Opportunity and Obstacle: State Tax Incentives and the Fight Against Poverty

Michelle D. Layser, Removing Barriers to State Tax Incentive Reform, 171 U. Pa. L. Rev. 5 (2023).

The stark contrast between the United States’ widespread prosperity and the deep-seated poverty afflicting many of its people and communities underscores the nation’s complex economic landscape. Equally complex are the political and legal landscapes surrounding our nation’s anti-poverty efforts. States currently have much of the responsibility for administering federal anti-poverty programming and for directly serving the people and places suffering from economic hardship. Simultaneously, however, states are restricted in their abilities to pursue social welfare goals because of the mobility of capital and labor within the United States. States have responded to these challenges by turning to investment-based tax credits to drive development, but that approach has been disfavored by many progressives and often fails to deliver help to the in-state people and places in need.

Michelle D. Layser offers a unique assessment of this difficult situation in her recent article, Removing Barriers to State Tax Incentive Reform. In that piece, Layser weaves together her knowledge of the political economy of community development, place-based tax incentives, and the federal constitutional restrictions under which states operate to argue that tax incentives likely remain the best path forward states under current conditions. However, states will need help to overcome some key barriers, including the dormant Commerce Clause, to ensure the success of those programs. Continue reading "Opportunity and Obstacle: State Tax Incentives and the Fight Against Poverty"

Police Secrecy and Transparency Laws

Christina Koningisor, Police Secrecy Exceptionalism, 123 Colum. L. Rev. 615 (2023).

Trying to unmask Seattle Police Department police officers who may have participated in the insurrection at the U.S. Capitol on January 6, then-law student Sam Sueoka turned to public records requests under state sunshine laws.1 Six police officers who were in Washington, DC on January 6 sued Sueoka and other members of the public seeking information, aiming to block release of the information.2 Meanwhile, the Seattle Office of Police Accountability found that two of the six officers had violated departmental policies or laws in their conduct during the U.S. Capitol riot on January 6.3 The report did not disclose the officers’ names.4 A state Superior Court Judge sided with Sueoka on the right to public disclosure, but a panel of the state appellate court reversed, siding with the police officers on secrecy.5 This case involving my local police department—reportedly home to the largest number of officers identified as in DC during the January 6 events6—is just a recent example of the myriad legal battles surrounding police secrets and illustrates why I find Christina Koningisor’s article Police Secrecy Exceptionalism in the Columbia Law Review so timely and important.

Koningisor explains that every state has “transparency regimes”—sets of statutes that include public records law that give the public access to information, open meetings and open-data laws, among other obligations. Police departments are theoretically an agency like other governmental agencies bound by such transparency regimes.  Yet police departments enjoy numerous protections that maintain opacity and police secrecy.  Koningisor excavates the web of carve-outs and exemptions for law enforcement that together creates what the article terms “law enforcement exceptionalism” that the article analogizes to the secrecy that national security agencies enjoy.  Protests and pain over police killings have led to radical transparency-based ideas like police-worn body cameras and reforms in police transparency laws.  Yet, as Koningisor’s excellent article shows, the matrix of laws and practice exempting police departments from transparency regimes remain robust, maintaining police secrecy exceptionalism. Continue reading "Police Secrecy and Transparency Laws"

“The Wise Know When Not to Talk:” Revisiting the Kalven Report

  • Tom Ginsburg, A Constitutional Perspective on Institutional Neutrality, in Revisiting The Kalven Report: The University’s Role In Social And Political Action (Keith E. Whittington and John Tomasi, eds), (Forthcoming) availible at SSRN (Feb. 12, 2024).
  • Robert Post, The Kalven Report, Institutional Neutrality, and Academic Freedom, in Revisiting The Kalven Report: The University’s Role In Social And Political Action (Keith E. Whittington and John Tomasi, eds) (Forthcoming) availible at SSRN, (Aug. 19, 2023).

The two papers on offer here are neither complementary nor opposed as such, although they have points of agreement and disagreement. They are properly paired, however. Most simply, both papers are chapters in a forthcoming book, one I eagerly await: Revisiting the Kalven Report: The University’s Role in Social and Political Action, edited by Keith Whittington and John Tomasi and published by the Johns Hopkins Press. As their titles suggest, they concern the same question: Should “the university,” in a corporate sense, speak on the controversies of the day?

This is a perennial question, of course. But it was given renewed attention by the events of 2020, which led to hundreds of universities issuing statements of varying strength and detail. And the question returned with the mishegoss of university responses to October 7th and the larger Israel-Gaza conflict, the responses to those responses, the replies to those responses and so on. Continue reading "“The Wise Know When Not to Talk:” Revisiting the Kalven Report"

Regulating Skin Lightening Products: A Delicate Balance

Colleen Campbell, Intersectionality Matters in Food and Drug Law, 95 U. Colo L. Rev. 1 (2024).

I am not tragically colored. There is no great sorrow dammed up in my soul, nor lurking behind my eyes. I do not mind at all. I do not belong to the sobbing school of Negrohood who hold that nature somehow has given them a lowdown dirty deal and whose feelings are all hurt about it. Even in the helter-skelter skirmish that is my life, I have seen that the world is to the strong regardless of a little pigmentation more or less. No, I do not weep at the world—I am too busy sharpening my oyster knife.

― Zora Neale Hurston, Dust Tracks on a Road (1942).

Colleen Campbell’s important and fascinating new article, Intersectionality Matters in Food and Drug Law, explores the complexities of skin lightening products and how to mitigate the damage they cause. She lays out two major problems with these products. They contain harmful ingredients, including mercury, which disproportionately poison dark-skinned women, their primary target. They also exploit and reinforce colorism, a system of bias that grants more social and economic capital to light-skinned over dark-skinned people.

The paper goes to the heart of the political economy of food and drug law. As Campbell explains, “To critique the commercialization of race and beauty is to confront racial capitalism head on in the areas where it hits the deepest: intimacy, self-expression, sexuality, performance, acceptance, and love.” Continue reading "Regulating Skin Lightening Products: A Delicate Balance"

Trusts as a Solution to Black Land Loss

In Remedying Injustices for Black Land Loss: Taking the Next Step to Protect Heirs’ Property, Professor Phyllis Taite offers an original and effective solution to the problem of fractionation of Black-owned land, a problem that has caused drastic Black land loss and that many scholars and legislators have tried to solve. Taite proposes a novel use of trusts to prevent ownership of heirs’ property from fractionating, unlike other remedies that retroactively seek to unwind the harmful consequences of fractionation after the damage has been done. It’s an original and promising proposal.

Heirs’ property is land that has passed through multiple generations without going through probate: fractionation occurs because each generation of heirs acquires the land as tenants in common, the default tenancy for property. As more and more owners divide the land into smaller and smaller shares at each generation, ownership of the property fractionates. Taite points out how this process leads to multiple problems, including unclear title, disagreements about disposition, and land loss through forced partition sales. Continue reading "Trusts as a Solution to Black Land Loss"

Stakeholderism Crosses Legal Lines

Aneil Kovvali, Stakeholderism Silo Busting, 90 U. Chi. L. Rev. 203 (2023).

Those who, like me, spend much of their time focused on corporate law know that over the past decade or so there has been a serious re-examination of the traditional American understanding that corporate directors and officers should focus exclusively on advancing the interests of their shareholders. Many in the field will also be aware of a related debate over the conventional consensus that securities regulation should focus on protecting financial investors. Fewer corporate law scholars, though, may have paid as much attention to questioning within antitrust law of the focus on protecting consumers or within bankruptcy law on protecting creditors.

And fewer still will have pondered the connections between the debates going on within these separate though related fields. Aneil Kovvali explores those connections in his recent article, Stakeholderism Silo Busting. In corporate law, securities regulation, antitrust, and bankruptcy law, a decades-old consensus maintains that the law should focus exclusively on protecting one specific group. But within each field, rebels are now calling upon decision makers to consider the interests of various stakeholders. In his article, Kovvali describes shared arguments that are made by traditionalists and by those questioning traditions within each of the four fields. He further argues that considering developments in the fields together could yield new insights and practical suggestions. Continue reading "Stakeholderism Crosses Legal Lines"

Cars, Bars, and the Delivery of Legal Services

Nora Freeman Engstrom & James Stone, Auto Clubs and the Lost Origins of the Access-to-Justice Crisis, 134 Yale L. J. __ (forthcoming 2024), availible at SSRN (March 14, 2024).

Imagine a world in which you call AAA for roadside assistance after a fender bender and you can ask to be transferred to a lawyer to help you with your insurance claim. In their article, Auto Clubs and the Lost Origins of the Access to Justice Crisis, Nora Freeman Engstrom and James Stone bring back a past when this was reality and offer a vision for a future in which not only drivers but also others in need of legal services can find a fast, effective, and inexpensive solution to their problems.

Engstrom and Stone trace the origin of the contemporary unauthorized practice of law rules to disputes about auto clubs, staffed with lawyers, who helped members with an array of legal problems related to cars and roads. They draw on archival material to bring the reader back to a very different legal landscape. It is not always easy to use history in legal scholarship. If you aren’t engaged in an originalist interpretation of the Constitution or a statute, it is often not entirely clear how history can be relevant to a contemporary legal problem. The story that Engstrom and Stone tell, however, is so clearly useful. It helps expose the strict unauthorized practice of law rules as a contingent product of a self-interested bar interfering with the market, not a benevolent effort to protect the public from inept lawyering. By unearthing this dispute, Engstrom and Stone not only expose the selfish motivations behind the rules but also help us imagine a different future. By painting such a vivid portrait of a lost era of law practice, the authors make our contemporary approach seem less natural and inevitable, freeing the reader to follow a more creative path to the future of the profession. Continue reading "Cars, Bars, and the Delivery of Legal Services"

Everything You Wanted to Know about (Commercial) Boilerplate

Robert E. Scott, Stephen J. Choi & Mitu Gulati, Commercial Boilerplate: A Review and Research Agenda, __ Ann. Rev. L. & Soc. Sci. __ (forthcoming 2024), available at SSRN (Jan. 18, 2024).

Contract law as an academic discipline is as uneasily stuck together as the 1L course itself. The two major strands of self-identifying contract scholars–loosely, those that unpack “negotiated” business deals and those that lament “adhesion” consumer contracts–rarely talk to or learn from one another. And the problem replicates in the scholarly fields that have sloughed off from the core over time, from antitrust to corporate law, and from private employment to consumer privacy. Cross-pollination between scholars working on similar problems of consent, but on different types of agreements, is lamentably rare.

There are many causes for the fragmentation, and resultant decline, of a discipline that once produced great public goods like the UCC and the Restatement (2nd) of Contracts. One is the sheer volume of scholarship that each individual subdiscipline creates, and thus the barriers to entry for those looking to engage with the state of the art. We here at JOTWELL seek to offer you a curated set of papers to read, but only a dozen or so out of hundreds, across contract types, won’t make you a truly informed scholar.

It’s therefore with real enthusiasm that I can recommend to you a top-notch literature review, on an incredibly important topic: what do we know about commercial boilerplate. Commercial Boilerplate: A Review and Research Agenda, written for the estimable Annual Review of Law and Social Science by authors who’ve produced much of the ground-breaking work on that topic in the last generation, is everything you could hope for in the genre. It is lucid, insightful, generative and short. You should read it. Continue reading "Everything You Wanted to Know about (Commercial) Boilerplate"

Why Employees Need the OSH Act and OSHA’S Protection from Psychological Harm Due to Unsafe Workplaces

In his recent essay, Professor David Yamada (Suffolk) provides an enlightening introduction to the law of workplace safety with respect to the Occupational Safety and Health Act of 1970 (OSH Act) and its enforcement by the Occupational Safety and Health Administration (OSHA). Because the limits of the OSH Act and OSHA’s role in workplace safety became highlighted to all essential workers in American society during the recent COVID-19 pandemic, the importance of continuing to explore better safety protections for employees remains a pressing public concern. Yamada’s essay covers the important role that the OSH Act and OSHA play in workplace safety in a succinct manner while he also points to failures to provide more remedies for workers’ mental health after being subjected to toxic workplaces, and particularly due to workplace bullying, as a fallout from COVID.

Yamada’s stated goal is “to contribute to a needed conversation about policy options for extending the regulatory reach of the OSH Act to cover severe psychological harms at work and to anticipate expanded enforcement responsibilities for OSHA and its realm.” (P. 395.) Unfortunately, very few workplace law professors analyze the OSH Act or OSHA in their scholarly endeavors. Before now, Jotwell’s Worklaw Section has covered only one publication addressing an OSH Act or OSHA issue: back in 2017. This lack of scholarly attention to OSHA is surprising in light of the agency’s existence for more than fifty years and its key presence as exemplified when a national pandemic arose in 2020 affecting the health and safety of so many workers. Continue reading "Why Employees Need the OSH Act and OSHA’S Protection from Psychological Harm Due to Unsafe Workplaces"

It Ain’t that Broke–Agency Heads’ Approval of Enforcement Actions

Michael Asimow, Greenlighting Administrative Prosecution, 75 Admin. L. Rev. 227 (2023).

Administrative law scholarship comes in many shapes and sizes. One distinctive type is the law review article that began life as a consultant’s report for the Administrative Conference of the United States (ACUS) and then was published in revised (read: more compulsively footnoted and obsessively bluebooked) form in a law review. The ACUS lineage is always visible in the final product: these articles are grounded on and often provide an overview of current practice, they are even-handed, and they contain real-world proposals for reform. On the other hand, they tend not to be wildly abstract, coin new terms (“I call this approach neo-tripartite hyper-realism”), or end up in the Yale Law Journal (with the occasional impressive exception or two as to the last).

Michael Asimow’s recent article on greenlighting—”the process whereby the heads of a combined-function federal regulatory agency determine whether to accept the staff’s decision to charge or not charge a target with a violation of law” (P. 227)—began life as an ACUS report, and it shows. It describes the practices of five different agencies, reviews the value and the risks of looking to agency heads to approve enforcement actions, and assesses a suite of possible structural arrangements that might preserve the former and minimize the latter. Continue reading "It Ain’t that Broke–Agency Heads’ Approval of Enforcement Actions"

WP2Social Auto Publish Powered By : XYZScripts.com