2013 International Law Update, Volume 19, Number 4 (October – November - December)
Legal Analyses published by Mike Meier,
Attorney at Law. Copyright 2017 Mike Meier. www.internationallawinfo.com.
ARBITRATION/DISCOVERY
In ongoing dispute
over severe environmental pollution in Ecuador allegedly caused by U.S.
company, Fifth Circuit holds that judicial estoppel is appropriate and
discovery should be made available under Section 1782 for use in arbitration;
Chevron, opposing the Section 1782 discovery, had previously argued that the
arbitration is in fact an “international tribunal” and benefitted from the
results, but in this case argued the opposite, that the arbitration is not such
a “foreign or international tribunal”
The
following case is part of the ongoing saga about the environmental
contamination of oil fields in Ecuador. The dispute has continued for almost 20
years and involved dozens of courts. Before a court in Lago Agrio, Ecuador,
issued a multi-billion dollar judgment against Chevron, Chevron filed for
arbitration under the UNCITRAL rules pursuant to the U.S.–Ecuador Bilateral
Investment Treaty (BIT).
In
the following matter, The Republic of Ecuador seeks discovery under 28 U.S.C.
Section 1782 from John Connor and his company GSI Environmental to use it in
the foreign arbitration proceeding against Chevron. Chevron intervened in the
U.S. District Court proceeding to protect its interests. The District Court
found that the pending arbitration is a bilateral investment dispute and not a
“foreign or international tribunal” as required by Section 1782. Ecuador
appeals.
The
U.S. Court of Appeals for the Fifth Circuit reverses and remands for a
determination of the scope of discovery. The Court notes that in the past,
Chevron has benefitted by arguing against Ecuador and others that the
arbitration is a “foreign or international tribunal.” Chevron’s previous
positions are inconsistent with its current argument, and judicial estoppel
should apply to make the discovery available to Ecuador.
“Judicial
estoppel is an equitable doctrine designed to protect the integrity of judicial
proceedings by preventing litigants from asserting contradictory positions for
tactical gain. The precise rationale for and consequences of the doctrine vary.
18B CHARLES ALAN WRIGHT, ARTHUR R. MILLER & EDWARD H. COOPER, FEDERAL
PRACTICE AND PROCEDURE § 4477 (2d ed. 2002 & Supp. 2012) … Recognizing
this, the Supreme Court examined the doctrine extensively in New Hampshire v.
Maine, 532 U.S. 742, 121 S.Ct. 1808, 149 L.Ed.2d 968 (2001), but in the end
refused to establish an ‘inflexible formula.’ Relying instead on several
factors that often indicate the propriety of the sanction, the Court held that
a party may be estopped from asserting a position in a judicial proceeding
where it has previously persuaded a court to adopt a clearly contrary position
to the disadvantage of an opponent. See also Reed v. City of Arlington, 650
F.3d 571 (5th Cir.2011) (en banc). Reed also notes, ‘Because judicial estoppel
is an equitable doctrine, courts may apply it flexibly to achieve substantial
justice.’ Id. at 576.”
“The
predicate for the exercise of judicial estoppel against Chevron is easily
described. To promote international dispute resolution and comity, § 1782
authorizes federal district courts to issue discovery orders ancillary to
proceedings in ‘foreign or international tribunals.’ In numerous district
courts, and on appeal in other circuits, Chevron asserted that the BIT
arbitration is an international proceeding. Chevron explicitly distinguished
this court’s [decision in Republic of Kazakhstan v. Biedermann Int’l, 168 F.3d
880 (5th Cir.1999)]… as involving a purely ‘private’ international arbitration
between the Republic of Kazakhstan and an investor company. Chevron denies
neither that it made these assertions, nor that its current position on the
arbitration’s status is precisely contrary, nor that it successfully obtained §
1782 discovery orders over Ecuador’s opposition. Why shouldn’t sauce for Chevron’s
goose be sauce for the Ecuador gander as well?” [708 F.3d at 654] (footnotes
omitted)
The
Court then addresses and rejects Chevron’s argument that the BIT arbitration
raises an issue of jurisdiction to which judicial estoppel does not apply.
“The
only remaining doubt about the availability of judicial estoppel is that
Chevron’s inconsistent argument may have been ‘irrelevant’ to the discovery
orders in prior cases. Because the parties’ disputes have involved both
Ecuadorian court litigation (unquestionably, a ‘foreign tribunal’) and the BIT
arbitration (arguably, an ‘international tribunal’), Chevron’s § 1782 discovery
requests were often premised on twin grounds. We have found no authority
suggesting that ‘harmless error,’ or some variety thereof, is not among the
equitable considerations underlying judicial estoppel, but we do not reach the
question here. A review of many of the courts’ orders shows that they rested on
the twin § 1782 grounds for authorizing discovery, in part because Ecuador never
challenged that the BIT arbitration is an ‘international tribunal.’ A recent
Third Circuit decision, in particular, notes repeatedly that although certain
of Ecuador’s objections to discovery might be meritorious if related to the
Lago Agrio litigation alone, ‘Chevron seeks the § 1782 discovery for use in
both the Lago Agrio litigation and the BIT arbitration.’ In re Application of
Chevron Corp., 633 F.3d 153, 161, 163 (3d Cir. 2011). Chevron profited from
being able to assert mutually reinforcing grounds under § 1782 to support its
discovery requests; the courts were persuaded that whether ‘for use’ in the
Ecuadorian court proceedings or the arbitral tribunal, Chevron’s requests
satisfied § 1782. The status of the BIT arbitration was not irrelevant to Chevron’s
success.”
“The
result of rejecting these objections is clear. Chevron has deliberately taken
inconsistent positions on the availability of § 1782 discovery for use in
‘international tribunals.’ Chevron successfully obtained such discovery by
persuading courts to reject Ecuadorian (and related parties’) objections and by
contending, opposite to its current position, that the BIT arbitration is an
‘international tribunal.’ Finally, if Chevron is permitted to shield itself
under Biedermann against Ecuador’s current discovery request, it will have
gained an unfair advantage over its adversary. Chevron should be judicially
estopped from asserting its legally contrary position here. Consequently, we
need not and do not opine on whether the BIT arbitration is in an
‘international tribunal.’ On remand, the district court should proceed in its
discretion to evaluate Ecuador’s request for discovery pursuant to § 1782.”
[708 F.3d at 657-658]
Citation: Republic of
Ecuador v. Connor, 708 F.3d 651 (5th Cir. 2013).
COPYRIGHT
German High Court
holds that file hosting providers must ensure that the files and links do not
violate copyrights, and imposes comprehensive monitoring requirements
The
German High Court [Federal Court of Justice, Bundesgerichtshof (BGH)] has
issued an opinion which elaborates the obligations of file hosting companies to
protect copyrights.
In
a previous opinion issued in 2012, the German High Court had found that file
hosting providers must block access to links and delete files once they receive
notification that they violate copyrights. They must also review and filter as
necessary once they receive notification of an infringement (“Alone in the
Dark” matter, Urteil vom 12.07.2012, Az: I ZR 18/11). The German High Court now
expands these duties by requiring active monitoring of links and data files.
The
dispute began with the German Society for musical performing and mechanical
reproduction rights (GEMA) filing suit against RapidShare (www.rapidshare.com),
a file hosting (“sharehosting”) company based in Switzerland. GEMA has
exclusive use rights for numerous musical works, including 4,800 works that
GEMA found on the RapidShare website in violation of registered copyrights.
RapidShare stores, administers and helps users distribute electronic files such
as music, games and images. RapidShare permits users to upload files, and
allows other users to anonymously download those files through a download link.
RapidShare does not provide a table of contents or catalogue, and does not
offer any search function. However, users can create link collections which can
be searched.
GEMA
notified RapidShare repeatedly of the violations in 2006 and 2008, and demanded
that (a) the 4,800 files and links be deleted, and (b) that RapidShare investigate
whether files have been uploaded in violation of copyrights.
GEMA
filed suit in the District Court Hamburg (Landgericht Hamburg, ZUM 2009, 863;
Beschluss vom 10.12.2009; Az. 308 O 667/09) against RapidShare and two of its
officers, demanding that RapidShare stop the offering of the 4,800 musical
works through its website. RapidShare appealed.
The
Court of Appeals in Hamburg (Oberlandesgericht, OLG) found that RapidShare
acted as an “interferer” (“Störer”) who enabled the copyright infringements by
providing a forum where the infringements can take place (Urteil vom
14.03.2012, Az. 5 U 87/09, available at http://openjur.de/u/270161.html).
[NOTE:
“Störer” (“interferer”) is a term of art in German law. As for internet-related
offenses, there is “Störerhaftung” (“interferer liability”) for those who
participate in the distribution of content that violates the law. See Wikipedia
article on “Störerhaftung” in German law at
http://de.wikipedia.org/wiki/St%C3%B6rerhaftung.]
The
Court thus imposed a duty to monitor such file sharing activities upon file
hosting providers such as RapidShare. RapidShare appealed to the German High
Court, asking that the case be dismissed.
The
German High Court affirms the decision of the Hamburg Court of Appeals as for
RapidShare, and elaborates on the monitoring duties for such service providers.
Such service providers must actively monitor whether the offered files violate
copyrights, and delete links and files that are found to be in violation. The
Court remands, however, for additional fact-finding as for the two individual
officers, whether they were aware of the infringements and could have prevented
them.
The
German High Court essentially affirms the findings and monitoring duties
imposed by the Hamburg Court of Appeals. RapidShare received notification of
the infringements being committed through its servers, and could have stopped
them. The musical works at issue, however, continued to be accessible. If
RapidShare had monitored the activities of its users for copyright
infringements, it could have prevented the violations of GEMA’s rights.
For
all copyrighted works for which service providers like RapidShare have received
notices of infringements, it is not an undue burden to regularly monitor the
files and links created by users to prevent copyright infringements (Paragraphs
1-16 of the German High Court Opinion).
RapidShare
is liable as an “interferer” because it failed to comply with its monitoring
obligations. The Court notes that RapidShare contributes to the illegal file
sharing, for example by permitting anonymous access to the links and files, and
the availability of for-pay “premium accounts” which make file sharing simpler
and faster. While RapidShare’s business deserves the protection of the law, it
contains in its very structure the potential for large-scale copyright
infringements.
As
for international jurisdiction over the subject matter, the Court relies on
Article 5, paragraph 3, of the Lugano Convention on jurisdiction and the
enforcement of judgments in civil and commercial matters (1988) (BGBL. 1994 II
S. 2658) (“Article 5. A person domiciled in a Contracting State may, in another
Contracting State, be sued: … 3. in matters relating to tort, delict or
quasi-delict, in the courts for the place where the harmful event occurred;
…”). GEMA alleges that the infringements also occurred in Germany.
[NOTE:
There is a “new Lugano Convention” which entered into force on January 1, 2010,
see
http://ec.europa.eu/world/agreements/prepareCreateTreatiesWorkspace/treatiesGeneralData.do?redirect=true&treatyId=7481].]
The
Court notes that the decision of the Hamburg Court of Appeals does not outline
the specifics of the monitoring duties for service providers such as
RapidShare. Such duties, however, are difficult to specify in detail in this
type of proceeding.
While
RapidShare cannot be classified as an “accomplice” to the copyright
infringements, it certainly is an “interferer” who directly or indirectly
contributed to the copyright infringements. The “interferer” liability cannot
be unduly imposed upon third parties who have not personally violated the law.
Thus, “interferer” liability requires the third party to have violated some
duty to monitor.
The
scope of the duty to monitor depends. There cannot be a general duty to
monitor. See Article 15 of Directive 2000/31/EC of the European Parliament and
of the Council of 8 June 2000 on certain legal aspects of information society
services, in particular electronic commerce, in the Internal Market (“Directive
on electronic commerce”) (Official Journal L 178, 17/07/2000 P. 0001– 0016):
“Member States shall not impose a general obligation on providers, when
providing the services …. to monitor the information which they transmit or
store, nor a general obligation actively to seek facts or circumstances
indicating illegal activity.” There are, however, permissible monitoring duties
in specific cases. Service providers that store data provided by users have a
reasonable duty of care to discover and prevent violations of domestic law. See
Paragraph 48 of the Preamble of the Directive on electronic commerce: “(48)
This Directive does not affect the possibility for Member States of requiring
service providers, who host information provided by recipients of their
service, to apply duties of care, which can reasonably be expected from them
and which are specified by national law, in order to detect and prevent certain
types of illegal activities.” This general duty of care complies with the
opinion of the European Court of Justice in the case Judgment of the Court
(Grand Chamber) of 12 July 2011, L’Oréal SA and Others v eBay International AG
and Others (C-324/09).
There
may be further duties if the purpose of the offered services involves
violations of the law. (Paragraphs 29-31).
Here,
the business model of RapidShare is not intentionally designed to violate the
law. There are many lawful purposes for RapidShare’s services, and there is a
technical and economic demand for such. For example, business and private
persons can use RapidShare to store and protect their data, or to share their
proprietary files.
RapidShare
generates revenue through “premium accounts” that facilitate downloads. It
advertises that some files have been downloaded 100,000, which strongly
indicates that highly attractive, copyrighted materials were shared, such as
movies, music or software. The more a user downloads such files, the more
attractive is RapidShare’s premium account. RapidShare thus profits from
illegal filesharing. Illegal filesharing becomes even more attractive because
RapidShare permits it occur anonymously. (Paragraphs 36-42).
As
for a reasonable duty of care in such cases, the Court notes that RapidShare
received notice of specific copyright infringements, deleted those infringing
files, but failed to prevent similar infringements in the future. Such similar,
future infringements that must be prevented are not only those committed by the
same user with the same copyrighted work. In addition, the service provider
must act as much as technically and economically feasible to prevent the
identified infringing user from continuing to offer the specified copyright works.
While RapidShare claimed to have a 17-person team working on preventing
copyright infringements generally, it did not show that it acted to prevent
further infringements of the copyrighted works for which it had received
notifications. RapidShare’s terms and conditions state that users shall not
violate copyrights is a necessary requirement, but not an effective means of
preventing copyright infringements. Neither is the user of filtering devices
useful, as it can only discover the distribution of identical files. Finally,
the “delete interface” offered copyright holders to delete infringing files
only permits copyright holders to delete already known files, but does not
permit a search of potentially infringing files. RapidShare thus violated its
monitoring duties to prevent similar violations of the law in the future.
(Paragraphs 44-55).
In
particular, RapidShare should have searched the link collections for the works
for which RapidShare received notification of copyright infringement.
(Paragraphs 55-58).
Service
providers such as RapidShare have a “market observation duty” which require the
use of search engines such as Google, Facebook or Twitter, and possibly even
web crawlers, to identify continuing copyright infringements through its
servers of the works for which it received copyright infringement notifications
(Paragraphs 59-60).
In
sum, the German High Court holds:
Even
if the business model of a file hosting service is not intended to violate the
law, there are monitoring requirements because the service acts as a
contributor to the violations.
If
a file hosting service, through its business model, substantially contributes
to copyright infringements, it is not an undue burden to regularly monitor the
collections of links provided through its services.
The
resulting monitoring requirements apply to each copyrighted work for which the
file hosting service has received notice of a copyright infringement. They
apply even if the number of notified infringements is large (in this case 4,800
music titles).
In
practical terms, this decision requires service providers such as RapidShare to
actively monitor the files being offered and shared for possible copyright
violations.
The
German High Court, however, remands the matter to the Hamburg Appeals Court for
a new trial and fact-finding as for the individual officers. There cannot be
liability as an “interferer” for violations of the law in which one did not
participate, of which one had no knowledge, and which one could not have
prevented.
Citation: Bundesgerichtshof
(BGH), I ZR 80/12 (15. August 2013), available at www.bundesgerichtshof.de.
CRIMINAL LAW
In habeas corpus
proceeding as to actual innocence, California Court of Appeal finds it is not
necessary to examine witness in Mexico who had testified at trial in a
contradictory manner; Court notes that examination of
out-of-state/out-of-country witness is generally permissible in post-conviction
proceedings
In
2002, Juan Jose Pulido was convicted of various criminal charges including the
torture and kidnapping of Emanuel Cardenas, and was sentenced to 51 years in
prison. In 2011, Pulido filed a petition for a writ of habeas corpus in the
Superior Court of Los Angeles County, which the Court denied. Pulido then filed
habeas corpus in the California 4th District Court of Appeal, and the Court
only granted an evidentiary hearing before the Superior Court on the issue of
actual innocence.
In
the meantime, the crime victim Cardenas had been deported to Mexico. Pulido
filed a motion requesting that Cardenas be examined in Mexico. Pulido stated in
support of his motion that Cardenas wanted to recant his prior testimony that
Pulido was the perpetrator. Attached to Pulido’s motion was a sworn declaration
signed by Cardenas, stating that Pulido was not involved in the dispute that
led to the kidnapping and injuries. Instead, police officers, the prosecutor,
and the actual abductors intimidated Cardenas and forced him to falsely testify
that Pulido was the perpetrator. The Superior Court did not see any purpose in
examining Cardenas in Mexico and denied the request.
Pulido
now petitions review of the Superior Court’s denial of his motion to examine a
material witness in Mexico.
The
California 4th District Court of Appeal denies the petition. The California
Penal Code does permit the examination of an out-of-state witness when
necessary to the attainment of justice. Here, however, Cardenas’ trial
testimony shows that his testimony to be given in Mexico would not be
materially different.
“‘Sections
1349 through 1362 set forth procedures under which a defendant may have a
material witness residing outside the state or the country examined on an issue
of fact arising in a pending criminal action. The defendant must apply for an
order to examine the witness upon a commission (§§ 1349, 1350), based on an
affidavit stating that the testimony of the witness is material to defense of
the action. (§ 1352 … ) If the court ‘is satisfied of the truth of the facts
stated, and that the examination of the witness is necessary to the attainment
of justice,’ it must order issuance of a commission to take the witness’s
testimony. (§ 1354 …) The commission is a process issued under court seal,
authorizing a designated person to take the deposition of the witness and
return it to the court. (Ibid.; § 1351.) ‘Depositions taken under the
commission may be read in evidence by either party at trial on a finding the
witness is unavailable under Evidence Code section 240. (§ 1362.) The procedure
does not afford any means by which such testimony may be compelled; obtaining
the testimony is subject to the consent of the person whose testimony is
sought. [¶] The trial court’s ruling on the application is reviewed for an
abuse of discretion. [Citation.]’ (Ibid.) The trial court’s initial ruling that
the statutes do not apply to postconviction proceedings, however, is a purely
legal question which we review de novo. …” [Slip Op. 7-8]
“While
the statutes reference ‘trial’ proceedings, the essence of the commission
procedure is to allow a defendant to provide material testimony from an
out-of-state witness when ‘an issue of fact has been joined’ and when the
‘examination of the witness is necessary to the attainment of justice.’ (§§
1352, 1354.) This case presents just such a situation. We have ordered the
trial court to conduct an evidentiary hearing on actual innocence, joining the
ultimate issue of fact, which is whether Pulido was innocent of the offenses
for which he was convicted. Under these circumstances, the examination of a
material witness is ‘necessary to the attainment of justice.’ When actual
innocence is in issue posttrial, the trial court retains its statutory
authority to order examination on a commission, because its objective is the
same as in a trial proceeding.”
“That
the court has the authority to order such an examination does not, however,
require the court to do so upon every request. While we disagree with the trial
court’s conclusion that the statute does not apply in this case, we see no
abuse of discretion in the trial court’s additional ruling, in which it found
that Pulido had not demonstrated that the examination of Cardenas in Mexico
would assist the court as a trier of fact. The court concluded that Cardenas’s
declaration, meant to show that the examination would produce material
evidence, did not include anything materially different from his trial
testimony and thus it would not be necessary to the attainment of justice. …”
[Slip Op. 8-9]
“On
cross-examination, Cardenas said he was still frightened of some people who had
‘chase[d] [him] around once’ after a dispute about a girl, and who had
threatened him and rode around his parents’ house. He repeated that Pulido had
forced him into the van at gunpoint. Cardenas admitted that the day before he
told the prosecutor that Pulido was not the man who shot him, but denied
telling that to [witness] Gallardo. Pulido had not threatened him and no one
had asked him to lie on the stand, but Cardenas had told two different stories.
He denied telling anyone that he wanted to change his story at the preliminary
hearing. ‘The person that shot me is the same man. It’s him [Pulido].’ He had
wanted to change his testimony yesterday because he was afraid: ‘They’ll do
something.’ Asked, ‘Who?’ Cardenas answered, ‘I don’t know, man. There’s people
outside.’ It was just fear that made him say that Pulido was not the shooter.
He was also afraid of being prosecuted for perjury. The day before, he was
‘[j]ust saying the truth.’ Cardenas had not told anyone other than the
prosecutor that he wanted to change his testimony. Pressed again, Cardenas
reaffirmed that he was ‘telling the truth today’: ‘Jose is the one that shot
me.’ The prosecutor just told him to tell the truth. It was only fear that had
caused him to say the day before that Pulido was not the shooter. The last
words of Cardenas’s testimony were: ‘He’s the one that shot me.’” [Slip Op.
10-11]
“Our
review of the trial transcript demonstrates that the trial court, who also read
the transcript, did not abuse its discretion in denying the motion for a
commission on the grounds that it would not produce material evidence to assist
the court in adjudicating the claim of actual innocence in Pulido’s habeas
petition. A commission should be issued if the supporting affidavit explains
how the testimony would be material to the defense ‘and that the examination of
the witness is necessary to the attainment of justice.’… Cardenas had already
testified at trial, consistent with his earlier identification and his testimony
at the preliminary hearing, that Pulido shot him. Cardenas also acknowledged
that he had said the day before that Pulido was not the shooter, and had
earlier told Gallardo the same thing (which Gallardo confirmed in his
testimony), but had done so because he was frightened. He repeated over and
over that Pulido was the shooter and that he was telling the truth. The jury
heard about Cardenas’s momentary recantation of his identification of Pulido as
the shooter, and chose to believe Cardenas when he stated on the stand that he
was telling the truth, and ‘Jose is the one that shot me.’”
“Cardenas
is not a new witness. His 2008 declaration promises a reprise of the
conflicting stories presented to the jury at Pulido’s trial; the jury chose to
believe Cardenas’s trial testimony that Pulido was the shooter. Accordingly,
the trial court was within its discretion to deny the motion for a commission
to examine Cardenas in Mexico.” [Slip. Op. 12]
Citation: Pulido v.
Superior Court, No. B250802 (Cal.App.4th December 10, 2013).
EXTRADITION
Reviewing a
challenge to extradition of international arms dealer from Thailand, Second
Circuit affirms that courts cannot second-guess another country’s grant of
extradition to the United States, even if such extradition may be the result of
political pressure
Viktor
Bout made a comfortable living selling arms internationally. He was arrested in
Thailand in 2008 as the result of an international sting operation. Bout
thought he was meeting with representatives of the Colombian terrorist
organization “Fuerzas Armadas Revolucionarias de Colombia” (FARC) to negotiate
the sale of 100 surface-to-air (SAM) missiles. In fact, Bout’s negotiating
partners were government informants. The U.S. sought his extradition from
Thailand, which was granted in 2010.
After
a trial in the U.S. District Court for the Southern District of New York in the
Fall of 2011, Bout was found guilty of various offenses, including conspiracy
to kill U.S. officers and conspiracy to acquire and export a missile system
designed to destroy aircraft. Bout now appeals. One of his challenges is that
his extradition from Thailand was illegal because it was the result of intense
U.S. political pressure.
The
U.S. Court of Appeals for the Second Circuit affirms the conviction. The Court
first rejects Bout’s claim that the prosecution was vindictive and violated his
constitutional right to due process.
“The
Supreme Court has … recognized the possibility that ‘outrageous’ government
conduct could bar a criminal conviction. See Hampton v. United States, 425 U.S.
484, 489, 96 S.Ct. 1646, 48 L.Ed.2d 113 (1976). To prevail on such a claim,
however, a defendant must show that the government’s conduct is ‘so outrageous
that common notions of fairness and decency would be offended were judicial
processes invoked to obtain a conviction.’ … In other words, the government’s
conduct must ‘`shock the conscience’ in the sense contemplated by [the Supreme
Court in] Rochin v. California, 342 U.S. 165, 172, 72 S.Ct. 205, 96 L.Ed. 183 (1952)
(forced stomach pumping).’ … As we have explained:”
“‘Generally,
to be `outrageous,’ the government’s involvement in a crime must involve either
coercion or a violation of the defendant’s person. It does not suffice to show
that the government created the opportunity for the offense, even if the
government’s ploy is elaborate and the engagement with the defendant is
extensive. Likewise, feigned friendship, cash inducement, and coaching in how
to commit the crime do not constitute outrageous conduct.’”
“United
States v. Al Kassar, 660 F.3d 108, 121 (2d Cir. 2011) (citations omitted).
Indeed, ‘as with all sting operations, government creation of the opportunity
to commit an offense, even to the point of supplying defendants with materials
essential to commit crimes, does not exceed due process limits.’ ….”
“Having
reviewed the record in light of these principles, we conclude that Bout’s
allegations do not meet the high threshold necessary to prevail on a vindictive
prosecution claim. Bout refers to media reports stating that former Deputy
National Security Advisor Juan Zarate and other high-ranking officials at the
Drug Enforcement Agency (DEA) had him in their ‘cross-hairs.’ Appellant’s Br.
24. Even if true, these allegations do not constitute the type of ‘animus’ that
is relevant within the meaning of our cases on vindictive prosecution. The
‘animus’ that is prohibited typically occurs in situations where ‘a
prosecutor’s charging decision is a direct and unjustifiable penalty that
resulted solely from the defendant’s exercise of a protected legal right.’ … In
this case, however, the government’s motivation to prosecute Bout stemmed from
widespread concern that he was engaged in criminal conduct, as evidenced by his
placement on numerous United States and United Nations ‘sanctions lists’ since
the early 2000s. The government’s enthusiastic or energetic pursuit of Bout, a
high-priority criminal target, does not demonstrate vindictive, or even
inappropriate, government conduct. See United States v. Sanders, 211 F.3d 711,
718 (2d Cir. 2000) (holding that an ‘aggressive investigation’ in response to a
‘potential [criminal] violation ... cannot give rise to an inference of
impropriety’).” [731 F.3d at 238-239]
The
Court then turns to the issue of Bout’s extradition. The gist of Bout’s
challenge is that 18 U.S.C. Section 3184 permits U.S. courts to review the
legality of an extradition of a defendant from the U.S. to another country.
Consequently, U.S. courts should review the legality of an extradition from
another country to the U.S.
“We
disagree. We have squarely held that ‘although courts of the United States have
authority to determine whether an offense is an extraditable crime when
deciding whether an accused should be extradited from the United States ... our
courts cannot second-guess another country’s grant of extradition to the United
States.’ United States v. Campbell, 300 F.3d 202, 209 (2d Cir. 2002) (citation
omitted); id. (‘It could hardly promote harmony to request a grant of
extradition and then, after extradition is granted, have the requesting nation
take the stance that the extraditing nation was wrong to grant the request.’).”
“Likewise,
under the so-called Ker-Frisbie doctrine, ‘the government’s power to prosecute
a defendant is not impaired by the illegality of the method by which it
acquires control over him.’ United States v. Toscanino, 500 F.2d 267, 271 (2d
Cir.1974) (relying on Ker v. Illinois, 119 U.S. 436, 7 S.Ct. 225, 30 L.Ed. 421
(1886), and Frisbie v. Collins, 342 U.S. 519, 72 S.Ct. 509, 96 L.Ed. 541
(1952)) … Accordingly, we find no merit to Bout’s claim that his indictment
should have been dismissed because he was improperly extradited to the United
States.” [731 F.3d at 239-240] (footnote omitted)
The
Court concludes that:
(1)
In the absence of actual animus or shocking conduct such as coercion or a
violation of defendant’s person, an international sting operation like the one
in this case does not constitute either vindictive prosecution or outrageous
government conduct.
(2)
The U.S. Government’s application of “coercive political pressure” on a foreign
government to secure a defendant’s extradition does not render that defendant’s
prosecution improper.
Citation: United States v.
Bout, 731 F.3d 233 (2d Cir. 2013).
HEAD OF STATE
IMMUNITY
District of
Columbia Circuit affirms dismissal of lawsuit against sitting President of Sri
Lanka; head of state immunity is established under common law and the TVPA did
not abrogate that common law immunity
The
Plaintiffs in the following case filed a lawsuit in the U.S. District Court for
the District of Columbia based on the Torture Victim Protection Act (TVPA), 28
U.S.C. Section 1350 note, against the sitting President Rajapaksa of Sri Lanka.
The U.S. Department of State filed a “Suggestion of Immunity” based on
Rajapaksa’s current status, regardless of the merits of the Plaintiffs’ case.
The “Suggestion of Immunity” stated, in relevant part:
“6.
… [C]ourts have also routinely deferred to the Executive Branch’s immunity determinations
concerning sitting heads of state. See Ye v. Jiang Zemin, 383 F.3d 620, 626
(7th Cir. 2004) (‘The obligation of the Judicial Branch is clear — a
determination by the Executive Branch that a foreign head of state is immune
from suit is conclusive and a court must accept such a determination without
reference to the underlying claims of a plaintiff.’) …”
“When
the Executive Branch suggests the immunity of a sitting head of state, judicial
deference to that suggestion is predicated on compelling considerations arising
out of the Executive Branch’s authority to conduct foreign affairs under the
Constitution.”
“
... Judicial deference to the Executive Branch in these matters, the court of
appeals noted, is ‘motivated by the caution we believe appropriate of the
Judicial Branch when the conduct of foreign affairs is involved.’ …”
“…
As noted above, in no case has a court subjected a sitting head of state to
suit after the Executive Branch has suggested the head of state’s immunity.”
“7.
Under the customary international law principles accepted by the Executive
Branch, head of state immunity attaches to a head of state’s status as the
current holder of the office. After a head of state leaves office, however,
that individual generally retains residual immunity only for acts taken in an
official capacity while in that position. See 1 Oppenheim’s International Law
1043–44 (Robert Jennings & Arthur Watts eds., 9th ed. 1996). In this case,
because the Executive Branch has determined that President Rajapaksa, as the
sitting head of a foreign state, enjoys head of state immunity from the
jurisdiction of U.S. courts in light of his current status, President Rajapaksa
is entitled to immunity from the jurisdiction of this Court over this suit.”
(Case 1:11-cv-00235-CKK Document 12, filed 01/13/12, footnote omitted).
The
District Court thus dismissed the case. The Plaintiffs appeal, claiming that
Rajapaksa is not immune from a civil suit based on the TVPA. The U.S. Court of
Appeals, in a per curiam opinion, affirms the District Court.
“…
In [Samantar v. Yousuf, ___ U.S. ___, 130 S.Ct. 2278, 2284, 176 L.Ed.2d 1047
(2010)], the Court explained that ‘a two-step procedure developed for resolving
a foreign state’s claim of sovereign immunity,’ and that ‘the same two-step
procedure was typically followed when a foreign official asserted immunity.’
Id. at 2284-85. Under the first step of that procedure, the only one that is
relevant here, ‘the diplomatic representative of the sovereign could request a
`suggestion of immunity’ from the State Department,’ and ‘[i]f the request was
granted, the district court surrendered its jurisdiction.’ Id. at 2284; ….
Here, the defendant did request a suggestion of immunity, and the United States
granted that request by submitting a suggestion of immunity to the court.
Accordingly, as the district court recognized, it was without jurisdiction, ….
unless Congress intended the TVPA to supersede the common law.”
“
… ‘In order to abrogate a common-law principle, the statute must ‘speak
directly’ to the question addressed by the common law.’ United States v. Texas,
507 U.S. 529, 534, 113 S.Ct. 1631, 123 L.Ed.2d 245 (1993) … Whether or not
legislative history would be sufficient to satisfy the requirement of speaking
‘directly,’ the plaintiffs’ view is that the legislative history of the TVPA is
ambiguous on the subject of head of state immunity. In fact, if anything the
legislative history appears to indicate that Congress expected the common law
of head of state immunity to apply in TVPA suits. See H.R. REP. NO. 102-367, at
5 (1991), 1992 U.S.C.C.A.N. 84, 88 (‘[N]othing in the TVPA overrides the
doctrines of diplomatic and head of state immunity.’).”
“This
leaves only the language of the TVPA, which the plaintiffs contend supersedes the
common law because it renders ‘an individual’ liable for damages in a civil
action, and a head of state is ‘an individual.’ But as even the plaintiffs
acknowledge, the term ‘an individual’ cannot be read to cover every individual;
plaintiffs agree that both diplomats and visiting heads of state retain
immunity when they visit the United States. …. We … conclude that the common
law of head of state immunity survived enactment of the TVPA. … see Devi v.
Rajapaksa, No. 12-4081 (2d Cir. Jan. 30, 2013) (holding that the defendant, who
is the same defendant as in this case, ‘clearly is entitled to head-of-state
immunity’).”
“Because,
as a consequence of the State Department’s suggestion of immunity, the
defendant is entitled to head of state immunity under the common law while he
remains in office, and because the TVPA did not abrogate that common law
immunity, the judgment of the district court dismissing the plaintiffs’
complaint is affirmed.” [711 F.3d at 179-180]
Citation: Manoharan v.
Rajapaksa, 711 F.3d 178 (D.C. Cir. 2013).
HUMAN RIGHTS
European Court of
Human Rights dismisses case against Russia over World War II massacre in Katyn
of more than 20,000 Polish prisoners
The
European Court of Human Rights (ECHR or “Court”) has dismissed the case against
Russia over the massacre of more than 20,000 Polish officers and other
prisoners in 1940. This case is important as it is the first to address the
temporal applicability of the 1950 European Convention on Human Rights
(“Convention”). Here, the events at issue took place before the creation of the
Convention. Russia ratified the Convention only in 1998.
In
April and May of 1940, Soviet forces detained Polish officers, policemen, and
many others. The Soviet secret police (NKVD) (“People’s Commissariat for
Internal Affairs”) executed these prisoners in Katyn forest and other
locations, and buried the bodies in mass graves. German officials publicized
the massacre in 1943 but Soviet authorities blamed the massacre on German
forces.
The
Soviet Union finally admitted responsibility for the massacre in 1990 and began
investigating, but never identified any Russian participants. The Russian
investigation ended in 2004 with 36 of the 183 case files being classified “top
secret,” including the last report on the matter. Relatives of some of the
victims, after unsuccessfully pressing for information in Russia, presented
their claims to the ECHR arguing, among other things, that Russia had failed to
conduct an effective investigation and showed a “dismissive attitude” towards
the matter.
In
sum, the ECHR held that:
By
a majority, that the ECHR may not examine the complaints under Article 2 (Right
to Life) of the Convention. The events at issued occurred before the adoption
of the Convention in 1950 and before Russia’s ratification of the Convention in
1998;
By
a majority, that there had not been a violation of Article 3 (Prohibition of
Torture, prohibition of inhuman or degrading treatment) of the Convention. By
the time the Convention entered into force for Russia, the massacre had become
a historical fact and there was no uncertainty about the prisoners’ fate; and
Unanimously,
that Russia had failed to comply with its obligations under Article 38
(Examination of the Case, obligation to furnish necessary facilities for
examination of the case) of the Convention. Member States must comply with
requests for evidence, but Russia failed to provide the classified decision why
it discontinued its investigation of the massacre.
Article
2 (Right to Life) Issues: No ECHR Competence to Examine the Complaint under
Article 2 of the Convention (Paras. 102-161) (thirteen to four votes)
Whether
the ECHR can examine Russia’s investigation into the events requires a “genuine
connection” between the events and the entry into force of the Convention.
The
Majority relied on the test developed by the 2009 case of Silih v. Slovenia
(Application no. 71463/01), which arguably permits the ECHR to consider matters
that occurred before a state’s ratification of the Convention. However, such
review is only for procedural acts and omissions that occurred after the
state’s ratification. Furthermore, there must be a “genuine connection” between
the alleged act and the entry into force of the Convention. See Paras. 103 et
seq. Thus, significant parts of the investigation must take place after the
state’s ratification of the Convention.
Applying
Silih, the Majority finds that the 58-year lapse between the massacre and
Russia’s ratification of the Convention is unprecedented in the Court’s
jurisprudence. There was no “genuine connection” between the deaths and the
entry into force of the Convention for Russia.
The
Majority opined that the crimes at issue have no statute of limitations, but
that does not impose an “unceasing obligation to investigate” upon the state.
See the Convention on Non-Applicability of Statutory Limitations to War Crimes
and Crimes Against Humanity (26 November 1968).
Adding
to the test first formulated in Silih, the Majority notes that an obligation to
investigate war crimes that occurred in the past exists only if some new
information becomes available after the “critical date.” See Becknell v. the
UK, Application no. 32457/04, paras. 66-67. Such information must have the potential
to either undermine the conclusions of an earlier investigation or to allow an
earlier inconclusive investigation to be pursued further. Here, the Majority
found that not to be the case, as critical documents were published by the
Russian State Archives in 1992, six years before Russia ratified the Convention
(see Paras. 134-140). In the words of the ECHR:
“(b)
The ‘genuine connection’ test”
“145.
The first sentence of paragraph 163 of the Šilih judgment posits that the
existence of a ‘genuine connection’ between the triggering event and the entry
into force of the Convention in respect of the respondent State is a condition
sine qua non for the procedural obligation under Article 2 of the Convention to
come into effect.”
“146.
The Court considers that the time factor is the first and most crucial
indicator of the ‘genuine’ nature of the connection. It notes … that the lapse
of time between the triggering event and the critical date must remain
reasonably short if it is to comply with the ‘genuine connection’ standard.
Although there are no apparent legal criteria by which the absolute limit on
the duration of that period may be defined, it should not exceed ten years
(see, by analogy, Varnava and Others, cited above, § 166, and Er and Others v. Turkey,
no. 23016/04, §§ 59-60, ECHR 2012 (extracts)). Even if, in exceptional
circumstances, it may be justified to extend the time-limit further into the
past, it should be done on condition that the requirements of the ‘Convention
values’ test have been met.”
“147.
The duration of the time period between the triggering event and the critical
date is however not decisive, in itself, for determining whether the connection
was a ‘genuine’ one. As the second sentence of paragraph 163 of the Šilih
judgment indicates, the connection will be established if much of the
investigation into the death took place or ought to have taken place in the
period following the entry into force of the Convention. This includes the
conduct of proceedings for determining the cause of the death and holding those
responsible to account, as well as the undertaking of a significant proportion
of the procedural steps that were decisive for the course of the investigation.
This is a corollary of the principle that the Court’s jurisdiction extends only
to the procedural acts and omissions occurring after the entry into force. If,
however, a major part of the proceedings or the most important procedural steps
took place before the entry into force, this may irretrievably undermine the
Court’s ability to make a global assessment of the effectiveness of the
investigation from the standpoint of the procedural requirements of Article 2
of the Convention.”
“148.
Having regard to the above, the Court finds that, for a ‘genuine connection’ to
be established, both criteria must be satisfied: the period of time between the
death as the triggering event and the entry into force of the Convention must
have been reasonably short, and a major part of the investigation must have
been carried out, or ought to have been carried out, after the entry into
force.”
“(c)
The ‘Convention values’ test”
“149.
The Court further accepts that there may be extraordinary situations which do
not satisfy the ‘genuine connection’ standard as outlined above, but where the
need to ensure the real and effective protection of the guarantees and the
underlying values of the Convention would constitute a sufficient basis for
recognising the existence of a connection. The last sentence of paragraph 163
of the Šilih judgment does not exclude such an eventuality, which would operate
as an exception to the general rule of the ‘genuine connection’ test. In all
the cases outlined above the Court accepted the existence of a ‘genuine
connection’ as the lapse of time between the death and the critical date was
reasonably short and a considerable part of the proceedings had taken place
after the critical date. Against this background, the present case is the first
one which may arguably fall into this other, exceptional, category. Accordingly,
the Court must clarify the criteria for the application of the ‘Convention
values’ test.”
“150.
Like the Chamber, the Grand Chamber considers the reference to the underlying
values of the Convention to mean that the required connection may be found to exist
if the triggering event was of a larger dimension than an ordinary criminal
offence and amounted to the negation of the very foundations of the Convention.
This would be the case with serious crimes under international law, such as war
crimes, genocide or crimes against humanity, in accordance with the definitions
given to them in the relevant international instruments.”
“151.
The heinous nature and gravity of such crimes prompted the contracting parties
to the Convention on the Non-Applicability of Statutory Limitations to War
Crimes and Crimes Against Humanity to agree that they must be imprescriptible
and not subject to any statutory limitation in the domestic legal order. The
Court nonetheless considers that the ‘Convention values’ clause cannot be
applied to events which occurred prior to the adoption of the Convention, on 4
November 1950, for it was only then that the Convention began its existence as
an international human rights treaty. Hence, a Contracting Party cannot be held
responsible under the Convention for not investigating even the most serious
crimes under international law if they predated the Convention. Although the
Court is sensitive to the argument that even today some countries have
successfully tried those responsible for war crimes committed during the Second
World War, it emphasises the fundamental difference between having the
possibility to prosecute an individual for a serious crime under international
law where circumstances allow it, and being obliged to do so by the Convention.”
“4.
Application of the above principles to the present case”
“152.
Turning to the undisputed facts of the present case, the Court recalls that the
applicants’ relatives were servicemen in the Polish Army who had been taken
prisoner in the wake of the Soviet invasion of the territory of eastern Poland
in September 1939. During the following months they were detained in the NKVD
camps in the western part of the USSR, in Kozelsk, Ostashkov and Starobelsk.”
“153.
On 5 March 1940, acting on the proposal of the NKVD head, the members of the
Politburo of the Central Committee of the Communist Party of the USSR approved
the extrajudicial execution of Polish prisoners of war, which was to be carried
out by NKVD officers. The prisoners were killed and buried in mass graves on
various dates in April and May 1940. The lists of prisoners for execution were
drawn up on the basis of the NKVD ‘dispatch lists’, on which the names of the
applicants’ family members were mentioned among others.” […]
“155.
It is undisputed - and the NKVD’s ‘dispatch lists’ furnish documentary evidence
to that effect - that in late 1939 and early 1940 the applicants’ family
members were in custody in Soviet territory and under the full and exclusive
control of the Soviet authorities. The Politburo’s decision of 5 March 1940
stipulated that all Polish prisoners of war being held in the NKVD camps,
without exception, were liable to extrajudicial execution, which was carried
out by the Soviet secret police in the following months. Mass burials of
prisoners wearing Polish uniforms were uncovered in the Katyn Forest as early
as 1943, following the German takeover of the territory. A note written in 1959
by the head of the KGB, a successor to the NKVD, acknowledged that a total of
more than twenty-one thousand Polish prisoners had been shot by NKVD officials.
The families stopped receiving correspondence from the prisoners in 1940 and
have not received any news from them ever since, that is, for more than seventy
years.”
“156.
Having regard to these factual elements, the Court concludes that the
applicants’ family members who were taken prisoner in 1939 must be presumed to
have been executed by the Soviet authorities in 1940.”
“157.
The Russian Federation ratified the Convention on 5 May 1998, that is,
fifty-eight years after the execution of the applicants’ relatives. The Grand
Chamber endorses the Chamber’s finding that the period of time between the
death and the critical date is not only many times longer than those which
triggered the coming into effect of the procedural obligation under Article 2
in all previous cases, but also too long in absolute terms for a genuine
connection to be established between the death of the applicants’ relatives and
the entry into force of the Convention in respect of Russia.”
“158.
The investigation into the origin of the mass burials started in 1990 and was
formally terminated in September 2004. Even though the Russian Government
argued that the initial decision to institute the proceedings had been unlawful,
those proceedings were, at least in theory, capable of leading to the
identification and punishment of those responsible. Accordingly, they fell
within the scope of ‘procedural acts and omissions’ for the purposes of Article
2 of the Convention.”
“159.
In the early 1990s a significant number of procedural steps were undertaken by
the Soviet and subsequently the Russian authorities. Corpses were excavated at
the mass burial sites in Kharkov, Mednoye and Katyn in 1991 and the
investigators commissioned forensic studies and arranged interviews with
potential witnesses to the killings. Official visits and coordination meetings
were held between the Russian, Polish, Ukrainian and Belarusian authorities.
However, all these steps took place before the critical date. As regards the
post-entry into force period, it is impossible, on the basis of the information
available in the case file and in the parties’ submissions, to identify any
real investigative steps after 5 May 1998. The Court is unable to accept that a
re-evaluation of the evidence, a departure from previous findings or a decision
regarding the classification of the investigation materials could be said to
have amounted to the ‘significant proportion of the procedural steps’ which is
required for establishing a ‘genuine connection’ for the purposes of Article 2
of the Convention. Nor has any relevant piece of evidence or substantive item
of information come to light in the period since the critical date. That being
so, the Court concludes that neither criterion for establishing the existence
of a ‘genuine connection’ has been fulfilled.”
“160.
Finally, it remains to be determined whether there were exceptional
circumstances in the instant case which could justify derogating from the
‘genuine connection’ requirement by applying the Convention values standard. As
the Court has established, the events that might have triggered the obligation
to investigate under Article 2 took place in early 1940, that is, more than ten
years before the Convention came into existence. The Court therefore upholds
the Chamber’s finding that there were no elements capable of providing a bridge
from the distant past into the recent post-entry into force period.”
“161.
Having regard to the above considerations, the Court upholds the Government’s
objection ratione temporis and finds that it has no competence to examine the
complaint under Article 2 of the Convention.”
Article
3 (Prohibition of Torture) Issues: No Violation of Article 3 of the Convention
(Paras. 162-189) (twelve to five votes)
There
was no violation of Article 3. The ECHR acknowledges that the suffering of
family members of a disappeared person might trigger an Article 3 violation
when the authorities are indifferent. Here, however, the ECHR only has
jurisdiction beginning in 1998 with the entry into force of the Convention for
Russia. At that time, there was no uncertainty about the Polish prisoners, and
their deaths were directly or indirectly confirmed. As the ECHR explains:
“185.
By the time the Convention was ratified by the Russian Federation on 5 May
1998, more than fifty-eight years had passed since the execution of the Polish
prisoners of war. Having regard to the long lapse of time, to the material that
came to light in the intervening period and to the efforts that were deployed
by various parties to elucidate the circumstances of the Katyn massacre, the
Court finds that, as regards the period after the critical date, the applicants
cannot be said to have been in a state of uncertainty as to the fate of their
relatives who had been taken prisoner by the Soviet Army in 1939. It
necessarily follows that what could initially have been a ‘disappearance’ case
must be considered to be a ‘confirmed death’ case. The applicants acquiesced in
that assessment of the present case (see, in particular, paragraph 116 above
and also paragraph 119 of the Chamber judgment). …”
“186.
The Court does not question the profound grief and distress that the applicants
have experienced as a consequence of the extrajudicial execution of their
family members. However, it reiterates that it is in the interest of legal
certainty, foreseeability and equality before the law that it should not depart
from its own precedents without compelling reason (see Sabri Güne v. Turkey
[GC], no. 27396/06, § 50, 29 June 2012). The Court’s case-law, as outlined
above, has accepted that the suffering of family members of a ‘disappeared
person’ who have to go through a long period of alternating hope and despair
may justify finding a separate violation of Article 3 on account of the
particularly callous attitude of the domestic authorities to their quest for
information. As regards the instant case, the Court’s jurisdiction extends only
to the period starting on 5 May 1998, the date of entry into force of the
Convention in respect of Russia. The Court has found above that as from that
date, no lingering uncertainty as to the fate of the Polish prisoners of war
could be said to have remained. Even though not all of the bodies have been recovered,
their death was publicly acknowledged by the Soviet and Russian authorities and
has become an established historical fact. The magnitude of the crime committed
in 1940 by the Soviet authorities is a powerful emotional factor, yet, from a
purely legal point of view, the Court cannot accept it as a compelling reason
for departing from its case-law on the status of the family members of
‘disappeared persons’ as victims of a violation of Article 3 and conferring
that status on the applicants, for whom the death of their relatives was a
certainty.”
“187.
The Court further finds no other special circumstances of the kind which have
prompted it to find a separate violation of Article 3 in ‘confirmed death’
cases (see the case-law cited in paragraph 181 above).”
“188.
In such circumstances, the Court considers that it cannot be held that the
applicants’ suffering reached a dimension and character distinct from the
emotional distress which may be regarded as inevitably caused to relatives of
victims of a serious human rights violation.”
“189.
Accordingly, the Court finds no violation of Article 3 of the Convention.”
Article
38 (Examination of the Case) Issues: Russia Failed to Comply with Obligations
of Article 38 of the Convention (Paras. 190-216) (unanimous)
The
Russian Government did not provide the ECHR with its September 2004 decision to
discontinue the Katyn investigation. In fact, Russia classified that decision,
and several of the investigation files, as “top secret.”
“207.
In giving notice of the two applications at the origin of the instant case to
the respondent Government, the Court put a number of questions to the parties
and requested the Government to produce a copy of the decision of 21 September
2004 relating to the discontinuation of the proceedings in criminal case no.
159. The Government refused to provide it, citing its top-secret classification
at domestic level. On 5 July 2011 the Court adopted a partial admissibility
decision, invited the parties to submit any additional material which they
wished to bring to its attention, and also put a question regarding the
Government’s compliance with their obligations under Article 38 of the
Convention. The Government did not submit a copy of the requested decision. In
the proceedings before the Grand Chamber, on 30 November 2012 and 17
January 2013, the Government submitted a number of additional documents which,
however, did not include a copy of the decision of 21 September 2004 that
had been requested.”
“208.
The Court reiterates that Article 38 of the Convention requires the Contracting
States to furnish all necessary facilities to the Court, whether it is
conducting a fact-finding investigation or performing its general duties as
regards the examination of applications. Being master of its own procedure and
of its own rules, the Court has complete freedom in assessing not only the
admissibility and the relevance but also the probative value of each item of
evidence before it. … The parties are obliged to comply with its evidential requests
and instructions, provide timely information on any obstacles in complying with
them and provide any reasonable or convincing explanations for failure to
comply (see Davydov and Others, cited above, § 174; Nevmerzhitsky
v. Ukraine, no. 54825/00, § 77, ECHR 2005-II (extracts); and Ireland
v. the United Kingdom, 18 January 1978, § 210, Series A no. 25) …”
“209.
As regards the allegedly derivative nature of the obligation to furnish all
necessary facilities for its investigation, flowing from Article 38 of the
Convention, the Court reiterates that this obligation is a corollary of the
undertaking not to hinder the effective exercise of the right of individual
application under Article 34 of the Convention. Indeed, the effective exercise
of this right may be thwarted by a Contracting Party’s failure to assist the
Court in conducting an examination of all circumstances relating to the case,
including in particular by not producing evidence which the Court considers
crucial for its task. Both provisions work together to guarantee the efficient
conduct of the judicial proceedings and they relate to matters of procedure
rather than to the merits of the applicants’ grievances under the substantive
provisions of the Convention or its Protocols. Although the structure of the
Court’s judgments traditionally reflects the numbering of the Articles of the
Convention, it has also been customary for the Court to examine the
Government’s compliance with their procedural obligation under Article 38 of
the Convention at the outset, especially if negative inferences are to be drawn
from the Government’s failure to submit the requested evidence (see, among
other cases, Shakhgiriyeva and Others v. Russia, no. 27251/03,
§§ 134-140, 8 January 2009; Utsayeva and Others v. Russia, no. 29133/03,
§§ 149-153, 29 May 2008; Zubayrayev v. Russia, no. 67797/01, §§ 74-77, 10
January 2008; and Tangiyeva, cited above, §§ 73-77). … Furthermore, it is not
required that the Government’s alleged interference should have actually restricted,
or had any appreciable impact on, the exercise of the right of individual
petition (see McShane v. the United Kingdom, no. 43290/98, § 151, 28 May 2002).
The Court reaffirms that the Contracting Party’s procedural obligations under
Articles 34 and 38 of the Convention must be enforced irrespective of the
eventual outcome of the proceedings and in such a manner as to avoid any actual
or potential chilling effect on the applicants or their representatives.”
“210.
Turning to the justification advanced by the Government for their failure to
produce a copy of the requested decision, the Court observes that it focused on
the fact that the decision had been lawfully classified at domestic level and
that the existing laws and regulations prevented the Government from
communicating classified material to international organisations in the absence
of guarantees as to its confidentiality.”
“211.
The Court reiterates that it has already found in another case against Russia
that a mere reference to the structural deficiency of the domestic law which
rendered impossible communication of sensitive documents to international
bodies is an insufficient explanation to justify the withholding of information
requested by the Court … It has also previously rejected similar objections
from the Russian Government relating to the alleged lack of safeguards in the
Court’s procedure guaranteeing the confidentiality of documents or imposing
sanctions on foreign nationals for a breach of confidentiality … The Court
reiterates in this connection that the Convention is an international treaty
which, in accordance with the principle of pacta sunt servanda codified in
Article 26 of the Vienna Convention on the Law of Treaties, is binding on the
Contracting Parties and must be performed by them in good faith. Pursuant to
Article 27 of the Vienna Convention, the provisions of internal law may not be
invoked as justification for a failure by the Contracting State to abide by its
treaty obligations. In the context of the obligation flowing from the text of
Article 38 of the Convention, this requirement means that the respondent
Government may not rely on domestic legal impediments, such as the absence of a
special decision by a different agency of the State, to justify a failure to
furnish all the facilities necessary for the Court’s examination of the case.
It has been the Court’s constant position that Governments are answerable under
the Convention for the acts of any State agency since what is in issue in all
cases before the Court is the international responsibility of the State (see
Lukanov v. Bulgaria, 20 March 1997, § 40, Reports 1997-II).”
“212.
Even though in the Grand Chamber proceedings the Government submitted copies of
the judgments issued by the domestic courts in the declassification
proceedings, these did not make any more apparent the exact nature of the
security concerns that informed the decision to classify a portion of the
materials in the criminal case file, including the decision of
21 September 2004 requested by the Court. It has become clear that the
classification decision was not made by the Chief Military Prosecutor’s Office
of its own initiative but rather on the basis of the opinion of some officials
from the Federal Security Service, which had ‘the right to dispose as it saw
fit of the information reproduced in the Chief Military Prosecutor’s decision’.
It was also stated that the decision of 21 September 2004 contained information
‘in the field of intelligence, counterintelligence and operational and search
activities’, without further elaboration …”
“213.
The Court reiterates that the judgment by the national authorities in any
particular case that national security considerations are involved is one which
it is not well equipped to challenge. However, even where national security is
at stake, the concepts of lawfulness and the rule of law in a democratic
society require that measures affecting fundamental human rights must be
subject to some form of adversarial proceedings before an independent body
competent to review the reasons for the decision and the relevant evidence. If
there was no possibility to challenge effectively the executive’s assertion
that national security was at stake, the State authorities would be able to
encroach arbitrarily on rights protected by the Convention (see Liu, cited
above, §§ 85-87, and Al-Nashif v. Bulgaria, no. 50963/99, §§ 123 and
124, 20 June 2002).”
“214.
… The national courts did not subject to any meaningful scrutiny the
executive’s assertion that information contained in that decision should be
kept secret more than seventy years after the events. They confined the scope
of their inquiry to ascertaining that the classification decision had been
issued within the administrative competence of the relevant authorities,
without carrying out an independent review of whether the conclusion that its
declassification constituted a danger to national security had a reasonable
basis in fact. The Russian courts did not address in substance … [the] argument
that the decision brought to an end the investigation into a mass murder of
unarmed prisoners, that is, one of the most serious violations of human rights
committed on orders from the highest-ranking Soviet officials … Finally, they
did not perform a balancing exercise between the alleged need to protect the
information owned by the Federal Security Service, on the one hand, and the
public interest in a transparent investigation into the crimes of the previous
totalitarian regime and the private interest of the victims’ relatives in uncovering
the circumstances of their death, on the other hand. Given the restricted scope
of the domestic judicial review of the classification decision, the Court is
unable to accept that the submission of a copy of the decision of 21 September
2004, as it had requested, could have affected Russia’s national security.”
“215.
The Court emphasises, lastly, that legitimate national security concerns may be
accommodated in its proceedings by means of appropriate procedural
arrangements, including restricted access to the document in question under
Rule 33 of the Rules of Court and, in extremis, the holding of a hearing behind
closed doors. Although the Russian Government were fully aware of those
possibilities, they did not request the application of such measures, even
though it is the responsibility of the party requesting confidentiality to make
and substantiate such a request.”
“216.
Accordingly, the Court considers that in the present case the respondent State
failed to comply with their obligations under Article 38 of the Convention on
account of their refusal to submit a copy of the document requested by the
Court.”
Citation: European Court of
Human Rights, Case of Janowiec and Others v. Russia
(Applications
nos. 55505/07 and 29520/09), [2013] ECHR 1003 (21 October 2013), available at
www.echr.coe.int. Numerous press releases and articles discuss this case, for
example press release “The Court delivers its Grand Chamber judgment in the
Janowiec and Others case,” ECHR press release ECHR 306 (2013) (21.10.2013); The
Moscow Times, “Katyn Massacre Case Thrown Out by Human Rights Court,” October
21, 2013, available at www.themoscowtimes.com; “Court makes final ruling on
World War Two Katyn massacre complaint,” October 21, 2013, available at
www.humanrightseurope.org.
JURISDICTION
Second Circuit
finds that New York has jurisdiction over foreign bank that does not do
business in New York but has used New York correspondent bank account for
dozens of transactions that may be related to the underlying facts
The
Plaintiffs in the following case are victims, and relatives of victims, of
rocket attacks on Israel that occurred in July and August of 2006. These
attacks were purportedly carried out by the Hezbollah organization. Defendant
Lebanese Canadian Bank, SAL (“LCB”) does not do business in the U.S. directly,
but uses a correspondent bank account at American Express Ltd., held by the
Shahid Foundation, for U.S.-dollar-denominated transactions. The Plaintiffs
claim that LCB used this U.S. bank account for transactions on behalf of
Hezbollah and thereby enabled it to carry out the 2006 attacks.
The
U.S. District Court for the Southern District of New York dismissed the case
for lack of personal jurisdiction. A defendant is subject to personal
jurisdiction in New York under N.Y. C.P.L.R. 302(a)(1) if the (1) the defendant
transacted business within the state, and (2) the claim arises from that
business activity.
On
appeal, the U.S. Court of Appeals for the Second Circuit sought clarification
regarding New York’s long-arm statute from the New York Court of Appeals. It
certified the following two questions (see 732 F.2d at 167):
(1)
Does a foreign bank’s maintenance of a correspondent bank account at a
financial institution in New York, and use of that account to effect “dozens”
of wire transfers on behalf of a foreign client, constitute a “transact[ion]”
of business in New York within the meaning of N.Y. C.P.L.R. § 302(a)(1)?
(2)
If so, do the plaintiffs’ claims under the Anti-Terrorism Act, the ATS, or for
negligence or breach of statutory duty in violation of Israeli law, “aris[e]
from” LCB’s transaction of business in New York within the meaning of N.Y.
C.P.L.R. § 302(a)(1)?
In
response, the New York Court of Appeals explained that:
“…
Transacting Business. … Amigo Foods Corp. v. Marine Midland Bank-N.Y., 39
N.Y.2d 391, 348 N.E.2d 581, 384 N.Y.S.2d 124 (1976), stands for the proposition
that the use of a New York correspondent bank account, standing alone, may be
considered a ‘transaction of business’ under the long-arm statute if the
defendant’s use of the correspondent account was purposeful. … [W]hether a
defendant has purposefully availed itself of the New York forum is a
fact-intensive inquiry inasmuch as it requires the trial court, in the first
instance, to ‘closely examine the defendant’s contacts for their quality.’ … As
a general matter, however,”
“‘complaints
alleging a foreign bank’s repeated use of a correspondent account in New York
on behalf of a client — in effect, a ‘course of dealing’ — show purposeful
availment of New York’s dependable and transparent banking system, the dollar
as a stable and fungible currency, and the predictable jurisdictional and
commercial law of New York and the United States.’” […]
“With
respect to LCB’s contacts with New York, … both the frequency and deliberate
nature of LCB’s use of its correspondent account [are] determinative. … LCB
used its New York correspondent account ‘dozens’ of times ‘to effect its
support of Shahid and shared terrorist goals,’ not ‘once or twice by mistake.’
… [T]his conduct ‘indicates desirability and a lack of coincidence,’ … that is,
it reflects LCB’s purposeful availment of the privilege of doing business in
the New York forum.”
“…
Claims ‘Arising From’ a Transaction of Business. [T]he ‘arising from’ prong of
section 302(a)(1) does not require a causal link between the defendant’s New
York business activity and a plaintiff’s injury. Instead, it requires ‘a
relatedness between the transaction and the legal claim such that the latter is
not completely unmoored from the former, regardless of the ultimate merits of
the claim.’ … [W]hether a plaintiff’s claim arises from a defendant’s New York
contacts depends upon ‘the nature and elements of the particular causes of
action pleaded.’ … However, section 302(a)(1) ‘does not require that every
element of the cause of action pleaded must be related to the New York
contacts; rather, where at least one element arises from the New York contacts,
the relationship between the business transaction and the claim asserted
supports specific jurisdiction under the statute.’ …”
“…
Because the defendant’s allegedly culpable conduct stems from this use of the
New York correspondent account, the … plaintiffs’ claims are sufficiently
related to LCB’s New York business activity to satisfy the second prong of
section 302(a)(1). …” [732 F.3d at 168-169]
Therefore,
the Plaintiffs have made a prima facie showing that the District Court may
exercise personal jurisdiction over LCB. The remaining issue is thus whether
the District Court’s exercise of personal jurisdiction meets the due process
requirements.
The
U.S. Court of Appeals for the Second Circuit concludes that the exercise of
personal jurisdiction over LCB does in fact comport with due process protections.
The Court therefore vacates the District Court’s dismissal for lack of personal
jurisdiction.
“Our
analysis typically proceeds in two steps. First, we ‘evaluate the quality and
nature of the defendant’s contacts with the forum state under a totality of the
circumstances test.’ … ‘Where the claim arises out of, or relates to, the
defendant’s contacts with the forum — i.e., specific jurisdiction [is asserted]
— minimum contacts [necessary to support such jurisdiction] exist where the
defendant purposefully availed itself of the privilege of doing business in the
forum and could foresee being haled into court there.’ ….” [732 F.3d at 170]
“…
Minimum Contacts. The jurisdictional basis for the plaintiffs’ claims is LCB’s
execution of dozens of dollar-denominated wire transfers through its AmEx
correspondent account in New York. These wire transfers are a part of the
principal wrong at which the plaintiffs’ lawsuit is directed inasmuch as they
allege that ‘LCB carried out the ... [t]ransfers as a matter of official LCB
policy, in order to assist and advance Hizbollah’s terrorist activities against
Jews in Israel’ in violation of various statutory duties. …”
“We
conclude that the selection and repeated use of New York’s banking system, as
an instrument for accomplishing the alleged wrongs for which the plaintiffs
seek redress, constitutes ‘purposeful[] avail[ment] ... of the privilege of
doing business in [New York],’ Bank Brussels Lambert, 305 F.3d at 127 (internal
quotation marks omitted), so as to permit the subjecting of LCB to specific
jurisdiction within the Southern District of New York consistent with due
process requirements.” [732 F.3d at 170-171]
The
Court cautions, however, that a foreign defendant’s mere maintenance of a
correspondent bank account in the U.S. does not necessary create personal
jurisdiction over the account-holder for any kind of controversy. In this case,
the correspondent account at issue has allegedly been used as an instrument to
achieve the alleged wrong.
“…
Reasonableness. Where a defendant has purposefully directed its activities at
the forum state, it may still defeat jurisdiction on due process grounds. To do
so, however, it ‘must present a compelling case that the presence of some other
considerations would render jurisdiction unreasonable.’ [Burger King Corp. v.
Rudzewicz, 471 U.S. 462, 477] … In conducting this part of the due process
inquiry, we focus on the factors we identified above [‘(1) the burden that the
exercise of jurisdiction will impose on the defendant; (2) the interests of the
forum state in adjudicating the case; [and] (3) the plaintiff’s interest in
obtaining convenient and effective relief....’].”
“We
recognize, of course, that LCB is based in Lebanon and that all of the
plaintiffs, including those who are American citizens, reside in Israel;
accordingly, many of the documents and witnesses relevant to this litigation
are located abroad. But ‘the conveniences of modern communication and
transportation ease’ any burden the defense of this case in New York might
impose on LCB. …”
“It
is true, moreover, that the injuries and deaths for which compensation is
sought occurred in Israel. The claims, which are premised on LCB’s use of a
correspondent account to support a terrorist organization, however, involve
acts by banks in New York. And although not controlling, weighed in the balance
is the United States’ and New York’s interest in monitoring banks and banking
activity to ensure that its system is not used as an instrument in support of
terrorism, money laundering, or other nefarious ends.” [732 F.3d at 173-174]
The
Court concludes that the exercise of personal jurisdiction over LCB does not
offend principles of fair play and substantial justice. Therefore, the exercise
of personal jurisdiction over LCB is consistent with due process protections.
Citation: Licci v. Lebanese
Canadian Bank, SAL, 732 F.3d 161 (2d Cir. 2013).
TOPICS IN BRIEF
European Union
approves renewal Agreement between the U.S. and EU on the coordination of
energy-efficient labelling programs for office equipment. The Council of the
European Union has approved the “Agreement between the Government of the United
States of America and the European Union on the coordination of energy
efficiency labelling programmes for office equipment.” It supersedes the 2006
Agreement on the same subject. The purpose of the Agreement is to increase
energy savings and environmental benefits through energy efficient office
equipment such as computers. Both Parties will use a common set of
energy-efficiency specifications and a common logo (“Energy Star” label, owned
by the U.S. Environmental Protection Agency, EPA). Only the top 25 percent
energy efficient models are to receive the “Energy Star” label. Manufacturers,
vendors and resellers enter the Energy Star program by registering as a Program
Participant.
The management entities for the implementation
of the Agreement are as follows: The EU designated for this purpose the EU
Commission. The U.S. designated the EPA.
The Agreement provides for a Technical
Commission to review the implementation of the Agreement in both the EU and the
U.S. The EU Commission will be EU representative in this Technical Commission
(Title VII of the Agreement).
The Annexes to the Agreement contain the
official Energy Star logo, Guidelines for the proper use of the Energy Star
name and logo, as well as the technical specifications the office equipment
must meet to receive the Energy Star designation.
The new Agreement will run through the year
2017.
Citation:
Council Decision … on the signing and conclusion of the Agreement between … the
United States … and the European Union on the coordination of energy-efficiency
labelling programmes for office equipment, 2013 O.J. of the European Union (L
63) 5. The text of the Agreement is in the same issue of the Official Journal,
beginning at page 7. For information on EPA’s cooperation with the EU,
including this Agreement, see the “International Programs” section of the EPA
website at http://www.epa.gov/oita/regions/Europe/index.html.