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Volume 113, Issue 1, October 2003
5
Article
  • 27
    An Old Judicial Role for a New Litigation Era
    Jonathan T. Molot, Tuesday, 30 September 2003
    113 Yale L.J. 27 (2003)

    Because litigation has changed so dramatically in the last half century, scholars tend to view contemporary civil procedure as raising new problems that require new solutions. We have overlooked that many of these problems can be explained, and even resolved, using an age-old judicial role.

    There are two contexts in particular in which scholars have identified problems with judicial practices, but have been unable to agree on solutions. One is pretrial practice, where controversy abounds over the management strategies judges use to cope with overzealous litigants and overcrowded dockets. The other is class action litigation, where debate focuses on judicial review of proposed settlements and the judge's duty to protect absent class members. Although scholars have explored the tradeoffs posed by current practices and proposed reforms in both areas, they have lacked a framework with which to connect these problems or build a consensus for reform. This Article suggests that the framework we need has been available all along. Our best hope of understanding, and ultimately resolving, these controversies lies in a model of judging that prevailed for centuries and was captured by Lon Fuller in the 1950s. Although scholars rarely invoke tradition expressly, their debates over pretrial practice and class action litigation often boil down to a debate over the value and vitality of the traditional judicial role.

    Fuller identified two core elements of the traditional judicial role: Judges must rely on parties to frame disputes and on legal standards to help them resolve disputes. Scholars have overlooked that judges today sometimes respect these two characteristics and sometimes do not, and that it is precisely where judges stray furthest from tradition--and proceed without the litigant input or legal criteria to which they are accustomed--that judicial conduct triggers controversy. There are powerful reasons why judges should remain faithful to their traditional role even as they update it to respond to new challenges. Judges should do so not for tradition's sake, but rather because their traditional role reflects their core institutional competence, their place in the constitutional structure, and the considered judgment of two centuries of judges who faced problems surprisingly similar to those that judges confront today. This Article explores the institutional, constitutional, and historical underpinnings of the traditional judicial role, highlighting overlooked parallels between the new problems judges face in pretrial practice and class action litigation today and old ones that judges confronted, and largely overcame, in nineteenth-century trial practice and twentieth-century administrative law.
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Essay
  • 119
    Minorities, Shareholder and Otherwise
    Anupam Chander, Tuesday, 30 September 2003
    113 Yale L.J. 119 (2003)

    "[M]en are described as I think they are," Adolf Berle writes of his work, "rather than as they think they are." He continues: "Some will be shocked. The businessman will find that he is a politician and a commissar--perhaps even a revolutionary one. The liberal finds himself a traditionalist." My juxtaposition of the corporate lawyer and the progressive activist may strike both as surprising and even uncomfortable. But corporate law has long been described as the constitutional law for the economic state. Both corporate law and constitutional law seek to order relations between heterogeneous persons who hold stakes in a shared enterprise. Yet the parallels between the two have rarely been fully drawn. In this paper, I have begun to sketch the unexplored but immanent connections in the two domains.

    That the word "minority" is critical in both constitutional law and corporate law is not mere lexical coincidence. Much of life is affected by one's minority or non-minority status. On my reinterpretation, corporate law offers the same insight as critical scholarship: Law must take into account relations of domination and subordination. Corporate law already does this. Equal protection jurisprudence, at least as currently promulgated by the Supreme Court, denies it. But if there is to be a kind of grand unifying theory of corporate and constitutional law, it will turn on this insight about power.
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Notes
  • 179
    Leaving FISA Behind: The Need To Return to Warrantless Foreign Intelligence Surveillance
    Nola K. Breglio, Tuesday, 30 September 2003
    113 Yale L.J. 179 (2003)

    In a locked, windowless room with walls of corrugated steel, in a restricted area of a Justice Department building in Washington, sits the Foreign Intelligence Surveillance Court (FISC). Conducting proceedings completely hidden from the public, as mandated by Foreign Intelligence Surveillance Act (FISA) of 1978, the FISC grants government agents permission to surveil targets if there is probable cause to believe they are foreign powers or agents of foreign powers. The FISC is accustomed to approving each government request it receives, but on May 17, 2002, it issued an order stating that the Department of Justice (DOJ) had overstepped its bounds by promulgating surveillance procedures that gave prosecutors too much supervisory authority over intelligence investigations. The DOJ insisted that its procedures were in accordance with the FISA amendments passed with the USA PATRIOT Act, and filed the first ever appeal to the Foreign Intelligence Surveillance Court of Review, a panel of three senior federal circuit court judges appointed by Chief Justice Rehnquist. The court handed down In re Sealed Case, reversing the FISC order and affirming the legitimacy of the new DOJ procedures and the USA PATRIOT Act amendments. In late March 2003, the Supreme Court declined to reconsider the decision.

    The USA PATRIOT Act has virtually eliminated the specialized intelligence-gathering function of FISA orders; they now can be used with the specific purpose of obtaining evidence to be used in criminal prosecutions, as long as this is not the sole purpose of such investigations. Additionally, prosecutors and intelligence officials may now consult over FISA warrant application and execution. A FISA warrant has become little more than a regular Title III warrant issued secretly with no required showing of probable cause of criminal activity. In view of these significant changes, the FISC retains little unique jurisdiction. The FISC's secret, perfunctory procedures no longer provide constitutionally adequate protection for surveillance targets who will be unknowingly investigated and prosecuted as a direct result of its orders, especially now that FISA surveillance may be used specifically for criminal--and not simply intelligence-gathering--investigations.

    The best way to revive the constitutional viability of foreign intelligence surveillance is to forego the FISA warrant procedure entirely and rely on regular Article III courts to guarantee the reasonableness of such searches if challenged. Such a change in process would allow law enforcement authorities more flexibility in pursuing foreign intelligence investigations, since no pre-investigatory warrants would be required, but would also allow for greater protection of the civil liberties of those investigated, since the standard of review would not be simply whether the target is an agent of a foreign power, but whether the search was conducted in a reasonable manner, in conformance with the Supreme Court's Fourth Amendment jurisprudence. Warrantless foreign intelligence surveillance would be admissible in criminal prosecutions, but only if such surveillance were determined to be reasonable in post hoc adversary proceedings.

    My proposal is not to give the DOJ a blank check to investigate anyone, anytime, anywhere; such a regime would cause the kind of backlash that prompted the passage of FISA in the first place. Rather, if warrantless foreign intelligence surveillance is going to succeed in the twenty-first century, strict executive and legislative branch internal review procedures are necessary. Prosecutors will have to give targets of warrantless operations notice when such investigations are concluded, allowing targets to contest the surveillance in Article III courts. Such a change would benefit all parties involved. The DOJ would enjoy greater freedom in conducting investigations, as it would not have to procure judicial warrants and could act rapidly to investigate time-sensitive threats. At the same time, the entire process would be removed from the supersecret domain of the FISC, making the Attorney General publicly and politically accountable for his orders, allowing targets more opportunities to challenge investigations, and requiring Article III courts to closely examine the constitutionality of warrantless surveillance when targets so desire.

    In this Note, I first briefly discuss the reasons for the passage of FISA and the establishment of the FISC, including the past and current workings of the FISC as an institution and its questionable constitutionality even before the USA PATRIOT Act amendments. I then explain how the USA PATRIOT Act and In re Sealed Case have damaged the usefulness and legitimacy of FISA and the FISC. Finally, I make the case for the abolition of FISA and the appropriateness of warrantless searches as the standard in foreign intelligence cases.
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  • 219
    Sacrifice, Atonement, and Legal Ethics
    David Sweet, Tuesday, 30 September 2003
    113 Yale L.J. 219 (2003)

    Lawyers surely understand sacrifice. The business of representation requires a willingness to subjugate, at least temporarily, one's own priorities, beliefs, and comforts to those of another. Today, that willingness is tested and demanded with unprecedented force. Corporate litigators toil around the clock to perfect their clients' cases. Public defenders stagger under the heaviest caseloads their mandate and conviction will permit. In nearly every legal market, heightened competition has tipped the balance of power toward clients and caused practitioners to surrender more of their autonomy and time.
     
    Examined more closely, however, the increasingly routine actions of attorneys are only sacrifices in a certain sense of the word--they are the exchange of one thing for something else. Corporate lawyers are richly compensated. The public defender's reward is in a different but no less valuable currency. In either case, the aggregate benefits that accrue to the lawyer roughly compensate her for her costs. This is a truism of the rational-actor school of economics, and there is no reason to suppose it does not generally prevail.
     
    There is another brand of sacrifice, less common but equally familiar, perfected by American litigators of the last century: the representation of a worthy but unpopular cause or group. John Quincy Adams was an early exemplar; Clarence Darrow, Charles Houston, and others belong in the same category. But note that each of these names is well-known to us. Many of them were famous before their landmark efforts, but in no case--and this seems generally true of lawyers who take similar stands--were their careers damaged or derailed by their "sacrifice." The notoriety of an unpopular case, successfully defended, redounds to the defender at least in magnitude. Then, as popular opinion catches up to the moral or legal vanguard, the pioneers are vindicated, lionized, and ultimately rewarded.
     
    None of this is meant to demean the actions, accomplishments, or intentions of either everyday or exemplary lawyers. Those who do good, be it good work or good works, should be rewarded. Besides, the willingness to act on another's behalf, whatever the expected reward, requires at least a modicum of humility. Most poignantly, the civil society in which we now live testifies to the worthy sacrifices that lawyers as a class of professionals have made.
     
    But these sacrifices, although critical to our understanding of what a lawyer is and should be, are not the type that I propose to discuss here. The incentives to work harder for a client, or to take on a worthy cause, are well established and well understood. Such sacrifices are rational and, above all, they are human--the kind of sacrifice in which I am interested is arguably not. My subject is vicarious sacrifice, the relinquishment by one person of a right or good for the sole benefit of someone else. Within that category, I focus on substitutionary sacrifice--the imposition of oneself in the place of another. More specifically still, this Note examines the voluntary assumption by one person of the cost or penalty attributable to the other.
     
    With this last qualification, I touch on another concept generically familiar to lawyers--atonement. In its most colloquial sense, atonement simply means repayment, and as such, the law customarily demands atonement for its breach--through compensatory damage awards, for example. There is, however, a deeper and more technical understanding of the word. Theologians and religious ethicists have defined atonement as a complex process encompassing some or all of repentance, apology, reparation, penance, and forgiveness. The goal toward which this progression aims is not merely the repayment of an outstanding debt, but the complete restoration of the preexisting relationship. Accordingly, atonement demands a willingness from the injured and the injurer to recognize both the harm that has been caused and the sufficiency of the remedy. It ultimately seeks to blot out the existence--and all recollection of the existence--of the injury.
     
    Several legal commentators have examined the theological doctrine of atonement and applied it to various legal fields, most frequently and naturally in the area of criminal justice and the study of alternative modes of punishment. In each case, the version of atonement the scholar adopts requires that the wrongdoer initiate and participate in the atonement process. Indeed, this is the prevailing approach of the law. Justice and economics suggest we should extract the repayment from the one who has perpetrated the harm.
     
    I do not intend to challenge that approach as a general matter. It is not, however, the model I propose to investigate here. The atonement that interests me is the payment by one person of a debt or penalty attributable to another. Stated more precisely, it is the vicarious and substitutional sacrifice by one person of her rights or goods to atone for the harm caused or debt owed by another. This description is sufficiently technical; it is not necessary for the purposes of this Note to describe fully a detailed and dogmatic version of either sacrifice or atonement. Unlike the commentators referred to above, I am not interested in systematically applying a specific doctrine to a particular field of law.
     
    Instead, this Note seeks simply to introduce to the scholarship on legal ethics a previously foreign idea: vicarious sacrificial atonement, a theological concept I apply here to mean the satisfaction by lawyers personally of the penalties imposed as a result of their clients' violation of procedural rules during the course of litigation. I suggest that an ethic of vicarious sacrificial atonement is both a viable and a valuable aspirational norm toward which legal ethics should point. Viable because the core values served by vicarious sacrificial atonement correspond closely to those privileged by our secular legal system. Valuable because such acts of atonement, even if only isolated--even if only contemplated--could benefit the legal profession in at least three plausible and practical ways: by increasing the social and professional respect accorded to lawyers; by restoring client counseling as the focus of the attorney-client relationship; and by chilling client misbehavior, thereby strengthening the justice system for all players.
     
    Rather than venture further into already deep water, I take a step back in Part I to examine briefly the origins and underlying values of vicarious sacrificial atonement. In Part II, I analyze a familiar ethical dilemma to determine the extent to which these concepts and values are currently embodied in the codes and norms of legal ethics. Finally, in Part III, I present in more detail some of the values, goals, and criticisms of the aspirational model alluded to above.
     
    A caveat at the outset is in order. A full treatment of this subject is well beyond the scope of this Note and my ability. The concepts herein are drawn from philosophy, psychology, civics, religion, and many other fields (including the practice of law) in which I have no expertise. I want only to introduce the idea of vicarious sacrificial atonement in order to start a conversation among scholars with credentials better suited than mine to develop the rudimentary thoughts presented here.
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Comment
  • 261
    Renting Space on the Shoulders of Giants: Madey and the Future of the Experimental Use Doctrine
    Tom Saunders, Tuesday, 30 September 2003
    113 Yale L.J. 261 (2003)

    The experimental use doctrine in patent law protects alleged infringers who use patented inventions solely for experimental purposes, such as testing whether a device functions as claimed or re-creating a process to observe its effects from a scientific perspective. The judicially created exception traces its lineage back nearly two hundred years. Although the exception has always been construed narrowly, it grew narrower still in October 2002 when the Federal Circuit issued its opinion in Madey v. Duke University. Madey reformulated the experimental use doctrine and cast considerable doubt on its continued viability as a defense in patent infringement cases involving universities. As a result, university researchers accustomed to standing on the shoulders of giants by studying patented technologies freely may now be forced to rent space on those shoulders instead.
     
    This Comment argues that the Madey court erred when it characterized university research as driven by a business interest in competing for prestige, students, and research grants. Not only does this view oversimplify experimental use defense by causing it to turn on the status of the defendant rather than the nature of the contested use, but it also undermines the balance between innovation and access that lies at the heart of the Patent Act. The Federal Circuit should have instead crafted a more nuanced experimental use exception that protects educational experimentation on patented inventions. Such a rule might not help Duke in its dispute with Professor Madey, especially if the record on remand confirms that Duke was experimenting with rather than experimenting on Madey's invention, but it would allow future researchers to continue testing and teaching about patented inventions without fear of being sued.
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