Volume 56

Issue 1

Fighting Institutional Betrayal: Gender Pay Equity Litigation Against University Employers

Nantiya Ruan

Universities are workplaces replete with observed gender pay gaps despite the legal protections in place to mitigate against such a reality. This Article analyzes recent university gender pay equity lawsuits to examine their efficacy in four types of litigation: (1) Class and Collection Action; (2) Government Action; (3) Union Action; and (4) Individual Action. From these case studies of different types of litigation, we learn several important lessons about prosecuting equal pay laws and how to best protect against unequal pay. (more…)

The Right to Inequality: Conservative Politics and Precedent Collide

Jonathan P. Feingold

The “end of affirmative action” is the beginning of this story. In Students for Fair Admissions v. Harvard (SFFA), the Supreme Court struck a near fatal blow to race-consciousness. Many institutions have since pivoted to “race neutral alternatives.” This is a natural turn. But one that faces immediate headwinds.
The same entities that demanded Harvard pursue racial diversity through colorblind means have sued public high schools for doing just that. These litigants assert a “right to inequality”—a theory that would pit the Equal Protection Clause against equality itself. Even if normatively jarring, a right to inequality might seem a natural extension of SFFA and decades of conservative caselaw hostile to remedial reform. (more…)

Do Rural Places Matter?

Stephen Clowney

Rural communities are at a crossroads. On one hand, small towns continue to receive robust support from the federal government. Congress sends billions of dollars in agricultural support, homeownership subsidies, and infrastructure spending to rural places every year. Yet, despite ongoing federal investment, conditions in rural America have deteriorated. Economic growth, educational opportunities, and health outcomes in rural places all lag behind the rest of the country.

This Article asks what has gone wrong. Why do rural communities continue to lose ground despite such significant outlays from Congress? This Article contributes to the ongoing debate about the future of the countryside by highlighting one previously unexamined fault in the ongoing efforts to revitalize rural America: proponents of rural communities—in both think tanks and government agencies— have rarely been forced to enumerate the benefits that the countryside provides. Defenders of small towns simply assume that saving rural places is worthwhile. But why? The lack of clarity matters. Rural people are suffering, at least in part, because policymakers do not have a clear view of why small towns are important or how they can compete with cities. (more…)

New Legal Realism at 20: Rethinking Law in an Era of Populism and Social Movements

Jeffrey Omari, Pablo Rueda-Saiz & Richard Ashby Wilson

This Article critically examines the New Legal Realism (NLR) movement on its twentieth anniversary and illuminates its distinctive intellectual contributions. In evaluating NLR’s unique methodological and substantive contributions, we explore the movement’s relationship to other interdisciplinary theories and empirical approaches to law. NLR approaches show a commitment to a comparative, crossnational exploration of legal phenomena while allowing for grounded generalizations about the relationship between law and society. NLR approaches embrace a diverse range of methods and emphasize the importance of “looking up, down, and sideways.” Notably, NLR embraces both “top-down” and “bottom-up” methods, providing comprehensive insights into the intricate interactions and competition between various actors and legal institutions. In contrast to perspectives that narrow the law to a mere instrument of social control, NLR recognizes that the law is a complex and nuanced social phenomenon with relative autonomy that often leads to unintended consequences. (more…)

Workplace AI and Human Flourishing

E. Gary Spitko

This Article explores the important but largely unexplored relationship between workplace artificial intelligence (AI) and human flourishing. More specifically, the Article examines the potential impact of workplace AI decision tools on such critical matters as workers’ human dignity, workplace and personal autonomy, and the opportunity for upward mobility. AI can analyze data far more quickly and efficiently than humans. Moreover, AI computer models are far superior to people in uncovering subtle correlations in large amounts of data and learning from those correlations. Thus, workplace AI decision tools teach themselves to choose the criteria for recruitment, hiring, compensation, promotion, and termination of workers and ground their employment decisions firmly in empirical data that humans fail even to perceive. At the same time, these AI tools may insult human dignity, threaten worker autonomy, and serve as an agent of social ossification. (more…)

Imperfect Protection Against Perfect Enforcement: When Procedure is Not Enough

William S. Fallon

Government technology that exclusively detects illegal conduct is per se constitutional. Today, the Fourth Amendment provides no protection—zero—against government technology that identifies illegality without also revealing private, innocent behavior.

Meanwhile, alarmingly, government is rapidly developing—and deploying— technology that bypasses the need to examine private, innocent behavior in its detection of wrongdoing. Government can know there is contraband in your bedroom drawer without the need to rummage through that drawer, your home, or any of your private information and possessions. Government can know there is illegal content on your phone without the need to search through that phone or any of your private accounts and data. If enforcement technologies continue to develop apace, under existing law, government will be able to detect—and punish—every instance of illegal behavior, every time, without violating the Fourth Amendment. This imminent, staggering government power is called “perfect enforcement of law.” (more…)

Issue 2

On “Self” Care

Suzanne A. Kim

The dominant answer to popular calls for self care in everyday discourse is a thriving eleven billion dollar industry. The self care economy encompasses workplace wellness programs, consumer goods and services, and entrepreneurship. This infrastructure revolves around commercial consumers and providers and advances through conceptions of health and well-being centered on individuals.
Despite their prevalence, the concept and provision of self care have gone underexamined in legal critiques of societal underinvestment in care. This Article fills this gap by exploring the social construction of the dominant contemporary conception of self care in the United States, one that continues to be construed within a solely individualized framework. Within this model, individuals’ encounters with care appear to arise in a vacuum— both in how care needs emerge and how care needs are addressed. (more…)

Un-fathering the Constitution

Lorianne Updike Toler

Constitutional law turns on Madison’s vision. This because Madison is universally acclaimed by the Supreme Court and legal academe as the Constitution’s father. However, Madison’s constitutional parentage sounds more in lore than logic.
A careful review of recent historiography, Madison’s own writings, and new analytics tools available on the Quill Project reveal Madison as much less important to the Constitution than previously thought. He did not bring about the Convention, did not write the Virginia Plan, and was not that influential at the Constitutional Convention. (more…)

Scènes à Faire: Cliché as Legislative Fact

Sarah Louise Bishop

In the last ten years, federal courts have quietly begun to apply copyright’s scènes à faire doctrine to dismiss infringement claims before party discovery has occurred. This move theoretically should not be possible, because applying the doctrine requires evidence of the conventions and tropes of the artistic genres at issue—something unlikely to be reflected in the parties’ pleadings.
This Article identifies this trend and explores the workarounds district courts use to achieve these dismissals without a factual record before them. The most common methods courts use are inconsistent with both the Federal Rules of Civil Procedure and Evidence and risk bias and baseless decisions. (more…)

Activist Directors: The Evolution of Hedge Fund Activism in the S&P 500

Anna Christie

The prevailing rhetoric associated with hedge fund activism is almost universally negative. This Article provides new evidence of activist hedge fund behavior that contradicts this dominant narrative. The principal argument of the Article is that the conventional picture of hedge fund activism requires updating to account for the phenomenon of activist board representation. (more…)

A Restorative Justice Alternative for Trafficking Survivors: The Need for a Collaborative Approach in Establishing a Pilot Program Addressing Survivor-Articulated Needs

Stephanie Richard & Suzanne S. La Pierre

Human trafficking survivors not only suffer physical and psychological harm during the commission of the crimes against them, but also are often further harmed through forced involvement in the criminal justice system. With the current focus on apprehending and punishing perpetrators as the primary tool promoted in the United States to prevent trafficking, survivors forced to be witnesses against their perpetrators lose their self-determination in ways replicating the abusive patterns of their traffickers. To aid investigation and prosecution of traffickers, they are required to provide testimony reliving their experiences. Forced testimony is also often the only option available for avoiding prosecution for crimes they were coerced to commit by their traffickers. Tragically, evidence-based research and interviews with survivors and those involved in combatting trafficking conclusively demonstrate that this carceral approach has failed. (more…)

The Efficient Default Rule for Sandbagging in Mergers and Acquisitions: A Limited Pro-Sandbagging Default

Alexis Klimaszewski

In the area of mergers and acquisitions (“M&A”), a buyer “sandbags” a seller when, knowing the seller has breached—intentionally or unintentionally—a representation or warranty prior to closing, the buyer nonetheless closes the sale and subsequently brings a post-closing indemnification claim. Parties to a merger or acquisition can negotiate a pro- or anti-sandbagging provision; however, the recent trend has been rising instances of silence in M&A agreements. Given the modern majority default rule, the result is that most buyers in the United States hold a sandbagging right; however, default rules are ambiguous, uncertain, and inconsistent across jurisdictions. While sandbagging at first glance appears unfair to the seller, the situation is far more nuanced, and there is potential for perverse disclosure incentives for both buyer and seller. The recent trend towards silence reflects not an acquiescence by sellers to the default rule of the governing jurisdiction, as scholars have previously suggested, but rather prohibitively high transaction costs and valuation issues faced by both parties that make negotiating over sandbagging language in the M&A agreement inherently inefficient. (more…)

Issue 3

Parenting Under Siege: Reckoning with Coercive Control

Courtney Cross & Gillian Chadwick

Coercive control is a pervasive form of domestic violence in which one partner engages in a prolonged and multifaceted campaign of abuse in order to gain and maintain dominance over the other partner. While some coercively controlling partners employ physical violence to ensure compliance with their demands, others use exclusively non-violent tactics. In co-parenting relationships, coercive control not only inflicts severe harm on the targeted parent but also affects children as co-victims of both direct and indirect abuse. As a result, co-victim children suffer significant emotional, developmental, and social harm, and adverse health outcomes, even in the absence of physical abuse. Yet legal frameworks addressing domestic violence typically focus on discrete acts of physical violence, adhering to what scholars term the “violent incident model.” (more…)

The New Reliability Override

Benjamin Rolsma

Section 202(c) of the Federal Power Act grants the Secretary of Energy a sweeping authority to exempt electric generation and transmission facilities from any federal, state, or local environmental laws. When Congress first adopted § 202(c) in 1935, it designed the provision as an emergency power that federal regulators could use to force fractious utilities to work together to preserve electricity reliability in times of war or natural disaster. But in the last decade things changed.
This Article, drawing on a novel catalog of all § 202(c) emergencies from the provision’s nearly ninety-year history, is the first to comprehensively describe § 202(c). The Article shows that new pressures on the reliability of the American electrical grid, along with an obscure 2015 amendment to the Federal Power Act, transformed § 202(c). No longer is it used to nudge reluctant utilities into action. Instead, starting in the first Trump administration and continuing in the Biden administration, grid operators facing impending blackouts used § 202(c) orders to allow them to run power plants in excess of Clean Air and Clean Water Act pollution limits. And § 202(c) is set to become even more important. Both the Trump and Biden administrations leaned on the provision in proposed policies for the electrical grid—the former to hinder the energy transition and the latter to push it along. This Article tells § 202(c)’s history, describes its transformation, and critically examines some methods for supervising the Department of Energy’s use of § 202(c).

Read more here.

Locating Timbre in Copyright Law’s Modern Musical Work

Lauren Wilson

Copyright law requires courts deciding music infringement cases to locate two copyrights within a single song: one in the “musical work” and another in the “sound recording.” But songs do not naturally divide into such pieces. Instead, judges untrained in music must parse from a unified song the musical elements belonging to each copyright and to whom those copyrights belong. They have historically approached the task as a simple matter of identifying elements notated on a score as belonging to the musical work and placing “everything else” on the sound recording, but such a formalistic approach does not suit the modern popular music at the center of most infringement lawsuits. (more…)

Let it Flow: Information Exchange in Video Conferences versus Let it Flow: Information Exchange in Video Conferences versus Face-to-Face Meetings Face-to-Face Meetings

Hadar Y. Jabotinsky & Roee Sarel

When the COVID-19 pandemic hit, policymakers faced a seemingly difficult choice. On the one hand, health considerations required imposing restrictions on face-to-face meetings. On the other, intuition suggested that switching to video conferencing might lead to information loss. As the pandemic progressed, in-person meetings largely turned digital, including court hearings, lawyer-client consultations, board meetings, and more. But did this turn actually cause an information loss? (more…)

Ethical Investments: Correcting ERISA’s Misinterpretation

Yifat Naftali Ben Zion

The market for socially responsible investing—commonly referred to as ESG
(environmental, social, and governance) investing—is experiencing rapid growth.
Yet a crucial question, that could shape this market’s potential to better our world,
remains unresolved: can institutional investors consider ESG factors when making
investment decisions? These investors hold a significant portion of global
corporate equity, currently valued in the trillions of dollars. Consequently, they
stand in a unique position from which they can influence the actions of
corporations. (more…)

First Amendment Protection Under Connecticut’s Free Speech Statute: Inconsistent Interpretations and Disappointing Results

Elizabeth C. Anderson

Connecticut has taken unique strides in safeguarding employees’ constitutional rights by granting private employees the same First Amendment protections offered to public employees. However, the definition of “discipline” adopted by most courts permits employers to punish employees for exercising their free speech through non-affirmative acts like retracting promised promotions and bonuses. (more…)

The Promise of Contract Pluralism

Andrew Jordan

Many contract theorists argue that contracts are promises. This view is appealing because it can justify the institution of contract law—contract law allows parties to vindicate their promissory rights. But contract-as-promise advocates have seriously misunderstood how promises work. They assume a cartoon version of promises, one that is overly abstract, individualistic, and is singularly fixated on the obligation to do what one promised. (more…)

Discovering the Future of Personal Jurisdiction

Brad Baranowski

A deluge is coming. The Supreme Court’s two most recent personal jurisdiction cases—Ford Motor Co. v. Montana Eighth Judicial District and Mallory v. Norfolk Southern Railroad—have thrown this area of law into even more flux than before. Because of these cases’ heavy emphasis on the fact-intensive nature of personal jurisdiction law, plaintiffs facing down motions to dismiss based on Federal Rule of Civil Procedure 12(b)(2) are going to start asking an obvious question: If the Supreme Court thinks facts are so important to personal jurisdiction, then should I try to get access to more facts? The result will be more requests to conduct jurisdictional discovery, and more courts having to figure out how to decide those requests. (more…)

NIMBY Charities

Lauren Rogal

Neighborhood organizations often advocate for land use policies and decisions that curtail development and entry into the neighborhood. This “not in my backyard” (NIMBY) disposition echoes a long history of exclusionary activity by these organizations and reflects a broader tendency to operate in furtherance of property values and other private interests. Due to substantive and procedural deficiencies in federal tax policy, these organizations often operate as 501(c)(3) tax-exempt charities, a status rightly reserved for organizations that generate broad public benefits. This Article argues for the adoption of clear substantive and procedural rules that restrict charitable status to organizations that either provide tangible benefits to the general public or target their benefits to a materially distressed community. (more…)

The Perilous Focus Shift from the Rule of Law to Appellate Efficiency

Elizabeth Lee Thompson

We should be wary of reforms that are attractive in terms of saving time but have unnoticed substantive effects. . . . The great end for which courts are created is not efficiency. It is justice.

Charles Alan Wright (1966)

Some of the most significant—and by some estimations the most controversial— transformations of the federal appellate system occurred in the late 1960s and 1970s. Many of the effects are still felt today, including the shift from oral argument for all appeals and the view that study and disposition of each appeal were exclusively judicial tasks, to the adoption of a tiered appellate system where the great majority of appeals receive no oral argument and instead receive summary disposition often involving staff attorneys. These transformative internal efficiency procedures have been the subject of intense debate. Proponents have praised their efficiency and ability to avoid a backlog while critics complain that the procedures created a bureaucratic appellate process—rather than one focused on justice—and instituted an inequitable multi-tiered process that particularly disadvantages novice and unrepresented litigants. (more…)

Issue 4

Initiating Remedies for Our Unconstitutional and Unlawful Residential Segregation

Richard Rothstein

In 1866, Congress passed a Civil Rights Act outlawing burdens on freed slaves not also imposed on free whites, reasoning that racial discrimination—both public and private—undermined effective emancipation. However, subsequent Supreme Court jurisprudence did not honor or uphold this law and its progeny. Had it done so, the hard-fought promise of equality would not have been broken, the America we know today would not be so racially segregated, and the “badges and incidents” of slavery could have been timely eliminated. The racial segregation of America’s neighborhoods is not, as was long thought, merely the result of private activities such as unethical mortgage lending and the use of racially restrictive covenants. (more…)

Gilead: Municipal Liability for Punitive Damages Under the Fair Housing Act

Robert G. Schwemm

The 1968 Fair Housing Act (“FHA”) has always been understood to apply to local governments, which have proved to be among the most frequent and significant violators of this law, especially in their opposition to housing of particular value to racial minorities and persons with disabilities. Yet not until the Second Circuit’s decision last year in Gilead Community Services, Inc. v. Town of Cromwell did an appellate court approve an FHA-based punitive-damage award against a municipality. Before Gilead, district courts had generally blocked such awards, applying § 1983’s immunities to protect local governments and their officials from the FHA’s full set of remedies. In rejecting this approach, Gilead charts a new course, offering a potential breakthrough for deterring municipal housing discrimination. (more…)

Legal and Policy Responses to Sexual Harassment in Housing

Rigel C. Oliveri

The sexual harassment of low-income women by their housing providers is a clear national problem that has only recently become the focus of coordinated nationwide enforcement efforts by federal agencies, including the Department of Justice. While these developments are welcome, the problem requires proactive responses as well. (more…)

Eliminating Extratextual Exemptions from the Fair Housing Act

Stacy E. Seicshnaydre

The Supreme Court has held that the language of the Fair Housing Act (“FHA”) is “broad and inclusive,” and the Court has given it a broad construction. Correspondingly, the traditional interpretive canons suggest that courts must construe exceptions narrowly. However, some courts have restricted coverage under the FHA by broadly reading an exception or by inferring an exception. (more…)

Revisiting Geography and Sovereignty in the Digital Age

Melvin J. Kelley IV

Fair housing advocates have already brought successful lawsuits challenging the use of property technology (“PropTech”) where it has been found to perpetuate or replicate discriminatory practices in a range of contexts including the use of automated screening tools to evaluate prospective tenants. While substantive interventions in unlawful exclusions and differential treatment via PropTech are laudatory, this Article argues that these steps do not go far enough and moreover, that insufficient attention has been paid to the procedural implications of the federal Fair Housing Act (“FHA”) as a source of ex ante enforcement. (more…)

AI Governance: Overcoming Policy Barriers to Fairness and Privacy

Michael Akinwumi

Artificial intelligence (“AI”) is increasingly influencing critical sectors such as housing and finance, and raising concerns about fairness, bias, and regulatory compliance. This Essay explores the policy considerations essential for operationalizing AI fairness, particularly in regulated industries. (more…)

Big Banks: Go Small!

Rashmi Dyal-Chand

Despite the promise of the Fair Housing Act and other civil rights laws, racial gaps in wealth, homeownership, and mortgage lending persist today. Our nation’s biggest banks deny mortgage loan applications to Black and Brown consumers at a rate higher than the rest of the industry, often claiming that lending to historically marginalized consumers is too risky. Instead, these lending institutions focus on providing highly profitable financial services to wealthy consumers. (more…)

Slum Managers

Anika Singh Lemar

All sorts of landlords—governmental landlords, cooperatives, large-scale corporate landlords, and mom-and-pops—engage in slumlording to some degree. Despite that fact, some of the most popular proposed solutions to the problem focus on a property owner’s size and corporate form, rather than its property management practices. (more…)

Evicted By Default

Nicole Summers & Justin Steil

The prevalence of default judgments in eviction cases affects housing stability and raises concerns about access to procedural justice for tenants. There is substantial variation across states in the rules governing default judgments that may contribute to variation in the frequency of eviction cases ending in defaults. (more…)

California’s Ban on Cruel or Unusual Punishment: A State Constitutional Analysis of Anti-Camping Ordinances

Anna R. Janson

In Martin v. City of Boise, the United States Court of Appeals for the Ninth Circuit relied on the Cruel and Unusual Punishment Clause of the Eighth Amendment to rule that a class of involuntarily unhoused individuals may not be criminally punished for sleeping on public property in the absence of “sufficient alternatives” for all unhoused people. In Johnson v. City of Grants Pass, the Ninth Circuit elaborated that civil schemes which lead to criminal punishment are unconstitutional as well. (more…)

Online Edition

The Current State of Guardianship Law Furthering a Need for Supported Decision-Making in Connecticut

Julia R. Vassallo

Despite living in a society that values autonomy and individual thought, people with disabilities in the United States are continually subjected to oppression and discrimination, often in the name of a “well-intentioned” paternalistic desire to protect such individuals. Legally recognized protective orders, including guardianships and conservatorships, are often used to restrict the autonomy of people with disabilities, including individuals with intellectual and/or developmental disabilities, individuals with mental health disorders, and aging individuals experiencing Alzheimer’s or other degenerative diseases that have the ability to impact an individual’s cognitive functioning. While guardianships and conservatorships may be appropriate in a number of circumstances, for the majority of the disability community, such mechanisms are overbroad, stripping people with disabilities of the ability to make decisions regarding their own legal, health, financial, and personal affairs. (more…)

The Mature Minor Doctrine and COVID Vaccination in Connecticut

Brianna Cyr

The mature minor doctrine is an exception to the common law rule of parental informed consent for a child’s medical decisions. The mature minor doctrine is applicable as either doctrine or statute in some states, but not all. Connecticut currently upholds the common law view for a minor child’s medical decision-making authority. Consequently, one prominent topic of discussion in recent years deals with the Covid-19 pandemic and the public policy discussions over nationwide vaccination efforts. Many minors, children legally under the age of eighteen, are looking to make their own medical decisions when dealing with vaccination for the Coronavirus. By expanding the parameters of the mature minor doctrine, and implementing it into Connecticut statute, mature minors can be given the autonomy to acquire, or resist, vaccination despite their parent’s wishes. (more…)