw fit. However, on appeal this decision was reversed (7th circuit). The appellate court did acknowledge that the database (on the CD) was not original enough to be protected by copyright (finding no copyright infringement by the end-user); However, they did find the end-user was breach of contract, since the shrink-wrap license prohibited the end-user's conduct. What this tells us is that these licenses (on websites) may or may not be enforceable. While the 7th Circuit found a contract right pursuant to the license, despite the preemption argument, another appellate court that is more liberal may find otherwise. Also, this was a disk, not the internet, which is the "wild west" of information, largely unregulated and unlitigated as it pertains to the legality and enforceability of (some) regulations that do exist. License agreements for site use on the internet are everywhere. If you take a database from some site that has a license saying you cannot take their work and add to it, or whatever, and you do add it to other databases that are not licensed and then make your own dataset - chances are you are NOT going to be infringing on anyone's copyright. That said, you may be in breach of contract (the license) if they find out about it, and sue you (using it doesn't put you in breach; only getting sued and having a court determine you're in breach puts you in breach. It may be a distinction worth contemplation, but that is up to you). The safest, bet would be to get a license from them to rework the materials. If the material is generic enough, and will be changed enough, that you are creating your own new (copyrightable) work - I'm not sure how they would know you "scrubbed the data in contravention of their license agreement ( I have NO CLUE if there is coding or metadata attached to it such that it's identifiable in that way. I have not tech background and do not endorse taking what's not yours). But if they can and do know, they could cause problems for you. Lastly, I will just say that the internet is littered with sites that claim copyrights, or impose unenforceable licenses on material that is ripe for public use. Just because it says it's theirs does not make it so. The inverse is also true. Just because a site does not claim copyright to something, does not mean it is in the public domain. I would recommend either sticking to public domain/use sites for your scrubbing endeavors, or seeking permissions from the sites who impose licensing requirements. Short of that, I would recommend (as I already have) seeking an formal legal opinion to say that you are not imposing on anyone's copyrights (this could only be done once you showed an attorney every place you took material from, as well as what the material is), and that the licenses from sites with generalized information that may try to limit use, are unenforceable. I would do this before you invest a lot of time or money into something that is largely based on the accumulation of other peoples work product. I wish there was an answer certain, but there just isn't without seeing everything in the end.
The government's position is that material in the patent documents is generally in the public domain See Public Domain Copyright Trademark & Patent Information Schedule: As part of the terms of granting the patent to the inventor, patents are published into the public domain. And slightly more specific, see Terms of Use for USPTO websites: Patents: Subject to limited exceptions reflected in 37 CFR 1.71(d) & (e) and 1.84(s), the text and drawings of a patent are typically not subject to copyright restrictions. 1.71(d) allows for the patent author to specifically indicate that some of the material is protected by copyright. But that position has not actually been tested in courts However, there is no actual statute explicitly exempting material in the patent documents from copyright nor any case law holding that in the absence of a notice, the material in fact becomes public domain. See Alderucci, "The surprising consequences of exempting patents from copyright protection (2016), at p. 13 and footnote 62.
The creator of the derivative work has copyright in the derivative work. The copyright would protect only the new elements of the derivative work. Wikipedia is a good place to start. In the case of a book with updated grammar, depending on the extent of the changes, it would probably be easier to copy the original directly than to eliminate the updates from a copy of the derivative work.
German perspective: In German law, there is the concept of Schöpfungshöhe (threshold of originality), which is required for authorship rights (Urheberrecht) to apply to a work. Basically, the idea is that a minimum of creativity is required for something to be protected. However, that bar is rather low. Thus, for example: Literary works are protected practically always. Maps are generally protected, even though you might argue they "slavishly copy nature", because the act of choosing what to show and what not is already creative. However, a faithful photographic reproduction of a painting is not eligible for Urheberrecht to apply (LG Berlin, AZ 15 O 428/15) So yes, a "slavish copy" of a work would not qualify for protection if there is no creativity involved. Note, however, that other types of protection apart from Urheberrecht might apply, such as Sui generis database right.
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.
If you create a new work that is derived from or based on someone else's work, it is a derivative work, and you cannot do so without permission from the original copyright holder. If the original work is made available under a CC-BY_SA 4.0 license, you have permission, but it comes with conditions. One of those is that you must attribute the original work -- you must say what work yours is based on and who created it. Another is that you must license your own derived work under the same CC-BY-SA license (or a compatible one). This does not mean that your work is not copyrighted -- it is. But it does mean that you must grant to others the same rights that the creator of the work you used granted to you. That is what the "share alike" or SA part of the license means. if you don't like that, you should not use a work licensed under CC-BY-SA terms to create your own work. If you publish your work but fail to grant that license to others, you are infringing the copyright of the work you used, and could be sued. Note that if you had created a compilation rather than a derived work -- for example if you created an album of images from various sources, some of them under CC-BY-SA licenses, you would retain a copyright on the collection as a whole, and that would not have to be under CC-BY-SA. But in this case you say that you used the other person's image as a background for your own illustration. That is creating an "adapted" or derivative work, i am fairly sure, and invokes the share alike clause of the license. You might also want to consider the different case mentioned in If I include an unmodified CC-BY-SA work in a book, does the whole book have to be CC-BY-SA?
Is the IRS required to give notice of intent to levy prior to levy? I fear this is an XY problem, but I've got to start somewhere. Can the IRS place a levy on whatever they want including money due to me from customers without any notice of an intent to levy? I had received a letter from the IRS stating that I had until 6/12/2016 to respond to a 940/941 that wasn't filed and then I got a whole packet of accounts they levied on 05/18/2016. If this question is not suitable for SE I apologize. Not sure where to turn right now. The issue is compounded by the fact that the agent isn't returning my calls and the local office he is supposed to be from is indicated as being closed on the irs.gov website as well as a recorded message when calling the number for the office stating the same.
As I understand it, they are required to give notice of an intent to levy. Publication 594 gives their version of what they can do, and how. If you don't want to pay what they claim you owe, you can request a Collection Due Process hearing which means Form 12153. You may receive a CP504 Notice, which seems to be one of two "final notices": it is actually final w.r.t. levying state tax refunds, and is penultimate otherwise. Their page on levying mentions a crucial last stem of sending you a Final Notice of Intent to Levy, which is required according to IRC sections 6330 and 6331 which derives from 26 USC 6330 (most of the notice requirement) and 26 USC 6331. If you get notice CP90 which I think is called Final Notice of Intent to Levy and Notice of Your Right to a Hearing, then, dude, you've been served. There is in fact additional process that they have to do before actually taking, but that as far as I know, is the last part involving notification. Take note of the US Code parts, 26 USC 6330, 6331, because unlike IRS advertising, the US Code states what the law is.
I assume that you arranged a contract with some company which paid the contractor the full amount, and not you have to pay that company. If you stop paying the finance company, they will initiate legal proceedings against you to make good on your obligation, and that won't affect what the contractor does. It might not hurt you to write a formal letter (no phone calls) to the contractor stating that you require them to complete the job by some date certain, and hope that you won't have to take the matter to court. If you decide to write the letter yourself, you want to avoid saying anything that could be held against your interest, for example "I don't care how crappy a job you do, I just want this job done!": you need to be sure that what you say in a letter does not put you at a legal disadvantage. The best way to guarantee that is to hire an attorney to write the letter. If you want your money back (plus interest), you will almost certainly need to hire an attorney to write the letter. It is possible that there is an arbitration clause in your contract, requiring you to settle disputes with the firm Dewey, Cheatham & Howe. In that case, your attorney might not be able to do much for you. There cannot be a clause in a contract that penalizes you simply for hiring an attorney.
My understanding is that the "flow-through" treatment is specifically a tax law concept. The LLC has its own income, which it can use to pay expenses or acquire assets or for whatever other purpose, and such assets become the property of the LLC. It's just that when it comes time to pay taxes, the LLC's net income is taxed as income to the owner. But that does not mean that the LLC's income is treated the same as the owner's income in all other legal contexts.
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.
In all likelihood, the judge's order related to data collection and reselling is not legally enforceable. They weren't parties to the expungement action, so the judge doesn't have jurisdiction over them. And, the First Amendment protects the right to say truthful things pretty absolutely. Arguably, if the sites provided the information without making clear that it might not be current because records were expunged or corrected, there might be a claim for negligent misrepresentation, false light, or even defamation, but I seriously doubt that even those claims would hold up. The language in the order might cause sites to comply out of not legally justified concern, or just a desire to be accurate, even if it is not enforceable. So, it doesn't hurt to bring that information to the attention of such sites and ask them to take down the information. But, when push comes to shove, I very much doubt that you would prevail in court enforcing that order against them. Certainly, if you do nothing, they will do nothing, because they are not psychic and have no idea that the court order related to those records has been entered. Even a valid and enforceable order directed at a party over whom a court has jurisdiction is not effective until the person ordered to comply with it has notice of the order. And, there is no system that gives sites like that notice without you taking action to inform them of an order.
Could I get into legal trouble for this? No. Relax. Your three emails are very unlikely to cause a data privacy professor to feel harassed. Just move on regardless of whether he replies at all. Don't keep sending another email just because the recipient has not replied to your previous one. As for the issue that prompted you to start emailing the professor, what everyone else has told you is correct. And the other email user is unlikely to take court action for something like this. The effort and cost of drafting & filing suit, and then pursuing discovery would dissuade most people unless they are incurring actual losses (which is not the case with your messages). Just move on so that this other user also can move on.
Don't even think of going there. If you refuse to pay taxes with this argument, the IRS will take this as a "frivolous tax return", and give you a fine of up to $5,000. If you are trying to argue that this is illegal, you only make things worse. The IRS gets about 20,000 to 30,000 frivolous tax returns every year, so every argument you could come up with they have heard a dozen times.
In the vast majority of jurisdictions, unpaid property taxes give rise to a lien that runs with the land. So, the new owners have an "in rem" responsibility to pay those taxes that can be collected against them solely by foreclosing on the tax lien and seizing the property if the tax isn't paid. Whether the previous owners also have any responsibility for the unpaid property taxes depends on state law which varies and on the terms of the real estate purchase and sale contract and deed in the transaction. Where I live, the real estate buyer is protected against a surprise tax bill once the sale is done in two main ways. First, the title company provides insurance against unpaid real estate taxes and will deduct any potential unpaid real estate taxes from the funds provided to the seller at closing unless the country treasurer has verified in writing to them that there are no real estate tax arrears for that parcel of property. Second, if the property is conveyed by a warranty deed that does not exclude a warranty that there are no property tax liens in existence for the relevant years, then the buyer has a right to sue the seller for the unpaid back taxes if that warranty turns out not to be true. Almost all sales of real property for full consideration between unrelated parties are carried out by a general warranty deed of this type that doesn't exclude property tax liens except for the current calendar year. If there is no title company involved in the transaction and/or the property is not conveyed by a warranty deed (e.g. it is conveyed by a quitclaim deed), then you could still avoid this risk by checking with the county treasurer to see if any back property taxes are owed on the parcel being sold and getting a certification in writing from the county treasurer of that fact, before agreeing to close on the sale. The title insurance company, or you, if there is no title insurance company, should also check the county real estate records normally maintained by a county clerk or recorder, to confirm that the seller really owns the property sold and that it has not been sold in a tax sale which would eliminate the back tax obligation but which would also mean that the seller no longer owns the property.
In Ohio, what is the speed limit on an on-ramp? One time, on a long, straight, downhill on-ramp to an interstate highway, there was a cop pointing his laser at the cars that were going down the ramp on their way to enter the highway. The speed limit on the highway is 65 mph, while the speed limit on the street that the other end of the ramp is connected to is 35 mph, but no speed is posted on the ramp, however, and the cop seemed to be trying to take advantage of that ambiguity, perhaps trying to punish people for reaching the highway's speed limit too early. So what exactly would the speed limit be on such a ramp?
Typically - in fact - in almost all cases - there are no posted, regulatory speed limits for on- and off- ramps. This article proved interesting. Specifically, Those ramp speed signs, black numerals on a yellow field, are advisory only. They have no force of law. The only regulatory speed signs are the black-on-white speed limits posted on the roadway itself. In other words, if you take a ramp on two wheels, a police officer can ticket you for reckless driving, but if a ramp is posted at 35 mph and you take it at 45 without creating a danger to yourself or others, you can't be ticketed for speeding. The first signs referred to are signs for the advisory speed limit. They look like this: From Wikipedia, listed as an example for highway ramps. . . . "Why don't they just post those speeds on black-and-white signs, I wonder? Then there would be no doubt." We wondered, too, so we asked the DOT that very question. And the answer was, they do it because that's the way it's done all over the country, and the reason it's done all over the country is that ramps are generally considered too short a distance over which to enforce a speed limit.
united-states Speed limits can be enforced by any means (except photo-radar) in most U.S. jurisdictions without notice that it is being used. Those laws are close to being uniform in the U.S. due to federal coordination on federally funded roads, even though state and local laws are what governs them directly. Some U.S. jurisdictions prohibit the issuance of photo-radar speeding tickets without notice before entering the photo-radar picture taking zone. I'd have to research further to see if New York City does. The purpose of the language on the sign is to make drivers more fearful of being caught in circumstances where they don't see someone trying to enforce the law, not to have greater legal effect.
Stop: possibly The standard for initiating a traffic stop is named after Terry v. Ohio, 392 U.S. 1 (1968): Terry stop. The standard is rather simple: Initiating the stop only requires reasonable suspicion. If their computer claims that the driver's license of the car owner is expired or suspended, that is reasonable suspicion to at least stop the car to check if the owner is driving it and if the license really is expired. Arrest: possibly To facilitate an arrest, the next level of scrutiny is needed: probable cause. Generally, there is little requirement on when a police report is to be written, but contemporary reports (at the same time or close to) are typical. Example of rising through the ranks Alice, 16 years old, dent in the fender from a fenderbender. That is not even a warning's worth and does not rise reasonable suspicion. Bob cop's computer still reads the license plate and Bob gets a flashing light: the car owner's license is expired. That is reasonable suspicion that there is an offense if the owner and Alice are the same person. But Bob needs to verify that. The reasonable suspicion can go away if for example the car was owned by Charles, a 60-year-old gentleman, then the suspicion that Alice's license is expired goes away. But the stop in itself was reasonable! Bob starts the ticket after stopping Alice, then passes the car to get to Alice. Looking in he sees that behind Alice lies a box stamped "Top Secret - US President's Eyes Only" all over. Bob arrests Alice for the probable cause of possibly possessing those documents illegally. The documents were in plain sight, so no search was needed btw.
Yes, taping over a speed camera lens would be illegal. The UK common law offense of Perverting the Course of Justice would cover (pun intended) this conduct. Common law offenses are not defined by statute (a law promulgated by Parliament or a local government authority), but instead arise from the history of law as applied by the courts. This secondary source says the offense occurs when one is shown to have: acted or embarked on a course of conduct which has a tendency to and is intended to pervert the course of public justice Other discussions of the offense can be found on Wikipedia, LexisNexis, and many other webpages that may easily be found with a Google search. Here's a recent case where a driver was imprisoned for three months for fitting his car with a radar jammer that prevented the car from being "seen" by the radar installation. Thus, if the police can identify the person who made the speed camera ineffective by blocking the camera's lens, that person would be subject to criminal prosecution and punishment.
Washington state dedicated a section of their code to explicitly make this illegal (to install it, not just use it). RCW 46.37.685(1)(b) says It is unlawful for a person to have an installed license plate flipping device on a vehicle, use technology to flip a license plate on a vehicle, or use technology to change the appearance of a license plate on a vehicle. and it is illegal to sell them. Georgia does not seem to have a specific law on the topic, but the same effect holds under GA Code §40-2-41, which says: Unless otherwise permitted under this chapter, every vehicle required to be registered under this chapter, which is in use upon the highways, shall at all times display the license plate issued to the owner for such vehicle, and the plate shall be fastened to the rear of the vehicle in a position so as not to swing and shall be at all times plainly visible... It shall be the duty of the operator of any vehicle to keep the license plate legible at all times. No license plate shall be covered with any material unless the material is colorless and transparent. No apparatus that obstructs or hinders the clear display and legibility of a license plate shall be attached to the rear of any motor vehicle required to be registered in the state. We can start with the question of whether the vehicle must be registered: yes, it does. Then we can ask if "which is in use upon the highways" is true. This is not obvious, because that clause could be interpreted as meaning "which is at some time or other in use upon the highway", or else as "at those times when it is in use upon the highway". I strongly suspect that the courts would find in favor of the first interpretation, not the second, especially since the law also says that you must "keep the license plate legible at all times" (not "at all times when you are on the highway"). Finally, a plate flipper clearly "hinders the clear display and legibility of a license plate", and the law prohibits the attachment of such device, not just its use. So obscuring your license plate is just not legal.
In most US States (probably all of them) failure to follow the Lawful orders of a police officer is itself a crime, and is grounds for the officer to arrest the person, even if the person had not done anything wrong prior to that. This obviously leads to the question: what orders are lawful? The officer has a pretty broad range of discretion. Ordering a person out of a car, or to roll down a car window, is pretty clearly lawful. Ordering a person to commit a crime would not be lawful. Neither would ordering a person to submit while the officer rapes or robs the individual be lawful. In practice, the officer will usually think that all of his or her commands are lawful, and might feel threatened by any failure to comply. In which case, the officer might shoot. This might not be upheld later if the command was not lawful and/or the officer's fear was not reasonable, but that will do the person shot little good. It is usually wise to comply with any commend, unless it puts you very directly at serious risk. Remember you don't know what else has happed to the officer that day. Has the officer had a fight with his/her spouse that morning? Just been denied a promotion? Been turned down for a mortgage? None of that should matter, legally, but it will affect the officer's attitude, and can lead to escalation, even if the person stopped is in no way at fault. An instruction to "shut up" is probably not going to provoke an officer to shoot if it is disobeyed, but it might help to escalate the situation. It is probably lawful, depending non the exact circumstances. As to the first amendment issues, that would probably come under the 'time, place, or manner" regulations that may be applied to speech. And even if it is not held to be lawful, the time to contest it is in court, not during the stop. If the officer feels safer with the window fully rolled down so that the officer could reach in, that is probably a lawful command.
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.
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.
Is lying about having a degree on a resume criminal? In the Untied States, if someone was caught claiming to have a college degree that they do not have on their resume, could they be criminally charged?
Yes! Some states have laws against it. RCW 9A.60.070, for example, makes it a gross misdemeanor in Washington. (2) A person is guilty of knowingly using a false academic credential if the person ... falsely claims to have a credential issued by an institution of higher education that is accredited by an accrediting association recognized as such by rule of the student achievement council: (a) In a written or oral advertisement or other promotion of a business; or (b) With the intent to: (i) Obtain employment; ... (5) Knowingly using a false academic credential is a gross misdemeanor. If a state does not have a law specific to the issue, it depends on whether the statement is made under penalty of perjury under state law. It is not uncommon to have an employment application that asks for educational information and which you sign under penalty of perjury. In addition, if the employer is a federal agency, for example, or if there is otherwise an argument that the resume is within jurisdiction of a branch of the Federal Government, the crime of making false statements could theoretically be used against a person. In reality, in a state without a law specific to this issue, it is much more likely to be a really bad idea that will tank a person's career than it is to result in a criminal charge. Except perhaps if they do it during an FBI investigation or as part of a security clearance process.
There are a very few government surveys which it is a crime to lie in responding to, most notably, census related surveys. Proving that a representation is false with respect to some questions (e.g. race or nationality) are challenging to prove and the subject of lots of hypothetical discussion. But proving misrepresentation with respect to other matters (e.g. how old you are) could be easy. This kind of survey is probably the only one where there could be criminal consequences. In the context of an employer-employee relationship, proving causation of damages from an inaccurate survey response would be almost impossible as a practical matter, but a proving an instance of lying on a survey could constitute generalized evidence of dishonesty that could constitute grounds (at least in part with other evidence) for denying an unemployment benefits claim or terminating an employee who has civil service protections or who can only be terminated pursuant to an employment contract for cause. A similar analysis could apply if the person lying on the firm sponsored survey was (or was an officer or manager of) an independent contractor or agent or business partner of the firm of some type in a case seeking to terminate that relationship for cause (and possibly triggering liquidated damages under a contract between the parties). In the context of a generalized public opinion survey, at most, the firm asking the survey questions might have a right to sue for any amount that the person was paid to participate in the survey (this would also be true for employer/firm sponsored surveys and while the amount might be small, this dollar amount could be important to showing that there were "some damages" caused by fraud and thus preventing a fraud claim from being dismissed on a motion for summary judgment). Conceivably, taking money to complete a general purpose survey with an intent not to answer truthfully could give rise to a criminal mail or wire fraud claim under federal law, but even then, showing that the matter misrepresented was material in a survey context beyond a reasonable doubt would be hard and the FBI has a non-binding policy of not prosecuting mail and wire fraud cases involving private parties in cases where less than $75,000 is at stake absent extraordinary reasons for doing so.
Generally speaking, no. Assuming your lie did not cause some "legally cognizable harm" -- as in the case of perjury, defamation, fraud -- it is almost certainly protected by the First Amendment. United States v. Alvarez, 567 U.S. 709 (2012).
No. You are a "person of interest" in a criminal investigation based upon a bona fide reasonable suspicion, even though they lack probable cause, and the government has not threatened to say anything that isn't true, so you have no cause of action against the government. You might have a claim against the school or your employer for wrongfully firing you (being a person of interest in an investigation isn't itself unlawful or even a meaningful mark of bad character), but you are probably an "employee at will" and thus may have no recourse against the employer other than to apply for unemployment benefits because you were fired without good cause. Your recourse against the school would depend upon the nature of that relationship.
According to Florida law 454.23: Any person not licensed or otherwise authorized to practice law in this state who practices law in this state or holds himself or herself out to the public as qualified to practice law in this state, or who willfully pretends to be, or willfully takes or uses any name, title, addition, or description implying that he or she is qualified, or recognized by law as qualified, to practice law in this state, commits a felony of the third degree, punishable as provided in s. 775.082, s. 775.083, or s. 775.084. What you propose therefore seems to be a felony. And according to a 2015 survey from the American Bar Association, Florida had the highest budget in the nation for prosecuting unauthorized practice of law - $1.8 million. So this seems like a very bad idea.
Your confessions, to anyone, can be used against you. If A admits to B that A stole the car, B can testify to what A said. In fact, if B accuses A of a crime and A says nothing (and C witnesses this), C can testify as to what B and A said (or didn't say) – this is known as an adoptive admission, and it is up to the jury to decide if they think the silence is significant. Recordings are likewise admissible. All evidence is in principle defeasible, so if there is a video of "you" committing a crime, you can make the case that it wasn't really you, and the jury will weigh the evidence to see if they are firmly convinced that you did commit the crime (at least in New Jersey... long story about 'burden of proof').
Expungement rules and effects vary greatly by state. Good reading on the question can be had here, with notable exceptions to expungement here. Of particular relevance to this question: In some states, individuals who want to work as public school teachers, corrections guards, or police officers should expect that their employers will have access to expunged records. Agencies reviewing applications for professional licenses, including law, pharmacy, or medicine, may also have access. Even in the most favorable circumstances an expungement can't destroy or seal non-government records. For example, if a newspaper reported on a charge or conviction there is no way to eliminate that public record. The mechanics of expungement can also break down. For example, in Pennsylvania it's up to the applicant for expungement to list all the government agencies and entities on which the Order for Expungement should be served. If they forget or aren't aware of some agency that has records covered by the expungement then those records won't be destroyed. (Though if they are later discovered the Order can be served on them and they are still required to comply.)
From the sound of it, you have stated that you gained access to school data, possibly including private information about other students, professors, schedules, grades, disciplinary information, financial tuition or salary info, etc., that you were not authorized to have. The question of whether it was properly secured is rather beside the point. The school will now need to know the precise scope of your snooping: whether you were able to modify any information (i.e. change grades), what purpose to your snooping, etc.
Google Translate Voice/Speech used for Youtube Tutorials (TTS) I have made a video tutorial using Google Translates Voice/Speech-functionality to explain what the user should do. It works really good compered to other free open-sorce programs I have used. Can I upload this to Youtube without legal consequences? I am counting on earning a few bucks on the video so it's commerical use.
The Google terms of service do not prohibit using their translate programs to create something that you sell. TOS for using their API would be irrelevant, since that isn't what you're doing. There is no clear copyright issue: as far as I can tell, there is not yet any case law suggesting that the output of a program can be owned by the copyright-holder of the program. (Copyright must be held by a legal person, i.e. an actual person or a corporation, and a program cannot yet be a legal person). A human-performed translation is subject to copyright protection since what is protected is that which is created by the (translating) author, and a program lacks that creative element. A translation owes its existence to the program-user using a particular tool to create the work, be it a pen or a translation program. What is unclear at present is whether a person using machine translation in a permitted fashion to create a derivative work thereby gains copyright to that derived work.
Details depend on the juristiction. For that, consult a lawyer if you plan to publish your app anywhere. But generally, even simple texts from exercises can be covered by copyright. Compare song lyrics, which are not much longer (and might not involve more creative thought than a good exercise ...). For vocabulary lists, it gets more tricky, but those can be covered as well if the assembly of the list was a creative effort. So if you simply list the 1,000 most common worlds in English and their translation, you are possibly fine, but if the words are divided into units and lessons, that's creative work.
This has some basis in law. You need permission from a person to commercially exploit their likeness especially in California, and a waiver is a way of staving off future lawsuit over right of publicity. YT has a privacy policy whereby a person who have been filmed can request removal of the video (see also this, because they don't explain the policy in a single place). Because YT is commercially exploiting people's personalities, this is necessary.
The program itself is probably not illegal - although as you point out, it may breach the terms of service of providers you are using. If you distribute the lyrics, you may be breaching copyright (regardless of whether the lyrics were from the original author or elsewhere - sites can claim copyright of material they create/ whose form they fix).
As usual with trademarks, the key question is "will reasonable people be confused about the source or affiliations of the product or service". Trademarks are, as you already know, limited to a particular industry or area of business, in general. Displaying user videos is not exactly the same thing as a particular popular song, but they just might be close enough for some consumer confusion tom occur. Whether reasonable people are in fact confused into thinking that the app is in some way sponsored by the makers of the song is a question of fact. A trademark suit would probably need to present some sort of evidence that confusion had occurred or was likely. It also may make a difference whether "Tik Tok" has been registered as a trademark. In the US, registration gets greater protection than mere use. (In some countries there is no protection without registration.) It is also possible that the app has already licensed the rights to the term from the trademark owner for the song. This would avoid a potential suit. It is also worth noting that the term "Tik Tok" is not original with the song. It dates back, in that spelling, to at least the "Oz" books by L. Frank Baum and others Tik-Tok of Oz dates from 1914, and the character of the Tik-Tok from the book Ozma of Oz (1907). Terms that are not original coinages are less strongly protected in trademark law, and the app could claim to be alluding to the Oz character, not the more recent song. A comment by ub3rst4r says that: the term "Tik Tok" is registered as a trademark in the USA by "Bytedance Ltd" (which is the company that operates the app). If that is correct, the US Patent and Trademark office (PTO) came to at least a preliminary conclusion that this trademark did not infringe anyone else's trademark. That doesn't meant that an infringement suit is doomed, but it would make any such suit harder and less likely. It seems that, as described in this news story a company selling watchs under the name "Tic Tok" was sent a cease and desist letter on behalf of the singer Kesha Sebert. The firm responded by filing a suit for a declaratory judgement. The case is Wimo Labs LLC v. Kesha Sebert, U.S. District Court for the Northern District of Illinois, No. 1:11-cv-02978. However, google does not show any resolution of this case, one way or the other. This was brought to my attention in a comment by StephanS. As this docket record shows, the case was dismissed by agreement without prejudice, apparently after a settlement (as stated in the comment by user muru). Thus there was no ruling on the merits of the case.
Building off @DigitalFire's answer, I looked into the TOS related requirements that Google Analytics puts out and I found this on Google Analytic's TOS: You will have and abide by an appropriate privacy policy and will comply with all applicable laws relating to the collection of information from visitors to Your websites. You must post a privacy policy and that policy must provide notice of your use of a cookie that collects anonymous traffic data. Apparently, Google themselves also requires you to notify users when you are using their service to track people (That's pretty good of Google). Here is a simple example of what a privacy policy would look like. There doesn't appear to be any issues with laws in other countries either. For my purposes, I'll just implement an agreement that pops up during installation that users will have to accept.
Twitter don’t have to host your account UMG’s and Sony’s business is probably more important to Twitter than yours is. It seems Twitter have made a commercial decision to close your account down. They can do this: We may suspend or terminate your account or cease providing you with all or part of the Services at any time for any or no reason, … What’s happening is not fair use Fair use is a lot narrower than you think it is. UMG and Sony (and every other music label) get paid when people use their music on a commercial platform like Twitter. Which means, you enabling people to avoid this is directly reducing their market so this is not fair use. Giving credit does not help. Now, if your program blocked the use of copyrighted songs that might be ok. Your program looks exactly like a piracy tool I’m sure you have the best intentions but your tool readily enables copyright violations by others. That’s moving out of the realms of civil breach and into possible criminal sanctions. I wouldn’t push this if I were you. Your understanding of copyright is flawed This video is a good primer on copyright.
You don't just want to ask, you are required to obtain a license (or in other terms: the OK of the author*). Your game is based on a book. That makes your game a derivate work. Under berne convention, any signer state has to make sure that the author* has the right to authorize any derivate. That includes translations, films, or games. Without a license, you violate copyright law. It doesn't matter if your game is free. To stay safe, you need to obtain a license. Quite some authors would be happy to cut a deal, license or guidelines for fan-projects. As an example, the late Sir Terry Pratchett OBE has specific guidelines on what is ok and what not. Ask your author* about these questions and consult a Lawyer! Only then make your fan project! * This means the author, their estate or whoever they assigned their rights in the work to. Some examples: For that teenage wizard in a private castle charter school that'd be a certain J.K. Rowling. For those hairy-halflings running all over the continent hunted by orcs that'd be the J.R.R. Tolkien-Estate. And for those space wizards using blades from solid light that'd be The Walt Disney Company or one of their subsidiaries.
Is lying to your customers prosecutable? Topical example (concerning the Facebook bias controversy of May 2016): if Facebook knowingly discriminated against conservative stories in its Trending feature, but told users and the press that there was no bias, could Facebook be prosecuted under U.S. law?
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 is, in most countries at least, no law requiring a business to treat a customer fairly. In general, a business may refuse to serve a would-be customer for any reason or none, provided that the reason is not membership in a protected class (racial, religious, ethnic, or sexual bias, mostly). Exactly which classes are protected depends on the local law (in the US, there can be such laws at all of federal, state, and municipal levels). If a customer is asked to leave and does not do so, s/he could be charged with defiant trespass (or local equivalent). More likely, security, or the police, could simply escort the customer out of the business, using as much force as is reasonably needed for that purpose. Unless there are grounds for action not mentioned, I see no basis for a successful suit by the customer.
does a reference for a candidate employee have liability for what they say about the candidate? To my understanding lying isn't illegal. Lying is unlawful to the extent that the liar's deliberate intent to mislead other(s) causes or is likely to cause unwarranted harm. This is regardless of whether "the person acting as a reference isn't under obligation not to be a reference". Lies can directly harm the candidate and/or the company, and others indirectly. The harm to the candidate is known as, or comes in the form of, defamation. Depending on the jurisdiction, an intent to mislead might not even be a prerrequisite for liability. For instance, Michigan statute MCL 600.2911(7) allows suits for libel or slander if "the defamatory falsehood concerns the private individual and was published negligently" (emphasis added). The liar's intent to mislead and his knowledge of the falsehood of his statements can only worsen the harm inflicted and his liability therefor. Likewise, the liar can be liable to the company for inducing it to hire a candidate the company would not have hired had it known the truth. Liability ensues when the hired candidate makes the company incur losses which would be prevented by relying on a truthful reference. If the reference is truthful, the chances for liability are significantly narrower. These scenarios typically involve matters of privacy or disclosures that are protected/sanctioned by law.
Each case is decided on its own facts I know you want a clear answer to where the bright line between illegality and legality but there simply isn’t one. The reason you feel there is a “legal grey area” is because there’s a legal gray area. The way the common law works is that there are some acts and omissions that are clearly crimes/torts/breach of contract, some that aren’t and some that live in that grey area. When someone brings a case in the grey, the court will make a ruling that will apply to similar facts and we get a little light on the subject. Then the legislature changes the law and it all goes dark again. Each of your bullet points is simply too vague and encompasses so many fact patterns that it’s impossible to say. For example, “Using a fake name/birthday”: do the ToS prohibit this? is there an intent to mislead or deceive? are there laws that prohibit this? is a benefit being received dishonesty? etc. If you come with a specific, detailed fact pattern there might be case law that is specifically relevant that will allow an answer with a high chance of being right. However, nuances matter and no two fact patterns are exactly the same and the difference might be enough to distinguish your case from the precedent. Or there might not be a relevant precedent because no one has sued/prosecuted on this fact pattern before. Then we are in virgin territory and even experts are only making educated guesses until the judge (and the appeals court(s)) hand down their decision. These are the most interesting cases to watch but the most terrifying to be part of. If you need to ask the question”where’s the legal line on this?”, there’s a decent chance you have a foot on each side.
If I understand your question, you're asking the difference between something like this: "You shouldn't do business with Bob; he's a child molester. Raped a whole bunch of kids. Everyone knows about it." and this: "You're thinking of doing business with Bob? Huh. That's your call, of course. I won't say anything against Bob. But Bill is in the same business, and I happen to know that Bill has never molested any kids." or this: "There are three people you could do business with. There's me. I've never molested any kids. There's Bill; he's a little expensive, but he's never molested any kids either. Then there's Bob. I don't have anything to say about Bob." I don't know the answer under German law, but under U.S. law, it's surprisingly complicated, and varies by jurisdiction. Here is a thorough but somewhat dated article on the subject. New York has recently established an explicit test for defamation by implication: To survive a motion to dismiss a claim for defamation by implication where the factual statements at issue are substantially true, the plaintiff must make a rigorous showing that the language of the communication as a whole can be reasonably read both to impart a defamatory inference and to affirmatively suggest that the author intended or endorsed that inference. Stepanov v Dow Jones & Co., 2014 NY Slip Op 03940 (App. Div. May 29, 2014). That opinion also discusses the other approaches used in other U.S. states. Under that standard, it seems clear that my example statements would be defamatory; any juror would immediately understand both the factual implication and that it was 100% intentional. In practical terms, I doubt any court in the United States would not consider them defamatory. In general, defamation is harder to prove in the United States than in other jurisdictions, because of the strong protections afforded to speech under the First Amendment--but I don't know enough about German law to speak to that issue.
Short version: No, no one has even been prosecuted. Does the perjury clause apply to all the information in the notification, or only the statement that the complaining party is authorised to act etc. ? This seems to be answerable by the plain text of the statute that you quoted: 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. There doesn't seem to be any remotely grammatical way to read "under penalty of perjury" as modifying anything in the first part of the sentence (i.e, the statement or the information in the notification). The closest we could come would be reading "A statement that the information in the notification is accurate, and under penalty of perjury" as saying that the information is both accurate and under penalty of perjury. Even if we ignore the fact that that would add a stray comma (as comma errors are not uncommon), that still leaves us with "that the complaining party is authorized to act on behalf of the owner of an exclusive right that is allegedly in-fringed" after an additional comma. This would need a conjunction (such as "and") that is not there in order for it to read at all correctly. On the other hand, it is perfectly grammatical to read it as: 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. This would mean that only the statement that the complaining party is authorized to act on behalf of the copyright holder is made under penalty of perjury. Thus, the "statement that the complaining party has a good faith belief that use of the material in the manner complained of is not authorized" described in § 512(c)(3)(a)(v) and referenced in your second question is not made under penalty of perjury. I couldn't find any case law regarding this, though, which brings us to the second question: Has anyone ever actually been convicted of perjury as a result of sending a DMCA notice that lied about the "good faith belief" in the infringing nature of the target material? As far as I can tell, no one has ever even been criminally prosecuted for sending false DMCA notices, let alone convicted. In fact, as far as I can tell, no one has ever been prosecuted for false copyright claims under any other laws, either. It's a bit difficult to find an authoritative reference stating something has never happened, and the best I found was the Wikipedia article on Copyfraud, which cites Fishman, Stephen. The Public Domain, Nolo (2006), pp. 24–29 for the proposition that (presumably as of 2006), "[n]o company has ever been prosecuted for violating" a related law on false claims of copyright. Obviously, that's not a great source, due to the date, not having access to the original text, and the fact that it's not quite the same law. I also tried quite a number of search terms on Google and found no criminal prosecutions there, either. There have, however, been civil suits regarding such bad-faith misrepresentations: Automattic, owners of Wordpress.com, have filed at least two. In at least one of those, a lack of such a good-faith claim by the defendant was in fact found by the court: Similarly, here, the Court finds that Defendant knowingly misrepresented that Hotham violated his copyright because Defendant could not have reasonably believed that the Press Release he sent to Hotham was protected under copyright. Moreover, there can be no dispute that Defendant knew, and indeed, specifically intended, that the takedown notice would result in the disabling of Hotham's article. This resulted in the court finding the defendant liable for damages under § 512(f) for the time and money that the plaintiffs spent dealing with the results of the fraudulent DMCA takedown notice. Neither the court nor the plaintiffs mention perjury at any point other than quoting the takedown notice (unsurprising, though, given that it's a civil suit).
Typical in any of the several united-states No, this fails to meet two of the core elements of libel. The statement must be Adverse (fails) Stated by one party To a second party About a third party (fails) The case you're thinking of, where a company brags excessively about their company or products, are covered by a variety of securities and trade laws, such as false advertising. Many of these are applicable in the Federal domain, i.e. are Federal rather than state laws. Edit: Now I see you've changed the question a bit to claiming to be first. Yes, the injured party can sue for that, but they are more claiming false advertising than libel. Accusing someone of not being first-to-market is not a particularly powerful or damning claim. Oreo didn't invent the sandwich cookie nor did Apple invent the computer. So such a claim is really a lot more about the publicity than actual, provable damages; so the controversy is more likely to be aired outside the court system, or in the courts but mainly for the publicity. (an example of the latter being the "Taco Tuesday" trademark-busting action; IIRC Taco Bell even paid the other party's legal fees, despite prevailing.)
The law is really bad at protecting whistleblowers From my understanding of US law, this is not unauthorised access to a computer: the reporter made a legitimate request to a remote computer, that computer provided data,the reporter accessed the supplied data on their own computer. However, pointing out the failures of people in power is fraught even if it is not illegal. It is certainly within the Governor’s power to authorise an investigation of the reporter. On the face of the law, it seems reasonable to suspect that what was done might be a violation so there is nothing legally wrong with initiating an investigation. I suspect that such a broad interpretation of the law would fall foul of the First Amendment which may partly explain why it wasn’t prosecuted: the government doesn’t want to find out. Similarly they can issue press releases, which, due to the First Amendment, don’t have to be true, just not defamatory. Saying it’s a possible violation is true and not defamatory. Saying the reporter was an evil person who is only doing this for political purposes is a statement of opinion and not defamatory. It’s a fact of the world that people with power can use that power in ways that are malicious, unethical, and unfair but not necessarily illegal.
No right to a public defender In a recent court case in NC, USA, the appeals court upheld that the trial court did not make a mistake in forcing a person to choose between counsel and testifying. Basically, the court appointed lawyer said the client was going to lie, and the judge granted his motion to resign. As such the defendant was left with private counsel, or representing himself. I thought there was a law against choosing between testifying and having counsel? Also the right to a public defender couldn't be just taken away? Key exchange: THE COURT: Is he going to have retained counsel by then or is he going to represent himself? MR. CAMPBELL: I would let him speak to that, if that's appropriate. MR. SMITH: I'm going to make an attempt to retain counsel, Your Honor. If I am unable to, I will represent myself. What happens is the court asks will he retain counsel or represent himself, effectively taking away the right to public counsel, at which point he says he will try to get counsel. By not offering the right to public counsel, they effectively took away his right to public counsel.
Smith makes three arguments in his appeal, that the trial court erred by: allowing Smith's trial counsel to withdraw on the sixth day of trial and failing to appoint substitute counsel for Smith thereafter, and that the private substitute counsel Smith retained was presumptively ineffective based upon the amount of time he had to review Smith's case before proceeding with the trial. Smith does not raise the question that you mention: the law against choosing between testifying and having counsel. That question was raised by the state's attorney: There are cases that say the [c]ourt cannot make a defendant choose between the right to testify and the right to counsel... [T]here is a Hobson's choice here between Mr. Smith testifying and Mr. Smith having an attorney. And the courts have ruled at times that there can't be a choice between those things. Speaking of Hobson's choice: United States ex rel. Wilcox v. Johnson, 555 F. 2d 115 - Court of Appeals, 3rd Circuit 1977 the appellee here "was put to a Hobson's choice": decline to testify and lose the opportunity of conveying his version of the facts to the jury, or take the stand and forego his fundamental right to be assisted by counsel. The Trial Judge thus conditioned the exercise of Mr. Wilcox's statutory right to testify upon the waiver of rights guaranteed by the Constitution. This was an impermissible infringement upon the appellee's right to testify and his Sixth Amendment right to counsel. also: US v. Scott, 909 F. 2d 488 - Court of Appeals, 11th Circuit 1990 To advise [the defendant] that he could be precluded from testifying, without confirmation that [the defendant] intended to commit perjury, or could proceed pro se impermissibly forced Scott to choose between two constitutionally protected rights. and: Wilson v. State, 12 So.3d 292 (Fla. Dist. Ct. App. 2009) This case concerns a defendant's desire to testify in greater detail about the incidents giving rise to the criminal charges, confronted by his attorney's belief that more testimony was not a good idea. The judge offered the defendant the choice of testifying further by giving up his attorney, and representing himself. The defendant chose not to testify. We hold that the trial court improperly forced a choice between two constitutional rights, and reverse. Here is a really recent case where The Connecticut Supreme Court gave defendant a new trial after his lawyer quit (went into snooze mode) when the defendant insisted on testifying. State of Connecticut v. Maurice Francis, (SC 19305) The record reflects that the court and defense counsel understood the defendant to be self-represented during his testimony. Defense counsel made it abundantly clear that they had no intention of representing the defendant should he testify and would file a motion to withdraw if necessary to avoid doing so. After canvassing the defendant regarding the pitfalls of proceeding pro se, the trial court ruled that it would have to let the defendant ‘‘self-represent . . . during this point . . . .’’ Consistent with this ruling, the court’s docket sheet reflects the court clerk’s notations indicating that, for purposes of the defendant’s testimony only, the defendant was allowed to represent himself and standby counsel was appointed. It further indicated that, for the remainder of the trial, counsel was retained to represent the defendant. Because of this ruling, defense counsel did not need to file a motion to withdraw, as their temporary status as standby counsel remedied the representation problem that they had sought to avoid. An interesting distinction among these cases is the reason the attorney conditioned representation on withholding testimony. One reason is ethical – knowledge that the client is going to lie. The other reason is strategic; the attorney thinks the witness will hurt the case. Edit to discuss the ethics question as it was brought up in the comments. Comment: However the defendant did not lie, the lawyer provided no evidence the defendant did lie, and the lawyer never stated why/how/what he thought the defendant might lie about. The lawyer did not tell the court, and could not ethically tell the court. The superior court said: Difficulty may be encountered if withdrawal is based on the client's demand that the lawyer engage in unprofessional conduct. The court may request an explanation for the withdrawal, while the lawyer may be bound to keep confidential the facts that would constitute such an explanation. The lawyer's statement that professional considerations require termination of the representation ordinarily should be accepted as sufficient. Lawyers should be mindful of their obligations to both clients and the court under Rules 1.6 and 3.3. The lawyer mentioned 1.16 as the reason he needed to withdraw. It basically says you can't represent someone if the representation would be an ethics violation: Rule 1.16 Declining or Terminating Representation (a) Except as stated in paragraph (c), a lawyer shall not represent a client or, where representation has commenced, shall withdraw from the representation of a client if: (1) the representation will result in violation of law or the Rules of Professional Conduct; (2) the lawyer's physical or mental condition materially impairs the lawyer's ability to represent the client; or (3) the lawyer is discharged. And then Comment 3 says that if a lawyer wants to withdraw because of an ethics conflict the judge may let him go without further inquiry. Comment 3 When a lawyer has been appointed to represent a client, withdrawal ordinarily requires approval of the appointing authority. Similarly, court approval or notice to the court is often required by applicable law before a lawyer withdraws from pending litigation. Difficulty may be encountered if withdrawal is based on the client's demand that the lawyer engage in unprofessional conduct. The court may request an explanation for the withdrawal, while the lawyer may be bound to keep confidential the facts that would constitute such an explanation. The lawyer's statement that professional considerations require termination of the representation ordinarily should be accepted as sufficient. Lawyers should be mindful of their obligations to both clients and the court under Rules 1.6 and 3.3. However, the appellate court writes that the trial court could have asked about comment 2 which says that suggestion of perjury is not enough to force withdrawal. Comment 2 lawyer ordinarily must decline or withdraw from representation if the client demands that the lawyer engage in conduct that is illegal or violates the Rules of Professional Conduct or other law. The lawyer is not obliged to decline or withdraw simply because the client suggests such a course of conduct; a client may make such a suggestion in the hope that a lawyer will not be constrained by a professional obligation. But, and this is the big but - this is not enough for the appellate court to overturn the trial court. ...we may not consider the correctness of the court's ruling de novo or second guess its exercise of discretion... Rather, we are limited to a determination of whether the court's decision was “manifestly unsupported by reason or so arbitrary that it could not have been the result of a reasoned decision.” The rule violation at risk here is 3.3(a)(3): (a) A lawyer shall not knowingly... offer evidence that the lawyer knows to be false. If a lawyer, the lawyer's client, or a witness called by the lawyer, has offered material evidence and the lawyer comes to know of its falsity, the lawyer shall take reasonable remedial measures, including, if necessary, disclosure to the tribunal. A lawyer may refuse to offer evidence, other than the testimony of a defendant in a criminal matter, that the lawyer reasonably believes is false. It's comment 9 that the state wanted the trial court to consider. It seems to me that she wanted to hint to the defense attorney that he could ethically hear the testimony if he didn't know that it was false. Comment 9 Although paragraph (a)(3) only prohibits a lawyer from offering evidence the lawyer knows to be false, it permits the lawyer to refuse to offer testimony or other proof that the lawyer reasonably believes is false. Offering such proof may reflect adversely on the lawyer's ability to discriminate in the quality of evidence and thus impair the lawyer's effectiveness as an advocate. Because of the special protections historically provided criminal defendants, however, this Rule does not permit a lawyer to refuse to offer the testimony of such a client where the lawyer reasonably believes but does not know that the testimony will be false. Unless the lawyer knows the testimony will be false, the lawyer must honor the client's decision to testify. It seems to me that comment 8 is more helpful, but I wasn't there. Comment 8 The prohibition against offering false evidence only applies if the lawyer knows that the evidence is false. A lawyer's reasonable belief that evidence is false does not preclude its presentation to the trier of fact. A lawyer's knowledge that evidence is false, however, can be inferred from the circumstances. See Rule 1.0(g). Thus, although a lawyer should resolve doubts about the veracity of testimony or other evidence in favor of the client, the lawyer cannot ignore an obvious falsehood.
Is this normal? Pretty much. Witnesses lie in court all the time (in my experience, defendants, law enforcement officers and medical doctors are the most likely to lie). Dealing with a witness who lies in court under oath effectively is one of the most challenging tasks lawyers face. It is an inherently challenging hurdle to proving or defending a case. The facts as presented in court often differ in some material way from reality. It is a pretty tough thing to accurately measure, but my gut estimate would be that this happens in a least 30%-40% of cases that produce contested trials, although not infrequently, a judge or jury will not find the false testimony to be credible. On the other hand, it isn't at all uncommon (probably at least 10% of the time) for a judge or jury to believe the liars to be telling the truth, and to find the people who are telling the truth to be less credible. There is absolute immunity from civil liability for lying in court testimony, although it could, in theory, give rise to contempt of court sanctions from the judge in some circumstances, or to a prosecution for perjury. But, perjury prosecutions are, in practice, very rare, and a good share of them arise from false statements made in documents under oath, rather than from courtroom testimony. There is probably less than 1 perjury prosecution per 1000 provable lies made under oath in courtroom testimony on material issues that end up influencing the outcome in a case. I totally sympathize with how frustrating this situation is having been there in cases that I am litigating many, many times. But, in short, life isn't fair.
It does matter if you invoke your right to silence. First, if you do, that affects what police can do (they have to stop interrogating you). Second, it plays a role in "adoptive admissions". If the police are asking you questions (you are not under arrest) and they make some statement that implies that you committed a crime, your silence can be used against you: it can be taken to be a form of admitting that you committed the crime. The premise is that if they imply that you murdered X, such an accusation if false would be so outrageous to a reasonable, innocent person that they would protest, therefore your lack of protest (denial) is tantamount to a confession. However, you can protect yourself by preemptively invoking your right to silence. See Salinas v. Texas: a witness who “ ‘desires the protection of the privilege . . . must claim it’ ” at the time he relies on it... the Fifth Amendment guarantees that no one may be“compelled in any criminal case to be a witness against himself,” not an unqualified “right to remain silent.” Since any right can be waived, at any time, there is no magic expression that you can utter that nullifies a future waiver of a Constitutional right. The closest that you can come is asserting that you hereby exercise your right to an attorney and that you will not speak until you have consulted with your attorney (then you better shut up). Lawyering up only prevents them from further interrogating you. Don't hedge: say "I am asserting my right to silence and refuse to speak without a lawyer". "I think I should..." is not a definitive assertion of your rights. If you are (briefly) stopped, police may ask if they can search you or your property. If they have a warrant or probable cause, there's really no point in saying anything. In the case that consent is required, you just have to remember to not consent, and it would not be a bad idea to explicitly deny consent. Each and every time they ask. The same with their statement "It would really help us if you would come to the station to answer a few questions". If you are under arrest, then you have to go with them: ask "Am I free to go?". You can say "I do not consent to any search". Your proposed declaration of rights is pretty vague. Exactly what rights are you talking about? Your right to freedom of religion? Your right to bear arms? Your right to not have to quarter soldiers in your house? Your right to an education? Many detainee statements have been found by the courts to be ineffective because they were unclear. You could give it a shot and see if the Supreme Court accepts your "universal assertion of rights" as effectively invoking your specific 4th and 5th amendment rights. Unless you have something in mind (like, the 6th amendment), the most effective statement is a very specific one. Silence, lawyer, no search.
I will only address this part of the question: Who would be able to authoritatively decide the constitutionality of such a question, with all Supreme Court justices having clear conflict of interest on the matter? The Supreme Court could still hear such a case, as the justices make their own decisions about when to recuse themselves. In particular, they might decide to hear the case based on the "Rule of Necessity", which says roughly that a biased judge is better than none at all: a judge can hear a case, even in the presence of a conflict of interest, if there is no other way for it to be heard. See United States v. Will, 449 U.S. 200 (1980), in which the Supreme Court ruled 8-0 that federal courts could try a case related to the salaries of federal judges. Another possibility is that the case could be brought in a lower federal court, say District Court. There is a question here: the Supreme Court has original jurisdiction in "all Cases affecting Ambassadors, other public Ministers and Consuls" (US Constitution, Article III, Section 2), and I do not know whether Supreme Court justices are "public Ministers". However, if a lower court did have jurisdiction, it could rule on the constitutionality of the question, since a District Court judge would not have a significant conflict of interest. The relevant Circuit Court of Appeals could presumably hear an appeal. If the Circuit Court's ruling was appealed to the Supreme Court, and the Supreme Court felt that they all had conflicts of interest (and decided not to invoke the Rule of Necessity), then they could simply not vote to grant certiorari, in which case the Circuit Court's ruling would stand.
united-states Generally, a witness cannot object to a question on the grounds that it fails to conform to a rule of evidence (e.g. hearsay). A witness can refuse to testify on a matter either due to the 5th Amendment privilege against self-incrimination, or on the grounds that some other privilege (e.g. attorney-client, clergy confession, spousal) applies. A witness can also say that they don't understand the question as phrased (either because it is complicated or because it contains terminology or concepts that the witness doesn't understand), or that the witness didn't hear the question, or that the witness forgot what the question was while the lawyers and judges were discussing whether it could be asked. This often results in the question being restated or rephrased. A witness may also answer a question by stating that there is no answer to the question as it is based upon a false premise (e.g. "on which day of the week did you beat your wife?"). And, if true, a witness can properly answer that they don't know the answer, either because they never knew or because they don't currently recall the answer.
united-states You may be confusing the right to an attorney if you cannot afford one that is applicable only in CRIMINAL cases, not civil cases like you are discussing. You may be able to get an attorney to take your case on a contingency basis but there are two things to keep in mind: The attorney has to have some expectation that the case is winnable. The amount to be recovered must be worth the risk of taking on this case. In other words, for the attorney it's more of a business question that a legal one. Many attorneys will give you a free 30 minute, more or less, consultation. Perhaps you might give that a try.
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.
To answer the first question, the answer seems to be "generally not." In federal courts, this is explicitly not allowed -- rule 6(d) of the Federal Rules of Criminal Procedure states that the only people who can be present before a grand jury are government lawyers, the witness being questioned, interpreters, and a court reporter In state courts, the rules vary by state. However, again, private citizens are generally either completely not allowed to act as prosecutors, or are only allowed to act as prosecutors in a restricted set of situations and subject to the ultimate control of public prosecutors. For instance, in Virginia (which allows private prosecutors), the private prosecutor can't speak in front of a grand jury, initiate a criminal case, or participate in a decision to dismiss charges (page 23). In New Hampshire, private prosecution is limited to misdemeanors with no possibility of jail time, and again the state can dismiss charges (page 8). Rhode Island, like New Hampshire, allows private prosecution for misdemeanors but lets the state dismiss charges (page 11). The justification for allowing the state to dismiss charges is generally "prosecution is inherently a governmental task, so the government must retain ultimate control."
Do faculty own the copyright to course materials they create even if their contract or university IP policy specify otherwise? An answer on Academia.SE claims that in general, any lectures, slides, textbooks, or scholarly articles you [as faculty] write belong to you and not your school, and this is true regardless of whether the school posts a policy on its web site claiming otherwise, and even regardless of whether they get you to sign a contract stating otherwise. and cites Weinstein v. University of Illinois and Hays v. Sony Corp in support of this statement. However, it seems to me that Weinsten v. University of Illinois explicitly considers university IP policy in making the determination of whether the scholarly work under consideration was "work for hire". First it says The statute is general enough to make every academic article a "work for hire" and therefore vest exclusive control in universities rather than scholars. See DuBoff, An Academic's Copyright: Publish and Perish, 32 J. Copyright Society 17 (1984). The University of Illinois, like many other academic institutions, responded to the 1978 revision of the copyright laws by adopting a policy defining "work for hire" for purposes of its employees, including its professors. then it quotes the university policy on work for hire, and then it makes a determination based on whether the university IP policy on work for hire can be interpreted to apply to the particular work under consideration: The University's copyright policy [on work for hire] reads more naturally when applied to administrative duties. Perhaps the University forms a committee to study the appropriate use of small computers and conscripts professors as members. The committee may publish a report, in which the University will claim copyright. We do not say that a broader reading is impossible, but such a reading should be established by evidence about the deliberations underlying the policy and the course of practice Furthermore, the more recent Bosch v. Ball-Kell refers to a directive in Weinstein, to look for evidence of intent from the history and deliberations that occurred in implementing the University's policy. Thus it is not clear to me whether the so-called "teacher exception" to work for hire applies if the university's intellectual property policy or contract asserts ownership of copyright of course materials.
The leading case in this area is Commun. for Non-Violence (CCNV) v. Reid 490 U.S. 730 (1989).1 There are two routes to employers automatically being the first owner of copyright in a work produced by a hired party: in an employee-employer relationship, or in certain works by independent contractors if an express agreement is made. CCNV construed the definition of "work made for hire" in 17 USC 101 to split paid work into two categories: work done by "employees" and work done by "independent contractors". Copyright in "employees" are automatically owned by the employer. Copyright in work by independent contractors can also be owned by the employer if it falls under a set of specific categories of work (which course materials are certainly included in) and "parties expressly agree in a written instrument signed by them that the work shall be considered a work made for hire". The term "employee" above takes on a special meaning in this context. The court held that the test is to use common law agency principles: To determine whether a work is a "work made for hire" within the § 101 definition, a court should first apply general common law of agency principles to ascertain whether the work was prepared by an employee or an independent contractor The court listed 12 (non-exhaustive) factors to be taken into account when deciding whether a hired party is a an employee under common law agency and thus the work would be automatically considered a "work for hire": the hiring party's right to control the manner and means by which the product is accomplished the skill required the source of the instrumentalities and tools the location of the work the duration of the relationship between the parties whether the hiring party has the right to assign additional projects to the hired party the extent of the hired party's discretion over when and how long to work the method of payment the hired party's role in hiring and paying assistants whether the work is part of the regular business of the hiring party whether the hiring party is in business the provision of employee benefits the tax treatment of the hired party This is a case-by-case judgement, and courts have not made a ruling that applies to all university course materials universally. I'm sure we could all imagine arrangements that would fall squarely on the "employee" side of the test, and thus give the employer first ownership of copyright in course material just as easily as we could imagine arrangements that would fall squarely on "independent-contractor" side. There are arguments on both sides regarding whether the typical university professor or lecturer relationship would be considered an "employee" relationship for the purpose of the "work made for hire" definition (I'll come back to reference some law journal articles later). Regardless, even if particular relationship is found to be an "independent-contractor", the employer can still be the first owner of copyright in the works if "parties expressly agree in a written instrument signed by them that the work shall be considered a work made for hire" (assuming the work is one of the categories listed in the 17 USC 101 definition of "work made for hire" part (2), and course material certainly is). Last, even for independently contracted work that doesn't fall under one of the special categories in "work made for hire" (2), parties could agree to a contract requiring assignment of copyright. In this case, the employer wouldn't be the initial owner, but they would be due equitable assignment of the copyright by the author. 1. There are various reasons why Weinstein (mentioned in the question) is not relevant. Weinstein doesn't hold that the author of course material is automatically the copyright owner. Weinstein is pre-CCNV. Weinstein was a Seventh Circuit opinion; CCNV is a Supreme Court opinion. The test that was being used at the time by the Seventh Circuit (an "actual control of the work" test) was rejected by the Supreme Court in CCNV.
Multipage contracts, like any multipage texts, will likely bear some level of originality and so they will have a copyright owner. Absent a license allowing you to reuse the text, you will not be allowed to do so. The fact that you were a party to a contract represented by the text does not change your position: your contract does not have anything to do with the copyright of its text, therefore you still need to honor the copyright as if you were not a party to the contract. It is not uncommon that the copyright will be owned by the lawyer who drafted the text. Your business partner who supplied it would have employed/contracted one. Or, the lawyer could have provided the text to your business partner together with the copyright (less common). Why wouldn't fair-use be at play here? Don't you already get the permission to copy and modify the contract from the original party when they send it to you? (Is such right only limited to original execution?) The original party, whether it is the copyright owner or just a license holder, can send the text to you for possible copy and modification in the course of executing the contract with that party only. The copy that you receive is provided solely with the express purpose to make you an offer (so that you know the terms of the contract) and give opportunity to suggest modifications i.e. make a counter-offer. To reuse the text with another party you need a permission/license from the copyright owner. Fair-use won't play here because you'd be using the text for the purpose it was created for—executing contracts—as opposed to, say, writing a research paper on language/phrases used in legal documents. Does it at all invalidate the agreement itself if the party that supplied the contract doesn't actually own the copyright to it? After all, if you're not legally allowed to have a copy of the text that specifies the terms of the contract, how would it be possible to adhere to such terms? Most contracts do not even need to be in writing. The text will be just one of the evidences if your contract, not the contract itself. No matter whether you obtained the text legally or not, it still does its job as evidence. Whilst you may well be sued for the copyright infringement, in no way will it affect the validity of your contract, which will still hinge on those well-known 6 elements having nothing to do with the copyright of the text.
Such clauses are called "copyright assignment", "invention assignment", and/or "works for hire" clauses, partly depending on the clause's intent and wording. They're pretty common in employment contracts for software development and some creative positions. Frankly, the clauses don't actually do much, at least in the US -- copyright law already recognizes the concept of works made for hire (which belong to the employer), and claims too far beyond that are often rejected if they aren't obviously related to company business. With that said, your hypothetical programmer's painting is safe unless it depicts, say, the contents of an email from the CEO. :) Even if the clause technically entitles the employer to claim ownership, the employer has no legitimate interest in doing so. Likewise, that app created outside work is safe as long as it is created using no company resources and is unrelated to the employer's business. If the app is obviously related, that's where things get hairy.
A mnemonic like CRAAP is not protected by copyright. The Copyright office says "Copyright does not protect names, titles, slogans, or short phrases", so you do not run afoul of copyright law using that or any other abbreviation. There is a registry of copyright-registered works, maintained by the copyright office, where authors may register their works, but legal protection exists regardless of registering. Some abbreviations are protected under trademark law, which you can search here. There are 50 registrations that include "AAA" and three that are just "AAA", also you'll find WTF and LOL. Trademark protection doesn't forbid all uses of an registered abbreviation. It turns out that "CRAAP" is not a registered trademark, but it could be the registered trademark of a manufacturer of crab traps, so you would not likewise call your crab trap company CRAAP, but it would be okay for plumbing supplies (trademark is relative to business uses, which are described in the registration). The only other imaginable scenario that would impede your plan is a non-disclosure agreement. For that to be relevant, there would have to be a valid contract between you and the teacher which specifically prohibits disclosure of the acronyms. The chances that there is a contract between you and the teacher is so low that it is hardly worth considering, but let's explore that for a moment. A contract is an agreement between parties where each party promises to do something that they are not already obligated to do, in exchange for getting something that they do not already have a right to. You had a contract with the college, not with the teacher. The college clearly would not prohibit "using any information gained in the course of study here", and the courts would not enforce any such "don't use" wording in a contract as unconscionable (why else do you go to college?). Your contract with the college allows you to take classes and use the knowledge that you gain. The teacher's contract with the college requires her to teach some content, and probably allows her to set certain rules of class conduct. She might have been able to toss you out of class for disseminating her methods, but at this point she has no legal recourse. NDA enforcement is generally limited to protecting "trade secrets", which are defined in terms of information with independent economic value deriving from the fact that the information is non-obvious". Also, an NDA will have a time limit associated with it except in the case of highly-sensitive personal information (social security numbers), so the courts will not enforce language saying "you can never make use of this information, or these names".
17 USC 105 provides that: (a) In General.—Copyright protection under this title is not available for any work of the United States Government, but the United States Government is not precluded from receiving and holding copyrights transferred to it by assignment, bequest, or otherwise. Under 17 USC 101: A “work of the United States Government” is a work prepared by an officer or employee of the United States Government as part of that person’s official duties. However under 17 USC 105 (b): Subject to subsection (c), the covered author of a covered work owns the copyright to that covered work. The definitions section of section 105 provides that "covered authors " are faculty members at any of 12 specified institutes, academies, colleges, and universities run by the Federal Government, and "covered works" are any textual works created by covered authors. Thus to be free of copyright under section 105, a work must have been created by "an officer or employee of the United States Federal Government as part of that person’s official duties." and not by a faculty member at any of the institutions listed in 105 (d). 17 USC 105 does not apply to works by the various US state governments, nor to contractors hired by the US Federal government. Works that are free of copyright under section 105 are in the public domain under US law, and may lawfully be used in any way at all, but it is widely considered unethical, although not unlawful, to fail to credit the source of such works, or indeed of older works long out of copyright protection. Note that such works could be protected under the laws of other countries, and such copyrights may apply outside the US. Just because an image or text is published by a US government agency does not waive copyright, nor does the absence of a copyright notice. (Under the Berne Convention a copyright notice cannot be required for protection, and US law implements this in 17 USC 401 (a) which provides that a notice may be present.) The web page linked in the question above includes the statement: Video contributed by Dr. Marcelo Saba, National Institute for Space Research, Brazil This strongly implies that Dr Saba owns the copyright, although it does not prove that. It might be owned by the Institute, or some other employee of the Institute. But Dr Saba could probably indicate who does own the copyright, and on what terms if any the image may be used. When content is protected by copyright, a license to reproduce that content must normally be explicitly stated. The US Freedom of Information Act (FoI) has nothing to do with providing such licenses. It does not matter under US law whether the person wanting to reuse content is a citizen or resident of the US or not, the rules are the same for all. However, US government works may be protected outside the US. It is the location of use, not the nationality of the person using them, that will matter.
As you've presented them, I doubt the functions are protected by copyright in the first place. Originality is one of the threshold requirements for copyright protection, and it demands that the work in question be independently created by the author, and that it possess some minimal degree of creativity. If you're talking about programming at a level so basic that the function truly must be created in a particular way, there is no originality in simply following the instructions. And even if there's some wiggle room, but the language you used has likely been independently replicated by many programmers, that's still not original enough to be copyrightable. What you want to watch out for, though, is the possibility that they've been combined into an original arrangement that is protected. I don't know enough about how copyright law is applied to code to say where or how that line is drawn, but my instinct would be that it could be a fairly low threshold.
Physical content The main consideration with physical content is that reading it does not require making a copy, so uncomplicated copyright law is what’s relevant. Copyright law is about making copies (also distributing). Purchase a novel (a physical book which was legally obtained). There is no copying involved (you do not in fact make a copy in your mind, if you're a human). Under the First Sale doctrine, once a copy is sold by the rights-holder (e.g. the publisher, initially to the bookstore or distributor), that owner can do whatever it wants with that specific copy, including reading or re-selling (and anying thereafter can likewise). Books are sold, not licensed. Copyright relates to copying, not reading. It’s true that all (legal) rights are reserved, but the power to prevent resale is not a right. Book (or anything else) on the ground. As above, with the complication that you aren’t at least immediately the rightful owner. But, you don’t have to be the owner of a protected work to read it (otherwise libraries would not exist). The rightful owner might unsuccessfully try to sue you for reading their property, but reading does not cause damage, and your act is innocent (not even negligent), and not wrongful. Eventually (depending on jurisdiction) you may become the owner if the original owner does not reclaim the book. Reading a copy made by someone else. See above about the relationship between reading and copyright. The teacher might maybe be liable for infringement, but you are not culpable (assuming you didn’t encourage the teacher to make an illegal copy). Digital content However, every item of digital content has to be copied many times, in order to actually be read. E.g. a copy is made to video display memory from RAM, which is copied some number of times from RAM to RAM as the program formats and sizes, ultimately reading a copy stored on disk storage (which is installed from.... using N temp files) Typically what happens is that you acquire a copy of a license to use the content. Some number of copies may be statutorily permitted, e.g. the myriad transitory copies created across the internet as you download the work, or on your computer as you install it. The law addresses this matter in part at 17 USC 117, saying that it is not an infringement for the owner of a copy of a computer program to make or authorize the making of another copy or adaptation of that computer program provided: (1) that such a new copy or adaptation is created as an essential step in the utilization of the computer program in conjunction with a machine and that it is used in no other manner, or (2) that such new copy or adaptation is for archival purposes only and that all archival copies are destroyed in the event that continued possession of the computer program should cease to be rightful. Since Congress chose the word “program” rather than “file”, the plain reading of this is that permission is always required to read digital content. One may assume, when you purchase an electronic book at the store (you thus own the recording medium), that the work also comes with specific permission to make those automatic copies required to actually read the book on a computer. In order to read the book you must make some number of copies. Seeing stuff on a web page. Let’s also assume that the material is on the page without permission, but you don’t know that, and it just jumps out at you. This raises an interesting question regarding statutory language and web pages. The statutory language is not at all clear about link-clicking (the statutes don't say anything about "links"), and I don't know of any relevant case law (probably because it would be ludicrous to go after an innocent link-clicker) Infringement is defined in 17 USC 501(a): Anyone who violates any of the exclusive rights of the copyright owner as provided by sections 106 through 122 or of the author as provided in section 106A(a), or who imports copies or phonorecords into the United States in violation of section 602, is an infringer of the copyright and if you infringe, you may be liable. 17 USC 106 spells out those rights: the owner of copyright under this title has the exclusive rights to do and to authorize any of the following: (1) to reproduce the copyrighted work in copies or phonorecords; … (3) to distribute copies or phonorecords of the copyrighted work to the public by sale or other transfer of ownership, or by rental, lease, or lending; … When you go to a web page and click a link, are you reproducing the protected material? Or is the website owner reproducing the material, and pushing it onto you? I don’t know of any decisions that address this kind of technical question. There is no question that the person hosting the infringing material is liable, the question is whether you would be as well? It would be highly unjust to hold the innocent link-clicker responsible. There is a bit of protection for innocent infringement in 17 USC 405(b) Any person who innocently infringes a copyright, in reliance upon an authorized copy or phonorecord from which the copyright notice has been omitted and which was publicly distributed by authority of the copyright owner before the effective date of the Berne Convention Implementation Act of 1988, incurs no liability for actual or statutory damages under section 504 for any infringing acts committed before receiving actual notice that registration for the work has been made under section 408, if such person proves that he or she was misled by the omission of notice. In a suit for infringement in such a case the court may allow or disallow recovery of any of the infringer’s profits attributable to the infringement, and may enjoin the continuation of the infringing undertaking or may require, as a condition for permitting the continuation of the infringing undertaking, that the infringer pay the copyright owner a reasonable license fee in an amount and on terms fixed by the court. (c) Protection under this title is not affected by the removal, destruction, or obliteration of the notice, without the authorization of the copyright owner, from any publicly distributed copies or phonorecords. (You could be prevented from further use of the infringing material, and liable for specific lost profit). Infringement is not defined in terms of what you know or believe about the copyright status of work. Nevertheless, I would expect that in addressing the question of whether a person had in fact made a copy that they would look at the mental state of the individual, looking for mens rea. This could distinguish clicking a link that unexpectedly pushes protected material onto you, versus attempting to obtain protected material by clicking on a link.
This case did not find that Two Live Crew's version was fair use. Rather it held that it could be fair use, contrary to the lower court ruling that its commercial nature precluded a fair use defense based on parody. The court remanded the case to be considered in light of its holding. The two parties settled without getting a final decision on fair use. It was never really contested that this work was parody. The issue was whether the commercial nature rendered it unfair. The Supreme Court told the lower courts to assess the taking under the full four-factor fair use analysis and that commercial use doesn't automatically make a parody unfair. One source of confusion is that you seem to be conflating parody and fair use. Parody is just one purpose (along with criticism, education, and others) that has been generally held to swing the balance in favour of fair use. Last, the "five word plagiarism rule" is not a legal standard.
Can a company sell software I wrote for them if they never gave me a contract I was asked by companyA(UK) to rewrite their legacy application, which I have been doing for a year. CompanyA have made a deal to sell the application to CompanyB(USA). The deal will complete at some date in the near future. In the meantime, CompanyB have been bankrolling development (paying me). Neither companyA or CompanyB have given me me a contract or any letter of agreement. I am a freelance developer. I work from home on my own equipment, to my own schedule. I handle my own tax and I have one other client. CompanyA gives me broad direction (e.g. please write a bookings feature) I design the graphical user interface and architecture, and then implement the feature. As of now I have completely replaced the front-end, most of the back-end, and have added many features. I invoice CompanyB monthly as a software consultant and they have paid on time. I'd like to know: 1. Do I own the copyright to the software I have written. And if so does CompanyA have any right to sell the product to CompanyB without me signing it over? 2. Should I register or take other action to protect what I consider to be my original work? 3. What rights do CompanyB have, given that they have been paying me? Thank you
This answer to a related question sums up the relevant concepts regarding work for hire. Since, according to your description of your relationship to A, you are not an employee (Commun. for Non-Violence (CCNV) v. Reid 490 U.S. 730), and you do not a written agreement, under US law, this would not be a work for hire: thus you hold copyright to something. I presume Company A gave you the source code and you are rewriting it to fit some technical requirement, so you have been given permission by the copyright holder to create a derivative work. You do not gain copyright to the original code: you only hold copyright to what you wrote. You would therefore need the permission of the copyright holder (of the original program) to sell copies of the modified program (currently A, company B in the future once the transfer is complete). There isn't a special "signing-over" ceremony for permission to copy, but the situation you describe is very messy. Even without a written agreement, you do understand that they intend to make multiple copies of the resulting program which includes your contribution, and you have received something of value in exchange for your contribution. So, one would argue, you have at least given permission to copy your stuff, even without a piece of signed paper -- in hiring you, you have given them an implied license to use what they paid you to create. The unclarity would be in whether you transferred your property rights, or simply licensed them to use it. Hence the recommendation to get an IP attorney.
Defining the value of a privately held company is hard (tax returns don't provide a very informative basis because accountants will tend to under-value things like "goodwill" in order to avoid paying tax). However that doesn't matter for this stack, because the only legal question is: If I had some means of coming up with a number and presenting it, would it be legally acceptable to define that as their company value in a license? And the answer is: absolutely yes! You are pretty much entirely free to define terms in your license as you see fit. If you want to define "company value" as meaning "the annual gross salary paid to receptionists", go for it. (You would probably need to define what a "receptionist" is in this case).
Based on the contract language quoted in the question, and the facts stated there, it would seem that the employee owns the copyright on the software. It would seem that the software was not created "during the course of employment." However, when the employee offers it to the employer free of charge, the employer may well want to own the copyright and any other related IP. The employer might want the employee to sign an agreement transferring the copyright. Or the employer might simply treat the software as belonging to the employer. Asserting and enforcing the copyright against the employer might be difficult. Insisting on even a token payment would help establish thst the copyright belongs to the employee, or gettign the employer to sign an acknowledgement of the ewmployee's copyright would have a similar, bnt even stronger effect.
Your question mixes up two different aspects of intellectual property. From a copyright point of view, it is perfectly legal to reproduce the features of a one piece of software in another. The functionlity of the software is not copyright (although the detailed look and feel of the user interface might be). However you ask if you, as an employee, can do this by "looking into the code of software X". Presumably by doing this learn something of the organisation and algorithms used. Even if you avoid direct copying, you are likely to have learned trade secrets of your employer, and publishing these is at least a civil tort in the US, and in some states a crime.
"Wholly unconnected with your employment" means exactly that. Anything that is not connected to your functions or processes that you use in the course of your employment that your employer would have an interest in either protecting or marketing. Writing a book about software development If you are just a software developer, this would be fine unless you were talking about a process unique to your employer. If you worked in a publishing house that wrote software development books, this would be connected and must be disclosed to your employer. Releasing an open source piece of software not specifically aimed at the industry the company is in Again, this probably fine not to disclose since it would not be something you would develop as part of your employment, or under the umbrella of your company focus market. Release a commercial piece of software not specifically aimed at or competing with the industry the company is in Same as above. Honestly though the best policy is being open. If you come to your company with your idea and tell them that it doesn't have any applications in your industry and would like to develop it in your own time, they would have a much harder leg to stand on in a court case when they finally figured out how to apply it.
They certainly can make that a license term and revoke the license if you do not comply. However, revoking the license is all they can do to "forbid". Or they could sue you for damages without revoking the license. That said, you are free to consult how to use their software so long as you do not hold a license so that you are not bound by the terms AND you do not break the law e.g. copyright. How to do it is up to you to figure. Maybe you could simply consult users that do have a license — on their premises and devices.
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.
The whole purpose of a patent is that the contents of the patent becomes public knowledge, in exchange for a time limited monopoly. Therefore you are allowed to do anything, since you are not just allowed but expected to examine the patent in order to improve on it, except that you need a license to sell or give away products implementing the patent as long as it is valid. The only thing to be careful about is that by publishing source code, you might be enticing others to infringe on the patent, so I'd recommend not to do that without advice of a lawyer. PS. With software, the interpretation of "making" software in patent law may be a bit surprising. There was a major case between Microsoft and AT&T about that. The software developer isn't "making" the software. The build engineer putting everything together isn't "making" the software. The CD manufacturer making a million copies isn't "making" the software. The person installing it on their computer is the one who makes it.
Is it illegal to record a telephone conversation with any federal employee, including Social Security representatives, even with their consent? The Social Security call center has an automated recording for each call informing the caller that their call may be recorded. There is no option for the caller to opt-out. When speaking with a Social Security supervisor who was acting very inappropriately, a request was made by the caller to also record the call. She claimed that "it is illegal to ever record a federal employee" even with their consent. Is this true, or was she lying so that there would be no concrete evidence of her inappropriate conduct nor the inappropriate conduct of other representatives at the Social Security call centers?
The opt-out option is exercised by hanging up the phone. The federal wiretapping law 18 USC 2511 would contain any specific restrictions on recording federal employees, and there are no such restrictions. Each state has their own laws as well, so if either party is in a two-consent state such as Florida, consent from the other party would be required. The federal law only requires one party consent. It is possible that the individual expanded a separate rule that s/he may have heard of, one prohibiting recording of an IRS due process collection hearing that is conducted by telephone, as ruled in Calafati v. Commissioner. In that case, petitioner owed taxes and penalties and there was a process where the IRS was going to take his stuff, which requires a hearing. There is a federal statute 26 USC 7521 allowing the in-person hearing to be recorded, but no mention of recording telephone hearings. The Tax Court has taken the position that if it is not explicitly allowed, the IRS can forbid it: but this is in a very specific context, i.e. a specific legal hearing.
The "right to be forgotten" is not absolute. It is subject (Art. 17) to certain conditions, in particular the absence of "overriding legitimate grounds for the processing" (1(c)). 3(b) explicitly exempts data controllers from the erasure where needed "for compliance with a legal obligation which requires processing by Union or Member State law to which the controller is subject". I can even imagine a former employee first claiming his right to be forgotten, and then - a week after getting the confirmation - claiming his right to receive a resumee (a right in existense in Germany), which a company would not be able to fulfill as it hasnt got any data to base the resumee on. If the "right to receive a resumee" indeed exists in Germany and employers need to comply with it, that would be perfectly legitimate ground to only partially fulfil the request to be forgotten⁠ — forget everything but the resume. Is it against the law to document these cases? If you document "On 27 February 2020 John Smith requested to be forgotten so we deleted or anonymised all his records", you will effectively NOT forget him. If you actually had to forget him, it will therefore be against the law to document your forgetting that way.
Expunction may be possible for instance if you are acquitted, later proven innocent, pardoned, and various other things that fall short of being convicted and doing the time. The entire law is here (Texas code of criminal procedure 55.01). There is also the option of an order of non-disclosure, overviewed here. A requirement for such an order is that you were placed on and completed deferred adjudication community supervision, which from what I can tell is not what happened. "Background check removal" may range between simply taking your money and doing nothing, to doing what you could do yourself to get free of traces via radaris, intelius, spokeo, and so on to "request removal" from that web site. This will not make your record unavailable, because these websites don't have any special powers to reach into and manipulate state records.
National security letters can compel the production of some kinds of (non-"content") user data, and (according to Wikipedia) typically contain a nondisclosure requirement forbidding the recipient of the letter from disclosing it. I assume that a witness has received and complied with a national security letter, and a non-government party wants to ask the witness questions which outside the courtroom, the witness would be forbidden to answer by the national security letter. The witness, or the government if represented in the lawsuit in question, may object to the questions. The purpose which justifies the secrecy requirements of a national security letter is also likely to justify the exercise of state secrets privilege. If the judge thinks a statute might otherwise be violated, they might intervene in the absence of any objection, or consider alternative remedies like an in camera hearing. If the court does not intervene to prevent the evidence being given, and the witness is charged with breaching the secrecy law, this would raise complex questions about the interpretation of the law imposing criminal penalties. The common law doctrine of absolute privilege for witnesses giving evidence in judicial proceedings applies in the United States, and could be raised in defence to any criminal charges.
I presume you are addressing the various wiretapping laws. In all of those channels, one would have a reasonable expectation of privacy, in contrast to using CB radio or a megaphone. However the context of using the instrument affects that expectation, for example if your phone is on speaker you do not have a reasonable expectation that those around you cannot hear your conversation, when there are others around you. Also, there is no expectation of privacy surrounding employers monitoring employee emails for valid business purposes – but the federal government can't intercept your emails (without a warrant) just because you are using business email. The expectation of privacy is really about the surrounding circumstance, not the instrument you use.
Yes. It is legal for them to do so. Also, they are often required, by their insurers and lawyers, if not as a matter of law, to maintain them for seven years in most cases, so that the information is available if a lawsuit arises from any of their dealings with you (e.g. if they receive notice of a lawsuit involving a Zipcar you were allegedly using or had under your control at the time of an accident, or if there is a class action lawsuit over alleged breach of contract or consumer laws involving their charges to you). There are virtually no circumstances, with the possible exception of certain credit card account information, when someone has a duty to destroy records maintained about you under U.S. law. In this particular instance, everything on your driver's license is a matter of public record in any case, so your privacy interest is reduced for this reason as well.
That really depends what they lie about In the United States, there's no general law against lying. The fact that a statement is false doesn't inherently strip it of protection under the first amendment. Public figures lie to the public all the time. That's why news companies have fact checkers. Was it defamatory? It is, however, illegal to defame someone. If someone makes a false statement of fact (that is, not an opinion) about a person or company, they may be liable for that. Whether they are liable for that depends on a number of factors, including whether the target is a public figure (see New York Times Co. v. Sullivan), the speaker's knowledge of its falsity, and whether the target was damaged by it. Was it part of some other criminal scheme? False statements to the public could be part of some sort of fraud, for instance. Pump and dump schemes, for instance, are illegal. Was it under oath? Lying under oath (such as when testifying in court) would constitute perjury, which is a crime. There are many other situations in which lying could be a crime (such as lying on your taxes), but these are the main ones I can think of that would be about lying to the public. In this case (I'm unfamiliar with the details of what he said, so I'm just going off your description), I can't immediately think of any reason that could lead to liability. Mocking and calling something a "nothing burger" is pretty clearly an opinion, not a false statement of fact. I'm not aware of any securities law against saying you don't like something you're actually invested in (though I'm not especially familiar with securities law).
Is this illegal? No, subject to some possible narrow exceptions discussed below. Do the social media companies have a duty under the First Amendment to not censor users? No. Indeed, usually, there is greater liability exposure for failing to censor content, for example, by failing to honor a "take down notice" under Title II of the Digital Millennium Copyright Act based upon an alleged copyright violation, or for failure to censor content related to potential sex trafficking. The First Amendment to the United State Constitution (which applies to state and local government via the 14th Amendment to the United States Constitution) is a limitation on the power of governmental actors only. This said, some state constitutions, such as California's, provide free speech protections not just from government action, but also in spaces that are privately owned, but are open to the public and constitute de facto public forums. The authority of California to expand its state constitutional protections to these private settings was confirmed by the U.S. Supreme Court in the case Pruneyard Shopping Center v. Robins, 447 U.S. 74 (1980). It is conceivable that these doctrines could be expanded to public Internet forums in the case of California based social media companies (e.g., Facebook has its headquarters in Menlo Park, California; so does its sister platform Instagram; LinkedIn is based in Sunnyvale, California; and Google is based in Mountain View, California). There are also laws that limit how employers can regulate employee speech in a labor relations context, although most of them don't have constitutional dimensions. It is conceivable that these doctrines could limit social media platform's authority to limit some kinds of speech by their own employees, or in situations where the social media platform looked like it was acting as a mere agent of some other employer controlled by that employer for all practical purposes. There has also been litigation related to free speech on social media regarding the rights of governmental account holders to exercise the same kinds of account management that is available to other users, implicating the First Amendment right to petition the government. The social media platform operator is not itself the primary target in these cases, but if it simply implements its terms of service neutrally with respect to all account holders, it could be facilitating a constitutional violation by its governmental account holders and could conceivably be held liable for aiding and abetting that violation of the law by a governmental account holder (in the context of a lawsuit for money damages this is a special subtype of something called a civil conspiracy).
Can I use a picture commercially if I cannot get ahold of an owner? I found a picture on a website through Google Images but the website is just a webpage, a single page with two pictures, no contact information. The second picture doesn't relate at all to the first. The name of the picture file had the words "CFB Media" in it. So I traced it back to a company called Campus Insiders. I am not sure if it really is theirs, but I emailed them in hopes they might recognize it. If they don't recognize it as theirs, can I use it? I haven't been able to find it anywhere else besides that webpage with no information. A quick note also, on Google Images there's a dropdown that lets you filter by license. x: Labeled for reuse with modification Labeled for reuse Labeled for noncommercial reuse with modification Labeled for noncommercial reuse After filtering, the picture looks to be under every single one of these options.
I've found Google's filtering based on licence to not be very reliable, at least not reliable enough to trust from a practical legal perspective. Using a photo that you don't own the copyright to is a risk. You may be infringing copyright by doing so. The owner may eventually ask you to stop, or they may sue you for damages. Further, some copyright infringement is criminal 17 USC 506. In my opinion, it would be unwise to use a work commercially that you don't affirmatively know you have permission to use.
The answer depends in part what venue you're talking about, e.g. Reddit, Facebook etc. The details are revealed somewhere in the Terms of Service for that venue. The general pattern is that you are allowed to use that venue, provides you grant permission for the service to do what they do with your content. You cannot legally send them a take-down notice for your stuff, because a take-down notice requires you to say that the stuff was posted without your permission (and that is false – and you can be punished for making that statement). There could be a venue where they do not hold you to an irrevocable license, in which case you could revoke that permission (but not Reddit: you granted them a "royalty-free, perpetual, irrevocable, non-exclusive, unrestricted, worldwide license to reproduce, prepare derivative works, distribute copies, perform, or publicly display your user content in any medium and for any purpose, including commercial purposes, and to authorize others to do so"). I've seen a site that actually asserts ownership of user-contributed content (I don't know if their TOS ended up being litigated) – if is not at all hard to write a TOS that includes transfer of copyright, rather than granting of a license. The only hard parts are (1) figuring out what you want in terms of permission to use and (2) whether your answer to (1) means nobody will use your service. SE and Reddit TOS probably are as close as you need to get for what you describe.
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.
It depends on what information you are sharing, how you got it, and what rights the business asserts over the information. For example, if it is content created by the business and they claim copyright protection you can only use it without their permission in accordance with Fair use exceptions. If you obtain the information through some limited/conditional access agreement you would be subject to the terms of that agreement. As always: If you want a legal opinion specific to your use case you need to consult a lawyer in your jurisdiction.
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.
From the mention of a MLB shirt, I am going to assume the OP is located in the united-states. Logos are (in general) copyrightable Anything with a modicum of creative input is by default copyrighted. This includes both film shots from movies and logos of sports organizations. "Modicum of creative input" is known as the threshold of originality. That legal doctrine is in force in the US, but not in other jurisdictions - for instance, the UK uses "sweat of the brow" where creativity is not needed to obtain copyright protection. A still shot from a film set almost surely passes the threshold of originality. However, some logos do not. For instance, the Pittsburgh Pirates logo is a two-dimensional letter P - somewhat stylized, but not that much. It is arguably below the threshold of copyright protection. On the other hand, the Red Socks logos (which is, well, two red socks) is almost surely copyrighted. Let us assume that the logo or imagery present on the OP's photo shirt was indeed copyrighted. Does that make the photo a copyright violation? Incidental use It might be the case that having the artwork on the shirt as an incidental part of the photograph makes it OK. In the US, such incidental use could be covered by fair use, but as always, it’s a delicate balancing act. A professional photograph taken for political advertisement is going to be held to a higher standard than a blurry photo from your aunt’s Facebook gallery. Dmitry Grigoryev says in comments that walking around with a Star Wars shirt could be construed as distributing (via public display) a copyrighted work. However, "putting it on and walking around" is an essential function of a shirt. Absent terms to the contrary, whoever sells a shirt with a copyrighted design grants an implied license to the shirt-wearer to move about with that shirt. [EDIT: see Mayken’s comment, that’s a statutory exception to copyright.] The scope of such implied licenses can be unclear, though, and it could arguably not extend to promotional photographs for political advertisements. Note a recent case in Germany (link to judgement, in German) where it was held that a hotel posting online pictures of its rooms, including a wallpaper design, violated the copyright of the designer. I am not familiar enough with German copyright law to determine if an appeal of that lower-court decision would have any chance of success, but I think that ruling is reasonable within the general principles of EU copyright law. (Whether it is morally acceptable is of course another thing entirely.) Non-legal explanations It is also possible that the photographer or another PR staff member would rather have the politician associated with baseball than with Star Wars for image reasons, and copyright is only a pretext for that. Or that they (mistakenly) thought that the baseball shirt design was not copyrighted.
Copyright protection exists for any work (picture, paragraph, song etc), and persists for many years until it expires. Unless the work was created a long time ago, or was created by the US government (not the same as "funded by government money"), you should assume that the work is protected. That means that you must have permission to copy it. Sometimes, a work has associated with it some such permission, in the form of a "license". Without such a license, you have to request the copyright owner for permission to copy – whether or not they say that the work is protected by copyright (because by law it is protected, so they don't have to say that it is). If you request permission to copy, and do not receive the required permission, then you cannot legally copy the work. The copyright holder has no obligation to explicitly deny permission. You can certainly list the URL for an image, you just cannot copy the image in your book.
If there is a trade mark and if Polaroid owns it and if you infringed it then yes they can force you to remove it. In addition, they could sue you for either damages (i.e. what they lost because of your infringement) or an account of profits (i.e. what you made because of your infringement). That is what trade mark law is for! If the trade mark is registered then this is trivially easy for them to demonstrate. If it is unregistered then it becomes a question of if the mark is clearly recognisable as Polaroid's; IMO they could probably show that it is - those particular border dimensions were distinctive of Polaroid instant cameras for many years. If you want to republish the app, you could probably avoid trade mark issues by allowing users to set the dimensions of the photograph and border, the colour of the border and the location of the caption.
Can I use a loan for something other than what I said I'd use it for? I'd like to purchase some grazing land. I'm half way there with the funds and thought of covering the remaining cost with a loan. This would be a personal loan from a UK bank and not secured against anything. However, when searching and comparing each bank they ask for the purpose of the loan, of which a land purchase is not an option. I phoned a couple banks and was told they didn't supply loans for such purposes. So... what is to stop me from getting a loan and telling the bank it's for buying a car etc. then using the money to buy the land? Secondary to what the bank may have to say, what would a solicitor say if I said the source of funds was from a personal loan. Would they contact the bank and check the purpose?
Well ... the crime of fraud and the tort of deception. If you say you will do X and enter a contract on that basis knowing that you won't then that is fraud and it carries gaol time. Your bank could also revoke your contract and sue for damages.
It is unlikely that you could successfully sue the bank for breach of contract, but of course the first thing you should do is carefully read the agreement and see exactly what they promised. It is understandable that you would like to get your money right now, but that isn't necessarily guaranteed under the agreement. Assuming there is no statement in the agreement as to how long it will take them to deposit the reward once requested, they would have "a reasonable time period". I located on of those agreements, which says that it will be deposited 90 days after completing the requirements. If that is what your agreement says and after 90 days still no money, then you should speak to the branch manager and request timely compliance with the agreement. It would cost more than $600 to sue them, and the court won't punish them extra for missing a deadline (assuming this was not a deliberate and willful refusal on their part).
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.
There is ample reason to conclude that "non-commercial" would include a church, as well as advocating a political cause or candidate. The hard part of "personal". In the context of (Canadian) bankruptcy law, it can mean "non-business use"; in the context of "personal use property", it can be "A type of property that an individual does not use for business purposes or hold as an investment. In other words, property that an individual owns for personal enjoyment". US tax law takes "personal purposes" to refer to non-business purposes. But in the context of copyright (especially music downloading / copying), it is taken to refer to the use of or by an individual. Distributing free copies of a protected work does not get legally sanctioned due to the copying being non-commercial. The alternative term "private" is much clearer, in identifying "just you", but is probably avoided in this kind of context so as to avoid the wrong inference that you can only play Pokemon in the privacy of your own home. So the slightly less clear term "personal" is used instead of "private" especially in copyright-related contexts. "Personal" and "private" are not exactly the same, but when it's about use, I don't see any difference, and I think there is no question that use to attract to a church or political candidate is not "private", it is public. Since the license does not define "your own personal purposes" and there is not an existing crystal-clear definition of "personal purposes", the phrase could be given its "ordinary (plain) meaning". Of course, plain meaning has to give way to contractual intent, so we have to figure out what the parties intended. Except, you don't have a contract with Niantic, but still, plain meaning surely has some place in the law of licenses. At this point, in a lawsuit, both sides would hire an expert witness like a linguist or English teacher to make the case that a church or other non-commercial non-private use is / is not included in the meaning of "personal purpose". A silly argument could be made to the effect that if you personally have an interest in doing something then it is a personal purpose (if specifically commercial, it would be precluded by the term "noncommercial"). What makes this silly is that everybody does things for personal purposes (even acting in a way that benefits others, since you do so for the personal reason that you should do so), and thus "personal" would not mean anything. That is, "personal purposes" does not mean "whatever motivation or interest you personally have". You can also gain a certain understanding of what "personal purposes" means by looking at similar licenses. In the context of academic publishing, authors are typically granted license to copy "for personal, professional, or teaching purposes". Professional purposes and teaching purposes are things that the person has an interest in, so by mentioning these things separately, we must conclude that "teaching" is not a "personal purpose". And so: I would conclude that a court could find that using a product to support a political campaign, philosophy, or religion, is a "public" purpose, not a "personal" purpose. At the same time, at least as I understand it, a lure module is a thing that others besides yourself personally can see (I admit, I don't go), which implies that the purpose of the thing is not entirely private. In addition, there is a fair amount of buzz out there about how a lure could be good for business, which is (1) clearly in contradiction of the license terms and (2) clearly a golden opportunity for Niantic, perhaps in a few weeks after everybody gets hooked and then they will offer non-personal licenses. Their license terms also say that you will not "use the Services or Content, or any portion thereof, for any commercial purpose or for the benefit of any third party or in a manner not permitted by these Terms". I would say that that definitively says "No don't do it", and it also means that you can't be nice to a neighbor. So what they literally say and what they really intend are probably completely different things.
It is almost certainly legal for the sitter to keep the money. She was ready to provide the service, and it is not her fault she couldn't (and she may have turned down other opportunities because she had this one). I think your fiance's claim would be against the firm providing the security service (they are the ones that frustrated the contract). I foresee the following problems: What are her losses? She was prepared to pay $315 (which she has paid), and the dog has been looked after. Where is the loss? (She may be able to argue that it was worth $315 to her, not to have to owe her mother a favour. I don't know if that will fly.) The contract with the security firm almost certainly waives liability for this sort of thing. She would have to convince the court that the contract terms were unreasonable/unconscionable (or whatever the term is in the local jurisdiction). There are two obvious options here: a) see if there is legal cover on her household insurance (or her pet insurance); b) forget it (it's only $175 all told).
According to https://www.moneyadviceservice.org.uk/blog/stamp-duty-for-first-time-buyers-your-questions-answered: To be classified as a first-time buyer you must never have owned a residential property in the UK or abroad. This includes freeholds and interests in leaseholds. Being a guarantor on a mortgage is not "owning a property", having your name on the deeds at the Land Registry is. However, your brother should get his own solicitor (the mortgage company may insist on this), who can confirm my understanding is correct. More importantly, the solicitor can explain the risks of being a guarantor to him - he may decide to back out. (Having said which, I acted as guarantor for my son when he rented as a student.)
The problem with "as soon as possible" is that one could then say "Well, I've got a lot of bills, so it's not possible to pay you until Uncle Bill dies and I get my inheritance". A good contract leaves no doubt about who does what, when. A specific date is best, though if there is a certain amount of backing and forthing, "July 30" could be "tomorrow", and therefore "within 14 days of acceptance" would still identify a specific date -- provided that the date of acceptance is there in the contract. (It usually is, but doesn't absolutely have to be).
You should really investigate the legally correct way to deal with the estate and the transfers of the assets; if not, you could have considerable legal and tax liability in the future with the bank (if they flag and investigate the transfers due to the death of the account holder and the size of the transfers) and the IRS (inheritance taxes), as well as other possible heirs who are not yet identified or notified of the death. Probate laws differ greatly according to jurisdiction, so either find a lawyer or Google for free or low cost legal help in your city/county/state in order to learn how to administer the estate in a legally sufficient way to protect everyone involved. Or go to the local county courthouse and inquire. It may not take much effort or cost much in legal fees, and it's a good investment of research and time to prevent legal and tax issues in the future.
Options buying and selling on collectibles Could I legally create a website that allows for the purchase of options on collectibles – baseball cards, for example? Let's assume it's on a collectible that fluctuates in value rather than consistently depreciates. What regulation, if any, would I have to be aware of in creating this?
This would appear to be a simple application of contract law - the exchange of money for a promise (to sell at a fixed price in the future). Option contracts are only regulated if they relate to options over securities (like company shares) - not if they are over personal property (like baseball cards).
To do so I used some images and Gifs which may be under copyright but since I don't earn money for myself and there is no company backing me I was hoping that there is some protection for private persons like me who just want to showcase the project. Sorry. If your website is public facing (i.e. not password protected and available only to family and close friends), you need to follow copyright law. There is no exception to copyright just because a project is run by an individual for non-commercial purposes. I am also insecure about the GDPR regulations since I give users the ability to create an account and try it out. Your profile says you're in the EU. Then you need to comply with the GDPR. Is there any way to protect me against greedy lawyers and companies? Could I write something like: "This website is a peace of art" and save myself with arguments like "artistic freedom" or "free speech"? Nope. A controversial website run by Peter Sunde had at one point a "free speech" disclaimer (similar to the one you propose) posted. However, Sunde did never use this defense in court: Finnish court slaps Peter Sunde with €350k fine. If he had shown up in court, I am pretty sure the court would have told him that such a disclaimer has no legal merit. The only protection that will make you completely safe is to adhere to the law.
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.
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.
No They will list the price they are charging you. This will normally be greater than what they paid because that’s how business works. The amount they are allowed to charge is what you agreed in your contract with them (which may incorporate a price list) or, if the contract is silent, a reasonable amount. What is reasonable will be related to what the market in your geographical area charges. While this is indirectly related to the input cost of a given item, business can and do charge what the market allows.
Legally, yes, if you get a license from Blizzard (unlikely, and if so, they'll probably want either money or a portion of your profits). Otherwise, not legally. This is exactly the situation that IP law (e.g. copyright and trademark) was created to address. Blizzard created the game and so they have rights to control and benefit from derivatives there of. There are some exceptions, but prints, buttons, and keychains are not likely to meet the requirements for those.
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.)
This would be infringement. It generally doesn't matter that you're giving things away for free. Keep in mind that the point of these laws is not only to prevent third parties from making money off the creator's ideas, but also to protect the creator's ability to make money. If you're providing free knock-off Winnie the Pooh products, that cuts into the market for the creator's legitimate products.
Naming free software and avoiding trademark collision I have stumbled over a problem how I can safely name my software. I would like to have a name with a cultural reference, that is character names from older literature or folk tales. Now, there is the _____wood, which steals all names and trademark them as their own invention. So then, it may happen that Gretel becomes an illegal name like the English version Schneewittchen. However, I then see that Voldemort, owned by the Harry Potter franchise, is used by LinkedIn on opensource software, which seems strange in this context. My questions: Can I safely use this kind of names on my software? Does it matter where the software is used? I wish to put the software on GitHub. Does the home country of the developer matter? I am not from the US. Does the application purpose matter? Data storage is far from entertainment. However, what I am doing is some kind of game engine (not a game) that I use to learn about collision detection.
Speaking from a U.S. perspective (which may or may not generalize elsewhere), trademarks can be used by different companies when they operate in different industries. An answer on Avvo by Kurt Van Thomme captures the important question when using an existing trade name in a new industry: The question in these kinds of circumstances is often whether the goods or services offered by the two companies are sufficiently related such that a consumer would be likely to think a company providing the first product or service would be reasonably likely to provide the second product or service also. Kurt's answer includes an example where the name "Pioneer" is used by a seed company and an electronics company. The two products are unlikely to be provided by the same company, so there is low risk of consumer confusion. In my layman opinion, it seems unlikely that J.K Rowling or Warner Brothers would use the trade name Voldemort to market a software development tool (as it seems unlikely they'd market a software development tool at all, unlike a complete video game, which would be a more likely product), so you could legally use the name insofar as it is not likely to cause customer confusion. Note that you still might attract negative legal attention if the trademark holder is particularly litigious, so when I say "you could legally use the name" I mean that you could probably win a lawsuit (at whatever legal fee costs) if one were filed against you. However, some marks are regarded as "famous" or "well-known" in some jurisdictions. In that case, the mark is afforded much broader protection, and your ability to use it in a different industry is greatly diminished: Famous marks are those that enjoy a high degree of consumer recognition in a particular jurisdiction or in a specific field of commerce or industry. However, few trademarks enjoy the status of “fame.” Examples of marks held to be famous in certain jurisdictions are COCA-COLA, KODAK, WIMBLEDON and VIAGRA. For example, you could not start a business selling automobiles under the brand name "Coca-Cola" even though it is tremendously unlikely that the Coca-Cola Company would branch out into selling cars. The mark's status as "famous" would still allow the Cola-Cola Company to succeed in stopping you from using that mark in commerce, even in a vastly different industry. If the trademark holder of the name Voldemort succeeded in persuading a court that the mark met the jurisdiction's standard for a famous mark, then you could not use the name even for your software development tool. Note also that because trademark is intended to reduce confusion over the source of a good or service, trademark holders can lose their trademark by failing to defend it from confusing uses. Therefore, some trademark holders aggressively pursue even borderline cases to ensure they don't endanger their trademark.
There would be both copyright and trademark issues here. See U.S. Trademark Law - USPTO for law adn rules of practice related to US trademarks. See 17 USC for US copyright law. Trademark "Monopoly" is, I understand, protected as a trademark for a board game. It is currently owned by Hasbro. Any name which would be likely to confuse reasonable people into falsely thinking that the new game was authored or approved by the makers of the game Monopoly, or came from those makers would be trademark infringement (unless done by permission). However, a name can allude to another name as long as no market confusion nor any dilution results. Under 15 U.S.C. § 1066 a mark which is "likely when used on or in connection with the goods or services of the applicant to cause confusion or mistake or to deceive." may be grounds for an interference which can prevent registration of the newer mark. 15 U.S.C. § 1125 provides that: (a) (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) (1) (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 (a) (1) (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. ... (c) Dilution by Blurring; Dilution by Tarnishment.-- (c) (1) Injunctive relief.--Subject to the principles of equity, the owner of a famous mark that is distinctive, inherently or through acquired distinctiveness, shall be entitled to an injunction against another person who, at any time after the owner's mark has become famous, commences use of a mark or trade name in commerce that is likely to cause dilution by blurring or dilution by tarnishment of the famous mark, regardless of the presence or absence of actual or likely confusion, of competition, or of actual economic injury. (c) (2) Definitions.--(A) For purposes of paragraph (1), a mark is famous if it is widely recognized by the general consuming public of the United States as a designation of source of the goods or services of the mark's owner. In determining whether a mark possesses the requisite degree of recognition, the court may consider all relevant factors, including the following: (c) (2) (A) (1) (i) The duration, extent, and geographic reach of advertising and publicity of the mark, whether advertised or publicized by the owner or third parties. (c) (2) (A) (1) (ii) The amount, volume, and geographic extent of sales of goods or services offered under the mark. (c) (2) (A) (1) (iii) The extent of actual recognition of the mark. (c) (2) (A) (1) (iv) Whether the mark was registered under the Act of March 3, 1881, or the Act of February 20, 1905, or on the principal register. (c) (2) (B) For purposes of paragraph (1), `dilution by blurring' is association arising from the similarity between a mark or trade name and a famous mark that impairs the distinctiveness of the famous mark. In determining whether a mark or trade name is likely to cause dilution by blurring, the court may consider all relevant factors, including the following: (c) (2) (B) (i) The degree of similarity between the mark or trade name and the famous mark. (c) (2) (B) (ii) The degree of inherent or acquired distinctiveness of the famous mark. (c) (2) (B) (iii) The extent to which the owner of the famous mark is engaging in substantially exclusive use of the mark. (c) (2) (B) (iv) The degree of recognition of the famous mark. (c) (2) (B) (v) Whether the user of the mark or trade name intended to create an association with the famous mark. (c) (2) (B) (vi) Any actual association between the mark or trade name and the famous mark. The word "Monopoly" as applied to games surely counts as a "famous martk" an so one must avoid confusion as well as "Dilution by Blurring". A game called "New Monopoly" is obviously intended to refer or allude to the existing game. Moreover it seems "intended to create an association with the famous mark" Such a mark might well constitute Dilution by Blurring. It might be wise to choose a name that is not as similar to the trademarked game, and is not as clearly and directly associated with the existing game. It might be wise to consult an experienced trademark lawyer as to whether any such name was close enough to an existing mark, particularly a famous one, to run a risk of a dilution or an infringement action. One should note that a clear disclaimer, stating that a game is not affiliate with an existing game (or other product), and is not a product of that game's owners, nor approved or sponsored by those owners, can help avoid an infringement or dilution action. Previous Suit According to the Wikipedia article, "Monopoly (game)" (citations omitted): Economics professor Ralph Anspach published Anti-Monopoly in 1973, and was sued for trademark infringement by Parker Brothers in 1974. The case went to trial in 1976. Anspach won on appeals in 1979, as the 9th Circuit Court determined that the trademark Monopoly was generic and therefore unenforceable. The United States Supreme Court declined to hear the case, allowing the appellate court ruling to stand. This decision was overturned by the passage of Public Law 98-620 in 1984. With that law in place, Parker Brothers and its parent company, Hasbro, continue to hold valid trademarks for the game Monopoly. However, Anti-Monopoly was exempted from the law and Anspach later reached a settlement with Hasbro and markets his game under license from them Copyright The concepts and procedures of a game, the so-called "game mechanics" cannot be protected by copyright. Specifically 17 USC 102(b) provides that: (b) In no case does copyright protection for an original work of authorship extend to any idea, procedure, process, system, method of operation, concept, principle, or discovery, regardless of the form in which it is described, explained, illustrated, or embodied in such work. So having a game in which tokens representing players move around a board, buying and selling properties, paying and collecting rents, and so on, is not protected by copyright. The artwork of any of the various editions of Monopoly would be protected by copyright, and may not be copied or imitated without permission. The layout of the board might be protected, depending on how original it is judged to be. However, the original version on Monopoly called The landlord's Game dates from 1903, and any copyright in it has expired. Only new, original elements first published in 1925 or later would still be protected by copyright. Most of the layout elements are probably now in the public domain. Visual elements of modern editions may well still be under copyright. Conclusion Creation a new game that has some resemblance to Monopoly can probably be done without infringing any IP rights, but care would need to be taken to make it visually distinctive from any protected edition of the game. A name thatr was not similar enough to the existign name to involved "blurring" the existing trademark would need to be chosen. I am doubtful if "New Monopoly" is sufficiently distinctive.
The creator of the software doesn't provide any warranty. If you feel confident in the quality of the software, nothing stops you from providing a warranty. If the software doesn't meet your guarantees, you will have to pay out because you provided the warranty, depending on the terms. Not the creator of the software because they explicitly didn't provide any warranty. If that's what you want to do, go ahead. I wouldn't. You don't have to republish under the BSD license, which you wouldn't. You must attach the license terms, which clarifies the role of the original creators, and that they don't give a warranty. Doing this allows you to copy the software. It doesn't mean you can't provide a warranty.
Why do you think Oracle have not been protecting their trade mark? Using a trade mark to describe the product (“Written in JavaScript”, “Seeking JavaScript developer”) is not an infringement and the trade mark owner is under no obligation to, indeed, cannot stop this. Where they are required to defend their trade mark is when it is being used in such a way that there is the risk of confusion that the goods or services could be confused with the trade mark owner’s goods or services. Further, they are not required to defend all breaches, only enough to show that they are actively doing so. Also it is not important that the trade mark be associated with the trade mark’s owner. Do you know who owns the trade mark “Ben & Jerry’s”?
My gut response without really analyzing it (which is honestly what a lot of these cases boil down to in the end) is that the proposed name would imply an affiliation with the company that does not exist. A case challenging that name could be expensive and come out either way. Instead, "The [Wife's Name] Toy Museum" with descriptive material in brochures and on a website saying that the exhibits were manufactured by "Toy Company", which is a nominative use that does not imply an affiliation with the Company would be a wiser move.
united-states You are protected by copyright as a matter of law, even if you don't post a copyright notice, although you have slightly more procedural rights if you do post a copyright notice and there would need to be a filing with the copyright registrar (a division of the Library of Congress) before you brought suit. You can't really get any other intellectual property protections for it except possibly a trademark if you have a distinctive mark or name or logo for the app.
While not categorically illegal, there is a risk that using a trademark in an email name is something that is being done with a purpose to defraud people into thinking that you are affiliated with that company (and indeed, such emails are frequently used for that purpose as are misleading domain names). So, while it isn't outright forbidden, it is generally unwise.
Depending on your jurisdiction, such lists may be protected, but not by copyright. For example, in Germany there was a court decision that scanning all the country’s phone books and selling them on CD constituted “unfair competition” and was illegal, while hiring 1000 typists who would manually type in all this information would not be. Databases are protected in many jurisdictions, and a list of the 1000 most commonly used English words could reasonably be called a database.